11/15/2024 | Press release | Distributed by Public on 11/15/2024 10:07
INTRODUCTION
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3 |
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The Transaction
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3
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How do the investment objectives, principal strategies and policies of the Target Fund compare against the Acquiring Fund?
|
3
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What are the principal risks associated with investments in the Target Fund versus the Acquiring Fund?
|
4
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What are the general tax consequences of the Transaction?
|
4
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Who manages the Funds?
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4
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What are the fees and expenses of each Fund and what might they be after the Transaction?
|
5
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How do the performance records of the Funds compare?
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8
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Where can I find more financial information about the Funds?
|
11
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What are other key features of the Funds?
|
11
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COMPARISON OF INVESTMENT OBJECTIVES, PRINCIPAL STRATEGIES, POLICIES AND PRINCIPAL RISKS
|
12
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What are the differences between the investment objectives of the Target Fund and the Acquiring Fund?
|
13
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What are the most significant differences between the principal strategies and policies of the Target Fund compared to the Acquiring Fund?
|
13
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How do the fundamental investment restrictions of the Target Fund differ from the Acquiring Fund?
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13
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What are the principal risk factors associated with investments in the Funds?
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13
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REASONS FOR THE TRANSACTION
|
17
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INFORMATION ABOUT THE TRANSACTION AND THE PLAN
|
17
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How will the Transaction be carried out?
|
17
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Who will pay the expenses of the Transaction?
|
18
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|
What are the tax consequences of the Transaction?
|
18
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|
What should I know about shares of the Target Fund and the Acquiring Fund?
|
19
