<?xml version="1.0" encoding="UTF-8"?>
<edgarSubmission xmlns="http://www.sec.gov/edgar/ncen" xmlns:com="http://www.sec.gov/edgar/common">
  <schemaVersion>X0505</schemaVersion>
  <headerData>
    <submissionType>N-CEN</submissionType>
    <filerInfo>
      <liveTestFlag>LIVE</liveTestFlag>
      <filer>
        <issuerCredentials>
          <cik>0000353905</cik>
          <ccc>XXXXXXXX</ccc>
        </issuerCredentials>
        <fileNumber>811-03213</fileNumber>
      </filer>
      <flags>
        <overrideInternetFlag>false</overrideInternetFlag>
        <confirmingCopyFlag>false</confirmingCopyFlag>
      </flags>
      <investmentCompanyType>N-1A</investmentCompanyType>
    </filerInfo>
    <seriesClass>
      <reportSeriesClass>
        <rptIncludeAllSeriesFlag>true</rptIncludeAllSeriesFlag>
      </reportSeriesClass>
    </seriesClass>
  </headerData>
  <formData>
    <generalInfo reportEndingPeriod="2025-12-31" isReportPeriodLt12="N"/>
    <registrantInfo>
      <registrantFullName>Nationwide Variable Insurance Trust</registrantFullName>
      <investmentCompFileNo>811-03213</investmentCompFileNo>
      <registrantCik>0000353905</registrantCik>
      <registrantLei>549300WLMVM3JP578846</registrantLei>
      <registrantstreet1>One Nationwide Plaza</registrantstreet1>
      <registrantcity>Columbus</registrantcity>
      <registrantzipCode>43215</registrantzipCode>
      <registrantstate>US-OH</registrantstate>
      <registrantcountry>US</registrantcountry>
      <registrantphoneNumber>614-435-3820</registrantphoneNumber>
      <websites>
        <website webpage=" https://www.nationwide.com/mutual-funds-nvit-funds.jsp "/>
      </websites>
      <locationBooksRecords>
        <locationBooksRecord>
          <officeName>JPMorgan Chase Bank</officeName>
          <officeAddress1>70 Fargo Street</officeAddress1>
          <officeCity>Boston</officeCity>
          <officeStateCountry officeCountry="US" officeState="US-MA"/>
          <officeRecordsZipCode>02210</officeRecordsZipCode>
          <officePhone>800-935-9935</officePhone>
          <booksRecordsDesc>Financial Statements Work papers</booksRecordsDesc>
        </locationBooksRecord>
      </locationBooksRecords>
      <isRegistrantFirstFiling>N</isRegistrantFirstFiling>
      <isRegistrantLastFiling>N</isRegistrantLastFiling>
      <registrantFamilyInvComp isRegistrantFamilyInvComp="Y" familyInvCompFullName="Nationwide Mutual Funds"/>
      <registrantClassificationType>N-1A</registrantClassificationType>
      <totalSeries>69</totalSeries>
      <terminatedSeries>
        <terminatedSeriesInfo seriesName="NVIT BNY Mellon Core Plus Bond Fund" seriesId="S000021033" terminationDate="03/2025"/>
        <terminatedSeriesInfo seriesName="NVIT NS Partners International Focused Growth Fund" seriesId="S000021034" terminationDate="10/2025"/>
      </terminatedSeries>
      <isSecuritiesActRegistration>Y</isSecuritiesActRegistration>
      <directors>
        <director>
          <directorName>Barbara I. Jacobs</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-08495"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Carol A. Kosel</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-08495"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Charlotte Tiedemann Petersen</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-08495"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>David E. Wezdenko</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-08495"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Douglas F. Kridler</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-08495"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Keith F. Karlawish</directorName>
          <crdNumber>001981565</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-08495"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Kristina Junco Bradshaw</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-08495"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Lorn C. Davis</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-08495"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>M. Diane Koken</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>Y</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-08495"/>
          </fileNumbers>
        </director>
      </directors>
      <chiefComplianceOfficers>
        <chiefComplianceOfficer>
          <ccoName>Nicholas T. Graham</ccoName>
          <crdNumber>004759764</crdNumber>
          <ccoStreet1>One Nationwide Plaza</ccoStreet1>
          <ccoCity>Columbus</ccoCity>
          <ccoStateCountry ccoCountry="US" ccoState="US-OH"/>
          <ccoZipCode>43215</ccoZipCode>
          <ccoPhone>XXXXXX</ccoPhone>
          <isCcoChangedSinceLastFiling>N</isCcoChangedSinceLastFiling>
          <ccoEmployers>
            <ccoEmployer ccoEmployerName="N/A" ccoEmployerId="N/A"/>
          </ccoEmployers>
        </chiefComplianceOfficer>
      </chiefComplianceOfficers>
      <securityMatterSeriesInfo isRegistrantSubmittedMatter="Y">
        <seriesInfo seriesName="NVIT GQG Quality Equity Fund (FKA: NVIT Calvert Equity Fund)" seriesId="S000021032"/>
        <seriesInfo seriesName="NVIT J.P. Morgan Large Cap Growth Fund" seriesId="S000075639"/>
      </securityMatterSeriesInfo>
      <isPreviousLegalProceeding>N</isPreviousLegalProceeding>
      <previousProceedingTerminated isPreviousProceedingTerminated="Y">
        <seriesInfo seriesName="NVIT Multi-Manager Small Cap Value Fund" seriesId="S000005418"/>
        <seriesInfo seriesName="NVIT Small Cap Index Fund" seriesId="S000012314"/>
      </previousProceedingTerminated>
      <isClaimFiled>N</isClaimFiled>
      <coveredByInsurancePolicy isCoveredByInsurancePolicy="Y" isClaimFiledDuringPeriod="N"/>
      <isFinancialSupportDuringPeriod>N</isFinancialSupportDuringPeriod>
      <releaseNumbers isExemptionFromAct="Y">
        <releaseNumberInfo releaseNumber="IC-23104"/>
        <releaseNumberInfo releaseNumber="IC-24619"/>
        <releaseNumberInfo releaseNumber="IC-25492"/>
        <releaseNumberInfo releaseNumber="IC-32115"/>
      </releaseNumbers>
      <principalUnderwriters>
        <principalUnderwriter>
          <principalUnderwriterName>NATIONWIDE FUND DISTRIBUTORS LLC</principalUnderwriterName>
          <principalUnderwriterFileNumber>8-42135</principalUnderwriterFileNumber>
          <principalUnderwriterCrdNumber>000025910</principalUnderwriterCrdNumber>
          <principalUnderwriterLei>N/A</principalUnderwriterLei>
          <principalUnderwriterRssdId>N/A</principalUnderwriterRssdId>
          <principalUnderWriterStateCountry principalUnderWriterCountry="US" principalUnderWriterState="US-OH"/>
          <isPrincipalUnderwriterAffiliatedWithRegistrant>Y</isPrincipalUnderwriterAffiliatedWithRegistrant>
        </principalUnderwriter>
      </principalUnderwriters>
      <isUnderwriterHiredOrTerminated>N</isUnderwriterHiredOrTerminated>
      <publicAccountants>
        <publicAccountant>
          <publicAccountantName>PRICEWATERHOUSECOOPERS LLP</publicAccountantName>
          <pcaobNumber>238</pcaobNumber>
          <publicAccountantLei>5493002GVO7EO8RNNS37</publicAccountantLei>
          <publicAccountantStateCountry publicAccountantCountry="US" publicAccountantState="US-PA"/>
        </publicAccountant>
      </publicAccountants>
      <isPublicAccountantChanged>N</isPublicAccountantChanged>
      <isMaterialWeakness>N</isMaterialWeakness>
      <isOpinionOffered>N</isOpinionOffered>
      <isMaterialChange>N</isMaterialChange>
      <isAccountingPrincipleChange>N</isAccountingPrincipleChange>
      <isPaymentErrorInNetAssetValue>N</isPaymentErrorInNetAssetValue>
      <isPaymentDividend>N</isPaymentDividend>
    </registrantInfo>
    <managementInvestmentQuestionSeriesInfo>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Allspring Discovery Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021036</mgmtInvSeriesId>
        <mgmtInvLei>549300NTM5SX81JK8P16</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000059814" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000059815" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>78960253.68906849</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>99192.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Allspring Global Investments, LLC</subAdviserName>
            <subAdviserFileNo>801-21122</subAdviserFileNo>
            <subAdviserCrdNo>000104973</subAdviserCrdNo>
            <subAdviserLei>549300B3H2IOO2L85I90</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Czech Republic and Slovakia, a.s.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>10524.15000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>33803.30000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>16426.31000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Raymond James &amp; Associates, Inc.</brokerName>
            <brokerFileNo>8-10999</brokerFileNo>
            <brokerCrdNo>000000705</brokerCrdNo>
            <brokerLei>U4ONQX15J3RO8XCKE979</brokerLei>
            <brokerStateCountry brokerState="US-FL" brokerCountry="US"/>
            <grossCommission>13895.01000000</grossCommission>
          </broker>
          <broker>
            <brokerName>William Blair &amp; Company, L.L.C.</brokerName>
            <brokerFileNo>8-02698</brokerFileNo>
            <brokerCrdNo>000001252</brokerCrdNo>
            <brokerLei>549300J0P7XYE8BMZ775</brokerLei>
            <brokerStateCountry brokerState="US-IL" brokerCountry="US"/>
            <grossCommission>14054.47000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>24625.68000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>14551.43000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Westminster Research Associates LLC</brokerName>
            <brokerFileNo>8-28900</brokerFileNo>
            <brokerCrdNo>000014508</brokerCrdNo>
            <brokerLei>54930026SYDE4SQNDN03</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>13359.98000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>13604.25000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>28091.56000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>256260.05000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Piper Sandler &amp; Co.</principalName>
            <principalFileNo>8-15204</principalFileNo>
            <principalCrdNo>000000665</principalCrdNo>
            <principalLei>549300GRQCWQ3XGH0H10</principalLei>
            <principalStateCountry principalState="US-MN" principalCountry="US"/>
            <principalTotalPurchaseSale>975349.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jefferies LLC</principalName>
            <principalFileNo>8-15074</principalFileNo>
            <principalCrdNo>000002347</principalCrdNo>
            <principalLei>58PU97L1C0WSRCWADL48</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>230066.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>346878.00000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>1552293.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>439409653.40076923</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT American Funds Asset Allocation Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000012215</mgmtInvSeriesId>
        <mgmtInvLei>549300D7IZ6P58J6SB41</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000033348" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <masterFeederFundInfo fundType="Master-Feeder Fund">
            <masterFunds masterFundName="American Asset Allocation Fund" masterFundFileNo="811-03857" masterFundSECFileNo="801-8055" masterFundLei="NZ0CKTWRMGPUOK1M2496"/>
          </masterFeederFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <aggregateCommission>0.00000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>6350232810.66615300</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT American Funds Bond Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000012216</mgmtInvSeriesId>
        <mgmtInvLei>5493001WUYSISPB8WG24</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000033350" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <masterFeederFundInfo fundType="Master-Feeder Fund">
            <masterFunds masterFundName="American Funds The Bond Fund of America" masterFundFileNo="811-03857" masterFundSECFileNo="801-8055" masterFundLei="FHEDDMKTP6L2RVHI1O58"/>
          </masterFeederFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <aggregateCommission>0.00000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>3290763515.76769210</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT American Funds Global Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000012214</mgmtInvSeriesId>
        <mgmtInvLei>549300I4L2YOQ86LEY97</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000033346" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <masterFeederFundInfo fundType="Master-Feeder Fund">
            <masterFunds masterFundName="American Global Growth Fund" masterFundFileNo="811-03857" masterFundSECFileNo="801-8055" masterFundLei="D3MER6QQK46EGG2D8R93"/>
          </masterFeederFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <aggregateCommission>0.00000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>633416839.45076931</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT American Funds Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000012213</mgmtInvSeriesId>
        <mgmtInvLei>549300OJFLFBEJ8K8Q65</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000033344" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <masterFeederFundInfo fundType="Master-Feeder Fund">
            <masterFunds masterFundName="American Growth Fund" masterFundFileNo="811-03857" masterFundSECFileNo="801-8055" masterFundLei="B17BZT6N2A8R48VTU480"/>
          </masterFeederFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <aggregateCommission>0.00000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>2265887721.20615340</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT American Funds Growth-Income Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000016867</mgmtInvSeriesId>
        <mgmtInvLei>549300TITYIJLBUOEE69</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000046995" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <masterFeederFundInfo fundType="Master-Feeder Fund">
            <masterFunds masterFundName="American Growth-Income Fund" masterFundFileNo="811-03857" masterFundSECFileNo="801-8055" masterFundLei="UCVW0L2W23MYYH7ZDY46"/>
          </masterFeederFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <aggregateCommission>0.00000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>4136439518.70846080</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT BNY Mellon Dynamic U.S. Core Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000025033</mgmtInvSeriesId>
        <mgmtInvLei>549300FVYVEHG1LE2I27</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000074474" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000074472" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>114077699.63593800</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>120708.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Newton Investment Management North America, LLC</subAdviserName>
            <subAdviserFileNo>801-120501</subAdviserFileNo>
            <subAdviserCrdNo>000312937</subAdviserCrdNo>
            <subAdviserLei>549300USELNALQ9OYY51</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>11896.23000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Cantor Fitzgerald &amp; Co.</brokerName>
            <brokerFileNo>8-00201</brokerFileNo>
            <brokerCrdNo>000000134</brokerCrdNo>
            <brokerLei>5493004J7H4GCPG6OB62</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>894.63000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1974.62000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>900.03000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1430.16000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>92585.01000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3367.08000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Macquarie Capital (USA) Inc.</brokerName>
            <brokerFileNo>8-47198</brokerFileNo>
            <brokerCrdNo>000036368</brokerCrdNo>
            <brokerLei>549300670K07JRB5UQ40</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1037.30000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Sanford C. Bernstein &amp; Co., LLC</brokerName>
            <brokerFileNo>8-52942</brokerFileNo>
            <brokerCrdNo>000104474</brokerCrdNo>
            <brokerLei>549300I7JYZHT7D5CO04</brokerLei>
            <brokerStateCountry brokerState="US-TN" brokerCountry="US"/>
            <grossCommission>821.73000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1706.42000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>116981.75000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>40505939.28000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Piper Sandler &amp; Co.</principalName>
            <principalFileNo>8-15204</principalFileNo>
            <principalCrdNo>000000665</principalCrdNo>
            <principalLei>549300GRQCWQ3XGH0H10</principalLei>
            <principalStateCountry principalState="US-MN" principalCountry="US"/>
            <principalTotalPurchaseSale>2195625.71000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>13878081.35000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>284565444.11000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>30216442.43000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>RBC Capital Markets, LLC</principalName>
            <principalFileNo>8-45411</principalFileNo>
            <principalCrdNo>000031194</principalCrdNo>
            <principalLei>549300LCO2FLSSVFFR64</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2252623.25000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Macquarie Capital (USA) Inc.</principalName>
            <principalFileNo>8-47198</principalFileNo>
            <principalCrdNo>000036368</principalCrdNo>
            <principalLei>549300670K07JRB5UQ40</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>142860.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>51896512.57000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Bank of Montreal</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>NQQ6HPCNCCU6TUTQYE16</principalLei>
            <principalCountry>CA</principalCountry>
            <principalTotalPurchaseSale>71534295.85999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>497187824.56000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>2399437027.15153840</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Derivative-interest rate</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT BNY Mellon Dynamic U.S. Equity Income Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000025032</mgmtInvSeriesId>
        <mgmtInvLei>549300IIB7IHXM406B03</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>4</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000074469" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000074470" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class X Shares" sharesOutstandingClassId="C000220662" sharesOutstandingTickerSymbol="NA"/>
          <sharesOutstanding sharesOutstandingClassName="Class Z Shares" sharesOutstandingClassId="C000220661" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>35489829.37317369</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>37787.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17a-8 (17 CFR 270.17a-8)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Newton Investment Management North America, LLC</subAdviserName>
            <subAdviserFileNo>801-120501</subAdviserFileNo>
            <subAdviserCrdNo>000312937</subAdviserCrdNo>
            <subAdviserLei>549300USELNALQ9OYY51</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP PARIBAS</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>GR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Citi Mexico S.A.</custodianName>
            <custodianLei>529900H31AYI6WA1J534</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Leumi le-Israel B.M.</custodianName>
            <custodianLei>7JDSZWRGUQY2DSTWCR57</custodianLei>
