NATIONWIDE MID CAP MARKET INDEX FUND CLASS A(GMXAX) USD 14.99
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.08%USD 0.013USD0.012612023-03-13
20229.28%USD 1.39USD1.311462022-12-21
USD0.038812022-09-12
USD0.040062022-06-06
202115.36%USD 2.303USD2.248282021-12-21
USD0.026772021-09-07
USD0.023782021-06-07
USD0.003912021-03-08
20203.56%USD 0.533USD0.468072020-12-21
USD0.027282020-09-08
USD0.030432020-06-08
USD0.007242020-03-09
20195.30%USD 0.794USD0.731032019-12-18
USD0.037672019-09-09
USD0.025782019-06-07
201819.96%USD 2.993USD0.1442018-12-19
USD2.772272018-12-18
USD0.038222018-09-10
USD0.035222018-06-08
USD0.002812018-03-09
201715.59%USD 2.337USD2.304622017-12-18
USD0.01122017-09-11
USD0.019632017-06-09
USD0.001712017-03-10
201611.14%USD 1.67USD1.618722016-12-16
USD0.009242016-09-12
USD0.02732016-06-10
USD0.0152016-03-11
201514.79%USD 2.217USD2.139272015-12-17
USD0.029672015-09-10
USD0.031532015-06-12
USD0.016482015-03-13
20149.75%USD 1.462USD1.418782014-12-16
USD0.02142014-09-16
USD0.00732014-06-13
USD0.01452014-03-14
20136.19%USD 0.927USD0.88082013-12-18
USD0.01812013-09-20
USD0.01212013-06-21
USD0.01632013-03-15
20125.00%USD 0.749USD0.7242012-12-19
USD0.01472012-09-07
USD0.010612012-06-15
20117.69%USD 1.152USD1.084182011-12-19
USD0.06822011-03-18
20101.64%USD 0.245USD0.204472010-12-27
USD0.02332010-09-17
USD0.01772010-06-18
20090.60%USD 0.09USD0.049372009-12-18
USD0.00622009-09-18
USD0.00832009-06-19
USD0.0262009-03-20
20080.69%USD 0.104USD0.0392008-12-19
USD0.0292008-09-19
USD0.012008-06-20
USD0.0262008-03-20
20071.20%USD 0.18USD0.0162007-12-21
USD0.0342007-09-21
USD0.0342007-06-22
USD0.0962007-03-23
20061.19%USD 0.178USD0.0472006-12-27
USD0.0442006-09-22
USD0.0432006-06-23
USD0.0442006-03-24
20050.88%USD 0.132USD0.0462005-12-28
USD0.0282005-09-23
USD0.0412005-06-24
USD0.0172005-03-24
20040.35%USD 0.052USD0.0232004-12-28
USD0.0152004-09-24
USD0.0142004-03-26
20030.30%USD 0.045USD0.0142003-12-26
USD0.012003-09-11
USD0.0112003-06-20
USD0.012003-03-21
20020.27%USD 0.04USD0.0122002-12-27
USD0.0092002-09-20
USD0.0092002-06-21
USD0.012002-03-22
20010.28%USD 0.042USD0.0242001-12-20
USD0.0182001-09-26