NATIONWIDE INTERNATIONAL INDEX FUND CLASS R6(GIXIX) USD 8.48
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.96%USD 0.251USD0.103122022-12-21
USD0.019312022-09-12
USD0.128342022-06-06
20214.32%USD 0.366USD0.276222021-12-21
USD0.038612021-09-07
USD0.051282021-06-07
20201.90%USD 0.161USD0.094292020-12-21
USD0.036512020-09-08
USD0.030062020-06-08
20194.34%USD 0.368USD0.201132019-12-18
USD0.035112019-09-09
USD0.122992019-06-07
USD0.00862019-03-08
20185.40%USD 0.458USD0.331642018-12-18
USD0.119442018-06-08
USD0.006472018-03-09
20176.56%USD 0.557USD0.431172017-12-18
USD0.018152017-09-11
USD0.107222017-06-09
20162.79%USD 0.237USD0.090472016-12-16
USD0.031412016-09-12
USD0.104252016-06-10
USD0.010682016-03-11
20153.31%USD 0.281USD0.13812015-12-17
USD0.033482015-09-10
USD0.094462015-06-12
USD0.014832015-03-13
20143.57%USD 0.302USD0.135952014-12-16
USD0.05662014-09-16
USD0.08122014-06-13
USD0.02862014-03-14
20132.65%USD 0.225USD0.11382013-12-18
USD0.04222013-09-20
USD0.05382013-06-21
USD0.01532013-03-15
20122.55%USD 0.216USD0.13362012-12-19
USD0.03292012-09-07
USD0.049912012-06-15
20112.61%USD 0.222USD0.103672011-12-19
USD0.04392011-09-16
USD0.05812011-06-17
USD0.01592011-03-18
20102.15%USD 0.182USD0.004242010-12-30
USD0.07112010-12-27
USD0.02092010-09-17
USD0.08592010-06-18
20092.43%USD 0.206USD0.09062009-12-18
USD0.0212009-09-18
USD0.09482009-06-19
200811.08%USD 0.939USD0.72682008-12-19
USD0.06762008-09-19
USD0.09522008-06-20
USD0.04982008-03-20
20077.66%USD 0.649USD0.48032007-12-21
USD0.05782007-09-21
USD0.07212007-06-22
USD0.0392007-03-23
20063.18%USD 0.27USD0.122006-12-27
USD0.0472006-09-22
USD0.0592006-06-23
USD0.0442006-03-24
20051.86%USD 0.158USD0.0292005-09-23
USD0.0772005-06-24
USD0.0522005-03-24
20041.85%USD 0.157USD0.0732004-12-28
USD0.0262004-09-24
USD0.0272004-06-25
USD0.0312004-03-26
20031.70%USD 0.144USD0.0362003-12-26
USD0.0352003-09-11
USD0.0352003-06-20
USD0.0382003-03-21
20021.23%USD 0.104USD0.012002-12-27
USD0.0282002-09-20
USD0.0562002-06-21
USD0.012002-03-22
20010.32%USD 0.027USD0.0062001-12-20
USD0.0212001-09-26