NATIONWIDE SMALL CAP INDEX FUND CLASS A(GMRAX) USD 9.87
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.04%USD 0.004USD0.003862023-03-13
20221.47%USD 0.145USD0.114812022-12-21
USD0.019222022-09-12
USD0.011362022-06-06
20218.53%USD 0.842USD0.83962021-12-21
USD0.002292021-09-07
20200.66%USD 0.065USD0.002212020-12-29
USD0.041932020-12-21
USD0.013432020-09-08
USD0.007822020-06-08
20197.30%USD 0.72USD0.688082019-12-18
USD0.021562019-09-09
USD0.010722019-06-07
201839.93%USD 3.941USD0.0732018-12-19
USD3.830672018-12-18
USD0.021472018-09-10
USD0.00762018-06-08
USD0.008662018-03-09
201724.85%USD 2.452USD2.426532017-12-18
USD0.014032017-09-11
USD0.00832017-06-09
USD0.003632017-03-10
201610.36%USD 1.023USD0.98262016-12-16
USD0.009892016-09-12
USD0.022812016-06-10
USD0.007652016-03-11
201516.04%USD 1.583USD1.523512015-12-17
USD0.022562015-09-10
USD0.020772015-06-12
USD0.015922015-03-13
201411.87%USD 1.172USD1.147642014-12-16
USD0.00692014-09-16
USD0.01242014-06-13
USD0.0052014-03-14
201310.41%USD 1.028USD0.98442013-12-18
USD0.00182013-06-21
USD0.04152013-03-15
20126.28%USD 0.62USD0.58862012-12-19
USD0.01832012-09-07
USD0.01282012-06-15
20114.54%USD 0.448USD0.420062011-12-19
USD0.01642011-09-16
USD0.01132011-06-17
20101.19%USD 0.118USD0.004412010-12-30
USD0.03742010-12-27
USD0.02022010-09-17
USD0.01762010-06-18
USD0.0262010-04-30
USD0.01192010-03-19
20090.59%USD 0.058USD0.03482009-12-18
USD0.00442009-09-18
USD0.00572009-06-19
USD0.01352009-03-20
20082.05%USD 0.202USD0.1462008-12-19
USD0.03362008-09-19
USD0.02242008-03-20
20076.07%USD 0.599USD0.38142007-12-21
USD0.03642007-09-21
USD0.04192007-06-22
USD0.08342007-04-11
USD0.0562007-03-23
20061.60%USD 0.158USD0.0412006-12-27
USD0.0452006-09-22
USD0.0412006-06-23
USD0.0312006-03-24
20051.06%USD 0.105USD0.032005-12-28
USD0.0282005-09-23
USD0.0292005-06-24
USD0.0182005-03-24
20040.66%USD 0.065USD0.032004-12-28
USD0.0142004-09-24
USD0.012004-06-25
USD0.0112004-03-26
20030.51%USD 0.05USD0.0182003-12-26
USD0.0092003-09-11
USD0.0132003-06-20
USD0.012003-03-21
20020.56%USD 0.055USD0.0192002-12-27
USD0.0122002-09-20
USD0.0142002-06-21
USD0.012002-03-22
20010.36%USD 0.036USD0.0182001-12-20
USD0.0182001-09-26