NATIONWIDE DESTINATION 2030 FUND INSTITUTIONAL SERVICE CLASS(NWISX) USD 8.08
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.84%USD 0.229USD0.198352022-12-23
USD0.009852022-09-15
USD0.021112022-06-09
202111.30%USD 0.913USD0.87922021-12-23
USD0.017882021-09-09
USD0.014452021-06-10
USD0.001832021-03-11
20206.24%USD 0.504USD0.219422020-12-23
USD0.26222020-09-10
USD0.016422020-06-11
USD0.005812020-03-12
201910.11%USD 0.817USD0.717142019-12-23
USD0.035522019-09-12
USD0.048582019-06-11
USD0.015382019-03-12
201811.48%USD 0.928USD0.821152018-12-20
USD0.032492018-09-12
USD0.054112018-06-12
USD0.019932018-03-13
201710.65%USD 0.86USD0.757472017-12-20
USD0.046372017-09-14
USD0.044812017-06-13
USD0.011512017-03-14
20169.13%USD 0.738USD0.67042016-12-19
USD0.016352016-09-15
USD0.03912016-06-14
USD0.01222016-03-15
20156.46%USD 0.522USD0.450772015-12-21
USD0.021252015-09-15
USD0.041022015-06-16
USD0.009222015-03-17
201411.32%USD 0.914USD0.847012014-12-19
USD0.028842014-09-18
USD0.025722014-06-17
USD0.012812014-03-18
20138.87%USD 0.717USD0.667742013-12-20
USD0.01392013-09-26
USD0.01992013-06-25
USD0.01542013-03-19
20126.67%USD 0.539USD0.47392012-12-21
USD0.02182012-09-11
USD0.04352012-06-19
20116.28%USD 0.508USD0.447362011-12-21
USD0.02372011-09-20
USD0.03282011-06-21
USD0.00382011-03-22
20102.48%USD 0.201USD0.149752010-12-29
USD0.02112010-09-24
USD0.02982010-06-22
20092.71%USD 0.219USD0.13822009-12-22
USD0.020742009-09-22
USD0.041042009-06-23
USD0.018982009-03-24
20082.50%USD 0.202USD0.002572008-12-31
USD0.08462008-12-22
USD0.04492008-09-23
USD0.03962008-06-24
USD0.03062008-03-25
20071.42%USD 0.115USD0.08162007-12-26
USD0.03292007-09-25