NATIONWIDE INVESTOR DESTINATIONS MODERATE FUND CLASS R(GMDRX) USD 8.56
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.28%USD 0.281USD0.260892022-12-23
USD0.005772022-09-15
USD0.013922022-06-09
20216.31%USD 0.54USD0.534482021-12-23
USD0.003582021-09-09
USD0.002192021-06-10
20205.60%USD 0.479USD0.230562020-12-23
USD0.241142020-09-10
USD0.007662020-06-11
20198.34%USD 0.714USD0.642382019-12-23
USD0.025672019-09-12
USD0.036862019-06-11
USD0.008872019-03-12
201811.61%USD 0.994USD0.916722018-12-20
USD0.025162018-09-12
USD0.042712018-06-12
USD0.009312018-03-13
20179.46%USD 0.81USD0.723742017-12-20
USD0.032642017-09-14
USD0.040172017-06-13
USD0.0132017-03-14
20169.33%USD 0.798USD0.719222016-12-19
USD0.024522016-09-15
USD0.041912016-06-14
USD0.012842016-03-15
201510.37%USD 0.887USD0.817932015-12-21
USD0.020252015-09-15
USD0.038172015-06-16
USD0.0112015-03-17
20148.05%USD 0.689USD0.1092014-12-22
USD0.518272014-12-19
USD0.025652014-09-18
USD0.023862014-06-17
USD0.011482014-03-18
USD0.000912014-02-18
20135.83%USD 0.499USD0.44412013-12-20
USD0.01622013-09-26
USD0.02162013-06-25
USD0.01712013-03-19
20122.32%USD 0.199USD0.1322012-12-21
USD0.02542012-09-11
USD0.03972012-06-19
USD0.00192012-03-20
20112.20%USD 0.189USD0.11342011-12-21
USD0.02882011-09-20
USD0.03142011-06-21
USD0.0152011-03-22
20102.37%USD 0.203USD0.06592010-12-29
USD0.02622010-09-24
USD0.04022010-06-22
USD0.0642010-04-29
USD0.00662010-03-23
20092.32%USD 0.198USD0.09892009-12-22
USD0.02552009-09-22
USD0.0452009-06-23
USD0.02882009-03-24
200811.29%USD 0.966USD0.80392008-12-22
USD0.052008-09-23
USD0.0562008-06-24
USD0.05632008-03-25
20077.84%USD 0.671USD0.38872007-12-26
USD0.06362007-09-25
USD0.10762007-06-26
USD0.0312007-03-27
USD0.082007-01-03
20062.18%USD 0.187USD0.0262006-12-28
USD0.0582006-09-26
USD0.0552006-06-26
USD0.0482006-03-27
20052.72%USD 0.233USD0.0922005-12-29
USD0.0422005-09-26
USD0.0552005-06-27
USD0.0442005-03-28
20042.06%USD 0.176USD0.0812004-12-29
USD0.0412004-09-27
USD0.0262004-06-28
USD0.0282004-03-29
20030.43%USD 0.037USD0.0372003-12-29