GMXRX

Nationwide Mid Cap Market Index Fund Class R GMXRX

Net profit

No data available

EBITDA

No data available

P/E Ratio

Capitalization

Performance

Periode GMXRX GMXAX TCVAX SIVIX SSQSX CRMMX HRMDX TUHYX HNMDX RSIGX
6M 19.63 % 19.67 % 13.86 % 19.35 % 19.19 % 21.03 % 9.65 % 3.68 % 9.83 % 16.55 %
YTD 4.68 % 4.86 % 5.38 % 1.64 % 1.40 % 5.20 % 1.87 % 0.12 % 2.16 % 22.73 %
1Y -8.32 % -7.88 % -3.33 % -9.33 % -9.31 % -8.58 % -9.50 % 0.00 % -9.43 % 12.78 %
3Y 9.90 % 10.88 % 12.76 % 6.36 % 6.32 % 5.30 % 11.90 % 8.18 % 12.07 % 66.23 %
5Y 10.05 % 11.55 % 32.84 % 3.20 % 2.97 % 7.95 % 22.35 % -13.23 % 22.79 % 49.00 %
10Y -12.12 % -10.02 % 42.34 % -4.03 % -4.47 % -19.43 % 42.72 % -16.90 % 43.27 % 76.26 %
From the beginning 3.27 % 66.10 % 135.00 % 73.90 % 17.81 % 50.07 % 36.30 % -16.90 % 37.40 % 93.70 %

Dividend

Nationwide Mid Cap Market Index Fund Class R

Nationwide Mid Cap Market Index Fund Class A

Touchstone Mid Cap Value Fund Class A

State Street Institutional Small-Cap Equity Fund Investment Class

State Street Institutional Small-Cap Equity Fund Service Class

CRM Mid Cap Value Inv

Heartland Mid Cap Value Fund Investor Class

T. Rowe Price U.S. High Yield Fund Investor Class

Heartland Mid Cap Value Fund Institutional Class

Victory RS International Fund - Class Y