Nationwide International Index Fund Inst(NWXPX) USD 8.46
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.86%USD 0.157USD0.02582022-12-21
USD0.014782022-09-12
USD0.116552022-06-06
20214.10%USD 0.347USD0.271162021-12-21
USD0.033772021-09-07
USD0.041992021-06-07
20201.78%USD 0.151USD0.092942020-12-21
USD0.033462020-09-08
USD0.02452020-06-08
20194.20%USD 0.355USD0.197152019-12-18
USD0.03212019-09-09
USD0.119862019-06-07
USD0.005932019-03-08
20185.27%USD 0.446USD0.324172018-12-18
USD0.115862018-06-08
USD0.005522018-03-09
20176.53%USD 0.552USD0.430122017-12-18
USD0.01642017-09-11
USD0.105862017-06-09
20161.06%USD 0.09USD0.089742016-12-16