            <custodianCountry>IL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS Bank Spain, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS Bank Ltd</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>HU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>FirstRand Bank Limited</custodianName>
            <custodianLei>ZAYQDKTCATIXF9OQY690</custodianLei>
            <custodianCountry>ZA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Bermuda Limited</custodianName>
            <custodianLei>0W1U67PTV5WY3WYWKD79</custodianLei>
            <custodianCountry>BM</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>NO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Austria AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Czech Republic and Slovakia, a.s.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>19907.56000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>17449.65000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Keefe, Bruyette &amp; Woods, Inc.</brokerName>
            <brokerFileNo>8-10888</brokerFileNo>
            <brokerCrdNo>000000481</brokerCrdNo>
            <brokerLei>549300OM47DQV01G4854</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>20276.64000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>55191.42000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>13721.24000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>45235.10000000</grossCommission>
          </broker>
          <broker>
            <brokerName>TD SECURITIES (USA) LLC</brokerName>
            <brokerFileNo>8-36747</brokerFileNo>
            <brokerCrdNo>000018476</brokerCrdNo>
            <brokerLei>SUVUFHICNZMP2WKHG940</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>21863.19000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Leerink Partners LLC</brokerName>
            <brokerFileNo>8-48535</brokerFileNo>
            <brokerCrdNo>000039011</brokerCrdNo>
            <brokerLei>549300AAH7U76CEUBI94</brokerLei>
            <brokerStateCountry brokerState="US-MA" brokerCountry="US"/>
            <grossCommission>13260.27000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Sanford C. Bernstein &amp; Co., LLC</brokerName>
            <brokerFileNo>8-52942</brokerFileNo>
            <brokerCrdNo>000104474</brokerCrdNo>
            <brokerLei>549300I7JYZHT7D5CO04</brokerLei>
            <brokerStateCountry brokerState="US-TN" brokerCountry="US"/>
            <grossCommission>15682.30000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Wells Fargo Securities, LLC</brokerName>
            <brokerFileNo>8-65876</brokerFileNo>
            <brokerCrdNo>000126292</brokerCrdNo>
            <brokerLei>VYVVCKR63DVZZN70PB21</brokerLei>
            <brokerStateCountry brokerState="US-NC" brokerCountry="US"/>
            <grossCommission>16513.75000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>323196.89000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>21537320.80000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Bank of Montreal</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>NQQ6HPCNCCU6TUTQYE16</principalLei>
            <principalCountry>CA</principalCountry>
            <principalTotalPurchaseSale>95940495.51999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>117477816.31999999</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>623238573.23076928</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Derivative-interest rate</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT BlackRock Equity Dividend Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005422</mgmtInvSeriesId>
        <mgmtInvLei>549300H7PZ48QXQFFM57</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014751" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014752" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class IV Shares" sharesOutstandingClassId="C000014753" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>31626173.91472620</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>40967.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>BlackRock Investment Management, LLC</subAdviserName>
            <subAdviserFileNo>801-56972</subAdviserFileNo>
            <subAdviserCrdNo>000108928</subAdviserCrdNo>
            <subAdviserLei>5493006MRTEZZ4S4CQ20</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Citi Mexico S.A.</custodianName>
            <custodianLei>529900H31AYI6WA1J534</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Leumi le-Israel B.M.</custodianName>
            <custodianLei>7JDSZWRGUQY2DSTWCR57</custodianLei>
            <custodianCountry>IL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS Bank Spain, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank del Peru S.A.</custodianName>
            <custodianLei>MYTK5NHHP1G8TVFGT193</custodianLei>
            <custodianCountry>PE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS Bank Ltd</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>HU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>IE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>FirstRand Bank Limited</custodianName>
            <custodianLei>ZAYQDKTCATIXF9OQY690</custodianLei>
            <custodianCountry>ZA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>NO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Korea Limited</custodianName>
            <custodianLei>NUXTG47HHHM1K2L0SG39</custodianLei>
            <custodianCountry>KR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Austria AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Czech Republic and Slovakia, a.s.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>24475.98000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>20992.71000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>26031.11000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>17693.66999999</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>15217.84000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>35483.44999999</grossCommission>
          </broker>
          <broker>
            <brokerName>TD SECURITIES (USA) LLC</brokerName>
            <brokerFileNo>8-36747</brokerFileNo>
            <brokerCrdNo>000018476</brokerCrdNo>
            <brokerLei>SUVUFHICNZMP2WKHG940</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>10646.88000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>21077.65000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4352.83000000</grossCommission>
          </broker>
          <broker>
            <brokerName>CastleOak Securities, L.P.</brokerName>
            <brokerFileNo>8-65786</brokerFileNo>
            <brokerCrdNo>000125334</brokerCrdNo>
            <brokerLei>549300MXL7C60HZ59S65</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1642.77000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>187410.02000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1846366.50000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>1846366.50000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>558100531.79307687</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Master limited partnership</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT BlackRock Managed Global Allocation Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000049097</mgmtInvSeriesId>
        <mgmtInvLei>549300XNF1877UTCUI72</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000154836" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>NATIONWIDE ASSET MANAGEMENT, LLC</subAdviserName>
            <subAdviserFileNo>801-67833</subAdviserFileNo>
            <subAdviserCrdNo>000143668</subAdviserCrdNo>
            <subAdviserLei>549300SJ9GM0PAURM839</subAdviserLei>
            <isSubAdviserAffiliated>Y</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-OH" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>12651.30000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>12651.30000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>323969084.64538467</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Blueprint Aggressive Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021213</mgmtInvSeriesId>
        <mgmtInvLei>549300L510CM1VPV0R13</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000060396" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000060397" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000244891" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>136.72999999</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>136.72999999</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>27720.48000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>71286.02000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>5248844.07000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>331664.52000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>447748.09000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>285149.81000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>6412412.99000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>269591924.20769233</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Blueprint Balanced Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021217</mgmtInvSeriesId>
        <mgmtInvLei>5493001S7SX5GQOZQB85</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000060405" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000060404" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000244895" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>522.54999999</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>522.54999999</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1141026.72000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1221591.48000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>31392567.68000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2607835.34000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>4718199.22000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>735560.67000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>41816781.11000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1477045482.46307660</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Blueprint Capital Appreciation Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021215</mgmtInvSeriesId>
        <mgmtInvLei>5493008CQ8SHOGDRMC26</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000060400" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000060401" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000244893" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>735.71000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>735.71000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1171800.05000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2176418.39000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>35968770.75000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>3654070.42000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>4539949.45000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1799470.72000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>49310479.78000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1847076603.43461510</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Blueprint Conservative Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021219</mgmtInvSeriesId>
        <mgmtInvLei>5493001K6VFO3KDX7Z22</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000060408" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000060409" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000244897" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>142.28000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>142.28000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>536126.19999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1064714.55000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>10009078.93999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1035639.42000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1602225.70000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>318445.12000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>14566229.93000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>454566736.79615378</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Blueprint Managed Growth &amp; Income Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000040617</mgmtInvSeriesId>
        <mgmtInvLei>5493003JIMSRA2U17242</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000139947" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000125905" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>NATIONWIDE ASSET MANAGEMENT, LLC</subAdviserName>
            <subAdviserFileNo>801-67833</subAdviserFileNo>
            <subAdviserCrdNo>000143668</subAdviserCrdNo>
            <subAdviserLei>549300SJ9GM0PAURM839</subAdviserLei>
            <isSubAdviserAffiliated>Y</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-OH" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>14149.20000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>164.69000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>14313.89000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1163240.89999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>691413.01000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>30562329.69000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1154423.42000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>884878.11000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>955265.02000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>35411550.14999999</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>465517345.19538468</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Blueprint Managed Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000040616</mgmtInvSeriesId>
        <mgmtInvLei>549300DRY7X84KA8UP24</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000139946" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000125904" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>NATIONWIDE ASSET MANAGEMENT, LLC</subAdviserName>
            <subAdviserFileNo>801-67833</subAdviserFileNo>
            <subAdviserCrdNo>000143668</subAdviserCrdNo>
            <subAdviserLei>549300SJ9GM0PAURM839</subAdviserLei>
            <isSubAdviserAffiliated>Y</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-OH" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>43383.94999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>462.20000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>43846.14999999</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1097009.35000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>969283.25000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>20274704.35000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1461736.06000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2019278.41000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2574138.83000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>28396150.25000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1079040803.29461530</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Blueprint Moderate Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021216</mgmtInvSeriesId>
        <mgmtInvLei>549300YH48WD12PG7V04</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000060402" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000060403" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000244894" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>644.87000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>644.87000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>968027.52000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1940587.73000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>37521425.96000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2950040.35000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>5555030.58000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>939995.19000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>49875107.33000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1814577466.56999990</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Blueprint Moderately Aggressive Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021214</mgmtInvSeriesId>
        <mgmtInvLei>549300Z6RB71UMVPE361</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000060398" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000060399" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000244892" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>258.89999999</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>258.89999999</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>124667.77000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>85207.20000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>9090266.08000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>338729.69000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>835212.96000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>256471.82000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>10730555.52000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>471428282.93769228</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Blueprint Moderately Conservative Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021218</mgmtInvSeriesId>
        <mgmtInvLei>549300FFNRXHOE3MUF92</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000060406" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000060407" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000244896" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>162.57000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>162.57000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>625211.86000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>737306.01000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>9626046.75999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1224623.55000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1502158.12000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>342944.49000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>14058290.78999999</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>470828348.89230764</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Bond Index Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000012312</mgmtInvSeriesId>
        <mgmtInvLei>549300X10AK0VTLHU121</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000139944" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000033502" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <indexFundInfo fundType="Index Fund">
            <isIndexFundAffiliated>N</isIndexFundAffiliated>
            <isIndexFundExclusive>N</isIndexFundExclusive>
            <indexFundReturnDiffBeforeExpense>0.00020000</indexFundReturnDiffBeforeExpense>
            <indexFundReturnDiffAfterExpense>-0.00240000</indexFundReturnDiffAfterExpense>
            <indexFundReturnDailyStdevBeforeExpense>0.00843543</indexFundReturnDailyStdevBeforeExpense>
            <indexFundReturnDailyStdevAfterExpense>0.00843538</indexFundReturnDailyStdevAfterExpense>
          </indexFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>275904340.37729400</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>307922.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>BlackRock Investment Management, LLC</subAdviserName>
            <subAdviserFileNo>801-56972</subAdviserFileNo>
            <subAdviserCrdNo>000108928</subAdviserCrdNo>
            <subAdviserLei>5493006MRTEZZ4S4CQ20</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <aggregateCommission>0.00000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>193022591.11000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>112696664.29000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Deutsche Bank Securities Inc.</principalName>
            <principalFileNo>8-17822</principalFileNo>
            <principalCrdNo>000002525</principalCrdNo>
            <principalLei>9J6MBOOO7BECTDTUZW19</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>108136151.20999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Nomura Securities International, Inc.</principalName>
            <principalFileNo>8-15255</principalFileNo>
            <principalCrdNo>000004297</principalCrdNo>
