Nationwide Bond Index Fund Inst Service(NWXOX) USD 9.64
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.41%USD 0.04USD0.01942023-02-28
USD0.02042023-01-31
20222.84%USD 0.274USD0.020142022-12-31
USD0.02012022-12-30
USD0.019422022-11-30
USD0.019412022-10-31
USD0.01862022-09-30
USD0.01862022-08-31
USD0.018612022-07-31
USD0.01862022-07-29
USD0.017932022-06-30
USD0.018052022-05-31
USD0.017342022-04-30
USD0.01732022-04-29
USD0.017252022-03-31
USD0.015982022-02-28
USD0.016662022-01-31
20214.53%USD 0.437USD0.016542021-12-31
USD0.170682021-12-21
USD0.016262021-11-30
USD0.01662021-10-31
USD0.016232021-09-30
USD0.017192021-08-31
USD0.017322021-07-31
USD0.01732021-07-30
USD0.016812021-06-30
USD0.017152021-05-31
USD0.01722021-05-28
USD0.016652021-04-30
USD0.016632021-03-31
USD0.01552021-02-28
USD0.01552021-02-26
USD0.016742021-01-31
USD0.01672021-01-29
20202.41%USD 0.232USD0.017232020-12-31
USD0.017652020-11-30
USD0.017952020-10-30
USD0.017652020-09-30
USD0.018542020-08-31
USD0.0192020-07-31
USD0.018942020-06-30
USD0.020312020-05-29
USD0.020822020-04-30
USD0.021372020-03-31
USD0.020642020-02-28
USD0.021872020-01-31
20192.86%USD 0.275USD0.022352019-12-31
USD0.022012019-11-29
USD0.022882019-10-31
USD0.022642019-09-30
USD0.023082019-08-30
USD0.023282019-07-31
USD0.0232019-06-28
USD0.0242019-05-31
USD0.0232019-04-30
USD0.0242019-03-29
USD0.0222019-02-28
USD0.0232019-01-31
20182.75%USD 0.265USD0.0232018-12-31
USD0.0232018-11-30
USD0.0212018-10-31
USD0.0222018-09-28
USD0.0232018-08-31
USD0.0222018-07-31
USD0.0222018-06-29
USD0.0222018-05-31
USD0.0212018-04-30
USD0.0232018-03-29
USD0.0212018-02-28
USD0.0222018-01-31
20171.05%USD 0.101USD0.0212017-12-29
USD0.022017-11-30
USD0.022017-10-31
USD0.022017-09-29
USD0.022017-08-31