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What are the capitalizations of the Funds and what might the capitalization be after the Transaction?
|
20
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MORE INFORMATION ABOUT THE FUNDS
|
21
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EXHIBITS TO PROSPECTUS/INFORMATION STATEMENT
|
22
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Acquisition of the Assets of:
|
NATIONWIDE DESTINATION 2025 FUND
(a series of Nationwide Mutual Funds)
|
By and in exchange for shares of:
|
NATIONWIDE DESTINATION RETIREMENT FUND
(a series of Nationwide Mutual Funds)
|
Class A Shares
|
|||
Actual
|
Pro forma*
|
||
Nationwide Destination 2025 Fund (Target Fund) - Class A
|
Nationwide Destination Retirement Fund (Acquiring Fund) -
Class A
|
Nationwide Destination Retirement Fund (Acquiring Fund) - Class A after Transaction with Nationwide Destination 2025 Fund (Target Fund)
|
|
Shareholder Fees (paid directly from your investment)
|
|||
Maximum Sales Charge (Load) imposed upon purchases (as a percentage of offering price)
|
5.75%
|
5.75%
|
5.75%
|
Maximum Deferred Sales Charge (Load) (as a percentage of offering or sale price, whichever is less)
|
None
|
None
|
None
|
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
|
|||
Management Fees
|
0.13%
|
0.13%
|
0.13%
|
Distribution and/or Service (12b-1) Fees
|
0.25%
|
0.25%
|
0.25%
|
Other Expenses
|
0.20%
|
0.20%
|
0.20%
|
Acquired Fund Fees and Expenses
|
0.29%
|
0.29%
|
0.29%
|
Total Annual Fund Operating Expenses
|
0.87%
|
0.87%
|
0.87%
|
Class R Shares
|
|||
Actual
|
Pro forma*
|
||
Nationwide Destination 2025 Fund (Target Fund) - Class R
|
Nationwide Destination Retirement Fund (Acquiring Fund) -
Class R
|
Nationwide Destination Retirement Fund (Acquiring Fund) - Class R after Transaction with Nationwide Destination 2025 Fund (Target Fund)
|
|
Shareholder Fees (paid directly from your investment)
|
|||
Maximum Sales Charge (Load) imposed upon purchases (as a percentage of offering price)
|
None
|
None
|
None
|
Maximum Deferred Sales Charge (Load) (as a percentage of offering or sale price, whichever is less)
|
None
|
None
|
None
|
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
|
|||
Management Fees
|
0.13%
|
0.13%
|
0.13%
|
Distribution and/or Service (12b-1) Fees
|
0.50%
|
0.50%
|
0.50%
|
Other Expenses
|
0.25%
|
0.25%
|
0.25%
|
Acquired Fund Fees and Expenses
|
0.29%
|
0.29%
|
0.29%
|
Total Annual Fund Operating Expenses
|
1.17%
|
1.17%
|
1.17%
|
Class R6 Shares
|
|||
Actual
|
Pro forma*
|
||
Nationwide Destination 2025 Fund (Target Fund) - Class R6
|
Nationwide Destination Retirement Fund (Acquiring Fund) -
Class R6
|
Nationwide Destination Retirement Fund (Acquiring Fund) - Class R6 after Transaction with Nationwide Destination 2025 Fund (Target Fund)
|
|
Shareholder Fees (paid directly from your investment)
|
|||
Maximum Sales Charge (Load) imposed upon purchases (as a percentage of offering price)