            <principalLei>OXTKY6Q8X53C9ILVV871</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>201345358.88999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>119301527.81000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1259752537.32999990</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>148577261.52000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Susquehanna Financial Group, LLLP</principalName>
            <principalFileNo>8-44325</principalFileNo>
            <principalCrdNo>000035865</principalCrdNo>
            <principalLei>549300E8QX0ZMRDC2M81</principalLei>
            <principalStateCountry principalState="US-PA" principalCountry="US"/>
            <principalTotalPurchaseSale>130551848.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities, LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>117075015.34000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1571000875.71000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>4530323701.02000050</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>2120632736.69769240</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>ABS-mortgage backed security</assetClassType>
            <assetClassType>ABS-other</assetClassType>
            <assetClassType>Debt</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT DoubleLine Total Return Tactical Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000058808</mgmtInvSeriesId>
        <mgmtInvLei>549300CN9NOZ0GD19B89</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000192909" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000192910" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000192911" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>Y</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>DoubleLine Capital LP</subAdviserName>
            <subAdviserFileNo>801-70942</subAdviserFileNo>
            <subAdviserCrdNo>000152606</subAdviserCrdNo>
            <subAdviserLei>549300AQKG3ZYRYGH003</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>609.62000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>185.35000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1357.50000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>10.00000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>55.00000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>2217.47000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>10289609.07000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>4723098.82000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Nomura Securities International, Inc.</principalName>
            <principalFileNo>8-15255</principalFileNo>
            <principalCrdNo>000004297</principalCrdNo>
            <principalLei>OXTKY6Q8X53C9ILVV871</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>4368965.38999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>5470770.75000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>7164595.16999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>SMBC Nikko Securities America, Inc.</principalName>
            <principalFileNo>8-43852</principalFileNo>
            <principalCrdNo>000028602</principalCrdNo>
            <principalLei>6PJDTY319315T5LR2241</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>3244445.51000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BMO Nesbitt Burns Securities Ltd.</principalName>
            <principalFileNo>8-50538</principalFileNo>
            <principalCrdNo>000044057</principalCrdNo>
            <principalLei>M3LKFDNSJGJ7TMLH6Z15</principalLei>
            <principalCountry>CA</principalCountry>
            <principalTotalPurchaseSale>4243060.67000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities, LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>3808476.29000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>9538693.03999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>SANTANDER INVESTMENT S.A.</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>959800PF0SJV8TSAB140</principalLei>
            <principalCountry>ES</principalCountry>
            <principalTotalPurchaseSale>5556889.80999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>77912768.58000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>94336973.15692308</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>ABS-collateralized bond/debt obligation</assetClassType>
            <assetClassType>ABS-mortgage backed security</assetClassType>
            <assetClassType>ABS-other</assetClassType>
            <assetClassType>Debt</assetClassType>
            <assetClassType>Derivative-interest rate</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Fidelity Institutional AM Emerging Markets Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005425</mgmtInvSeriesId>
        <mgmtInvLei>5493002UNR3UFZ70VL08</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>4</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class D Shares" sharesOutstandingClassId="C000168057" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014756" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014757" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000075321" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>418363.08574672</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>1084.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>FIAM LLC</subAdviserName>
            <subAdviserFileNo>801-63658</subAdviserFileNo>
            <subAdviserCrdNo>000133196</subAdviserCrdNo>
            <subAdviserLei>5493004TXEKSUW10AL66</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <subAdviserHired isSubAdviserHired="Y" subAdviserStartDate="2025-02-28"/>
          </subAdviser>
        </subAdvisers>
        <subAdvisersTerminated>
          <subAdviserTerminated>
            <subAdviserTerminatedName>NS Partners Ltd</subAdviserTerminatedName>
            <subAdviserTerminatedFileNo>801-26315</subAdviserTerminatedFileNo>
            <subAdviserTerminatedCrdNo>000110625</subAdviserTerminatedCrdNo>
            <subAdviserTerminatedLei>5493007WB278T7U8VH86</subAdviserTerminatedLei>
            <subAdviserTerminatedCountry>GB</subAdviserTerminatedCountry>
            <subAdviserTerminationDate>2025-02-28</subAdviserTerminationDate>
          </subAdviserTerminated>
        </subAdvisersTerminated>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP PARIBAS</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>GR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Citi Mexico S.A.</custodianName>
            <custodianLei>529900H31AYI6WA1J534</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Santander Chile</custodianName>
            <custodianLei>3YJP8HORPAEXJ80D6368</custodianLei>
            <custodianCountry>CL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Handlowy w. Warszawie S.A.</custodianName>
            <custodianLei>XLEZHWWOI4HFQDGL4793</custodianLei>
            <custodianCountry>PL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Leumi le-Israel B.M.</custodianName>
            <custodianLei>7JDSZWRGUQY2DSTWCR57</custodianLei>
            <custodianCountry>IL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS Bank Spain, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank A.S.</custodianName>
            <custodianLei>CWZ8NZDH5SKY12Q4US31</custodianLei>
            <custodianCountry>TR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank Europe plc</custodianName>
            <custodianLei>N1FBEDJ5J41VKZLO2475</custodianLei>
            <custodianCountry>BG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank Maghreb S.A.</custodianName>
            <custodianLei>5493003FVWLMBFTISI11</custodianLei>
            <custodianCountry>MA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank del Peru S.A.</custodianName>
            <custodianLei>MYTK5NHHP1G8TVFGT193</custodianLei>
            <custodianCountry>PE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank, N.A.</custodianName>
            <custodianLei>E57ODZWZ7FF32TWEFA76</custodianLei>
            <custodianCountry>EG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Cititrust Colombia S.A.</custodianName>
            <custodianLei>549300242J3IJCOSGI49</custodianLei>
            <custodianCountry>CO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS Bank Ltd</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>HU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>FirstRand Bank Limited</custodianName>
            <custodianLei>ZAYQDKTCATIXF9OQY690</custodianLei>
            <custodianCountry>ZA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank (Vietnam) Ltd.</custodianName>
            <custodianLei>213800H95OG9OHRT4Y78</custodianLei>
            <custodianCountry>VN</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Malaysia Berhad</custodianName>
            <custodianLei>P3RPN9OJFCXUPJWB1Q09</custodianLei>
            <custodianCountry>MY</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Middle East Limited</custodianName>
            <custodianLei>549300F99IL9YJDWH369</custodianLei>
            <custodianCountry>KW</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Middle East Limited</custodianName>
            <custodianLei>549300F99IL9YJDWH369</custodianLei>
            <custodianCountry>QA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Middle East Limited</custodianName>
            <custodianLei>549300F99IL9YJDWH369</custodianLei>
            <custodianCountry>AE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank International (Limited Liability Company)**</custodianName>
            <custodianLei>549300B831LSRSI6RA15</custodianLei>
            <custodianCountry>RU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan S.A. DTVM</custodianName>
            <custodianLei>5493001LS7J56NZZ3G07</custodianLei>
            <custodianCountry>BR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Saudi Arabia Company</custodianName>
            <custodianLei>549300HST49806XTCK29</custodianLei>
            <custodianCountry>SA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>IN</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>PT Bank HSBC Indonesia</custodianName>
            <custodianLei>213800HW5IDIRLWH1203</custodianLei>
            <custodianCountry>ID</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>FI</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank (Thai) Public Company Limited</custodianName>
            <custodianLei>549300O1LQYCQ7G1IM57</custodianLei>
            <custodianCountry>TH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Kenya Limited</custodianName>
            <custodianLei>549300RBHWW5EJIRG629</custodianLei>
            <custodianCountry>KE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Korea Limited</custodianName>
            <custodianLei>NUXTG47HHHM1K2L0SG39</custodianLei>
            <custodianCountry>KR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Uganda Limited</custodianName>
            <custodianLei>549300W7CNYGJ68XGD27</custodianLei>
            <custodianCountry>UG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Zambia Plc</custodianName>
            <custodianLei>549300247QDZHDI30A83</custodianLei>
            <custodianCountry>ZM</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>LK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Standard Chartered Bank (Taiwan) Limited</custodianName>
            <custodianLei>549300QJEO1B92LSHZ06</custodianLei>
            <custodianCountry>TW</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Austria AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Czech Republic and Slovakia, a.s.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>77516.42000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>37627.96000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>30888.94000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>27929.08000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>36037.58000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Instinet, LLC</brokerName>
            <brokerFileNo>8-23669</brokerFileNo>
            <brokerCrdNo>000007897</brokerCrdNo>
            <brokerLei>549300MGMN3RKMU8FT57</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>28685.02000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>38036.87999999</grossCommission>
          </broker>
          <broker>
            <brokerName>CLSA Americas, LLC</brokerName>
            <brokerFileNo>8-69166</brokerFileNo>
            <brokerCrdNo>000165533</brokerCrdNo>
            <brokerLei>213800M2DXATWY7JMS07</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>63266.80000000</grossCommission>
          </broker>
          <broker>
            <brokerName>State Street Global Markets, LLC</brokerName>
            <brokerFileNo>8-69862</brokerFileNo>
            <brokerCrdNo>000285852</brokerCrdNo>
            <brokerLei>549300FDEDF5ORXCMQ56</brokerLei>
            <brokerStateCountry brokerState="US-MA" brokerCountry="US"/>
            <grossCommission>51229.51000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Saudi Awwal Bank</brokerName>
            <brokerFileNo>N/A</brokerFileNo>
            <brokerCrdNo>N/A</brokerCrdNo>
            <brokerLei>558600TQS0WENZUC5190</brokerLei>
            <brokerCountry>SA</brokerCountry>
            <grossCommission>26931.38000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>560028.92000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1413224.65000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>3967347.80000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Fidelity Brokerage Services LLC</principalName>
            <principalFileNo>8-23292</principalFileNo>
            <principalCrdNo>000007784</principalCrdNo>
            <principalLei>549300OQFQ4NFIOD5695</principalLei>
            <principalStateCountry principalState="US-RI" principalCountry="US"/>
            <principalTotalPurchaseSale>5672.59000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Brown Brothers Investments, LLC</principalName>
            <principalFileNo>8-69731</principalFileNo>
            <principalCrdNo>000282732</principalCrdNo>
            <principalLei>5493006KMX1VFTPYPW14</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>3781216.43000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>State Street Global Markets, LLC</principalName>
            <principalFileNo>8-69862</principalFileNo>
            <principalCrdNo>000285852</principalCrdNo>
            <principalLei>549300FDEDF5ORXCMQ56</principalLei>
            <principalStateCountry principalState="US-MA" principalCountry="US"/>
            <principalTotalPurchaseSale>47583029.36999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Healthcare of Ontario Pension Plan Trust Fund</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>KRVONIXV1JBEY6WQ6092</principalLei>
            <principalCountry>CA</principalCountry>
            <principalTotalPurchaseSale>91472.26000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Nortrust Nominees Limited</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>213800WEXNBFHH3WYA45</principalLei>
            <principalCountry>GB</principalCountry>
            <principalTotalPurchaseSale>7175957.73000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Bank of New York Mellon Corp.</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>WFLLPEPC7FZXENRZV188</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1743128.50000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>65761049.32999999</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>206136655.88153845</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Fidelity Institutional AM Worldwide Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000090751</mgmtInvSeriesId>
        <mgmtInvLei>254900GDUAKPITZEWW19</mgmtInvLei>
        <isFirstFilingByFund>Y</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>2</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000258083" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000258081" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>824098.37013464</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>6048.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>FIAM LLC</subAdviserName>
            <subAdviserFileNo>801-63658</subAdviserFileNo>
            <subAdviserCrdNo>000133196</subAdviserCrdNo>
            <subAdviserLei>5493004TXEKSUW10AL66</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4363.05000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>6139.57000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2483.32000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1397.11000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>6280.43000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4804.18999999</grossCommission>
          </broker>
          <broker>
            <brokerName>National Financial Services LLC</brokerName>
            <brokerFileNo>8-26740</brokerFileNo>
            <brokerCrdNo>000013041</brokerCrdNo>
            <brokerLei>549300JRHF1MHHWUAW04</brokerLei>
            <brokerStateCountry brokerState="US-MA" brokerCountry="US"/>
            <grossCommission>1105.57000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BNP Paribas Securities Corp.</brokerName>
            <brokerFileNo>8-32682</brokerFileNo>
            <brokerCrdNo>000015794</brokerCrdNo>
            <brokerLei>RCNB6OTYUAMMP879YW96</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>666.17000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>648.24000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2725.45000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>34652.68000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>42375.01000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>148776.72000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Stifel, Nicolaus &amp; Company, Incorporated</principalName>
            <principalFileNo>8-01447</principalFileNo>
            <principalCrdNo>000000793</principalCrdNo>
            <principalLei>5WUVMA08EYG4KEUPW589</principalLei>
            <principalStateCountry principalState="US-MO" principalCountry="US"/>
            <principalTotalPurchaseSale>105000.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jefferies LLC</principalName>
            <principalFileNo>8-15074</principalFileNo>
            <principalCrdNo>000002347</principalCrdNo>
            <principalLei>58PU97L1C0WSRCWADL48</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>131400.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>88032.18000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Brown Brothers Investments, LLC</principalName>
            <principalFileNo>8-69731</principalFileNo>
            <principalCrdNo>000282732</principalCrdNo>
            <principalLei>5493006KMX1VFTPYPW14</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2200699.96000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>State Street Global Markets, LLC</principalName>
            <principalFileNo>8-69862</principalFileNo>
            <principalCrdNo>000285852</principalCrdNo>
            <principalLei>549300FDEDF5ORXCMQ56</principalLei>
            <principalStateCountry principalState="US-MA" principalCountry="US"/>
            <principalTotalPurchaseSale>3460295.63000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Nortrust Nominees Limited</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>213800WEXNBFHH3WYA45</principalLei>
            <principalCountry>GB</principalCountry>
            <principalTotalPurchaseSale>1080394.11000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Bank of New York Mellon Corp.</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>WFLLPEPC7FZXENRZV188</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>693008.29000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Healthcare of Ontario Pension Plan Trust Fund</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>KRVONIXV1JBEY6WQ6092</principalLei>
            <principalCountry>CA</principalCountry>
            <principalTotalPurchaseSale>443135.53000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>8457839.32000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>38272765.43307692</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT GQG US Quality Equity Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021032</mgmtInvSeriesId>
