NATIONWIDE INTERNATIONAL INDEX FUND CLASS A(GIIAX) USD 8.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.71%USD 0.143USD0.020942022-12-21
USD0.012062022-09-12
USD0.110432022-06-06
20213.95%USD 0.332USD0.267392021-12-21
USD0.032692021-09-07
USD0.032072021-06-07
20201.59%USD 0.134USD0.089062020-12-21
USD0.028632020-09-08
USD0.015822020-06-08
20193.99%USD 0.336USD0.192582019-12-18
USD0.027112019-09-09
USD0.115052019-06-07
USD0.000922019-03-08
20185.04%USD 0.424USD0.313972018-12-18
USD0.110152018-06-08
20176.25%USD 0.526USD0.423942017-12-18
USD0.009952017-09-11
USD0.091712017-06-09
20162.47%USD 0.207USD0.083042016-12-16
USD0.023942016-09-12
USD0.096752016-06-10
USD0.003762016-03-11
20152.95%USD 0.248USD0.130062015-12-17
USD0.025142015-09-10
USD0.085952015-06-12
USD0.006832015-03-13
20143.19%USD 0.269USD0.128092014-12-16
USD0.04772014-09-16
USD0.07272014-06-13
USD0.02022014-03-14
20132.32%USD 0.195USD0.10572013-12-18
USD0.03482013-09-20
USD0.04652013-06-21
USD0.00832013-03-15
20122.24%USD 0.189USD0.12712012-12-19
USD0.02632012-09-07
USD0.035112012-06-15
20112.30%USD 0.193USD0.097132011-12-19
USD0.03712011-09-16
USD0.05062011-06-17
USD0.00832011-03-18
20102.09%USD 0.176USD0.004242010-12-30
USD0.06412010-12-27
USD0.01412010-09-17
USD0.07932010-06-18
USD0.0142010-04-09
20092.13%USD 0.179USD0.08352009-12-18
USD0.01322009-09-18
USD0.08262009-06-19
200810.80%USD 0.909USD0.72172008-12-19
USD0.05942008-09-19
USD0.08682008-06-20
USD0.04072008-03-20
20077.17%USD 0.603USD0.46482007-12-21
USD0.04672007-09-21
USD0.06132007-06-22
USD0.032007-03-23
20062.78%USD 0.234USD0.112006-12-27
USD0.0382006-09-22
USD0.052006-06-23
USD0.0362006-03-24
20051.59%USD 0.134USD0.022005-09-23
USD0.0692005-06-24
USD0.0452005-03-24
20041.55%USD 0.13USD0.0652004-12-28
USD0.0192004-09-24
USD0.0212004-06-25
USD0.0252004-03-26
20031.46%USD 0.123USD0.0282003-12-26
USD0.0292003-09-11
USD0.0322003-06-20
USD0.0342003-03-21
20022.03%USD 0.171USD0.0042002-12-27
USD0.0222002-09-20
USD0.052002-06-21
USD0.0462002-05-31
USD0.0442002-04-30
USD0.0052002-03-22
20010.23%USD 0.019USD0.0032001-12-20
USD0.0162001-09-26