NATIONWIDE INVESTOR DESTINATIONS MODERATELY AGGRESSIVE FUND SERVICE CLASS(NDMSX) USD 8.98
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.60%USD 0.323USD0.303462022-12-23
USD0.008422022-09-15
USD0.011112022-06-09
20216.91%USD 0.621USD0.614072021-12-23
USD0.006562021-09-09
20206.18%USD 0.555USD0.265272020-12-23
USD0.288842020-09-10
USD0.001182020-06-11
201912.15%USD 1.091USD1.015652019-12-23
USD0.028052019-09-12
USD0.040192019-06-11
USD0.0072019-03-12
201813.61%USD 1.222USD1.140652018-12-20
USD0.025152018-09-12
USD0.050352018-06-12
USD0.005962018-03-13
201714.33%USD 1.287USD1.201982017-12-20
USD0.029722017-09-14
USD0.045822017-06-13
USD0.009622017-03-14
201610.57%USD 0.949USD0.862412016-12-19
USD0.025082016-09-15
USD0.048782016-06-14
USD0.01252016-03-15
20159.61%USD 0.863USD0.777822015-12-21
USD0.02432015-09-15
USD0.047122015-06-16
USD0.013752015-03-17
20148.72%USD 0.783USD0.1292014-12-22
USD0.578072014-12-19
USD0.030092014-09-18
USD0.030192014-06-17
USD0.015282014-03-18
USD4.0E-52014-02-18
20134.74%USD 0.426USD0.3612013-12-20
USD0.02032013-09-26
USD0.02542013-06-25
USD0.01932013-03-19
20122.67%USD 0.24USD0.16672012-12-21
USD0.02712012-09-11
USD0.04612012-06-19
20112.22%USD 0.2USD0.12782011-12-21
USD0.03012011-09-20
USD0.03212011-06-21
USD0.00982011-03-22
20101.99%USD 0.179USD0.07452010-12-29
USD0.02492010-09-24
USD0.03922010-06-22
USD0.0352010-04-30
USD0.00512010-03-23
20093.47%USD 0.311USD0.2232009-12-22
USD0.01952009-09-22
USD0.04632009-06-23
USD0.02242009-03-24
20088.70%USD 0.781USD0.63362008-12-22
USD0.04742008-09-23
USD0.0492008-06-24
USD0.0512008-03-25
20077.17%USD 0.644USD0.38082007-12-26
USD0.05062007-09-25
USD0.11112007-06-26
USD0.0052007-03-27
USD0.0962007-01-03
20061.68%USD 0.151USD0.0242006-12-28
USD0.0442006-09-26
USD0.0442006-06-26
USD0.0392006-03-27
20052.24%USD 0.201USD0.0862005-12-29
USD0.0332005-09-26
USD0.0472005-06-27
USD0.0352005-03-28
20041.73%USD 0.155USD0.0812004-12-29
USD0.0252004-09-27
USD0.0242004-06-28
USD0.0252004-03-29
20031.26%USD 0.113USD0.0352003-12-29
USD0.0252003-09-12
USD0.0262003-06-23
USD0.0272003-03-24
20021.19%USD 0.107USD0.0232002-12-30
USD0.0272002-09-23
USD0.0362002-06-24
USD0.0212002-03-25
20010.46%USD 0.041USD0.0242001-12-28
USD0.0172001-09-27