NATIONWIDE DESTINATION 2015 FUND INSTITUTIONAL SERVICE CLASS(NWESX) USD 7.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.05%USD 0.003USD0.003262023-03-16
20224.48%USD 0.321USD0.272352022-12-23
USD0.018092022-09-15
USD0.021432022-06-09
USD0.009542022-03-10
202111.85%USD 0.849USD0.790622021-12-23
USD0.023862021-09-09
USD0.021142021-06-10
USD0.013782021-03-11
20205.14%USD 0.369USD0.159742020-12-23
USD0.166322020-09-10
USD0.026182020-06-11
USD0.016582020-03-12
20198.08%USD 0.579USD0.469752019-12-23
USD0.03972019-09-12
USD0.049142019-06-11
USD0.020462019-03-12
20188.06%USD 0.578USD0.463282018-12-20
USD0.036782018-09-12
USD0.052242018-06-12
USD0.025552018-03-13
20177.12%USD 0.51USD0.399922017-12-20
USD0.044492017-09-14
USD0.045352017-06-13
USD0.02052017-03-14
20168.06%USD 0.578USD0.48852016-12-19
USD0.025992016-09-15
USD0.040882016-06-14
USD0.022442016-03-15
201510.42%USD 0.747USD0.658762015-12-21
USD0.031022015-09-15
USD0.041052015-06-16
USD0.015942015-03-17
201411.51%USD 0.826USD0.73482014-12-19
USD0.035772014-09-18
USD0.035292014-06-17
USD0.013932014-03-18
USD0.00582014-02-18
20134.79%USD 0.344USD0.29992013-12-20
USD0.0142013-09-26
USD0.01742013-06-25
USD0.01242013-03-19
20125.56%USD 0.399USD0.33482012-12-21
USD0.02012012-09-11
USD0.03762012-06-19
USD0.00622012-03-20
201111.81%USD 0.847USD0.74632011-12-21
USD0.02712011-09-20
USD0.05722011-06-21
USD0.0162011-03-22
20103.56%USD 0.255USD0.16452010-12-29
USD0.03182010-09-24
USD0.04552010-06-22
USD0.01362010-03-23
20093.26%USD 0.233USD0.11412009-12-22
USD0.04172009-09-22
USD0.05162009-06-23
USD0.0262009-03-24
20083.14%USD 0.225USD0.00782008-12-31
USD0.06972008-12-22
USD0.06182008-09-23
USD0.0492008-06-24
USD0.03672008-03-25
20071.67%USD 0.12USD0.08672007-12-26
USD0.0332007-09-25