NATIONWIDE INVESTOR DESTINATIONS CONSERVATIVE FUND CLASS C(NDCCX) USD 9.53
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.02%USD 0.002USD0.002352023-03-16
20221.19%USD 0.113USD0.0952022-12-23
USD0.009272022-09-15
USD0.008942022-06-09
20212.59%USD 0.247USD0.237282021-12-23
USD0.00532021-09-09
USD0.004532021-06-10
20202.55%USD 0.243USD0.122020-12-23
USD0.100412020-09-10
USD0.017042020-06-11
USD0.00592020-03-12
20192.52%USD 0.24USD0.163132019-12-23
USD0.029762019-09-12
USD0.037172019-06-11
USD0.009622019-03-12
20184.58%USD 0.436USD0.357072018-12-20
USD0.030752018-09-12
USD0.035962018-06-12
USD0.012522018-03-13
20172.47%USD 0.236USD0.153512017-12-20
USD0.033712017-09-14
USD0.03052017-06-13
USD0.017952017-03-14
20162.30%USD 0.22USD0.155442016-12-19
USD0.022592016-09-15
USD0.0242016-06-14
USD0.017612016-03-15
20152.33%USD 0.222USD0.168832015-12-21
USD0.018652015-09-15
USD0.022632015-06-16
USD0.012012015-03-17
20142.48%USD 0.237USD0.0612014-12-22
USD0.128512014-12-19
USD0.018842014-09-18
USD0.017322014-06-17
USD0.007062014-03-18
USD0.004052014-02-18
20136.52%USD 0.621USD0.57252013-12-20
USD0.01142013-09-26
USD0.0212013-06-25
USD0.01612013-03-19
20123.33%USD 0.318USD0.23982012-12-21
USD0.02662012-09-11
USD0.03682012-06-19
USD0.01462012-03-20
20112.10%USD 0.2USD0.1152011-12-21
USD0.02932011-09-20
USD0.03232011-06-21
USD0.02362011-03-22
20102.15%USD 0.205USD0.05022010-12-29
USD0.03012010-09-24
USD0.05232010-06-22
USD0.0642010-04-30
USD0.00842010-03-23
20091.94%USD 0.185USD0.072009-12-22
USD0.03272009-09-22
USD0.04552009-06-23
USD0.03692009-03-24
20083.87%USD 0.369USD0.19672008-12-22
USD0.05112008-09-23
USD0.06572008-06-24
USD0.05522008-03-25
20074.69%USD 0.447USD0.20972007-12-26
USD0.06962007-09-25
USD0.08652007-06-26
USD0.0522007-03-27
USD0.0292007-01-03
20062.48%USD 0.236USD0.0592006-12-28
USD0.0642006-09-26
USD0.0582006-06-26
USD0.0552006-03-27
20052.21%USD 0.211USD0.0682005-12-29
USD0.052005-09-26
USD0.0482005-06-27
USD0.0452005-03-28
20041.88%USD 0.179USD0.0582004-12-29
USD0.0412004-09-27
USD0.0372004-06-28
USD0.0432004-03-29
20032.08%USD 0.198USD0.0412003-12-29
USD0.062003-09-12
USD0.0472003-06-23
USD0.052003-03-24
20022.74%USD 0.261USD0.072002-12-30
USD0.082002-09-23
USD0.0612002-06-24
USD0.052002-03-25
20011.34%USD 0.128USD0.072001-12-28
USD0.0582001-09-27