NATIONWIDE INVESTOR DESTINATIONS CONSERVATIVE FUND CLASS R6(GIMCX) USD 9.64
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.29%USD 0.028USD0.028132023-03-16
20222.28%USD 0.22USD0.121092022-12-23
USD0.036512022-09-15
USD0.036032022-06-09
USD0.026622022-03-10
20213.75%USD 0.362USD0.267322021-12-23
USD0.035082021-09-09
USD0.033532021-06-10
USD0.025952021-03-11
20203.68%USD 0.355USD0.14862020-12-23
USD0.128972020-09-10
USD0.043732020-06-11
USD0.03342020-03-12
20193.61%USD 0.348USD0.191142019-12-23
USD0.057212019-09-12
USD0.064072019-06-11
USD0.035832019-03-12
20185.66%USD 0.546USD0.384442018-12-20
USD0.058622018-09-12
USD0.06322018-06-12
USD0.039622018-03-13
20173.58%USD 0.345USD0.181332017-12-20
USD0.061362017-09-14
USD0.058162017-06-13
USD0.044232017-03-14
20163.37%USD 0.325USD0.182142016-12-19
USD0.04582016-09-15
USD0.053962016-06-14
USD0.043242016-03-15
20153.40%USD 0.328USD0.195472015-12-21
USD0.045312015-09-15
USD0.049952015-06-16
USD0.037432015-03-17
20142.90%USD 0.279USD0.154142014-12-19
USD0.045762014-09-18
USD0.043812014-06-17
USD0.017422014-03-18
USD0.018192014-02-18
20137.51%USD 0.724USD0.59842013-12-20
USD0.03812013-09-26
USD0.04652013-06-25
USD0.04122013-03-19
20124.34%USD 0.418USD0.26452012-12-21
USD0.05212012-09-11
USD0.06192012-06-19
USD0.03992012-03-20
20113.13%USD 0.302USD0.13992011-12-21
USD0.05492011-09-20
USD0.0582011-06-21
USD0.04932011-03-22
20102.50%USD 0.241USD0.0762010-12-29
USD0.05542010-09-24
USD0.07682010-06-22
USD0.03252010-03-23
20092.89%USD 0.279USD0.09572009-12-22
USD0.05622009-09-22
USD0.06832009-06-23
USD0.05832009-03-24
20084.80%USD 0.463USD0.21942008-12-22
USD0.07552008-09-23
USD0.09042008-06-24
USD0.07792008-03-25
20076.20%USD 0.597USD0.2862007-12-26
USD0.09532007-09-25
USD0.11192007-06-26
USD0.0752007-03-27
USD0.0292007-01-03
20063.53%USD 0.34USD0.0872006-12-28
USD0.0892006-09-26
USD0.0842006-06-26
USD0.082006-03-27
20053.23%USD 0.311USD0.0942005-12-29
USD0.0762005-09-26
USD0.0732005-06-27
USD0.0682005-03-28