NATIONWIDE INVESTOR DESTINATIONS AGGRESSIVE FUND SERVICE CLASS(NDASX) USD 8.88
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.37%USD 0.299USD0.279922022-12-23
USD0.0082022-09-15
USD0.011172022-06-09
20217.89%USD 0.7USD0.700452021-12-23
20206.12%USD 0.544USD0.254072020-12-23
USD0.289682020-09-10
201912.53%USD 1.113USD1.048542019-12-23
USD0.022492019-09-12
USD0.037622019-06-11
USD0.004092019-03-12
201812.82%USD 1.138USD1.070492018-12-20
USD0.017852018-09-12
USD0.045132018-06-12
USD0.004622018-03-13
201716.95%USD 1.505USD1.434962017-12-20
USD0.022252017-09-14
USD0.042082017-06-13
USD0.005792017-03-14
201611.48%USD 1.02USD0.946232016-12-19
USD0.01942016-09-15
USD0.047012016-06-14
USD0.00722016-03-15
20159.12%USD 0.81USD0.729262015-12-21
USD0.021132015-09-15
USD0.046232015-06-16
USD0.012992015-03-17
20149.46%USD 0.84USD0.1292014-12-22
USD0.642912014-12-19
USD0.027092014-09-18
USD0.027812014-06-17
USD0.012842014-03-18
20133.65%USD 0.324USD0.271042013-12-20
USD0.01672013-09-26
USD0.02092013-06-25
USD0.01532013-03-19
20122.98%USD 0.264USD0.20792012-12-21
USD0.02212012-09-11
USD0.03422012-06-19
20111.58%USD 0.14USD0.084292011-12-21
USD0.02352011-09-20
USD0.0272011-06-21
USD0.00522011-03-22
20102.03%USD 0.18USD0.068952010-12-29
USD0.01732010-09-24
USD0.0312010-06-22
USD0.0632010-04-30
20093.60%USD 0.319USD0.253062009-12-22
USD0.011872009-09-22
USD0.040142009-06-23
USD0.014422009-03-24
20087.62%USD 0.677USD0.559672008-12-22
USD0.038952008-09-23
USD0.036812008-06-24
USD0.041532008-03-25
20078.08%USD 0.717USD0.477822007-12-26
USD0.037452007-09-25
USD0.0962007-06-26
USD0.105982007-01-03
20061.32%USD 0.117USD0.0192006-12-28
USD0.0332006-09-26
USD0.0352006-06-26
USD0.032006-03-27
20052.00%USD 0.178USD0.0882005-12-29
USD0.0232005-09-26
USD0.042005-06-27
USD0.0272005-03-28
20041.55%USD 0.138USD0.0862004-12-29
USD0.0172004-09-27
USD0.0172004-06-28
USD0.0182004-03-29
20031.05%USD 0.093USD0.0352003-12-29
USD0.0192003-09-12
USD0.0182003-06-23
USD0.0212003-03-24
20020.77%USD 0.068USD0.0152002-12-30
USD0.0172002-09-23
USD0.0262002-06-24
USD0.012002-03-25
20010.21%USD 0.019USD0.0142001-12-28
USD0.0052001-09-27