NATIONWIDE S&P 500 INDEX FUND CLASS R6(GRMIX) USD 19.92
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.24%USD 0.047USD0.046922023-03-13
20221.79%USD 0.356USD0.186882022-12-21
USD0.068912022-09-12
USD0.068072022-06-06
USD0.032522022-03-07
20215.96%USD 1.187USD1.039282021-12-21
USD0.06032021-09-07
USD0.065212021-06-07
USD0.021982021-03-08
20201.40%USD 0.279USD0.006642020-12-29
USD0.098592020-12-21
USD0.063262020-09-08
USD0.064562020-06-08
USD0.045722020-03-09
20195.25%USD 1.045USD0.853132019-12-18
USD0.069312019-09-09
USD0.081472019-06-07
USD0.041032019-03-08
201812.45%USD 2.48USD0.1452018-12-19
USD2.148042018-12-18
USD0.074432018-09-10
USD0.070262018-06-08
USD0.042212018-03-09
20175.58%USD 1.112USD0.967862017-12-18
USD0.037522017-09-11
USD0.064232017-06-09
USD0.041932017-03-10
20165.46%USD 1.087USD0.953782016-12-16
USD0.03452016-09-12
USD0.048092016-06-10
USD0.050742016-03-11
20158.40%USD 1.674USD1.487982015-12-17
USD0.061062015-09-10
USD0.069242015-06-12
USD0.055682015-03-13
20144.30%USD 0.858USD0.724652014-12-16
USD0.05162014-09-16
USD0.03242014-06-13
USD0.03062014-03-14
USD0.01832014-02-13
20136.72%USD 1.339USD1.21062013-12-18
USD0.04852013-09-20
USD0.03232013-06-21
USD0.04712013-03-15
20121.74%USD 0.347USD0.20212012-12-19
USD0.04852012-09-07
USD0.09612012-06-15
20111.35%USD 0.27USD0.13922011-12-19
USD0.04842011-09-16
USD0.04712011-06-17
USD0.03522011-03-18
20100.90%USD 0.179USD0.09582010-12-27
USD0.03812010-09-17
USD0.02882010-06-18
USD0.01582010-03-19
20090.91%USD 0.181USD0.06492009-12-18
USD0.03552009-09-18
USD0.0382009-06-19
USD0.04282009-03-20
20081.06%USD 0.211USD0.05942008-12-19
USD0.05442008-09-19
USD0.0452008-06-20
USD0.05232008-03-20
20072.08%USD 0.415USD0.24732007-12-21
USD0.05782007-09-21
USD0.05142007-06-22
USD0.0582007-03-23
20060.98%USD 0.195USD0.0582006-12-27
USD0.0482006-09-22
USD0.0452006-06-23
USD0.0442006-03-24
20050.86%USD 0.172USD0.0492005-12-28
USD0.0462005-09-23
USD0.042005-06-24
USD0.0372005-03-24
20040.83%USD 0.166USD0.0712004-12-28
USD0.0342004-09-24
USD0.0322004-06-25
USD0.0292004-03-26
20030.61%USD 0.121USD0.042003-12-26
USD0.0272003-09-11
USD0.0272003-06-20
USD0.0272003-03-21
20020.56%USD 0.112USD0.0332002-12-27
USD0.0282002-09-20
USD0.0262002-06-21
USD0.0252002-03-22
20010.55%USD 0.11USD0.0312001-12-20
USD0.0292001-09-26
USD0.0252001-06-27
USD0.0252001-03-28
20000.15%USD 0.029USD0.0292000-12-18