NATIONWIDE DESTINATION 2045 FUND INSTITUTIONAL SERVICE CLASS(NWNSX) USD 9.12
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.45%USD 0.224USD0.199762022-12-23
USD0.00772022-09-15
USD0.016122022-06-09
202112.20%USD 1.113USD1.112672021-12-23
20207.39%USD 0.674USD0.297262020-12-23
USD0.376812020-09-10
201911.42%USD 1.042USD0.948692019-12-23
USD0.032892019-09-12
USD0.048932019-06-11
USD0.011142019-03-12
201811.27%USD 1.028USD0.928442018-12-20
USD0.03052018-09-12
USD0.055532018-06-12
USD0.013142018-03-13
20178.82%USD 0.805USD0.722372017-12-20
USD0.031982017-09-14
USD0.048312017-06-13
USD0.001842017-03-14
20168.93%USD 0.815USD0.74372016-12-19
USD0.015452016-09-15
USD0.045062016-06-14
USD0.010562016-03-15
20155.57%USD 0.508USD0.42612015-12-21
USD0.022032015-09-15
USD0.046872015-06-16
USD0.013142015-03-17
20147.68%USD 0.7USD0.62772014-12-19
USD0.028892014-09-18
USD0.028872014-06-17
USD0.014562014-03-18
20135.48%USD 0.5USD0.449622013-12-20
USD0.01422013-09-26
USD0.022013-06-25
USD0.01612013-03-19
20124.16%USD 0.38USD0.32332012-12-21
USD0.02132012-09-11
USD0.03492012-06-19
20114.62%USD 0.421USD0.374142011-12-21
USD0.01982011-09-20
USD0.02722011-06-21
20102.61%USD 0.238USD0.200512010-12-29
USD0.01592010-09-24
USD0.02152010-06-22
20092.40%USD 0.219USD0.151722009-12-22
USD0.013712009-09-22
USD0.036032009-06-23
USD0.017652009-03-24
20082.37%USD 0.216USD0.001532008-12-31
USD0.12282008-12-22
USD0.03892008-09-23
USD0.03172008-06-24
USD0.02122008-03-25
20071.40%USD 0.127USD0.09332007-12-26
USD0.03412007-09-25