Nationwide Risk-Managed Income ETF (NUSI)

News/Announcements: None

Updated: 2024-03-28

Last Close Price: $23.61

Yield: 7.1%

Payout Ratio: --

PE Ratio: 33.07

Market Cap: 0.39B

Frequency: Monthly

Dividend History (adjusted for splits)

Ex-Dividend DatePayout DateCash Amount% Change
2024-05-242024-05-27$0.1528unconfirmed/estimated
2024-04-262024-04-29$0.1528unconfirmed/estimated
2024-03-202024-03-22$0.15281.57%
2024-02-222024-02-26$0.1504340.03%
2024-01-242024-01-26$0.1503872.95%
2023-12-202023-12-22$0.1460792.76%
2023-11-222023-11-27$0.1421628.97%
2023-10-252023-10-27$0.130457-4.35%
2023-09-202023-09-22$0.1363910.02%
2023-08-232023-08-25$0.136365-3.29%
2023-07-262023-07-28$0.1410.36%
2023-06-222023-06-26$0.1404955.57%
2023-05-242023-05-26$0.1330884.92%
2023-04-262023-04-28$0.1268450.07%
2023-03-222023-03-24$0.1267541.98%
2023-02-232023-02-27$0.1242890.28%
2023-01-252023-01-27$0.1239361.67%
2022-12-232022-12-28$0.1219-1.69%
2022-11-232022-11-28$0.124-0.8%
2022-10-262022-10-28$0.125-3.77%
2022-09-212022-09-23$0.1299-3.13%
2022-08-242022-08-26$0.13415.59%
2022-07-202022-07-22$0.127-2.37%
2022-06-232022-06-27$0.130077-10.35%
2022-05-252022-05-27$0.1451-4.03%
2022-04-202022-04-22$0.1512-5.5%
2022-03-232022-03-25$0.160.63%
2022-02-242022-02-28$0.159-4.5%
2022-01-262022-01-28$0.1665-6.98%
2021-12-222021-12-27$0.179-4.79%
2021-11-242021-11-29$0.1884.04%
2021-10-202021-10-22$0.1807-0.93%
2021-09-222021-09-24$0.1824-2.2%
2021-08-252021-08-27$0.18652.64%
2021-07-212021-07-23$0.18170.83%
2021-06-232021-06-25$0.18022.68%
2021-05-262021-05-28$0.1755-2.61%
2021-04-212021-04-23$0.18023.09%
2021-03-242021-03-26$0.1748-3.1%
2021-02-242021-02-26$0.18040.33%
2021-01-202021-01-22$0.17980.45%
2020-12-292020-12-31$0.1792.76%
2020-11-252020-11-30$0.17420.93%
2020-10-212020-10-23$0.17263.73%
2020-09-232020-09-25$0.1664-9.37%
2020-08-262020-08-28$0.18362.4%
2020-07-222020-07-24$0.17930.84%
2020-06-242020-06-26$0.17784.4%
2020-05-202020-05-22$0.17031.13%
2020-04-222020-04-24$0.168410.28%
2020-03-252020-03-27$0.1527-7.12%
2020-02-262020-02-28$0.1644-2.14%
2020-01-222020-01-24$0.1682.88%
2019-12-262019-12-30$0.1633



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