|
None
|
None
|
None
|
Maximum Deferred Sales Charge (Load) (as a percentage of offering or sale price, whichever is less)
|
None
|
None
|
None
|
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
|
|||
Management Fees
|
0.13%
|
0.13%
|
0.13%
|
Distribution and/or Service (12b-1) Fees
|
None
|
None
|
None
|
Other Expenses
|
None
|
None
|
None
|
Acquired Fund Fees and Expenses
|
0.29%
|
0.29%
|
0.29%
|
Total Annual Fund Operating Expenses
|
0.42%
|
0.42%
|
0.42%
|
Institutional Service Class Shares
|
|||
Actual
|
Pro forma*
|
||
Nationwide Destination 2025 Fund (Target Fund) - Institutional Service Class
|
Nationwide Destination Retirement Fund (Acquiring Fund) -
Institutional Service Class
|
Nationwide Destination Retirement Fund (Acquiring Fund) - Institutional Service Class after Transaction with Nationwide Destination 2025 Fund (Target Fund)
|
|
Shareholder Fees (paid directly from your investment)
|
|||
Maximum Sales Charge (Load) imposed upon purchases (as a percentage of offering price)
|
None
|
None
|
None
|
Maximum Deferred Sales Charge (Load) (as a percentage of offering or sale price, whichever is less)
|
None
|
None
|
None
|
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
|
|||
Management Fees
|
0.13%
|
0.13%
|
0.13%
|
Distribution and/or Service (12b-1) Fees
|
None
|
None
|
None
|
Other Expenses
|
0.25%
|
0.25%
|
0.25%
|
Acquired Fund Fees and Expenses
|
0.29%
|
0.29%
|
0.29%
|
Total Annual Fund Operating Expenses
|
0.67%
|
0.67%
|
0.67%
|
Class A
|
||||
1 Year
|
3 Years
|
5 Years
|
10 Years
|
|
Target Fund - Class A Shares
|
$659
|
$837
|
$1,029
|
$1,586
|
Acquiring Fund - Class A Shares
|
$659
|
$837
|
$1,029
|
$1,586
|
Pro forma Acquiring Fund - Class A Shares (after the Transaction with Target Fund)
|
$659
|
$837
|
$1,029
|
$1,586
|
Class R
|
||||
1 Year
|
3 Years
|
5 Years
|
10 Years
|
|
Target Fund - Class R Shares
|
$119
|
$372
|
$644
|
$1,420
|
Acquiring Fund - Class R Shares
|
$119
|
$372
|
$644
|
$1,420
|
Pro forma Acquiring Fund - Class R Shares (after the Transaction with Target Fund)
|
$119
|
$372
|
$644
|
$1,420
|
Class R6
|
||||
1 Year
|
3 Years
|
5 Years
|
10 Years
|
|
Target Fund - Class R6 Shares
|
$43
|
$135
|
$235
|
$530
|
Acquiring Fund - Class R6 Shares
|
$43
|
$135
|
$235
|
$530
|
Pro forma Acquiring Fund - Class R6 Shares (after the Transaction with Target Fund)
|
$43
|
$135
|
$235
|
$530
|
Institutional Service Class
|
||||
1 Year
|
3 Years
|
5 Years
|
10 Years
|
|
Target Fund - Institutional Service Class Shares
|
$68
|
$214
|
$373
|
$835
|
Acquiring Fund - Institutional Service Class Shares
|
$68
|
$214
|
$373
|
$835
|
Pro forma Acquiring Fund - Institutional Service Class Shares (after the Transaction with Target Fund)
|
$68
|
$214
|
$373
|
$835
|
|
|
Average Annual Total Returns for the
Periods Ended December 31, 2023
|
|||
1 Year
|
5 Years
|
10 Years
|
|
Target Fund - Class A
|
5.29%
|
4.92%
|
4.11%