        <mgmtInvLei>5493006G1NIET1C33395</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000059800" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000059801" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>Y</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>3458468.52134247</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>7381.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>Y</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>GQG Partners LLC</subAdviserName>
            <subAdviserFileNo>801-107734</subAdviserFileNo>
            <subAdviserCrdNo>000283720</subAdviserCrdNo>
            <subAdviserLei>254900HGNGXGEITFPI44</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-FL" subAdviserCountry="US"/>
            <subAdviserHired isSubAdviserHired="Y" subAdviserStartDate="2025-06-17"/>
          </subAdviser>
        </subAdvisers>
        <subAdvisersTerminated>
          <subAdviserTerminated>
            <subAdviserTerminatedName>Atlanta Capital Management Company, L.L.C.</subAdviserTerminatedName>
            <subAdviserTerminatedFileNo>801-60673</subAdviserTerminatedFileNo>
            <subAdviserTerminatedCrdNo>000116719</subAdviserTerminatedCrdNo>
            <subAdviserTerminatedLei>5493001KJTIIGC8Y1R12</subAdviserTerminatedLei>
            <subAdviserTerminatedStateCountry subAdviserTerminatedState="US-DE" subAdviserTerminatedCountry="US"/>
            <subAdviserTerminationDate>2025-06-17</subAdviserTerminationDate>
          </subAdviserTerminated>
        </subAdvisersTerminated>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1428.48000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1260.61999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>3570.85000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>8280.66000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Capital Institutional Services, Inc.</brokerName>
            <brokerFileNo>8-22273</brokerFileNo>
            <brokerCrdNo>000007551</brokerCrdNo>
            <brokerLei>54930061X8RDWFDJIS05</brokerLei>
            <brokerStateCountry brokerState="US-TX" brokerCountry="US"/>
            <grossCommission>917.00000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>786.93000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>754.64000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>713.41000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BTIG, LLC</brokerName>
            <brokerFileNo>8-65473</brokerFileNo>
            <brokerCrdNo>000122225</brokerCrdNo>
            <brokerLei>549300GTG9PL6WO3EC51</brokerLei>
            <brokerStateCountry brokerState="US-CA" brokerCountry="US"/>
            <grossCommission>685.28000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1000.25000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>22843.11999999</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>5940.00000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>5940.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>97446403.74384616</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT GS Emerging Markets Equity Insights Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000066679</mgmtInvSeriesId>
        <mgmtInvLei>549300TOL4KE6DL7VG33</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000214896" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>9013771.39268882</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>89812.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Goldman Sachs Asset Management, L.P. </subAdviserName>
            <subAdviserFileNo>801-37591</subAdviserFileNo>
            <subAdviserCrdNo>000107738</subAdviserCrdNo>
            <subAdviserLei>CF5M58QA35CFPUX70H17</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP PARIBAS</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>GR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Citi Mexico S.A.</custodianName>
            <custodianLei>529900H31AYI6WA1J534</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Santander Chile</custodianName>
            <custodianLei>3YJP8HORPAEXJ80D6368</custodianLei>
            <custodianCountry>CL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Handlowy w. Warszawie S.A.</custodianName>
            <custodianLei>XLEZHWWOI4HFQDGL4793</custodianLei>
            <custodianCountry>PL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Leumi le-Israel B.M.</custodianName>
            <custodianLei>7JDSZWRGUQY2DSTWCR57</custodianLei>
            <custodianCountry>IL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank A.S.</custodianName>
            <custodianLei>CWZ8NZDH5SKY12Q4US31</custodianLei>
            <custodianCountry>TR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank del Peru S.A.</custodianName>
            <custodianLei>MYTK5NHHP1G8TVFGT193</custodianLei>
            <custodianCountry>PE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank, N.A.</custodianName>
            <custodianLei>E57ODZWZ7FF32TWEFA76</custodianLei>
            <custodianCountry>EG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Cititrust Colombia S.A.</custodianName>
            <custodianLei>549300242J3IJCOSGI49</custodianLei>
            <custodianCountry>CO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS Bank Ltd</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>HU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>FirstRand Bank Limited</custodianName>
            <custodianLei>ZAYQDKTCATIXF9OQY690</custodianLei>
            <custodianCountry>ZA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Malaysia Berhad</custodianName>
            <custodianLei>P3RPN9OJFCXUPJWB1Q09</custodianLei>
            <custodianCountry>MY</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Middle East Limited</custodianName>
            <custodianLei>549300F99IL9YJDWH369</custodianLei>
            <custodianCountry>QA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Middle East Limited</custodianName>
            <custodianLei>549300F99IL9YJDWH369</custodianLei>
            <custodianCountry>AE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank International (Limited Liability Company)**</custodianName>
            <custodianLei>549300B831LSRSI6RA15</custodianLei>
            <custodianCountry>RU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan S.A. DTVM</custodianName>
            <custodianLei>5493001LS7J56NZZ3G07</custodianLei>
            <custodianCountry>BR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Saudi Arabia Company</custodianName>
            <custodianLei>549300HST49806XTCK29</custodianLei>
            <custodianCountry>SA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>IN</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>PT Bank HSBC Indonesia</custodianName>
            <custodianLei>213800HW5IDIRLWH1203</custodianLei>
            <custodianCountry>ID</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank (Pakistan) Limited</custodianName>
            <custodianLei>549300YTOMKUNPUTB551</custodianLei>
            <custodianCountry>PK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank (Thai) Public Company Limited</custodianName>
            <custodianLei>549300O1LQYCQ7G1IM57</custodianLei>
            <custodianCountry>TH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Korea Limited</custodianName>
            <custodianLei>NUXTG47HHHM1K2L0SG39</custodianLei>
            <custodianCountry>KR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Standard Chartered Bank (Taiwan) Limited</custodianName>
            <custodianLei>549300QJEO1B92LSHZ06</custodianLei>
            <custodianCountry>TW</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Czech Republic and Slovakia, a.s.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>17460.15000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Daiwa Capital Markets America Inc.</brokerName>
            <brokerFileNo>8-12242</brokerFileNo>
            <brokerCrdNo>000001576</brokerCrdNo>
            <brokerLei>M67H5PRC0NQKM73ZAS82</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>18016.07000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>12603.03000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>134296.32000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>241611.25000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>179450.04000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>80838.44000000</grossCommission>
          </broker>
          <broker>
            <brokerName>National Financial Services LLC</brokerName>
            <brokerFileNo>8-26740</brokerFileNo>
            <brokerCrdNo>000013041</brokerCrdNo>
            <brokerLei>549300JRHF1MHHWUAW04</brokerLei>
            <brokerStateCountry brokerState="US-MA" brokerCountry="US"/>
            <grossCommission>22920.19000000</grossCommission>
          </broker>
          <broker>
            <brokerName>HSBC Securities (USA) Inc.</brokerName>
            <brokerFileNo>8-41562</brokerFileNo>
            <brokerCrdNo>000019585</brokerCrdNo>
            <brokerLei>CYYGQCGNHMHPSMRL3R97</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>49274.02000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Banco BTG Pactual S.A.</brokerName>
            <brokerFileNo>N/A</brokerFileNo>
            <brokerCrdNo>N/A</brokerCrdNo>
            <brokerLei>ZXLTQRYIK6IJH3R0IK66</brokerLei>
            <brokerCountry>BR</brokerCountry>
            <grossCommission>10164.99000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>786924.78000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>537148033.80769229</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Right</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT GS International Equity Insights Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000066680</mgmtInvSeriesId>
        <mgmtInvLei>549300G0DMX4NM7W1P30</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000214897" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>38423133.08980680</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>140203.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Goldman Sachs Asset Management, L.P. </subAdviserName>
            <subAdviserFileNo>801-37591</subAdviserFileNo>
            <subAdviserCrdNo>000107738</subAdviserCrdNo>
            <subAdviserLei>CF5M58QA35CFPUX70H17</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Leumi le-Israel B.M.</custodianName>
            <custodianLei>7JDSZWRGUQY2DSTWCR57</custodianLei>
            <custodianCountry>IL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS Bank Spain, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS Bank Ltd</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>IE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>DK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>FI</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>SE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>NO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Austria AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>45924.49000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Daiwa Capital Markets America Inc.</brokerName>
            <brokerFileNo>8-12242</brokerFileNo>
            <brokerCrdNo>000001576</brokerCrdNo>
            <brokerLei>M67H5PRC0NQKM73ZAS82</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>27423.89000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Nomura Securities International, Inc.</brokerName>
            <brokerFileNo>8-15255</brokerFileNo>
            <brokerCrdNo>000004297</brokerCrdNo>
            <brokerLei>OXTKY6Q8X53C9ILVV871</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>20505.45000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>72134.95000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>82526.89000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>76316.92999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>128982.02000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Sanford C. Bernstein &amp; Co., LLC</brokerName>
            <brokerFileNo>8-52942</brokerFileNo>
            <brokerCrdNo>000104474</brokerCrdNo>
            <brokerLei>549300I7JYZHT7D5CO04</brokerLei>
            <brokerStateCountry brokerState="US-TN" brokerCountry="US"/>
            <grossCommission>31479.80000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Kepler Capital Markets, Inc.</brokerName>
            <brokerFileNo>8-67194</brokerFileNo>
            <brokerCrdNo>000139148</brokerCrdNo>
            <brokerLei>254900VCHS9DMDUVZN16</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>9061.91000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>8511.39000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>509697.17000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>790529544.79307687</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Right</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT GS Large Cap Equity Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000066681</mgmtInvSeriesId>
        <mgmtInvLei>54930008BB8AKXCT8A47</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000214898" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>32125333.14535620</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>41966.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Goldman Sachs Asset Management, L.P. </subAdviserName>
            <subAdviserFileNo>801-37591</subAdviserFileNo>
            <subAdviserCrdNo>000107738</subAdviserCrdNo>
            <subAdviserLei>CF5M58QA35CFPUX70H17</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>63404.88000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Keybanc Capital Markets Inc.</brokerName>
            <brokerFileNo>8-30177</brokerFileNo>
            <brokerCrdNo>000000566</brokerCrdNo>
            <brokerLei>2EQWV0180Z211YVAD813</brokerLei>
            <brokerStateCountry brokerState="US-OH" brokerCountry="US"/>
            <grossCommission>17891.58000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>27588.06000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>61393.58000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>69680.38000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>55217.43000000</grossCommission>
          </broker>
          <broker>
            <brokerName>National Financial Services LLC</brokerName>
            <brokerFileNo>8-26740</brokerFileNo>
            <brokerCrdNo>000013041</brokerCrdNo>
            <brokerLei>549300JRHF1MHHWUAW04</brokerLei>
            <brokerStateCountry brokerState="US-MA" brokerCountry="US"/>
            <grossCommission>124808.85000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BMO Capital Markets Corp.</brokerName>
            <brokerFileNo>8-34344</brokerFileNo>
            <brokerCrdNo>000016686</brokerCrdNo>
            <brokerLei>RUC0QBLBRPRCU4W1NE59</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>12632.88000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Evercore Group L.L.C.</brokerName>
            <brokerFileNo>8-49830</brokerFileNo>
            <brokerCrdNo>000042405</brokerCrdNo>
            <brokerLei>5493008F0LRLS5N8LZ81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>27885.94000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>67551.87000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>583182.06000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1854264623.38307710</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT GS Small Cap Equity Insights Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000066682</mgmtInvSeriesId>
        <mgmtInvLei>5493000TJUJDS6YFNW19</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000214899" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>34372028.30857809</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>82639.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Goldman Sachs Asset Management, L.P. </subAdviserName>
            <subAdviserFileNo>801-37591</subAdviserFileNo>
            <subAdviserCrdNo>000107738</subAdviserCrdNo>
            <subAdviserLei>CF5M58QA35CFPUX70H17</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>756.72000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1059.95000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2385.39000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>110.37000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Instinet, LLC</brokerName>
            <brokerFileNo>8-23669</brokerFileNo>
            <brokerCrdNo>000007897</brokerCrdNo>
            <brokerLei>549300MGMN3RKMU8FT57</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>339.52000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2701.41000000</grossCommission>
          </broker>
          <broker>
            <brokerName>National Financial Services LLC</brokerName>
            <brokerFileNo>8-26740</brokerFileNo>
            <brokerCrdNo>000013041</brokerCrdNo>
            <brokerLei>549300JRHF1MHHWUAW04</brokerLei>
            <brokerStateCountry brokerState="US-MA" brokerCountry="US"/>
            <grossCommission>89445.29000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>805.77000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Wells Fargo Securities, LLC</brokerName>
            <brokerFileNo>8-65876</brokerFileNo>
            <brokerCrdNo>000126292</brokerCrdNo>
            <brokerLei>VYVVCKR63DVZZN70PB21</brokerLei>
            <brokerStateCountry brokerState="US-NC" brokerCountry="US"/>
            <grossCommission>473.32000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>171.92000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>98382.37000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Jefferies LLC</principalName>
            <principalFileNo>8-15074</principalFileNo>
            <principalCrdNo>000002347</principalCrdNo>
            <principalLei>58PU97L1C0WSRCWADL48</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>26.75000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>National Financial Services LLC</principalName>
            <principalFileNo>8-26740</principalFileNo>
            <principalCrdNo>000013041</principalCrdNo>
            <principalLei>549300JRHF1MHHWUAW04</principalLei>
            <principalStateCountry principalState="US-MA" principalCountry="US"/>
            <principalTotalPurchaseSale>16.10000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>42.85000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>193834391.87615383</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Derivative-other</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <otherAssetDesc>Right</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Government Bond Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005400</mgmtInvSeriesId>
        <mgmtInvLei>549300Y6R3OTC38XVI23</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>4</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014696" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014697" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class IV Shares" sharesOutstandingClassId="C000014699" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000139942" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>11244136.65329530</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>7144.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>NATIONWIDE ASSET MANAGEMENT, LLC</subAdviserName>
            <subAdviserFileNo>801-67833</subAdviserFileNo>
            <subAdviserCrdNo>000143668</subAdviserCrdNo>
            <subAdviserLei>549300SJ9GM0PAURM839</subAdviserLei>
            <isSubAdviserAffiliated>Y</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-OH" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4846.13000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>4846.13000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>11066306.75000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2921875.97000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Keybanc Capital Markets Inc.</principalName>
            <principalFileNo>8-30177</principalFileNo>
            <principalCrdNo>000000566</principalCrdNo>
            <principalLei>2EQWV0180Z211YVAD813</principalLei>
            <principalStateCountry principalState="US-OH" principalCountry="US"/>
            <principalTotalPurchaseSale>36827892.45000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>25135675.91000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>39938057.99000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BMO Capital Markets Corp.</principalName>
