NATIONWIDE INVESTOR DESTINATIONS MODERATELY CONSERVATIVE FUND CLASS R6(GMIMX) USD 9.53
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.20%USD 0.019USD0.019032023-03-16
20223.03%USD 0.288USD0.212212022-12-23
USD0.027052022-09-15
USD0.031872022-06-09
USD0.017322022-03-10
20213.97%USD 0.378USD0.308912021-12-23
USD0.027162021-09-09
USD0.024922021-06-10
USD0.017152021-03-11
20204.84%USD 0.462USD0.206392020-12-23
USD0.201832020-09-10
USD0.031392020-06-11
USD0.02212020-03-12
20196.06%USD 0.577USD0.437252019-12-23
USD0.050052019-09-12
USD0.058472019-06-11
USD0.031342019-03-12
20188.07%USD 0.769USD0.62372018-12-20
USD0.049442018-09-12
USD0.063552018-06-12
USD0.032662018-03-13
20176.73%USD 0.642USD0.487492017-12-20
USD0.056932017-09-14
USD0.05992017-06-13
USD0.037512017-03-14
20166.08%USD 0.58USD0.43842016-12-19
USD0.044022016-09-15
USD0.05922016-06-14
USD0.037962016-03-15
20155.61%USD 0.534USD0.403282015-12-21
USD0.043372015-09-15
USD0.05332015-06-16
USD0.034272015-03-17
20144.84%USD 0.461USD0.338152014-12-19
USD0.045952014-09-18
USD0.042982014-06-17
USD0.018412014-03-18
USD0.015352014-02-18
201310.23%USD 0.975USD0.85592013-12-20
USD0.03732013-09-26
USD0.04362013-06-25
USD0.03832013-03-19
20124.02%USD 0.383USD0.24232012-12-21
USD0.04772012-09-11
USD0.06332012-06-19
USD0.032012-03-20
20113.41%USD 0.325USD0.17972011-12-21
USD0.05292011-09-20
USD0.05312011-06-21
USD0.0392011-03-22
20102.92%USD 0.279USD0.08352010-12-29
USD0.0492010-09-24
USD0.06682010-06-22
USD0.0532010-04-29
USD0.02622010-03-23
20092.66%USD 0.254USD0.08992009-12-22
USD0.04862009-09-22
USD0.06372009-06-23
USD0.05162009-03-24
20085.70%USD 0.543USD0.31642008-12-22
USD0.07082008-09-23
USD0.08242008-06-24
USD0.07322008-03-25
20076.67%USD 0.635USD0.37772007-12-26
USD0.08712007-09-25
USD0.11442007-06-26
USD0.0562007-03-27
20062.27%USD 0.216USD0.0692006-12-28
USD0.082006-09-26
USD0.0672006-03-27
20053.13%USD 0.298USD0.0952005-12-29
USD0.0692005-09-26
USD0.0722005-06-27
USD0.0622005-03-24