|
Target Fund - Class A After Taxes on Distributions
|
3.13%
|
2.87%
|
2.20%
|
Target Fund - Class A After Taxes on Distributions and Sales of Shares
|
3.82%
|
3.30%
|
2.76%
|
Acquiring Fund - Class A
|
4.49%
|
3.82%
|
3.37%
|
Acquiring Fund - Class A After Taxes on Distributions
|
2.75%
|
1.91%
|
1.47%
|
Acquiring Fund - Class A After Taxes on Distributions and Sales of Shares
|
3.09%
|
2.45%
|
2.15%
|
Target Fund - Class R
|
11.41%
|
5.87%
|
4.43%
|
Acquiring Fund - Class R
|
10.55%
|
4.73%
|
3.67%
|
Target Fund - Class R6
|
12.38%
|
6.67%
|
5.21%
|
Acquiring Fund - Class R6
|
11.37%
|
5.52%
|
4.45%
|
Target Fund - Institutional Service Class
|
12.06%
|
6.41%
|
4.95%
|
Acquiring Fund - Institutional Service Class
|
11.10%
|
5.28%
|
4.20%
|
Performance Benchmark for Target Fund
|
|||
Bloomberg U.S. Aggregate Bond Index1
|
5.53%
|
1.10%
|
1.81%
|
Performance Benchmark for Acquiring Fund
|
|||
Bloomberg U.S. Aggregate Bond Index1
|
5.53%
|
1.10%
|
1.81%
|
Average Annual Total Returns
for the Periods Ended June 30, 2024
|
|||
1 Year
|
5 Years
|
10 Years
|
|
Target Fund - Class A
|
8.41%
|
4.54%
|
4.53%
|
Acquiring Fund - Class A
|
7.86%
|
3.75%
|
3.81%
|
Target Fund - Class R
|
8.05%
|
4.23%
|
4.23%
|
Acquiring Fund - Class R
|
7.49%
|
3.41%
|
3.50%
|
Target Fund - Class R6
|
8.94%
|
5.02%
|
5.02%
|
Acquiring Fund - Class R6
|
8.48%
|
4.21%
|
4.29%
|
Target Fund - Institutional Service Class
|
8.74%
|
4.78%
|
4.77%
|
Acquiring Fund - Institutional Service Class
|
8.08%
|
3.94%
|
4.03%
|
Performance Benchmark for Target Fund
|
|||
Bloomberg U.S. Aggregate Bond Index1
|
7.30%
|
-0.04%
|
1.64%
|
Performance Benchmark for Acquiring Fund
|
|||
Bloomberg U.S. Aggregate Bond Index1
|
7.30%
|
-0.04%
|
1.64%
|
Target Fund
|
Acquiring Fund
|
Pro Forma Adjustments to Capitalization1
|
Acquiring Fund after Transaction1 (estimated)
|
|
Net assets (all classes)
|
$152,938,102
|
$99,575,929
|
None
|
$252,514,031
|
|
|
|
||
Total shares outstanding
|
18,702,462
|
13,852,807
|
2,563,426
|
35,118,695
|
Class A net assets
|
$31,419,182
|
$16,929,576
|
None
|
$48,348,758
|
Class A shares outstanding
|
3,852,943
|
2,353,787
|
515,392
|
6,722,122
|
Class A net asset value per share
|
$8.15
|
$7.19
|
None
|
$7.19
|
Class R net assets
|
$29,014,602
|
$27,080,497
|
None
|
$56,095,099
|
Class R shares outstanding
|
3,578,210
|
3,789,735
|
482,190
|
7,850,135
|
Class R net asset value per share
|
$8.11
|
$7.15
|
None
|
$7.15
|
Class R6 net assets
|
$52,121,999
|
$36,952,288
|
None
|
$89,074,287
|
Class R6 shares outstanding
|
6,329,021
|
5,122,894
|
896,931
|
12,348,846
|
Class R6 net asset value per share
|
$8.24
|
$7.21
|
None
|
$7.21
|
Institutional Service Class net assets
|
$40,382,319
|
$18,613,568
|
None
|
$58,995,887
|
Institutional Service Class shares outstanding
|
4,942,288
|
2,586,391
|
668,913
|
8,197,592
|
Institutional Service Class net asset value per share
|
$8.17
|
$7.20
|
None
|
$7.20