            <principalFileNo>8-34344</principalFileNo>
            <principalCrdNo>000016686</principalCrdNo>
            <principalLei>RUC0QBLBRPRCU4W1NE59</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>10829482.52999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>6067079.37999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citadel Securities LLC</principalName>
            <principalFileNo>8-53574</principalFileNo>
            <principalCrdNo>000116797</principalCrdNo>
            <principalLei>12UUJYTN7D3SW8KCSG25</principalLei>
            <principalStateCountry principalState="US-FL" principalCountry="US"/>
            <principalTotalPurchaseSale>32207463.98000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities, LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>7601319.87000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>28489561.82999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>209913891.21000001</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>280535554.97999996</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>ABS-mortgage backed security</assetClassType>
            <assetClassType>ABS-other</assetClassType>
            <assetClassType>Debt</assetClassType>
            <assetClassType>Derivative-interest rate</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Government Money Market Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005409</mgmtInvSeriesId>
        <mgmtInvLei>5493008M65EAZV7NVS60</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>5</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014718" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000079439" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class IV Shares" sharesOutstandingClassId="C000014719" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class V Shares" sharesOutstandingClassId="C000014720" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000204950" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Money Market Fund</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Dreyfus Cash Investment Strategies</subAdviserName>
            <subAdviserFileNo>801-8147</subAdviserFileNo>
            <subAdviserCrdNo>000105642</subAdviserCrdNo>
            <subAdviserLei>549300IDZFNVQJYDHP15</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <aggregateCommission>0.00000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>CIBC World Markets Corp.</principalName>
            <principalFileNo>8-18333</principalFileNo>
            <principalCrdNo>000000630</principalCrdNo>
            <principalLei>549300445CON3DBMU275</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>76770000000.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Deutsche Bank Securities Inc.</principalName>
            <principalFileNo>8-17822</principalFileNo>
            <principalCrdNo>000002525</principalCrdNo>
            <principalLei>9J6MBOOO7BECTDTUZW19</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>165639397.03999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Nomura Securities International, Inc.</principalName>
            <principalFileNo>8-15255</principalFileNo>
            <principalCrdNo>000004297</principalCrdNo>
            <principalLei>OXTKY6Q8X53C9ILVV871</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>25020372342.48000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>R. Seelaus and Co., LLC</principalName>
            <principalFileNo>8-31475</principalFileNo>
            <principalCrdNo>000014974</principalCrdNo>
            <principalLei>213800E9C68A4JH56N47</principalLei>
            <principalStateCountry principalState="US-NJ" principalCountry="US"/>
            <principalTotalPurchaseSale>73298789.04999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>MUFG Securities Americas Inc.</principalName>
            <principalFileNo>8-43026</principalFileNo>
            <principalCrdNo>000019685</principalCrdNo>
            <principalLei>K5HU16E3LMSVCCJJJ255</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>89280000000.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>161339475.99000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>RBC Capital Markets, LLC</principalName>
            <principalFileNo>8-45411</principalFileNo>
            <principalCrdNo>000031194</principalCrdNo>
            <principalLei>549300LCO2FLSSVFFR64</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>71123017792.24000500</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Siebert Williams Shank &amp; Co., LLC</principalName>
            <principalFileNo>8-49877</principalFileNo>
            <principalCrdNo>000042568</principalCrdNo>
            <principalLei>254900VTARX8RAY9QK77</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>66656010.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2978896875.26000020</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>SANTANDER INVESTMENT S.A.</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>959800PF0SJV8TSAB140</principalLei>
            <principalCountry>ES</principalCountry>
            <principalTotalPurchaseSale>94619000000.00000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>360587340284.23999000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <dailyAvgNetAssets>3382651173.66044000</dailyAvgNetAssets>
        <hasLineOfCredit>N</hasLineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT International Equity Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005402</mgmtInvSeriesId>
        <mgmtInvLei>549300YMU0B8W7EJA365</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014702" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000033125" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>7713180.30850937</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>29875.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Lazard Asset Management LLC</subAdviserName>
            <subAdviserFileNo>801-61701</subAdviserFileNo>
            <subAdviserCrdNo>000122836</subAdviserCrdNo>
            <subAdviserLei>P1IBQ1I6K7EXV2Q96E20</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>19156.68999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>22142.55000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>17154.08000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>20262.99000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>56142.51000000</grossCommission>
          </broker>
          <broker>
            <brokerName>TD SECURITIES (USA) LLC</brokerName>
            <brokerFileNo>8-36747</brokerFileNo>
            <brokerCrdNo>000018476</brokerCrdNo>
            <brokerLei>SUVUFHICNZMP2WKHG940</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>9707.51000000</grossCommission>
          </broker>
          <broker>
            <brokerName>HSBC Securities (USA) Inc.</brokerName>
            <brokerFileNo>8-41562</brokerFileNo>
            <brokerCrdNo>000019585</brokerCrdNo>
            <brokerLei>CYYGQCGNHMHPSMRL3R97</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>20729.48000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>12720.39000000</grossCommission>
          </broker>
          <broker>
            <brokerName>CITIC Securities International USA, LLC</brokerName>
            <brokerFileNo>8-68887</brokerFileNo>
            <brokerCrdNo>000158266</brokerCrdNo>
            <brokerLei>N/A</brokerLei>
            <brokerRssdId>N/A</brokerRssdId>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>36761.87000000</grossCommission>
          </broker>
          <broker>
            <brokerName>CLSA Americas, LLC</brokerName>
            <brokerFileNo>8-69166</brokerFileNo>
            <brokerCrdNo>000165533</brokerCrdNo>
            <brokerLei>213800M2DXATWY7JMS07</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>7450.93000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>261056.10000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>197945068.63846156</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-other</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Right</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT International Index Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000012313</mgmtInvSeriesId>
        <mgmtInvLei>5493003EIS5UJDGHZJ41</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>4</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000139945" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000033506" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class VIII Shares" sharesOutstandingClassId="C000033509" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000033505" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <indexFundInfo fundType="Index Fund">
            <isIndexFundAffiliated>N</isIndexFundAffiliated>
            <isIndexFundExclusive>N</isIndexFundExclusive>
            <indexFundReturnDiffBeforeExpense>0.00060000</indexFundReturnDiffBeforeExpense>
            <indexFundReturnDiffAfterExpense>-0.00840000</indexFundReturnDiffAfterExpense>
            <indexFundReturnDailyStdevBeforeExpense>0.12544163</indexFundReturnDailyStdevBeforeExpense>
            <indexFundReturnDailyStdevAfterExpense>0.12544060</indexFundReturnDailyStdevAfterExpense>
          </indexFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>45692381.94425720</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>146519.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>BlackRock Investment Management, LLC</subAdviserName>
            <subAdviserFileNo>801-56972</subAdviserFileNo>
            <subAdviserCrdNo>000108928</subAdviserCrdNo>
            <subAdviserLei>5493006MRTEZZ4S4CQ20</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP PARIBAS</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>GR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Citi Mexico S.A.</custodianName>
            <custodianLei>529900H31AYI6WA1J534</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Leumi le-Israel B.M.</custodianName>
            <custodianLei>7JDSZWRGUQY2DSTWCR57</custodianLei>
            <custodianCountry>IL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS Bank Spain, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS Bank Ltd</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>IE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>DK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>FI</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>NO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>SE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Austria AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>17090.79000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4583.78000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>30878.27000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>10122.70000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>5381.28000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>7308.70000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BNP Paribas Securities Corp.</brokerName>
            <brokerFileNo>8-32682</brokerFileNo>
            <brokerCrdNo>000015794</brokerCrdNo>
            <brokerLei>RCNB6OTYUAMMP879YW96</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>47568.43000000</grossCommission>
          </broker>
          <broker>
            <brokerName>HSBC Securities (USA) Inc.</brokerName>
            <brokerFileNo>8-41562</brokerFileNo>
            <brokerCrdNo>000019585</brokerCrdNo>
            <brokerLei>CYYGQCGNHMHPSMRL3R97</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3729.83000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>26803.05000000</grossCommission>
          </broker>
          <broker>
            <brokerName>REDBURN (USA) LLC</brokerName>
            <brokerFileNo>8-67320</brokerFileNo>
            <brokerCrdNo>000140564</brokerCrdNo>
            <brokerLei>213800TYRTQILMQQLV79</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3764.25000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>173145.29000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>889756658.57461536</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Right</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Invesco Small Cap Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005417</mgmtInvSeriesId>
        <mgmtInvLei>549300S8O2NCISV5WF42</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014736" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014737" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>43643283.77093970</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>65899.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 10f-3 (17 CFR 270.10f-3)</relyOnRuleType>
          <relyOnRuleType>Rule 17e-1 (17 CFR 270.17e-1)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>Y</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Invesco Advisers, Inc.</subAdviserName>
            <subAdviserFileNo>801-33949</subAdviserFileNo>
            <subAdviserCrdNo>000105360</subAdviserCrdNo>
            <subAdviserLei>O37NHJVF7S22I1ONOU83</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>8282.45999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Intercoastal Capital Markets, Inc.</brokerName>
            <brokerFileNo>8-09698</brokerFileNo>
            <brokerCrdNo>000000083</brokerCrdNo>
            <brokerLei>549300U7MT3JQVNZSP20</brokerLei>
            <brokerStateCountry brokerState="US-FL" brokerCountry="US"/>
            <grossCommission>6312.28000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Oppenheimer &amp; Co. Inc.</brokerName>
            <brokerFileNo>8-04077</brokerFileNo>
            <brokerCrdNo>000000249</brokerCrdNo>
            <brokerLei>254900VH02JQR2L8XD64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>7263.54000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>13818.41000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Invesco Capital Markets, Inc.</brokerName>
            <brokerFileNo>8-19412</brokerFileNo>
            <brokerCrdNo>000006939</brokerCrdNo>
            <brokerLei>549300O1XUPMKDTYZX74</brokerLei>
            <brokerStateCountry brokerState="US-TX" brokerCountry="US"/>
            <grossCommission>8977.87000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>18540.21000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>15577.70000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>15585.62000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Evercore Group L.L.C.</brokerName>
            <brokerFileNo>8-49830</brokerFileNo>
            <brokerCrdNo>000042405</brokerCrdNo>
            <brokerLei>5493008F0LRLS5N8LZ81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>5914.21000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>33662.80000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>176950.91000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2907217.14000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1733882.50000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>913987.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1343089.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>275145.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>184947.00000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>7358267.64000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>207862940.80461535</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Investor Destinations Aggressive Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005403</mgmtInvSeriesId>
        <mgmtInvLei>549300RCOM2V1C0UYP82</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014704" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class P Shares" sharesOutstandingClassId="C000112221" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>7360717.70695890</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>16749.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>1481.65000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>1481.65000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>6809751.35000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>909214.65000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>7807108.94000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1263404.03000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1169234.12999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>26362213.44999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>44320926.54999999</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>414638444.17923081</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Investor Destinations Balanced Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000025036</mgmtInvSeriesId>
        <mgmtInvLei>549300QLQQ1F770GNM97</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000074482" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class P Shares" sharesOutstandingClassId="C000112234" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>19438559.96471229</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>40269.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>15993.19000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>15993.19000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>42424901.36999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>4866430.86000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>22521980.96999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>3176473.57000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>5037826.70000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>126712154.39000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>204739767.86000001</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1067494487.51692310</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Investor Destinations Capital Appreciation Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000025035</mgmtInvSeriesId>
        <mgmtInvLei>549300HF4TQ3LP45NB21</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000074480" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class P Shares" sharesOutstandingClassId="C000112233" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>20840298.43653420</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>41873.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17a-8 (17 CFR 270.17a-8)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>16313.71000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>16313.71000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>87338148.98999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>4594378.88000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>20944067.85000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>11778232.07000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>12002181.28999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>53142286.18999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>189799295.27000001</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1107219231.95461540</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Investor Destinations Conservative Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005404</mgmtInvSeriesId>
        <mgmtInvLei>549300HB7NYP73TIQ383</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014706" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class P Shares" sharesOutstandingClassId="C000112222" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>8632072.31894521</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>19240.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>8623.70000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>8623.70000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>28886024.64000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2239826.27999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>10016843.22000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2246743.50999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2457074.50000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>81183654.51999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>127030166.67000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>433748412.44384617</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Investor Destinations Managed Growth &amp; Income Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000040619</mgmtInvSeriesId>
