NATIONWIDE S&P 500 INDEX FUND INSTITUTIONAL SERVICE CLASS(GRISX) USD 19.85
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.18%USD 0.035USD0.035482023-03-13
20221.54%USD 0.307USD0.175082022-12-21
USD0.056512022-09-12
USD0.055842022-06-06
USD0.019082022-03-07
20215.71%USD 1.133USD1.024962021-12-21
USD0.046142021-09-07
USD0.052252021-06-07
USD0.009832021-03-08
20201.19%USD 0.237USD0.006642020-12-29
USD0.086712020-12-21
USD0.05262020-09-08
USD0.055422020-06-08
USD0.035572020-03-09
20195.07%USD 1.007USD0.84312019-12-18
USD0.059532019-09-09
USD0.072112019-06-07
USD0.032542019-03-08
201812.23%USD 2.427USD0.1342018-12-19
USD2.137392018-12-18
USD0.063362018-09-10
USD0.060072018-06-08
USD0.031912018-03-09
20175.40%USD 1.073USD0.957412017-12-18
USD0.027622017-09-11
USD0.054642017-06-09
USD0.033082017-03-10
20165.30%USD 1.052USD0.944382016-12-16
USD0.025552016-09-12
USD0.039172016-06-10
USD0.042862016-03-11
20158.24%USD 1.636USD1.478342015-12-17
USD0.051512015-09-10
USD0.059382015-06-12
USD0.046562015-03-13
20144.14%USD 0.821USD0.71522014-12-16
USD0.04212014-09-16
USD0.02342014-06-13
USD0.0272014-03-14
USD0.01342014-02-13
20136.59%USD 1.308USD1.20192013-12-18
USD0.04262013-09-20
USD0.02392013-06-21
USD0.03962013-03-15
20121.60%USD 0.318USD0.19472012-12-19
USD0.04142012-09-07
USD0.08222012-06-15
20111.23%USD 0.244USD0.13272011-12-19
USD0.0422011-09-16
USD0.04032011-06-17
USD0.02852011-03-18
20100.78%USD 0.155USD0.08952010-12-27
USD0.03242010-09-17
USD0.02272010-06-18
USD0.01012010-03-19
20090.83%USD 0.164USD0.06342009-12-18
USD0.02882009-09-18
USD0.03342009-06-19
USD0.03872009-03-20
20080.95%USD 0.188USD0.05592008-12-19
USD0.04842008-09-19
USD0.03772008-06-20
USD0.04632008-03-20
20071.94%USD 0.384USD0.23942007-12-21
USD0.05032007-09-21
USD0.04352007-06-22
USD0.0512007-03-23
20060.85%USD 0.168USD0.0512006-12-27
USD0.0412006-09-22
USD0.0382006-06-23
USD0.0382006-03-24
20050.74%USD 0.146USD0.0422005-12-28
USD0.0392005-09-23
USD0.0342005-06-24
USD0.0312005-03-24
20040.72%USD 0.142USD0.0642004-12-28
USD0.0282004-09-24
USD0.0262004-06-25
USD0.0242004-03-26
20030.51%USD 0.101USD0.0342003-12-26
USD0.0222003-09-11
USD0.0222003-06-20
USD0.0232003-03-21
20020.46%USD 0.091USD0.0282002-12-27
USD0.0232002-09-20
USD0.022002-06-21
USD0.022002-03-22
20010.43%USD 0.086USD0.0252001-12-20
USD0.0222001-09-26
USD0.022001-06-27
USD0.0192001-03-28
20000.31%USD 0.061USD0.0232000-12-18
USD0.0182000-09-26
USD0.022000-06-27