|
Exhibit
|
|
A
|
Form of Plan of Reorganization for the Target Fund
|
B
|
Financial Highlights
|
Nationwide Destination 2025 Fund
(the "Target Fund")
|
Nationwide Destination Retirement Fund
(the "Acquiring Fund")
|
Class A
|
Class A
|
Class R
|
Class R
|
Class R6
|
Class R6
|
Institutional Service Class
|
Institutional Service Class
|
|
1. |
Sale and Transfer of Assets, Liquidation and Dissolution of the Target Fund
|
|
2. |
Valuation
|
|
3. |
Closing and Valuation Date
|
|
4. |
Necessary Findings of Fact by the Trust on behalf of the Target Fund
|
|
5. |
Necessary Findings of Fact by the Trust on behalf of the Acquiring Fund
|
|
6. |
Necessary Findings of Fact by the Trust on behalf of the Target Fund and the Acquiring Fund
|
|
7. |
Obligations of the Trust on behalf of the Target Fund
|
|
9. |
Conditions Precedent to be Fulfilled by the Trust on behalf of the Target Fund and the Acquiring Fund
|
|
10. |
Fees and Expenses; Other Plans
|
|
11. |
Termination; Waiver; Order
|
|
14. |
Amendments
|
By
|
|||
Kevin T. Jestice, President and Chief Executive Officer
|
|||
Acknowledged by Nationwide Fund Advisors
|
|||
By
|
|||
Kevin T. Jestice, President
|
Period Ended
|
Net Asset
Value, Beginning of Period |
Net
Investment Income (a) |
Net Realized
and Unrealized Gains (Losses) from Investments |
Total from
Operations |
Net
Investment Income |
Net
Realized Gains |
Return of
Capital |
Total
Distributions |
Net Asset
Value, End of Period |
Total
Return (b)(c) |
Net Assets,
End of Period (In Thousands) |
Ratio of
Expenses to Average Net Assets (d)(e) |
Ratio
of Net Investment Income to Average Net Assets (d)(e) |
Ratio of
Expenses (Prior to Reimburse- ments) to Average Net Assets (d)(e) |
Portfolio
Turnover (c)(f) |
Class A Shares
|
|||||||||||||||
4/30/2024 (Unaudited)
|
$7.90
|
$0.21
|
$0.59
|
$0.80
|
$(0.22)
|
$(0.33)
|
$-
|
$(0.55)
|
$8.15
|
10.06%
|
$31,419
|
0.59%
|
5.03%
|
0.59%
|
7.53%
|
10/31/2023
|
7.91
|
0.10
|
0.21
|
0.31
|
(0.12)
|
(0.20)
|
-
|
(0.32)
|
7.90
|
3.92%
|
29,613
|
0.59%
|
1.27%
|
0.59%
|
29.94%
|
10/31/2022
|
10.49
|
0.26
|
(1.90)
|
(1.64)
|
(0.30)
|
(0.64)
|
-
|
(0.94)
|
7.91
|
(17.10)%
|
31,071
|
0.59%
|
2.89%
|
0.59%
|
35.82%
|
10/31/2021
|
9.02
|
0.22
|
1.48
|
1.70
|
(0.23)
|
-
|
-
|
(0.23)
|
10.49
|
19.06%
|
40,093
|
0.61%
|
2.15%
|
0.61%
|
41.52%
|
10/31/2020
|
9.52
|
0.40
|
-
|
0.40
|
(0.47)
|
(0.40)
|
(0.03)
|
(0.90)
|
9.02
|
4.23%
|
34,947
|
0.62%
|
4.45%
|
0.62%
|
35.10%
|
10/31/2019
|
9.46
|
0.17
|
0.68
|
0.85
|
(0.18)
|
(0.61)
|
-
|
(0.79)
|
9.52
|
10.20%
|
35,709
|
0.63%
|
1.88%
|
0.63%
|
60.90%(g)
|
Class R Shares
|
|||||||||||||||
4/30/2024 (Unaudited)
|
7.86
|
0.21
|
0.58
|
0.79
|
(0.21)
|
(0.33)
|
-
|
(0.54)
|
8.11
|
10.00%
|
29,015
|
0.89%
|
5.03%
|
0.89%
|
7.53%
|
10/31/2023
|
7.87
|
0.08
|
0.20
|
0.28
|
(0.09)
|
(0.20)
|
-
|
(0.29)
|
7.86
|
3.62%
|
31,112
|
0.88%
|
1.01%
|
0.88%
|
29.94%
|
10/31/2022
|
10.45
|
0.23
|
(1.89)
|
(1.66)
|