        <mgmtInvLei>549300UQWZQV95YDGM13</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000139949" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000125907" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>6800877.34290411</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>16274.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>NATIONWIDE ASSET MANAGEMENT, LLC</subAdviserName>
            <subAdviserFileNo>801-67833</subAdviserFileNo>
            <subAdviserCrdNo>000143668</subAdviserCrdNo>
            <subAdviserLei>549300SJ9GM0PAURM839</subAdviserLei>
            <isSubAdviserAffiliated>Y</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-OH" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>11619.00000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>5508.75000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>17127.75000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>13179780.50000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1060389.73000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>7447348.04000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>957999.38000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>851187.09000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>45187388.71999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>68684093.45999999</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>392562923.85461533</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Investor Destinations Managed Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000040618</mgmtInvSeriesId>
        <mgmtInvLei>5493004GPL9TYGUJMK95</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000139948" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000125906" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>17264719.44434250</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>39196.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>NATIONWIDE ASSET MANAGEMENT, LLC</subAdviserName>
            <subAdviserFileNo>801-67833</subAdviserFileNo>
            <subAdviserCrdNo>000143668</subAdviserCrdNo>
            <subAdviserLei>549300SJ9GM0PAURM839</subAdviserLei>
            <isSubAdviserAffiliated>Y</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-OH" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>Sec File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>36405.10000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>8367.84000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>44772.94000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>22751299.80000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1947193.23000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>17739934.09000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2945599.58000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2210817.50999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>72516710.48999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>120111554.70000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>931412409.49076927</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Investor Destinations Moderate Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005405</mgmtInvSeriesId>
        <mgmtInvLei>549300GYMD4NR8REUJ63</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014708" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class P Shares" sharesOutstandingClassId="C000112223" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>30626355.05271229</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>73028.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17a-8 (17 CFR 270.17a-8)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>16132.34000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>16132.34000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>50635653.35999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>4878963.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>36295846.43000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>6188622.44000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>6098448.17999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>143445729.94999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>247543263.36000001</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1743730582.97692320</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Investor Destinations Moderately Aggressive Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005406</mgmtInvSeriesId>
        <mgmtInvLei>549300SJ3M458KJIC930</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014710" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class P Shares" sharesOutstandingClassId="C000112224" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>18301597.55298630</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>41875.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>5023.47000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>5023.47000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>8175665.08000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>658681.62000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>19240796.30000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2124709.50999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2589811.31000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>42100281.89999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>74889945.71999999</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1006551658.33615390</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Investor Destinations Moderately Conservative Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005407</mgmtInvSeriesId>
        <mgmtInvLei>5493000ZJKOKF9B10O72</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014712" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class P Shares" sharesOutstandingClassId="C000112225" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>10982458.93634250</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>22241.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Wallachbeth Capital LLC</brokerName>
            <brokerFileNo>8-67936</brokerFileNo>
            <brokerCrdNo>000147853</brokerCrdNo>
            <brokerLei>549300R371KUKXEXC133</brokerLei>
            <brokerStateCountry brokerState="US-NJ" brokerCountry="US"/>
            <grossCommission>8258.07000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>8258.07000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>22175105.28000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2174125.67000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Capital, LLC</principalName>
            <principalFileNo>8-52275</principalFileNo>
            <principalCrdNo>000103782</principalCrdNo>
            <principalLei>549300ZM16HMPEPNV857</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>10727747.28999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1844513.31000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2769401.86000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>64432812.53999999</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>104123705.95000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>494466900.09615386</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Exchange traded fund, Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT J.P. Morgan Digital Evolution Strategy Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000075637</mgmtInvSeriesId>
        <mgmtInvLei>549300V638SWVLWPHF96</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>1</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000258195" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000234864" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>Y</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>51946.81472602</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>30592.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>J.P. Morgan Investment Management Inc.</subAdviserName>
            <subAdviserFileNo>801-21011</subAdviserFileNo>
            <subAdviserCrdNo>000107038</subAdviserCrdNo>
            <subAdviserLei>549300W78QHV4XMM6K69</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>302.94000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>181.12000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>200.80000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>330.99000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Instinet, LLC</brokerName>
            <brokerFileNo>8-23669</brokerFileNo>
            <brokerCrdNo>000007897</brokerCrdNo>
            <brokerLei>549300MGMN3RKMU8FT57</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>433.02000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>233.69000000</grossCommission>
          </broker>
          <broker>
            <brokerName>TD SECURITIES (USA) LLC</brokerName>
            <brokerFileNo>8-36747</brokerFileNo>
            <brokerCrdNo>000018476</brokerCrdNo>
            <brokerLei>SUVUFHICNZMP2WKHG940</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>543.39000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>212.81000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>284.32000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Virtu Americas LLC</brokerName>
            <brokerFileNo>8-68193</brokerFileNo>
            <brokerCrdNo>000149823</brokerCrdNo>
            <brokerLei>549300RA02N3BNSWBV74</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>169.65000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>3805.87000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>15986696.01846153</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT J.P. Morgan Equity and Options Total Return Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005412</mgmtInvSeriesId>
        <mgmtInvLei>5493000IWLMEM2CGNF61</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014724" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014725" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class IV Shares" sharesOutstandingClassId="C000014727" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>22459276.20416440</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>26549.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>J.P. Morgan Investment Management Inc.</subAdviserName>
            <subAdviserFileNo>801-21011</subAdviserFileNo>
            <subAdviserCrdNo>000107038</subAdviserCrdNo>
            <subAdviserLei>549300W78QHV4XMM6K69</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <subAdviserHired isSubAdviserHired="Y" subAdviserStartDate="2025-09-19"/>
          </subAdviser>
        </subAdvisers>
        <subAdvisersTerminated>
          <subAdviserTerminated>
            <subAdviserTerminatedName>AQR Capital Management. L.L.C.</subAdviserTerminatedName>
            <subAdviserTerminatedFileNo>801-55543</subAdviserTerminatedFileNo>
            <subAdviserTerminatedCrdNo>000111883</subAdviserTerminatedCrdNo>
            <subAdviserTerminatedLei>549300GC5MDF1KXYMP06</subAdviserTerminatedLei>
            <subAdviserTerminatedStateCountry subAdviserTerminatedState="US-CT" subAdviserTerminatedCountry="US"/>
            <subAdviserTerminationDate>2025-09-19</subAdviserTerminationDate>
          </subAdviserTerminated>
        </subAdvisersTerminated>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>229.45000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1872.13000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>5100.62000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>10206.89000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>300.14999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>329.94000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>54135.16000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>792.29000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Sanford C. Bernstein &amp; Co., LLC</brokerName>
            <brokerFileNo>8-52942</brokerFileNo>
            <brokerCrdNo>000104474</brokerCrdNo>
            <brokerLei>549300I7JYZHT7D5CO04</brokerLei>
            <brokerStateCountry brokerState="US-TN" brokerCountry="US"/>
            <grossCommission>155.58000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>288.27999999</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>73670.23000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>3527.21000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>3527.21000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>694210042.69384623</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT J.P. Morgan Inflation Managed Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000090753</mgmtInvSeriesId>
        <mgmtInvLei>254900E6ZYXZFC35HE10</mgmtInvLei>
        <isFirstFilingByFund>Y</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>2</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000258088" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000258089" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 10f-3 (17 CFR 270.10f-3)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>J.P. Morgan Investment Management Inc.</subAdviserName>
            <subAdviserFileNo>801-21011</subAdviserFileNo>
            <subAdviserCrdNo>000107038</subAdviserCrdNo>
            <subAdviserLei>549300W78QHV4XMM6K69</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Deutsche Bank Securities Inc.</brokerName>
            <brokerFileNo>8-17822</brokerFileNo>
            <brokerCrdNo>000002525</brokerCrdNo>
            <brokerLei>9J6MBOOO7BECTDTUZW19</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>14.30000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2092.46000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>338.52000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>439.32000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1731.68000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>4616.28000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>6068583.88999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Deutsche Bank Securities Inc.</principalName>
            <principalFileNo>8-17822</principalFileNo>
            <principalCrdNo>000002525</principalCrdNo>
            <principalLei>9J6MBOOO7BECTDTUZW19</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>15926529.93000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Nomura Securities International, Inc.</principalName>
            <principalFileNo>8-15255</principalFileNo>
            <principalCrdNo>000004297</principalCrdNo>
            <principalLei>OXTKY6Q8X53C9ILVV871</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>16465091.43000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>7115451.99000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>9015891.09999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>TD SECURITIES (USA) LLC</principalName>
            <principalFileNo>8-36747</principalFileNo>
            <principalCrdNo>000018476</principalCrdNo>
            <principalLei>SUVUFHICNZMP2WKHG940</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>17424081.01000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Mizuho Securities USA LLC</principalName>
            <principalFileNo>8-37710</principalFileNo>
            <principalCrdNo>000019647</principalCrdNo>
            <principalLei>7TK5RJIZDFROZCA6XF66</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>12857547.65000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>106896527.94000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citadel Securities LLC</principalName>
            <principalFileNo>8-53574</principalFileNo>
            <principalCrdNo>000116797</principalCrdNo>
            <principalLei>12UUJYTN7D3SW8KCSG25</principalLei>
            <principalStateCountry principalState="US-FL" principalCountry="US"/>
            <principalTotalPurchaseSale>5518996.96000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities, LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>180307593.33000001</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>407212738.11000001</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>52643627.79076922</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>ABS-mortgage backed security</assetClassType>
            <assetClassType>ABS-other</assetClassType>
            <assetClassType>Debt</assetClassType>
            <assetClassType>Derivative-credit</assetClassType>
            <assetClassType>Derivative-interest rate</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT J.P. Morgan Innovators Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000075638</mgmtInvSeriesId>
        <mgmtInvLei>549300LQ8LDFUS7ZZC96</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000234865" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>5932.35608219</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>2.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>J.P. Morgan Investment Management Inc.</subAdviserName>
            <subAdviserFileNo>801-21011</subAdviserFileNo>
            <subAdviserCrdNo>000107038</subAdviserCrdNo>
            <subAdviserLei>549300W78QHV4XMM6K69</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>104.32000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>157.16999999</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>117.60000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>78.70000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BNP Paribas Securities Corp.</brokerName>
            <brokerFileNo>8-32682</brokerFileNo>
            <brokerCrdNo>000015794</brokerCrdNo>
            <brokerLei>RCNB6OTYUAMMP879YW96</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>93.17000000</grossCommission>
          </broker>
          <broker>
            <brokerName>TD SECURITIES (USA) LLC</brokerName>
            <brokerFileNo>8-36747</brokerFileNo>
            <brokerCrdNo>000018476</brokerCrdNo>
            <brokerLei>SUVUFHICNZMP2WKHG940</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>255.11000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>83.94000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>151.78000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Abel Noser, LLC.</brokerName>
            <brokerFileNo>8-69809</brokerFileNo>
            <brokerCrdNo>000284714</brokerCrdNo>
            <brokerLei>549300UQY3DBDP2Y2N55</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>93.12000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BestEx Research Securities, LLC</brokerName>
            <brokerFileNo>8-70584</brokerFileNo>
            <brokerCrdNo>000309569</brokerCrdNo>
            <brokerLei>549300OLXY43BEFLIK60</brokerLei>
            <brokerStateCountry brokerState="US-DE" brokerCountry="US"/>
            <grossCommission>66.26000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>1559.40000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>8451262.03615384</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT J.P. Morgan Large Cap Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000075639</mgmtInvSeriesId>
        <mgmtInvLei>54930032UF4F50RL3K10</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>2</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000258197" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000258196" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000234866" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>Y</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>9960.33084931</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>67.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>J.P. Morgan Investment Management Inc.</subAdviserName>
            <subAdviserFileNo>801-21011</subAdviserFileNo>
            <subAdviserCrdNo>000107038</subAdviserCrdNo>
            <subAdviserLei>549300W78QHV4XMM6K69</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4464.35000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1342.17000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1536.52000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4817.49000000</grossCommission>
          </broker>
          <broker>
            <brokerName>ROBERT W. BAIRD &amp; CO. INCORPORATED</brokerName>
            <brokerFileNo>8-00497</brokerFileNo>
