NATIONWIDE INVESTOR DESTINATIONS MODERATELY CONSERVATIVE FUND CLASS C(NCDCX) USD 9.31
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.07%USD 0.192USD0.186472022-12-23
USD0.00082022-09-15
USD0.005122022-06-09
20213.00%USD 0.279USD0.278982021-12-23
20203.87%USD 0.361USD0.179232020-12-23
USD0.174622020-09-10
USD0.006832020-06-11
20195.09%USD 0.473USD0.410042019-12-23
USD0.023812019-09-12
USD0.032852019-06-11
USD0.006722019-03-12
20187.10%USD 0.661USD0.597212018-12-20
USD0.021712018-09-12
USD0.036362018-06-12
USD0.005812018-03-13
20175.68%USD 0.529USD0.458692017-12-20
USD0.028932017-09-14
USD0.030322017-06-13
USD0.010912017-03-14
20165.07%USD 0.472USD0.41062016-12-19
USD0.021032016-09-15
USD0.028222016-06-14
USD0.012362016-03-15
20154.54%USD 0.423USD0.375662015-12-21
USD0.015312015-09-15
USD0.024912015-06-16
USD0.00692015-03-17
20144.61%USD 0.429USD0.0792014-12-22
USD0.309682014-12-19
USD0.016692014-09-18
USD0.015472014-06-17
USD0.007432014-03-18
USD0.000872014-02-18
20139.34%USD 0.87USD0.82962013-12-20
USD0.0112013-09-26
USD0.01672013-06-25
USD0.01232013-03-19
20123.03%USD 0.282USD0.21682012-12-21
USD0.02232012-09-11
USD0.03782012-06-19
USD0.0052012-03-20
20112.40%USD 0.224USD0.15472011-12-21
USD0.02742011-09-20
USD0.02742011-06-21
USD0.0142011-03-22
20101.40%USD 0.13USD0.05852010-12-29
USD0.02522010-09-24
USD0.0432010-06-22
USD0.00322010-03-23
20091.79%USD 0.166USD0.06532009-12-22
USD0.02662009-09-22
USD0.0432009-06-23
USD0.03132009-03-24
20084.82%USD 0.449USD0.29672008-12-22
USD0.04592008-09-23
USD0.05672008-06-24
USD0.04922008-03-25
20076.26%USD 0.583USD0.34962007-12-26
USD0.06052007-09-25
USD0.08742007-06-26
USD0.0322007-03-27
USD0.0532007-01-03
20062.04%USD 0.19USD0.0412006-12-28
USD0.0542006-09-26
USD0.0512006-06-26
USD0.0442006-03-27
20052.13%USD 0.198USD0.0692005-12-29
USD0.0432005-09-26
USD0.0472005-06-27
USD0.0392005-03-28
20041.71%USD 0.159USD0.0622004-12-29
USD0.0332004-09-27
USD0.032004-06-28
USD0.0342004-03-29
20031.75%USD 0.163USD0.0362003-12-29
USD0.0452003-09-12
USD0.0452003-06-23
USD0.0372003-03-24
20022.22%USD 0.207USD0.0572002-12-30
USD0.0642002-09-23
USD0.0492002-06-24
USD0.0372002-03-25
20010.87%USD 0.081USD0.0462001-12-28
USD0.0352001-09-27