(0.28)
|
(0.64)
|
-
|
(0.92)
|
7.87
|
(17.37)%
|
36,146
|
0.89%
|
2.62%
|
0.89%
|
35.82%
|
10/31/2021
|
8.99
|
0.19
|
1.48
|
1.67
|
(0.21)
|
-
|
-
|
(0.21)
|
10.45
|
18.73%
|
53,769
|
0.88%
|
1.91%
|
0.88%
|
41.52%
|
10/31/2020
|
9.49
|
0.38
|
(0.01)
|
0.37
|
(0.44)
|
(0.40)
|
(0.03)
|
(0.87)
|
8.99
|
3.94%
|
50,822
|
0.89%
|
4.16%
|
0.89%
|
35.10%
|
10/31/2019
|
9.43
|
0.15
|
0.68
|
0.83
|
(0.16)
|
(0.61)
|
-
|
(0.77)
|
9.49
|
9.94%
|
61,566
|
0.88%
|
1.63%
|
0.88%
|
60.90%(g)
|
Class R6 Shares
|
|||||||||||||||
4/30/2024 (Unaudited)
|
7.97
|
0.23
|
0.61
|
0.84
|
(0.24)
|
(0.33)
|
-
|
(0.57)
|
8.24
|
10.47%
|
52,122
|
0.14%
|
5.56%
|
0.14%
|
7.53%
|
10/31/2023
|
7.98
|
0.15
|
0.20
|
0.35
|
(0.16)
|
(0.20)
|
-
|
(0.36)
|
7.97
|
4.45%
|
50,431
|
0.14%
|
1.78%
|
0.14%
|
29.94%
|
10/31/2022
|
10.58
|
0.30
|
(1.92)
|
(1.62)
|
(0.34)
|
(0.64)
|
-
|
(0.98)
|
7.98
|
(16.78)%
|
53,971
|
0.13%
|
3.36%
|
0.13%
|
35.82%
|
10/31/2021
|
9.10
|
0.27
|
1.49
|
1.76
|
(0.28)
|
-
|
-
|
(0.28)
|
10.58
|
19.56%
|
71,166
|
0.14%
|
2.63%
|
0.14%
|
41.52%
|
10/31/2020
|
9.60
|
0.46
|
(0.02)
|
0.44
|
(0.51)
|
(0.40)
|
(0.03)
|
(0.94)
|
9.10
|
4.72%
|
61,606
|
0.13%
|
5.03%
|
0.13%
|
35.10%
|
10/31/2019
|
9.53
|
0.22
|
0.69
|
0.91
|
(0.23)
|
(0.61)
|
-
|
(0.84)
|
9.60
|
10.79%
|
69,059
|
0.13%
|
2.38%
|
0.13%
|
60.90%(g)
|
Institutional Service Class Shares
|
|||||||||||||||
4/30/2024 (Unaudited)
|
7.91
|
0.22
|
0.59
|
0.81
|
(0.22)
|
(0.33)
|
-
|
(0.55)
|
8.17
|
10.29%
|
40,382
|
0.39%
|
5.23%
|
0.39%
|
7.53%
|
10/31/2023
|
7.92
|
0.12
|
0.21
|
0.33
|
(0.14)
|
(0.20)
|
-
|
(0.34)
|
7.91
|
4.15%
|
38,860
|
0.39%
|
1.49%
|
0.39%
|
29.94%
|
10/31/2022
|
10.51
|
0.27
|
(1.90)
|
(1.63)
|
(0.32)
|
(0.64)
|
-
|
(0.96)
|
7.92
|
(17.01)%
|
40,181
|
0.38%
|
3.01%
|
0.38%
|
35.82%
|
10/31/2021
|
9.04
|
0.30
|
1.42
|
1.72
|
(0.25)
|
-
|
-
|
(0.25)
|
10.51
|
19.28%
|
50,249
|
0.38%
|
2.98%
|
0.38%
|
41.52%
|
10/31/2020
|
9.54
|
0.43
|
(0.02)
|
0.41
|
(0.48)
|
(0.40)
|
(0.03)
|
(0.91)
|
9.04
|
4.48%
|
133,496
|
0.39%
|
4.79%
|
0.39%
|
35.10%
|
10/31/2019
|
9.47
|
0.19
|
0.69
|
0.88
|
(0.20)
|
(0.61)
|
-
|
(0.81)
|
9.54
|
10.57%
|
132,986
|
0.38%
|
2.11%
|
0.38%
|
60.90%(g)
|
Amounts designated as "-" are zero or have been rounded to zero.
|
|
(a)
|
Per share calculations were performed using average shares method.
|
(b)
|
Excludes sales charge.
|
(c)
|
Not annualized for periods less than one year.
|
(d)
|
Annualized for periods less than one year.
|
(e)
|
Expense ratios are based on the direct expenses of the Fund and do not include the effect of the underlying funds' expenses. For additional information on the underlying funds, please refer to the Prospectus and Statement of Additional Information.
|
(f)
|
Portfolio turnover is calculated on the basis of the Fund as a whole without distinguishing among the classes of shares.
|
(g)
|
Portfolio turnover excludes securities received or delivered in-kind.
|
Period Ended
