NATIONWIDE INVESTOR DESTINATIONS MODERATELY CONSERVATIVE FUND CLASS R(GMMRX) USD 9.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.05%USD 0.004USD0.004332023-03-16
20222.39%USD 0.225USD0.197252022-12-23
USD0.011762022-09-15
USD0.016052022-06-09
USD0.000282022-03-10
20213.23%USD 0.304USD0.289662021-12-23
USD0.008222021-09-09
USD0.006532021-06-10
20204.18%USD 0.394USD0.187362020-12-23
USD0.184792020-09-10
USD0.015492020-06-11
USD0.006182020-03-12
20195.44%USD 0.513USD0.420212019-12-23
USD0.033762019-09-12
USD0.042692019-06-11
USD0.016012019-03-12
20187.45%USD 0.702USD0.607092018-12-20
USD0.032152018-09-12
USD0.046872018-06-12
USD0.015822018-03-13
20176.11%USD 0.575USD0.470262017-12-20
USD0.040092017-09-14
USD0.043382017-06-13
USD0.021582017-03-14
20165.45%USD 0.513USD0.421152016-12-19
USD0.029592016-09-15
USD0.04022016-06-14
USD0.022172016-03-15
20154.94%USD 0.465USD0.386062015-12-21
USD0.025152015-09-15
USD0.037292015-06-16
USD0.016892015-03-17
20145.10%USD 0.48USD0.0892014-12-22
USD0.320422014-12-19
USD0.027982014-09-18
USD0.025992014-06-17
USD0.011332014-03-18
USD0.005682014-02-18
20139.61%USD 0.905USD0.83812013-12-20
USD0.01972013-09-26
USD0.0262013-06-25
USD0.02132013-03-19
20123.37%USD 0.317USD0.22562012-12-21
USD0.03132012-09-11
USD0.04672012-06-19
USD0.01362012-03-20
20112.76%USD 0.26USD0.16342011-12-21
USD0.0372011-09-20
USD0.03642011-06-21
USD0.02332011-03-22
20101.85%USD 0.174USD0.06832010-12-29
USD0.03442010-09-24
USD0.05192010-06-22
USD0.0082010-04-30
USD0.01172010-03-23
20092.09%USD 0.197USD0.07412009-12-22
USD0.03432009-09-22
USD0.05072009-06-23
USD0.0382009-03-24
20085.18%USD 0.488USD0.30462008-12-22
USD0.05722008-09-23
USD0.06712008-06-24
USD0.05922008-03-25
20076.79%USD 0.64USD0.36062007-12-26
USD0.07462007-09-25
USD0.10442007-06-26
USD0.0472007-03-27
USD0.0532007-01-03
20062.77%USD 0.261USD0.0582006-12-28
USD0.0732006-09-26
USD0.072006-06-26
USD0.062006-03-27
20053.25%USD 0.306USD0.0872005-12-29
USD0.0522005-09-26
USD0.062005-06-27
USD0.0532005-03-28
USD0.0542005-03-24
20042.07%USD 0.195USD0.0792004-12-29
USD0.0452004-09-27
USD0.0352004-06-28
USD0.0362004-03-29
20030.41%USD 0.039USD0.0392003-12-29