            <brokerCrdNo>000008158</brokerCrdNo>
            <brokerLei>549300772UJAHRD6LO53</brokerLei>
            <brokerStateCountry brokerState="US-WI" brokerCountry="US"/>
            <grossCommission>1100.65000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4860.92000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BNP Paribas Securities Corp.</brokerName>
            <brokerFileNo>8-32682</brokerFileNo>
            <brokerCrdNo>000015794</brokerCrdNo>
            <brokerLei>RCNB6OTYUAMMP879YW96</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>683.56000000</grossCommission>
          </broker>
          <broker>
            <brokerName>TD SECURITIES (USA) LLC</brokerName>
            <brokerFileNo>8-36747</brokerFileNo>
            <brokerCrdNo>000018476</brokerCrdNo>
            <brokerLei>SUVUFHICNZMP2WKHG940</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>799.95000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1990.10000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Loop Capital Markets LLC</brokerName>
            <brokerFileNo>8-50140</brokerFileNo>
            <brokerCrdNo>000043098</brokerCrdNo>
            <brokerLei>254900FPPM2WN90D4786</brokerLei>
            <brokerStateCountry brokerState="US-IL" brokerCountry="US"/>
            <grossCommission>1436.61000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>25816.43000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>57171.15000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>57171.15000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>77533414.08846153</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Exchange traded fund</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT J.P. Morgan U.S. Equity Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000065085</mgmtInvSeriesId>
        <mgmtInvLei>549300OLVD8F2YR0YK81</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000210766" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000210767" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>231491.68832876</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>12194.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>Y</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>J.P. Morgan Investment Management Inc.</subAdviserName>
            <subAdviserFileNo>801-21011</subAdviserFileNo>
            <subAdviserCrdNo>000107038</subAdviserCrdNo>
            <subAdviserLei>549300W78QHV4XMM6K69</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>7436.79000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>73486.89000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>12814.58000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>18369.23000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>8568.31000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BMO Capital Markets Corp.</brokerName>
            <brokerFileNo>8-34344</brokerFileNo>
            <brokerCrdNo>000016686</brokerCrdNo>
            <brokerLei>RUC0QBLBRPRCU4W1NE59</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4037.76000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>13231.32000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4219.62000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Liquidnet, Inc.</brokerName>
            <brokerFileNo>8-52461</brokerFileNo>
            <brokerCrdNo>000103987</brokerCrdNo>
            <brokerLei>213800HSKBBO1GCVRG79</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>5257.76000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3587.75000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>180078.90000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>5158896.75000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>5158896.75000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1257049323.75923090</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT J.P. Morgan US Technology Leaders Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000075640</mgmtInvSeriesId>
        <mgmtInvLei>5493000F5UATH6SMUP34</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>1</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000258198" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000234867" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>118445.89630137</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>3625.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>J.P. Morgan Investment Management Inc.</subAdviserName>
            <subAdviserFileNo>801-21011</subAdviserFileNo>
            <subAdviserCrdNo>000107038</subAdviserCrdNo>
            <subAdviserLei>549300W78QHV4XMM6K69</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>313.48000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>367.38000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>225.85000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>191.11000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>328.32000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>588.26000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>298.20999999</grossCommission>
          </broker>
          <broker>
            <brokerName>BNP Paribas Securities Corp.</brokerName>
            <brokerFileNo>8-32682</brokerFileNo>
            <brokerCrdNo>000015794</brokerCrdNo>
            <brokerLei>RCNB6OTYUAMMP879YW96</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>387.12000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>315.13000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>435.21000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>4783.33000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>21725.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>10428.00000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>32153.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>20031275.85923076</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Jacobs Levy Large Cap Core Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021038</mgmtInvSeriesId>
        <mgmtInvLei>549300KIXOLXK2JIMZ95</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000059820" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000059821" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>11364377.89756160</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>14920.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Jacobs Levy Equity Management, Inc.</subAdviserName>
            <subAdviserFileNo>801-28257</subAdviserFileNo>
            <subAdviserCrdNo>000107022</subAdviserCrdNo>
            <subAdviserLei>549300BVR9AUZB18HW43</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS Bank Spain, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS Bank Ltd</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Austria AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Czech Republic and Slovakia, a.s.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>93.73000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Cantor Fitzgerald &amp; Co.</brokerName>
            <brokerFileNo>8-00201</brokerFileNo>
            <brokerCrdNo>000000134</brokerCrdNo>
            <brokerLei>5493004J7H4GCPG6OB62</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>203.07000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>98.01000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>36.90000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>214.44000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>88.82000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>91.12000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>59.41000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Liquidnet, Inc.</brokerName>
            <brokerFileNo>8-52461</brokerFileNo>
            <brokerCrdNo>000103987</brokerCrdNo>
            <brokerLei>213800HSKBBO1GCVRG79</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>403.52000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Virtu Americas LLC</brokerName>
            <brokerFileNo>8-68193</brokerFileNo>
            <brokerCrdNo>000149823</brokerCrdNo>
            <brokerLei>549300RA02N3BNSWBV74</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>11723.73000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>13167.65000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>241497611.55384615</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Jacobs Levy Large Cap Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021035</mgmtInvSeriesId>
        <mgmtInvLei>549300LM27I0K9LTDJ76</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000059811" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000059812" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>31355390.27226030</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>40535.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Jacobs Levy Equity Management, Inc.</subAdviserName>
            <subAdviserFileNo>801-28257</subAdviserFileNo>
            <subAdviserCrdNo>000107022</subAdviserCrdNo>
            <subAdviserLei>549300BVR9AUZB18HW43</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Czech Republic and Slovakia, a.s.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>176.61000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Cantor Fitzgerald &amp; Co.</brokerName>
            <brokerFileNo>8-00201</brokerFileNo>
            <brokerCrdNo>000000134</brokerCrdNo>
            <brokerLei>5493004J7H4GCPG6OB62</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>454.50000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>159.29000000</grossCommission>
          </broker>
          <broker>
            <brokerName>William Blair &amp; Company, L.L.C.</brokerName>
            <brokerFileNo>8-02698</brokerFileNo>
            <brokerCrdNo>000001252</brokerCrdNo>
            <brokerLei>549300J0P7XYE8BMZ775</brokerLei>
            <brokerStateCountry brokerState="US-IL" brokerCountry="US"/>
            <grossCommission>178.00000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>326.92000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>123.50000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>69.08000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Liquidnet, Inc.</brokerName>
            <brokerFileNo>8-52461</brokerFileNo>
            <brokerCrdNo>000103987</brokerCrdNo>
            <brokerLei>213800HSKBBO1GCVRG79</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1074.08999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Virtu Americas LLC</brokerName>
            <brokerFileNo>8-68193</brokerFileNo>
            <brokerCrdNo>000149823</brokerCrdNo>
            <brokerLei>549300RA02N3BNSWBV74</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>24083.11999999</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>326.91000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>27207.89000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>460884625.66307700</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Loomis Core Bond Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021031</mgmtInvSeriesId>
        <mgmtInvLei>549300QCVK3NHYLE2575</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>4</numAuthorizedClass>
        <numAddedClass>1</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000059797" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000059798" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class P Shares" sharesOutstandingClassId="C000112229" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000059799" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>223344233.79802200</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>312047.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 10f-3 (17 CFR 270.10f-3)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Loomis, Sayles &amp; Company, L.P.</subAdviserName>
            <subAdviserFileNo>801-170</subAdviserFileNo>
            <subAdviserCrdNo>000105377</subAdviserCrdNo>
            <subAdviserLei>JIZPN2RX3UMNOYIDI313</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <aggregateCommission>0.00000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>882311735.55999994</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>734253792.33000004</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Deutsche Bank Securities Inc.</principalName>
            <principalFileNo>8-17822</principalFileNo>
            <principalCrdNo>000002525</principalCrdNo>
            <principalLei>9J6MBOOO7BECTDTUZW19</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>259532212.37000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>874159148.35000002</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>786927838.39999998</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BNP Paribas Securities Corp.</principalName>
            <principalFileNo>8-32682</principalFileNo>
            <principalCrdNo>000015794</principalCrdNo>
            <principalLei>RCNB6OTYUAMMP879YW96</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>322648553.11000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>772563909.09000003</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citadel Securities LLC</principalName>
            <principalFileNo>8-53574</principalFileNo>
            <principalCrdNo>000116797</principalCrdNo>
            <principalLei>12UUJYTN7D3SW8KCSG25</principalLei>
            <principalStateCountry principalState="US-FL" principalCountry="US"/>
            <principalTotalPurchaseSale>411094726.42000002</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities, LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>477687134.19000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>773500004.25000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>8279974317.56999020</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>3144920230.47692300</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>ABS-collateralized bond/debt obligation</assetClassType>
            <assetClassType>ABS-mortgage backed security</assetClassType>
            <assetClassType>ABS-other</assetClassType>
            <assetClassType>Debt</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Loomis Short Term Bond Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021040</mgmtInvSeriesId>
        <mgmtInvLei>549300UQ781MJCK8JH31</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000059825" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000059826" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000059827" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>128697745.29129501</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>188473.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 10f-3 (17 CFR 270.10f-3)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Loomis, Sayles &amp; Company, L.P.</subAdviserName>
            <subAdviserFileNo>801-170</subAdviserFileNo>
            <subAdviserCrdNo>000105377</subAdviserCrdNo>
            <subAdviserLei>JIZPN2RX3UMNOYIDI313</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>14596.80000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>14596.80000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>456236661.93000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>411148479.16000003</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>532732274.87000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>684712880.07000005</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BNP Paribas Securities Corp.</principalName>
            <principalFileNo>8-32682</principalFileNo>
            <principalCrdNo>000015794</principalCrdNo>
            <principalLei>RCNB6OTYUAMMP879YW96</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>133377964.26000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>165937505.30000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citadel Securities LLC</principalName>
            <principalFileNo>8-53574</principalFileNo>
            <principalCrdNo>000116797</principalCrdNo>
            <principalLei>12UUJYTN7D3SW8KCSG25</principalLei>
            <principalStateCountry principalState="US-FL" principalCountry="US"/>
            <principalTotalPurchaseSale>153285775.77000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities, LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>268723144.69999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>375759256.51999998</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Bank of Montreal</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>NQQ6HPCNCCU6TUTQYE16</principalLei>
            <principalCountry>CA</principalCountry>
            <principalTotalPurchaseSale>463705044.20999998</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>4595095679.97000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1180997402.39461540</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>ABS-collateralized bond/debt obligation</assetClassType>
            <assetClassType>ABS-mortgage backed security</assetClassType>
            <assetClassType>ABS-other</assetClassType>
            <assetClassType>Debt</assetClassType>
            <assetClassType>Derivative-interest rate</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Loomis Short Term High Yield Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005421</mgmtInvSeriesId>
        <mgmtInvLei>5493006180BGFVBF3O96</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014749" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Loomis, Sayles &amp; Company, L.P.</subAdviserName>
            <subAdviserFileNo>801-170</subAdviserFileNo>
            <subAdviserCrdNo>000105377</subAdviserCrdNo>
            <subAdviserLei>JIZPN2RX3UMNOYIDI313</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <subAdviserHired isSubAdviserHired="Y" subAdviserStartDate="2025-04-11"/>
          </subAdviser>
        </subAdvisers>
        <subAdvisersTerminated>
          <subAdviserTerminated>
            <subAdviserTerminatedName>Federated Investment Management Company</subAdviserTerminatedName>
            <subAdviserTerminatedFileNo>801-34612</subAdviserTerminatedFileNo>
            <subAdviserTerminatedCrdNo>000105138</subAdviserTerminatedCrdNo>
            <subAdviserTerminatedLei>549300SP92SGS5AXSV67</subAdviserTerminatedLei>
            <subAdviserTerminatedStateCountry subAdviserTerminatedState="US-DE" subAdviserTerminatedCountry="US"/>
            <subAdviserTerminationDate>2025-04-11</subAdviserTerminationDate>
          </subAdviserTerminated>
        </subAdvisersTerminated>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>S&amp;P Global Inc.</pricingServiceName>
            <pricingServiceLei>Y6X4K52KMJMZE7I7MY94</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Citi Mexico S.A.</custodianName>
            <custodianLei>529900H31AYI6WA1J534</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>870.73000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BlackRock Investments, LLC</brokerName>
            <brokerFileNo>8-48436</brokerFileNo>
            <brokerCrdNo>000038642</brokerCrdNo>
            <brokerLei>54930061FBHCKXL2G714</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>44967.62000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>45838.35000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>15093032.68000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>20934422.30999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jefferies LLC</principalName>
            <principalFileNo>8-15074</principalFileNo>
            <principalCrdNo>000002347</principalCrdNo>
            <principalLei>58PU97L1C0WSRCWADL48</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>140774633.53000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>11562955.27999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>14202741.28999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>7590380.04000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>RBC Capital Markets, LLC</principalName>
            <principalFileNo>8-45411</principalFileNo>
            <principalCrdNo>000031194</principalCrdNo>
            <principalLei>549300LCO2FLSSVFFR64</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>3714022.45000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities, LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>3770005.67000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Jane Street Execution Services, LLC</principalName>
