NATIONWIDE DESTINATION 2015 FUND CLASS R(NWEBX) USD 7.13
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.85%USD 0.274USD0.253452022-12-23
USD0.008652022-09-15
USD0.012062022-06-09
202111.28%USD 0.804USD0.778622021-12-23
USD0.012372021-09-09
USD0.010122021-06-10
USD0.003232021-03-11
20204.59%USD 0.328USD0.148822020-12-23
USD0.155092020-09-10
USD0.016012020-06-11
USD0.007662020-03-12
20197.51%USD 0.536USD0.458212019-12-23
USD0.029042019-09-12
USD0.038612019-06-11
USD0.009932019-03-12
20187.50%USD 0.535USD0.452762018-12-20
USD0.025672018-09-12
USD0.041632018-06-12
USD0.014692018-03-13
20176.54%USD 0.466USD0.388262017-12-20
USD0.033232017-09-14
USD0.034792017-06-13
USD0.00992017-03-14
20167.50%USD 0.535USD0.47722016-12-19
USD0.016862016-09-15
USD0.028622016-06-14
USD0.012012016-03-15
20151.50%USD 0.107USD0.05432015-12-21
USD0.018932015-09-15
USD0.029242015-06-16
USD0.004272015-03-17
201410.90%USD 0.777USD0.72142014-12-19
USD0.023282014-09-18
USD0.022772014-06-17
USD0.009372014-03-18
20134.17%USD 0.297USD0.288022013-12-20
USD0.00252013-09-26
USD0.00542013-06-25
USD0.00132013-03-19
20125.05%USD 0.36USD0.32382012-12-21
USD0.00912012-09-11
USD0.027362012-06-19
201111.22%USD 0.8USD0.735542011-12-21
USD0.01532011-09-20
USD0.04522011-06-21
USD0.00392011-03-22
20102.96%USD 0.211USD0.153322010-12-29
USD0.01912010-09-24
USD0.03522010-06-22
USD0.00342010-03-23
20092.74%USD 0.195USD0.103592009-12-22
USD0.031192009-09-22
USD0.042112009-06-23
USD0.018242009-03-24
20082.85%USD 0.203USD0.006932008-12-31
USD0.06542008-12-22
USD0.05362008-09-23
USD0.03962008-06-24
USD0.03782008-03-25
20071.79%USD 0.128USD0.0922007-12-26
USD0.03572007-09-25