NATIONWIDE FUND INSTITUTIONAL SERVICE CLASS(MUIFX) USD 25.11
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.31%USD 0.077USD0.076822023-03-13
20223.87%USD 0.971USD0.82272022-12-21
USD0.017862022-09-12
USD0.046392022-06-06
USD0.083692022-03-07
202117.26%USD 4.333USD4.175772021-12-21
USD0.0342021-09-07
USD0.03252021-06-07
USD0.090862021-03-08
20203.45%USD 0.865USD0.682672020-12-21
USD0.041822020-09-08
USD0.094522020-06-08
USD0.046222020-03-09
20192.71%USD 0.68USD0.49142019-12-18
USD0.048392019-09-09
USD0.047842019-06-07
USD0.092472019-03-08
201819.85%USD 4.985USD0.0272018-12-19
USD4.740472018-12-18
USD0.070082018-09-10
USD0.054522018-06-08
USD0.093032018-03-09
20179.74%USD 2.446USD2.271852017-12-18
USD0.063182017-09-11
USD0.055462017-06-09
USD0.055782017-03-10
20163.95%USD 0.991USD0.838712016-12-16
USD0.049332016-09-12
USD0.062942016-06-10
USD0.040292016-03-11
20153.23%USD 0.811USD0.653852015-12-17
USD0.048442015-09-10
USD0.063932015-06-12
USD0.044612015-03-13
20140.99%USD 0.249USD0.144522014-12-16
USD0.04822014-09-16
USD0.02742014-06-13
USD0.02092014-03-14
USD0.00772014-02-13
20130.88%USD 0.222USD0.1272013-12-18
USD0.03992013-09-20
USD0.03782013-06-21
USD0.01712013-03-15
20120.85%USD 0.215USD0.13952012-12-19
USD0.03142012-09-07
USD0.03132012-06-15
USD0.01242012-03-16
20110.63%USD 0.158USD0.09522011-12-19
USD0.02932011-09-16
USD0.01722011-06-17
USD0.01652011-03-18
20100.40%USD 0.1USD0.04422010-12-27
USD0.02422010-09-17
USD0.03142010-06-18
20090.48%USD 0.122USD0.04132009-12-18
USD0.01952009-09-18
USD0.02692009-06-19
USD0.0342009-03-20
20080.85%USD 0.213USD0.09752008-12-19
USD0.0312008-09-19
USD0.03872008-06-20
USD0.04552008-03-20
200713.88%USD 3.486USD3.332007-12-21
USD0.05722007-09-21
USD0.05912007-06-22
USD0.042007-03-23
20060.87%USD 0.218USD0.0622006-12-27
USD0.0612006-09-22
USD0.052006-06-23
USD0.0452006-03-24
20050.70%USD 0.177USD0.0672005-12-28
USD0.0432005-09-23
USD0.0352005-06-24
USD0.0322005-03-24
20040.92%USD 0.232USD0.152004-12-28
USD0.0272004-09-24
USD0.0322004-06-25
USD0.0232004-03-26
20030.54%USD 0.135USD0.052003-12-26
USD0.0262003-09-11
USD0.0252003-06-20
USD0.0342003-03-21
20020.54%USD 0.136USD0.0472002-12-27
USD0.0372002-09-20
USD0.0262002-06-21
USD0.0262002-03-22
20010.46%USD 0.115USD0.0342001-12-20
USD0.0262001-09-26
USD0.032001-06-27
USD0.0252001-03-28
20000.93%USD 0.234USD0.0642000-12-18
USD0.0472000-09-26
USD0.0552000-06-27
USD0.0682000-03-28