CUSIP
Oldest share class inception date
Morningstar
Category:
category name
Benchmark(s)1
Primary:
Previous:
Secondary:
Tertiary:
Minimum investment
Expense ratios
Gross:
Net:
Total net assets
Daily NAV
Change:
Overall Morningstar rating is based on risk-adjusted returns for a weighted
average of its applicable 3-, 5- and 10-year ratings as of .
NFW-8998AO.1
NFW-10013AO.1
Overview
Additional resources
Visit the site where the prospectus, reports, and other regulatory documents are located.
Strategy overview
NFW-8999AO
Fund management
NFW-10008AO.8
Management team
Rajiv Jain
Lead Portfolio Manager
Investing since:
1994
Fund tenure since: 2021
Education: MBA, University of Miami; Master's, University of Amjer
Fund tenure since: 2021
Education: MBA, University of Miami; Master's, University of Amjer
NFW-10011AO
Brian Kersmanc
Portfolio Manager
Investing since:
2008
Fund tenure since: 2023
Education: MBA, Rutgers University; BA, University of Connecticut
Fund tenure since: 2023
Education: MBA, Rutgers University; BA, University of Connecticut
NFW-11247AO
Sudarshan Murthy, CFA
Portfolio Manager
Investing since:
2008
Fund tenure since: 2022
Education: MBA, Wharton; Bachelor from National Institute of Technology, Surathkal in India
Fund tenure since: 2022
Education: MBA, Wharton; Bachelor from National Institute of Technology, Surathkal in India
NFW-11248AO.1
Sid Jain
Deputy Portfolio Manager
Investing since:
2018
Fund tenure since: 2024
Education: BA, University of Chicago
Fund tenure since: 2024
Education: BA, University of Chicago
NFW-11806AO
NFW-9000AO
Performance
Average annual returns
(as of )
| YTD | 1 Yr | 3 Yr | 5 Yr | 10 Yr | Since share class inception () |
|
|---|---|---|---|---|---|---|
| Total return (%) | ||||||
| Return w/ sales charge (%) | ||||||
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NFW-8943AO
Calendar year returns
(as of )
Growth of 10K
(as of
)
Fees, expenses and minimums
| Gross expense ratio | Prospectus | |
| Net expense ratio | Prospectus | |
| Management actual | ||
| 12b-1 actual | ||
| Minimum investment |
NFW-11577AO.1
NFW-12531AO
NFW-12111AO.2
Portfolio
Asset allocation
(as of )
| Type | % Net | Morningstar category average | ||
|---|---|---|---|---|
Sector allocations
(as of )
Portfolio characteristics
(as of )
| Characteristic | Fund |
|---|---|
| Sharpe ratio (%)* | |
| Standard deviation (%)* | |
| Alpha* | |
| Beta* | |
| R-squared* | |
| Turnover rate (%) | |
| Sortino ratio (%)* | |
| Tracking error* |
NFW-12439AO
Style details
(as of )
Fixed-income style
Quality
High
Med
Low
Interest-rate sensitivity
Fund risks
NFW-10067AO
NFW-9187AO
Distributions
Distribution information
Access important year-end information shareholders will need to prepare taxes.
NFW-9187AO
NFW-8968AO.2
Need more information?
We’re here to help you meet your clients’ needs.
Mutual fund service: 1-800-848-0920
Retail mutual fund sales: 1-877-245-0761
Connect with a Nationwide Funds wholesaler or key accounts representative NFW-10236AO.1
NFW-8973AO
NFW-8982AO
NFW-8983AO.9
NFW-8986AO.11
NFW-8985AO.9
NFW-8987AO.5
NFW-8972AO.2
NFW-8989AO.3