|
Net Asset
Value, Beginning of Period |
Net
Investment Income (a) |
Net Realized
and Unrealized Gains (Losses) from Investments |
Total from Operations
|
Net
Investment Income |
Net
Realized Gains |
Total
Distributions |
Net Asset
Value, End of Period |
Total Return
(b)(c) |
Net Assets,
End of Period (In Thousands) |
Ratio of
Expenses to Average Net Assets (d)(e) |
Ratio
of Net Investment Income to Average Net Assets (d)(e) |
Ratio of
Expenses (Prior to Reimburse- ments) to Average Net Assets (d)(e) |
Portfolio
Turnover (c)(f) |
Class A Shares
|
||||||||||||||
4/30/2024 (Unaudited)
|
$6.89
|
$0.19
|
$0.46
|
$0.65
|
$(0.19)
|
$(0.16)
|
$(0.35)
|
$7.19
|
9.49%
|
$16,930
|
0.59%
|
5.20%
|
0.59%
|
6.81%
|
10/31/2023
|
6.95
|
0.10
|
0.14
|
0.24
|
(0.12)
|
(0.18)
|
(0.30)
|
6.89
|
3.42%
|
16,350
|
0.58%
|
1.47%
|
0.58%
|
21.72%
|
10/31/2022
|
9.09
|
0.22
|
(1.53)
|
(1.31)
|
(0.26)
|
(0.57)
|
(0.83)
|
6.95
|
(15.90)%
|
18,719
|
0.59%
|
2.82%
|
0.59%
|
40.04%
|
10/31/2021
|
8.20
|
0.20
|
0.89
|
1.09
|
(0.20)
|
-
|
(0.20)
|
9.09
|
13.41%
|
28,374
|
0.60%
|
2.22%
|
0.60%
|
33.36%
|
10/31/2020
|
8.44
|
0.31
|
0.11
|
0.42
|
(0.37)
|
(0.29)
|
(0.66)
|
8.20
|
5.18%
|
32,709
|
0.60%
|
3.74%
|
0.60%
|
31.60%
|
10/31/2019
|
8.30
|
0.17
|
0.52
|
0.69
|
(0.17)
|
(0.38)
|
(0.55)
|
8.44
|
9.13%
|
5,844
|
0.61%
|
2.02%
|
0.61%
|
64.58%(g)
|
Class R Shares
|
||||||||||||||
4/30/2024 (Unaudited)
|
6.85
|
0.18
|
0.46
|
0.64
|
(0.18)
|
(0.16)
|
(0.34)
|
7.15
|
9.43%
|
27,080
|
0.89%
|
4.97%
|
0.89%
|
6.81%
|
10/31/2023
|
6.91
|
0.08
|
0.13
|
0.21
|
(0.09)
|
(0.18)
|
(0.27)
|
6.85
|
3.10%
|
27,378
|
0.88%
|
1.17%
|
0.88%
|
21.72%
|
10/31/2022
|
9.04
|
0.19
|
(1.52)
|
(1.33)
|
(0.23)
|
(0.57)
|
(0.80)
|
6.91
|
(16.13)%
|
33,580
|
0.89%
|
2.48%
|
0.89%
|
40.04%
|
10/31/2021
|
8.16
|
0.17
|
0.88
|
1.05
|
(0.17)
|
-
|
(0.17)
|
9.04
|
13.04%
|
48,391
|
0.88%
|
1.91%
|
0.88%
|
33.36%
|
10/31/2020
|
8.40
|
0.29
|
0.10
|
0.39
|
(0.34)
|
(0.29)
|
(0.63)
|
8.16
|
4.88%
|
52,827
|
0.88%
|
3.51%
|
0.88%
|
31.60%
|
10/31/2019
|
8.26
|
0.14
|
0.53
|
0.67
|
(0.15)
|
(0.38)
|
(0.53)
|
8.40
|
8.83%
|
18,483
|
0.89%
|
1.76%
|
0.89%
|
64.58%(g)
|
Class R6 Shares
|
||||||||||||||
4/30/2024 (Unaudited)
|
6.91
|
0.21
|
0.46
|
0.67
|
(0.21)
|
(0.16)
|
(0.37)
|
7.21
|
9.71%
|
36,952
|
0.14%
|
5.68%
|
0.14%
|
6.81%
|
10/31/2023
|
6.98
|
0.14
|
0.13
|
0.27
|
(0.16)
|
(0.18)
|
(0.34)
|
6.91
|
3.85%
|
33,990
|
0.13%
|
1.92%
|
0.13%
|
21.72%
|
10/31/2022
|
9.12
|
0.25
|
(1.53)
|
(1.28)
|
(0.29)
|
(0.57)
|
(0.86)
|
6.98
|
(15.45)%
|
36,346
|
0.13%
|
3.23%
|
0.13%
|
40.04%
|
10/31/2021
|
8.23
|
0.24
|
0.89
|
1.13
|
(0.24)
|
-
|
(0.24)
|
9.12
|
13.89%
|
50,257
|
0.14%
|
2.68%
|
0.14%
|
33.36%
|
10/31/2020
|
8.47
|
0.37
|
0.09
|
0.46
|
(0.41)
|
(0.29)
|
(0.70)
|
8.23
|
5.66%
|
58,625
|
0.13%
|
4.46%
|
0.13%
|
31.60%
|
10/31/2019
|
8.33
|
0.21
|
0.52
|
0.73
|
(0.21)
|
(0.38)
|
(0.59)
|
8.47
|
9.60%
|
13,854
|
0.13%
|
2.50%
|
