NATIONWIDE DESTINATION 2025 FUND INSTITUTIONAL SERVICE CLASS(NWHSX) USD 8.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.02%USD 0.001USD0.001382023-03-16
20224.09%USD 0.336USD0.294162022-12-23
USD0.015552022-09-15
USD0.023682022-06-09
USD0.002422022-03-10
202111.83%USD 0.972USD0.921242021-12-23
USD0.0232021-09-09
USD0.018882021-06-10
USD0.008912021-03-11
20205.75%USD 0.472USD0.203532020-12-23
USD0.234812020-09-10
USD0.021722020-06-11
USD0.012332020-03-12
20199.24%USD 0.759USD0.649172019-12-23
USD0.039682019-09-12
USD0.052092019-06-11
USD0.018352019-03-12
201810.00%USD 0.822USD0.706312018-12-20
USD0.035952018-09-12
USD0.057542018-06-12
USD0.022012018-03-13
201710.38%USD 0.853USD0.742642017-12-20
USD0.048342017-09-14
USD0.048892017-06-13
USD0.013612017-03-14
20168.59%USD 0.706USD0.629332016-12-19
USD0.019712016-09-15
USD0.042452016-06-14
USD0.014222016-03-15
20156.19%USD 0.509USD0.429832015-12-21
USD0.022662015-09-15
USD0.043532015-06-16
USD0.012682015-03-17
20147.61%USD 0.626USD0.550892014-12-19
USD0.031592014-09-18
USD0.028232014-06-17
USD0.015082014-03-18
20135.63%USD 0.463USD0.415122013-12-20
USD0.0142013-09-26
USD0.01992013-06-25
USD0.0142013-03-19
20125.88%USD 0.484USD0.413562012-12-21
USD0.02122012-09-11
USD0.048962012-06-19
20118.06%USD 0.662USD0.072782011-12-21
USD0.516782011-12-12
USD0.02522011-09-20
USD0.03782011-06-21
USD0.00962011-03-22
20102.72%USD 0.224USD0.131812010-12-29
USD0.02382010-09-24
USD0.0352010-06-22
USD0.0332010-04-27
20092.94%USD 0.242USD0.148792009-12-22
USD0.026822009-09-22
USD0.044312009-06-23
USD0.02162009-03-24
20082.59%USD 0.212USD0.003292008-12-31
USD0.07842008-12-22
USD0.05162008-09-23
USD0.04522008-06-24
USD0.0342008-03-25
20071.39%USD 0.114USD0.08072007-12-26
USD0.03332007-09-25