NATIONWIDE DESTINATION 2015 FUND CLASS R6(NWEIX) USD 7.19
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.11%USD 0.008USD0.007742023-03-16
20224.80%USD 0.345USD0.281832022-12-23
USD0.022732022-09-15
USD0.02622022-06-09
USD0.014572022-03-10
202112.13%USD 0.872USD0.796462021-12-23
USD0.029642021-09-09
USD0.026722021-06-10
USD0.019242021-03-11
20205.42%USD 0.39USD0.165182020-12-23
USD0.17162020-09-10
USD0.031082020-06-11
USD0.021942020-03-12
20198.34%USD 0.6USD0.475192019-12-23
USD0.0452019-09-12
USD0.05422019-06-11
USD0.025382019-03-12
20188.34%USD 0.599USD0.468592018-12-20
USD0.04232018-09-12
USD0.057692018-06-12
USD0.030912018-03-13
20177.41%USD 0.532USD0.405752017-12-20
USD0.049942017-09-14
USD0.050952017-06-13
USD0.025832017-03-14
20168.34%USD 0.599USD0.49392016-12-19
USD0.030932016-09-15
USD0.0472016-06-14
USD0.027542016-03-15
201510.71%USD 0.77USD0.664762015-12-21
USD0.036882015-09-15
USD0.046922015-06-16
USD0.021742015-03-17
201411.82%USD 0.85USD0.7412014-12-19
USD0.042012014-09-18
USD0.041442014-06-17
USD0.016452014-03-18
USD0.009142014-02-18
20135.10%USD 0.367USD0.30592013-12-20
USD0.01992013-09-26
USD0.02322013-06-25
USD0.0182013-03-19
20125.85%USD 0.421USD0.34042012-12-21
USD0.02572012-09-11
USD0.04312012-06-19
USD0.01152012-03-20
201112.09%USD 0.869USD0.75182011-12-21
USD0.03272011-09-20
USD0.06312011-06-21
USD0.02142011-03-22
20103.82%USD 0.275USD0.172010-12-29
USD0.03532010-09-24
USD0.05082010-06-22
USD0.01852010-03-23
20093.47%USD 0.25USD0.11952009-12-22
USD0.04612009-09-22
USD0.05492009-06-23
USD0.0292009-03-24
20083.42%USD 0.246USD0.00822008-12-31
USD0.07792008-12-22
USD0.06472008-09-23
USD0.05032008-06-24
USD0.0452008-03-25
20071.75%USD 0.126USD0.09572007-12-26
USD0.03042007-09-25