0.13%
|
64.58%(g)
|
Institutional Service Class Shares
|
||||||||||||||
4/30/2024 (Unaudited)
|
6.90
|
0.20
|
0.46
|
0.66
|
(0.20)
|
(0.16)
|
(0.36)
|
7.20
|
9.59%
|
18,614
|
0.39%
|
5.42%
|
0.39%
|
6.81%
|
10/31/2023
|
6.96
|
0.12
|
0.13
|
0.25
|
(0.13)
|
(0.18)
|
(0.31)
|
6.90
|
3.67%
|
18,569
|
0.38%
|
1.68%
|
0.38%
|
21.72%
|
10/31/2022
|
9.10
|
0.23
|
(1.53)
|
(1.30)
|
(0.27)
|
(0.57)
|
(0.84)
|
6.96
|
(15.71)%
|
21,738
|
0.38%
|
3.00%
|
0.38%
|
40.04%
|
10/31/2021
|
8.21
|
0.26
|
0.85
|
1.11
|
(0.22)
|
-
|
(0.22)
|
9.10
|
13.64%
|
30,819
|
0.38%
|
2.95%
|
0.38%
|
33.36%
|
10/31/2020
|
8.45
|
0.36
|
0.08
|
0.44
|
(0.39)
|
(0.29)
|
(0.68)
|
8.21
|
5.40%
|
101,569
|
0.38%
|
4.40%
|
0.38%
|
31.60%
|
10/31/2019
|
8.31
|
0.18
|
0.53
|
0.71
|
(0.19)
|
(0.38)
|
(0.57)
|
8.45
|
9.35%
|
25,844
|
0.38%
|
2.21%
|
0.38%
|
64.58%(g)
|
Amounts designated as "-" are zero or have been rounded to zero.
|
|
(a)
|
Per share calculations were performed using average shares method.
|
(b)
|
Excludes sales charge.
|
(c)
|
Not annualized for periods less than one year.
|
(d)
|
Annualized for periods less than one year.
|
(e)
|
Expense ratios are based on the direct expenses of the Fund and do not include the effect of the underlying funds' expenses. For additional information on the underlying funds, please refer to the Prospectus and Statement of Additional Information.
|
(f)
|
Portfolio turnover is calculated on the basis of the Fund as a whole without distinguishing among the classes of shares.
|
(g)
|
Portfolio turnover excludes securities received or delivered in-kind.
|
Target Fund
|
Acquiring Fund
|
Nationwide Destination 2025 Fund
|
Nationwide Destination Retirement Fund
|
Class A
|
Class A
|
Class R
|
Class R
|
Class R6
|
Class R6
|
Institutional Service Class
|
Institutional Service Class
|
Table of Contents
|
|
GENERAL INFORMATION
|
3
|
INCORPORATION OF DOCUMENTS BY REFERENCE INTO THE SAI
|
3
|
SUPPLEMENTAL FINANCIAL INFORMATION
|
3
|
|
1. |
Statement of Additional Information dated February 28, 2024, as revised and supplemented to date, with respect to the Target Fund and Acquiring Fund (previously filed on EDGAR, Accession No. 0001193125-24-039904).
|
2. |
The audited financial statements and related report of PricewaterhouseCoopers LLP, the independent registered accounting firm, included in the Target Fund's and Acquiring Fund's Annual Report to Shareholders for the reporting period ended October 31, 2023, as amended to date (previously filed on EDGAR, Accession No. 0001839673-23-000052). No other parts of the Annual Report are incorporated herein by reference.
|
3. |
The financial statements included in the Target Fund's and Acquiring Fund's Semiannual Report to Shareholders for the reporting period ended April 30, 2024, as amended to date (previously filed on EDGAR, Accession No.0001839673-24-000015). No other parts of the Semiannual Report are incorporated herein by reference.
|