NATIONWIDE DESTINATION 2040 FUND INSTITUTIONAL SERVICE CLASS(NWMSX) USD 8.79
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.33%USD 0.205USD0.18032022-12-23
USD0.007742022-09-15
USD0.0172022-06-09
202111.09%USD 0.975USD0.959952021-12-23
USD0.014562021-09-09
20207.02%USD 0.617USD0.273552020-12-23
USD0.34012020-09-10
USD0.003342020-06-11
201911.62%USD 1.022USD0.929582019-12-23
USD0.032982019-09-12
USD0.04692019-06-11
USD0.012112019-03-12
201811.14%USD 0.979USD0.880722018-12-20
USD0.030362018-09-12
USD0.053922018-06-12
USD0.014462018-03-13
20179.33%USD 0.82USD0.730872017-12-20
USD0.038052017-09-14
USD0.047122017-06-13
USD0.004322017-03-14
20169.72%USD 0.854USD0.78662016-12-19
USD0.015192016-09-15
USD0.041422016-06-14
USD0.010842016-03-15
20156.43%USD 0.566USD0.488552015-12-21
USD0.020942015-09-15
USD0.044642015-06-16
USD0.011472015-03-17
20148.10%USD 0.712USD0.643612014-12-19
USD0.028272014-09-18
USD0.027032014-06-17
USD0.013342014-03-18
20137.74%USD 0.681USD0.631072013-12-20
USD0.01282013-09-26
USD0.02052013-06-25
USD0.01642013-03-19
20124.86%USD 0.427USD0.36922012-12-21
USD0.02172012-09-11
USD0.036392012-06-19
20114.09%USD 0.359USD0.311642011-12-21
USD0.02022011-09-20
USD0.02762011-06-21
20102.50%USD 0.22USD0.143482010-12-29
USD0.01732010-09-24
USD0.02122010-06-22
USD0.0382010-04-27
20092.56%USD 0.225USD0.157972009-12-22
USD0.013212009-09-22
USD0.036662009-06-23
USD0.017572009-03-24
20082.08%USD 0.183USD0.002042008-12-31
USD0.08462008-12-22
USD0.0372008-09-23
USD0.03352008-06-24
USD0.0262008-03-25
20071.86%USD 0.164USD0.132007-12-26
USD0.03362007-09-25