NATIONWIDE MID CAP MARKET INDEX FUND CLASS R6(GMXIX) USD 15.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.19%USD 0.029USD0.028842023-03-13
20229.43%USD 1.454USD1.328592022-12-21
USD0.055942022-09-12
USD0.0572022-06-06
USD0.012012022-03-07
202115.48%USD 2.385USD2.26992021-12-21
USD0.04782021-09-07
USD0.044332021-06-07
USD0.022722021-03-08
20203.84%USD 0.592USD0.484492020-12-21
USD0.042382020-09-08
USD0.04272020-06-08
USD0.022792020-03-09
20195.53%USD 0.853USD0.746872019-12-18
USD0.052632019-09-09
USD0.040692019-06-07
USD0.012482019-03-08
201820.03%USD 3.086USD0.1632018-12-19
USD2.790552018-12-18
USD0.05792018-09-10
USD0.053752018-06-08
USD0.021262018-03-09
201715.67%USD 2.414USD2.325172017-12-18
USD0.030242017-09-11
USD0.03882017-06-09
USD0.019932017-03-10
201611.30%USD 1.741USD1.637282016-12-16
USD0.027632016-09-12
USD0.045022016-06-10
USD0.030772016-03-11
201514.90%USD 2.296USD2.159182015-12-17
USD0.049722015-09-10
USD0.05252015-06-12
USD0.034972015-03-13
20149.99%USD 1.539USD1.438352014-12-16
USD0.04222014-09-16
USD0.02672014-06-13
USD0.02222014-03-14
USD0.00932014-02-13
20136.46%USD 0.995USD0.89912013-12-18
USD0.03562013-09-20
USD0.02882013-06-21
USD0.03142013-03-15
20125.20%USD 0.801USD0.73742012-12-19
USD0.02882012-09-07
USD0.02312012-06-15
USD0.0122012-03-16
20117.86%USD 1.211USD1.12872011-12-19
USD0.08272011-03-18
20101.82%USD 0.28USD0.21542010-12-27
USD0.03372010-09-17
USD0.03072010-06-18
20090.88%USD 0.136USD0.06112009-12-18
USD0.02132009-09-18
USD0.01912009-06-19
USD0.03442009-03-20
20084.34%USD 0.669USD0.56192008-12-19
USD0.04412008-09-19
USD0.0252008-06-20
USD0.03782008-03-20
20075.68%USD 0.875USD0.66582007-12-21
USD0.04992007-09-21
USD0.04922007-06-22
USD0.112007-03-23
20061.54%USD 0.237USD0.0642006-12-27
USD0.0582006-09-22
USD0.0582006-06-23
USD0.0572006-03-24
20051.19%USD 0.184USD0.0612005-12-28
USD0.0432005-09-23
USD0.0542005-06-24
USD0.0262005-03-24
20040.75%USD 0.116USD0.0362004-12-28
USD0.0262004-09-24
USD0.0292004-06-25
USD0.0252004-03-26
20030.55%USD 0.085USD0.0272003-12-26
USD0.022003-09-11
USD0.022003-06-20
USD0.0182003-03-21
20020.50%USD 0.077USD0.0222002-12-27
USD0.0182002-09-20
USD0.0192002-06-21
USD0.0182002-03-22
20010.40%USD 0.062USD0.0352001-12-20
USD0.0272001-09-26