Nationwide S&P 500 Index Fund Logo
US63867U3766

Nationwide S&P 500 Index Fund

Dividend yield TTM
0.00%
€0.00/unit
Dividend growth (CAGR 5Y)
-
Next dividend
It is unlikely that any further dividends will be paid.

Upcoming dividends delivered straight to your inbox

Historical dividends

In 2024, Nationwide S&P 500 Index Fund has already paid €0.0651 in dividends. The last payout was in June 2024.

Tools for dividend investors

Dividend metrics Metrics

All metrics All
Metric Value
Price
€29.67
Yield
0.00%
Interval
None
CAGR 3Y
-
CAGR 5Y
-
CAGR 10Y
-

All dividend data

Nationwide S&P 500 Index Fund has not paid a dividend in the last 3 years. It is therefore likely that no further dividends will be paid.

New dividends delivered straight to your inbox
Ex-dividend date
Payment date
Distribution
YoY
Yield
2024 €0.0651 68.51% 0.25%
06/10/2024 06/11/2024 €0.0441
03/11/2024 03/12/2024 €0.021
2023 €0.21 8.96% -
12/20/2023 12/21/2023 €0.085
09/11/2023 09/12/2023 €0.0443
06/12/2023 06/13/2023 €0.0506
03/13/2023 03/14/2023 €0.0268
2022 €0.19 40.42% -
12/21/2022 12/22/2022 €0.0836
09/12/2022 09/13/2022 €0.0497
06/06/2022 06/07/2022 €0.0455
03/07/2022 03/08/2022 €0.0109
2021 €0.14 23.49% -
12/21/2021 12/22/2021 €0.0652
09/07/2021 09/08/2021 €0.0316
06/07/2021 06/08/2021 €0.0361
03/08/2021 03/09/2021 €0.00219
2020 €0.18 28.60% -
12/29/2020 12/30/2020 €0.00537
12/21/2020 12/22/2020 €0.0652
09/08/2020 09/09/2020 €0.038
06/08/2020 06/09/2020 €0.0432
03/09/2020 03/10/2020 €0.0248
2019 €0.25 10.80% -
12/18/2019 12/19/2019 €0.12
09/09/2019 09/10/2019 €0.0471
06/07/2019 06/10/2019 €0.0574
03/08/2019 03/11/2019 €0.0228
2018 €0.22 19.81% -
12/18/2018 12/19/2018 €0.11
09/10/2018 09/11/2018 €0.0478
06/08/2018 06/11/2018 €0.0453
03/09/2018 03/12/2018 €0.0201
2017 €0.19 6.19% -
12/18/2017 12/19/2017 €0.10
09/11/2017 09/12/2017 €0.0176
06/09/2017 06/12/2017 €0.0436
03/10/2017 03/13/2017 €0.0251
2016 €0.20 18.54% -
12/16/2016 12/19/2016 €0.12
09/12/2016 09/13/2016 €0.0176
06/10/2016 06/13/2016 €0.0295
03/11/2016 03/14/2016 €0.0315
2015 €0.24 47.00% -
12/17/2015 12/18/2015 €0.12
09/10/2015 09/11/2015 €0.04
06/12/2015 06/15/2015 €0.045
03/13/2015 03/16/2015 €0.0388
2014 €0.17 0.27% -
12/16/2014 12/17/2014 €0.10
09/16/2014 09/17/2014 €0.0273
06/13/2014 06/16/2014 €0.0132
03/14/2014 03/17/2014 €0.0179
02/13/2014 02/14/2014 €0.00745
2013 €0.17 5.48% -
12/18/2013 12/19/2013 €0.0968
09/20/2013 09/23/2013 €0.0261
06/21/2013 06/24/2013 €0.0145
03/15/2013 03/18/2013 €0.028
2012 €0.16 38.52% -
12/19/2012 12/20/2012 €0.0666
09/07/2012 09/10/2012 €0.0295
06/15/2012 06/18/2012 €0.0607
