NATIONWIDE INTERNATIONAL INDEX FUND CLASS C(GIICX) USD 7.75
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.06%USD 0.082USD0.081842022-06-06
20213.46%USD 0.268USD0.249792021-12-21
USD0.014272021-09-07
USD0.003922021-06-07
20201.18%USD 0.092USD0.072162020-12-21
USD0.016592020-09-08
USD0.002782020-06-08
20193.85%USD 0.298USD0.179562019-12-18
USD0.015472019-09-09
USD0.103242019-06-07
20184.92%USD 0.382USD0.283862018-12-18
USD0.097742018-06-08
20176.16%USD 0.477USD0.408962017-12-18
USD0.06822017-06-09
20162.18%USD 0.169USD0.071252016-12-16
USD0.012022016-09-12
USD0.085642016-06-10
20152.63%USD 0.203USD0.119432015-12-17
USD0.010782015-09-10
USD0.072442015-06-12
USD0.000792015-03-13
20142.94%USD 0.228USD0.120672014-12-16
USD0.03432014-09-16
USD0.06462014-06-13
USD0.00862014-03-14
20132.04%USD 0.158USD0.0952013-12-18
USD0.02682013-09-20
USD0.03652013-06-21
20121.92%USD 0.149USD0.1172012-12-19
USD0.01472012-09-07
USD0.017112012-06-15
20111.98%USD 0.153USD0.087792011-12-19
USD0.02632011-09-16
USD0.0392011-06-17
20101.78%USD 0.138USD0.004242010-12-30
USD0.05362010-12-27
USD0.00572010-09-17
USD0.06722010-06-18
USD0.0072010-04-09
20091.88%USD 0.146USD0.07362009-12-18
USD0.00462009-09-18
USD0.06772009-06-19
200810.97%USD 0.851USD0.70962008-12-19
USD0.0432008-09-19
USD0.06962008-06-20
USD0.02832008-03-20
20076.82%USD 0.528USD0.45172007-12-21
USD0.03132007-09-21
USD0.04542007-06-22