Nationwide Investor Destinastions Moderate Fd I(GMDIX) USD 8.85
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.13%USD 0.012USD0.011682023-03-16
20223.77%USD 0.334USD0.274792022-12-23
USD0.02012022-09-15
USD0.028592022-06-09
USD0.010092022-03-10
20216.79%USD 0.601USD0.551652021-12-23
USD0.020592021-09-09
USD0.01882021-06-10
USD0.010062021-03-11
20206.06%USD 0.536USD0.246752020-12-23
USD0.256052020-09-10
USD0.020962020-06-11
USD0.012542020-03-12
20198.75%USD 0.774USD0.658512019-12-23
USD0.040952019-09-12
USD0.051732019-06-11
USD0.022942019-03-12
201811.97%USD 1.059USD0.932562018-12-20
USD0.041912018-09-12
USD0.059042018-06-12
USD0.025692018-03-13
20179.89%USD 0.876USD0.741152017-12-20
USD0.049282017-09-14
USD0.056632017-06-13
USD0.028532017-03-14
20169.75%USD 0.862USD0.73582016-12-19
USD0.038772016-09-15
USD0.060022016-06-14
USD0.027882016-03-15
20152.27%USD 0.201USD0.077832015-12-21
USD0.038272015-09-15
USD0.055732015-06-16
USD0.028682015-03-17
20147.37%USD 0.652USD0.536782014-12-19
USD0.044212014-09-18
USD0.041682014-06-17
USD0.018842014-03-18
USD0.010892014-02-18
20136.41%USD 0.567USD0.4622013-12-20
USD0.03332013-09-26
USD0.03872013-06-25
USD0.03342013-03-19
20122.96%USD 0.262USD0.14792012-12-21
USD0.04092012-09-11
USD0.0562012-06-19
USD0.01722012-03-20
20112.81%USD 0.249USD0.12822011-12-21
USD0.04362011-09-20
USD0.04692011-06-21
USD0.02982011-03-22
20102.44%USD 0.216USD0.07982010-12-29
USD0.03982010-09-24
USD0.05372010-06-22
USD0.0232010-04-29
USD0.01952010-03-23
20092.79%USD 0.247USD0.1132009-12-22
USD0.03772009-09-22
USD0.0562009-06-23
USD0.04052009-03-24
200811.19%USD 0.99USD0.78452008-12-22
USD0.06442008-09-23
USD0.07132008-06-24
USD0.06972008-03-25
20078.26%USD 0.731USD0.41452007-12-26
USD0.07632007-09-25
USD0.11982007-06-26
USD0.042007-03-27
USD0.082007-01-03
20062.72%USD 0.241USD0.0482006-12-28
USD0.0682006-09-26
USD0.0662006-06-26
USD0.0592006-03-27
20052.97%USD 0.263USD0.0942005-12-29
USD0.0532005-09-26
USD0.0632005-06-27
USD0.0532005-03-28