2011 €0.11 9.48% -
12/19/2011 12/20/2011 €0.0444
09/16/2011 09/19/2011 €0.0274
06/17/2011 06/20/2011 €0.0242
03/18/2011 03/21/2011 €0.0172
2010 €0.10 7.18% -
12/27/2010 12/28/2010 €0.062
09/17/2010 09/20/2010 €0.0223
06/18/2010 06/21/2010 €0.0143
03/19/2010 03/22/2010 €0.0048
2009 €0.11 11.66% -
12/18/2009 12/21/2009 €0.039
09/18/2009 09/21/2009 €0.0197
06/19/2009 06/22/2009 €0.0242
03/20/2009 03/23/2009 €0.0285
2008 €0.13 12.43% -
12/19/2008 12/22/2008 €0.0392
09/19/2008 09/22/2008 €0.0324
06/20/2008 06/23/2008 €0.0244
03/20/2008 03/24/2008 €0.0301
2007 €0.14 8.11% -
12/21/2007 12/24/2007 €0.0373
09/21/2007 09/24/2007 €0.0356
06/22/2007 06/25/2007 €0.0325
03/23/2007 03/26/2007 €0.0386
2006 €0.13 11.19% -
12/27/2006 12/28/2006 €0.0391
09/22/2006 09/25/2006 €0.0321
06/23/2006 06/26/2006 €0.0304
03/24/2006 03/27/2006 €0.0316
2005 €0.12 9.11% -
12/28/2005 12/29/2005 €0.0353
09/23/2005 09/26/2005 €0.0335
06/24/2005 06/27/2005 €0.0274
03/24/2005 03/28/2005 €0.0236
2004 €0.11 26.94% -
12/28/2004 12/29/2004 €0.047
09/24/2004 09/27/2004 €0.0226
06/25/2004 06/28/2004 €0.0211
03/26/2004 03/29/2004 €0.0191
2003 €0.0865 7.88% -
12/26/2003 12/29/2003 €0.0266
09/11/2003 09/12/2003 €0.0196
06/20/2003 06/23/2003 €0.0192
03/21/2003 03/24/2003 €0.0211
2002 €0.0939 22.91% -
12/27/2002 12/30/2002 €0.0262
09/20/2002 09/23/2002 €0.0237
06/21/2002 06/24/2002 €0.0209
03/22/2002 03/25/2002 €0.0231
2001 €0.0764 23.22% -
12/20/2001 12/21/2001 €0.0242
09/26/2001 09/27/2001 €0.0204
06/27/2001 06/28/2001 €0.0158
03/28/2001 03/29/2001 €0.016
2000 €0.0995 17.89% -
12/18/2000 12/19/2000 €0.0175
09/26/2000 09/27/2000 €0.0281
06/27/2000 06/28/2000 €0.0248
03/28/2000 03/29/2000 €0.0291
1999 €0.0844 283.64% -
12/16/1999 12/16/1999 €0.0223
09/27/1999 09/27/1999 €0.0182
06/25/1999 06/25/1999 €0.022
03/26/1999 03/26/1999 €0.0219
1998 €0.022 0.00% -
12/16/1998 12/16/1998 €0.022

Frequently asked questions

When were the most recent dividend payment dates for Nationwide S&P 500 Index Fund?

The most recent payment was made on 06/11/2024. Previous payments were made on: 03/12/2024.

When did you need to hold Nationwide S&P 500 Index Fund in your portfolio to receive the latest dividend?

If you held Nationwide S&P 500 Index Fund in your portfolio on 06/10/2024, you received the payout.

When is the next dividend from Nationwide S&P 500 Index Fund expected?

As Nationwide S&P 500 Index Fund has not paid a dividend in the last 3 years, it is unlikely to pay another dividend.

Similar dividend assets

All dividends in the calendar
🍪

Parqet  uses cookies. Learn more