NATIONWIDE INVESTOR DESTINATIONS AGGRESSIVE FUND CLASS R6(GAIDX) USD 9.06
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.70%USD 0.336USD0.288482022-12-23
USD0.016862022-09-15
USD0.030262022-06-09
20218.07%USD 0.732USD0.711752021-12-23
USD0.019842021-09-09
20206.39%USD 0.579USD0.263532020-12-23
USD0.315322020-09-10
201912.69%USD 1.15USD1.058262019-12-23
USD0.031842019-09-12
USD0.046712019-06-11
USD0.012762019-03-12
201813.03%USD 1.181USD1.080712018-12-20
USD0.028752018-09-12
USD0.055822018-06-12
USD0.01532018-03-13
201717.09%USD 1.548USD1.446922017-12-20
USD0.032952017-09-14
USD0.052732017-06-13
USD0.015542017-03-14
201611.70%USD 1.06USD0.956552016-12-19
USD0.028252016-09-15
USD0.058642016-06-14
USD0.016552016-03-15
20159.43%USD 0.855USD0.740242015-12-21
USD0.032532015-09-15
USD0.057712015-06-16
USD0.024032015-03-17
20149.90%USD 0.897USD0.142014-12-22
USD0.654572014-12-19
USD0.0392014-09-18
USD0.039292014-06-17
USD0.023772014-03-18
20134.04%USD 0.366USD0.282262013-12-20
USD0.02732013-09-26
USD0.03142013-06-25
USD0.0252013-03-19
20123.31%USD 0.3USD0.217122012-12-21
USD0.03092012-09-11
USD0.05162012-06-19
20111.92%USD 0.174USD0.09242011-12-21
USD0.03192011-09-20
USD0.03632011-06-21
USD0.01382011-03-22
20101.55%USD 0.14USD0.077392010-12-29
USD0.02392010-09-24
USD0.03882010-06-22
20093.85%USD 0.349USD0.261412009-12-22
USD0.019922009-09-22
USD0.04742009-06-23
USD0.020322009-03-24
20087.82%USD 0.708USD0.56192008-12-22
USD0.047862008-09-23
USD0.046912008-06-24
USD0.051572008-03-25
20078.34%USD 0.756USD0.49262007-12-26
USD0.049442007-09-25
USD0.107792007-06-26
USD0.105982007-01-03
20061.72%USD 0.156USD0.0292006-12-28
USD0.0432006-09-26
USD0.0452006-06-26
USD0.0392006-03-27
20052.36%USD 0.214USD0.0972005-12-29
USD0.0332005-09-26
USD0.0482005-06-27
USD0.0362005-03-28