            <principalFileNo>8-69254</principalFileNo>
            <principalCrdNo>000167280</principalCrdNo>
            <principalLei>549300HXJLXCPDWAH070</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>7719884.46000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>15031928.91000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>264332648.33000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>87715962.77230769</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>ABS-collateralized bond/debt obligation</assetClassType>
            <assetClassType>ABS-mortgage backed security</assetClassType>
            <assetClassType>ABS-other</assetClassType>
            <assetClassType>Debt</assetClassType>
            <assetClassType>Derivative-interest rate</assetClassType>
            <assetClassType>Derivative-other</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Loan</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Managed American Funds Asset Allocation Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000044581</mgmtInvSeriesId>
        <mgmtInvLei>549300ZH8GU40I3N8P23</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000138646" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>NATIONWIDE ASSET MANAGEMENT, LLC</subAdviserName>
            <subAdviserFileNo>801-67833</subAdviserFileNo>
            <subAdviserCrdNo>000143668</subAdviserCrdNo>
            <subAdviserLei>549300SJ9GM0PAURM839</subAdviserLei>
            <isSubAdviserAffiliated>Y</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-OH" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>72375.24999999</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>72375.24999999</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>2739973251.76923080</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Managed American Funds Growth-Income Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000044582</mgmtInvSeriesId>
        <mgmtInvLei>549300BV4S38BQTU2U33</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000138647" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>NATIONWIDE ASSET MANAGEMENT, LLC</subAdviserName>
            <subAdviserFileNo>801-67833</subAdviserFileNo>
            <subAdviserCrdNo>000143668</subAdviserCrdNo>
            <subAdviserLei>549300SJ9GM0PAURM839</subAdviserLei>
            <isSubAdviserAffiliated>Y</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-OH" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>13804.20000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>13804.20000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>729461012.21538472</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Other</assetClassType>
            <otherAssetDesc>Investment company</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Mid Cap Index Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005410</mgmtInvSeriesId>
        <mgmtInvLei>549300WSVVZB0XQ8QI98</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014721" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014722" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000034093" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <indexFundInfo fundType="Index Fund">
            <isIndexFundAffiliated>N</isIndexFundAffiliated>
            <isIndexFundExclusive>N</isIndexFundExclusive>
            <indexFundReturnDiffBeforeExpense>-0.09670000</indexFundReturnDiffBeforeExpense>
            <indexFundReturnDiffAfterExpense>-0.10100000</indexFundReturnDiffAfterExpense>
            <indexFundReturnDailyStdevBeforeExpense>0.07998964</indexFundReturnDailyStdevBeforeExpense>
            <indexFundReturnDailyStdevAfterExpense>0.07998852</indexFundReturnDailyStdevAfterExpense>
          </indexFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>225106841.68006000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>292872.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17a-7 (17 CFR 270.17a-7)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>BlackRock Investment Management, LLC</subAdviserName>
            <subAdviserFileNo>801-56972</subAdviserFileNo>
            <subAdviserCrdNo>000108928</subAdviserCrdNo>
            <subAdviserLei>5493006MRTEZZ4S4CQ20</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3383.51000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3312.41000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2123.92999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>6608.72000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BNP Paribas Securities Corp.</brokerName>
            <brokerFileNo>8-32682</brokerFileNo>
            <brokerCrdNo>000015794</brokerCrdNo>
            <brokerLei>RCNB6OTYUAMMP879YW96</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>6159.28000000</grossCommission>
          </broker>
          <broker>
            <brokerName>TD SECURITIES (USA) LLC</brokerName>
            <brokerFileNo>8-36747</brokerFileNo>
            <brokerCrdNo>000018476</brokerCrdNo>
            <brokerLei>SUVUFHICNZMP2WKHG940</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2301.83000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4808.10999999</grossCommission>
          </broker>
          <broker>
            <brokerName>BTIG, LLC</brokerName>
            <brokerFileNo>8-65473</brokerFileNo>
            <brokerCrdNo>000122225</brokerCrdNo>
            <brokerLei>549300GTG9PL6WO3EC51</brokerLei>
            <brokerStateCountry brokerState="US-CA" brokerCountry="US"/>
            <grossCommission>3256.82000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Wells Fargo Securities, LLC</brokerName>
            <brokerFileNo>8-65876</brokerFileNo>
            <brokerCrdNo>000126292</brokerCrdNo>
            <brokerLei>VYVVCKR63DVZZN70PB21</brokerLei>
            <brokerStateCountry brokerState="US-NC" brokerCountry="US"/>
            <grossCommission>1730.29000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>12010.06000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>51152.38000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>250.86000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>250.86000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1204037112.88846160</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Multi-Manager Small Cap Value Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005418</mgmtInvSeriesId>
        <mgmtInvLei>549300GHI4YV2T0P8Q02</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014739" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014740" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class IV Shares" sharesOutstandingClassId="C000014742" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>35995239.33029320</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>51814.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>WCM Investment Management, LLC </subAdviserName>
            <subAdviserFileNo>801-11916</subAdviserFileNo>
            <subAdviserCrdNo>000104702</subAdviserCrdNo>
            <subAdviserLei>5493003P0SCEHNDSMX52</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-CA" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
          <subAdviser>
            <subAdviserName>Jacobs Levy Equity Management, Inc.</subAdviserName>
            <subAdviserFileNo>801-28257</subAdviserFileNo>
            <subAdviserCrdNo>000107022</subAdviserCrdNo>
            <subAdviserLei>549300BVR9AUZB18HW43</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Cantor Fitzgerald &amp; Co.</brokerName>
            <brokerFileNo>8-00201</brokerFileNo>
            <brokerCrdNo>000000134</brokerCrdNo>
            <brokerLei>5493004J7H4GCPG6OB62</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>7694.59000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>987.20000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Raymond James &amp; Associates, Inc.</brokerName>
            <brokerFileNo>8-10999</brokerFileNo>
            <brokerCrdNo>000000705</brokerCrdNo>
            <brokerLei>U4ONQX15J3RO8XCKE979</brokerLei>
            <brokerStateCountry brokerState="US-FL" brokerCountry="US"/>
            <grossCommission>3388.26000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Instinet, LLC</brokerName>
            <brokerFileNo>8-23669</brokerFileNo>
            <brokerCrdNo>000007897</brokerCrdNo>
            <brokerLei>549300MGMN3RKMU8FT57</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4366.97999999</grossCommission>
          </broker>
          <broker>
            <brokerName>ROBERT W. BAIRD &amp; CO. INCORPORATED</brokerName>
            <brokerFileNo>8-00497</brokerFileNo>
            <brokerCrdNo>000008158</brokerCrdNo>
            <brokerLei>549300772UJAHRD6LO53</brokerLei>
            <brokerStateCountry brokerState="US-WI" brokerCountry="US"/>
            <grossCommission>10472.79999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1552.84000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Liquidnet, Inc.</brokerName>
            <brokerFileNo>8-52461</brokerFileNo>
            <brokerCrdNo>000103987</brokerCrdNo>
            <brokerLei>213800HSKBBO1GCVRG79</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>8778.45000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BTIG, LLC</brokerName>
            <brokerFileNo>8-65473</brokerFileNo>
            <brokerCrdNo>000122225</brokerCrdNo>
            <brokerLei>549300GTG9PL6WO3EC51</brokerLei>
            <brokerStateCountry brokerState="US-CA" brokerCountry="US"/>
            <grossCommission>2001.54000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Virtu Americas LLC</brokerName>
            <brokerFileNo>8-68193</brokerFileNo>
            <brokerCrdNo>000149823</brokerCrdNo>
            <brokerLei>549300RA02N3BNSWBV74</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>23954.24000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1096.84999999</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>69735.16000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>32.40000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>32.40000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>192863532.84538460</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <otherAssetDesc>Right</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Multi-Manager Small Company Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005419</mgmtInvSeriesId>
        <mgmtInvLei>5493003VP8KVVNIV8R98</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014743" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000014744" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class IV Shares" sharesOutstandingClassId="C000014746" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>62395108.61304380</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>100868.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 10f-3 (17 CFR 270.10f-3)</relyOnRuleType>
          <relyOnRuleType>Rule 17e-1 (17 CFR 270.17e-1)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Invesco Advisers, Inc.</subAdviserName>
            <subAdviserFileNo>801-33949</subAdviserFileNo>
            <subAdviserCrdNo>000105360</subAdviserCrdNo>
            <subAdviserLei>O37NHJVF7S22I1ONOU83</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-DE" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
          <subAdviser>
            <subAdviserName>Jacobs Levy Equity Management, Inc.</subAdviserName>
            <subAdviserFileNo>801-28257</subAdviserFileNo>
            <subAdviserCrdNo>000107022</subAdviserCrdNo>
            <subAdviserLei>549300BVR9AUZB18HW43</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>6054.62000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Oppenheimer &amp; Co. Inc.</brokerName>
            <brokerFileNo>8-04077</brokerFileNo>
            <brokerCrdNo>000000249</brokerCrdNo>
            <brokerLei>254900VH02JQR2L8XD64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>5038.17000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>10681.60000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>9648.50000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>11834.74000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>11629.47000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Evercore Group L.L.C.</brokerName>
            <brokerFileNo>8-49830</brokerFileNo>
            <brokerCrdNo>000042405</brokerCrdNo>
            <brokerLei>5493008F0LRLS5N8LZ81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3908.77000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Liquidnet, Inc.</brokerName>
            <brokerFileNo>8-52461</brokerFileNo>
            <brokerCrdNo>000103987</brokerCrdNo>
            <brokerLei>213800HSKBBO1GCVRG79</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>10319.79999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Virtu Americas LLC</brokerName>
            <brokerFileNo>8-68193</brokerFileNo>
            <brokerCrdNo>000149823</brokerCrdNo>
            <brokerLei>549300RA02N3BNSWBV74</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>43396.44000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>19397.24000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>169257.53000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1972019.41000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1155861.50000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>638537.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>887705.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>176124.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>120813.00000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>4951059.91000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>353051576.90307689</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <otherAssetDesc>Right</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT NASDAQ-100 Index Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000090752</mgmtInvSeriesId>
        <mgmtInvLei>254900LDTR2AQEYPOU37</mgmtInvLei>
        <isFirstFilingByFund>Y</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>2</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000258086" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000258085" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <indexFundInfo fundType="Index Fund">
            <isIndexFundAffiliated>N</isIndexFundAffiliated>
            <isIndexFundExclusive>N</isIndexFundExclusive>
            <indexFundReturnDiffBeforeExpense>-0.03390000</indexFundReturnDiffBeforeExpense>
            <indexFundReturnDiffAfterExpense>-0.03740000</indexFundReturnDiffAfterExpense>
            <indexFundReturnDailyStdevBeforeExpense>0.00941727</indexFundReturnDailyStdevBeforeExpense>
            <indexFundReturnDailyStdevAfterExpense>0.00941754</indexFundReturnDailyStdevAfterExpense>
          </indexFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>746430.05939725</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>1128.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>BlackRock Investment Management, LLC</subAdviserName>
            <subAdviserFileNo>801-56972</subAdviserFileNo>
            <subAdviserCrdNo>000108928</subAdviserCrdNo>
            <subAdviserLei>5493006MRTEZZ4S4CQ20</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>400.75000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>669.72000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>1360.05000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>539.02999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2343.98999999</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>318.10000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>500.28000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BNP Paribas Securities Corp.</brokerName>
            <brokerFileNo>8-32682</brokerFileNo>
            <brokerCrdNo>000015794</brokerCrdNo>
            <brokerLei>RCNB6OTYUAMMP879YW96</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4902.18999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Virtu Americas LLC</brokerName>
            <brokerFileNo>8-68193</brokerFileNo>
            <brokerCrdNo>000149823</brokerCrdNo>
            <brokerLei>549300RA02N3BNSWBV74</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>689.48000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>488.14999999</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>13101.92000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>16399.15000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>18700.64000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>31840.60000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>UBS Securities LLC</principalName>
            <principalFileNo>8-22651</principalFileNo>
            <principalCrdNo>000007654</principalCrdNo>
            <principalLei>T6FIZBDPKLYJKFCRVK44</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>46886.06000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Instinet, LLC</principalName>
            <principalFileNo>8-23669</principalFileNo>
            <principalCrdNo>000007897</principalCrdNo>
            <principalLei>549300MGMN3RKMU8FT57</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>980.29000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>9925.01000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BNP Paribas Securities Corp.</principalName>
            <principalFileNo>8-32682</principalFileNo>
            <principalCrdNo>000015794</principalCrdNo>
            <principalLei>RCNB6OTYUAMMP879YW96</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>16384.07000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>5521.59000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>RBC Capital Markets, LLC</principalName>
            <principalFileNo>8-45411</principalFileNo>
            <principalCrdNo>000031194</principalCrdNo>
            <principalLei>549300LCO2FLSSVFFR64</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>838.44000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>28562.71000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>178175.02000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>58065577.94846154</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Putnam International Value Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000025034</mgmtInvSeriesId>
        <mgmtInvLei>549300KGQIIHZOEM9U15</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>3</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000074475" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class X Shares" sharesOutstandingClassId="C000220664" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Z Shares" sharesOutstandingClassId="C000220663" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>6055905.34265458</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>19777.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17a-8 (17 CFR 270.17a-8)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Putnam Investment Management, LLC</subAdviserName>
            <subAdviserFileNo>801-7974</subAdviserFileNo>
            <subAdviserCrdNo>000106629</subAdviserCrdNo>
            <subAdviserLei>TW7V46VWZTCTIG3JPY88</subAdviserLei>
            <subAdviserRssdId>N/A</subAdviserRssdId>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-MA" subAdviserCountry="US"/>
            <subAdviserHired isSubAdviserHired="Y" subAdviserStartDate="2025-01-31"/>
          </subAdviser>
        </subAdvisers>
        <subAdvisersTerminated>
          <subAdviserTerminated>
            <subAdviserTerminatedName>Columbia Management Investment Advisers, LLC</subAdviserTerminatedName>
            <subAdviserTerminatedFileNo>801-25943</subAdviserTerminatedFileNo>
            <subAdviserTerminatedCrdNo>000108257</subAdviserTerminatedCrdNo>
            <subAdviserTerminatedLei>6YVO3H2OUHJXER5SGR23</subAdviserTerminatedLei>
            <subAdviserTerminatedStateCountry subAdviserTerminatedState="US-MA" subAdviserTerminatedCountry="US"/>
            <subAdviserTerminationDate>2025-01-31</subAdviserTerminationDate>
          </subAdviserTerminated>
        </subAdvisersTerminated>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP PARIBAS</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>GR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Citi Mexico S.A.</custodianName>
            <custodianLei>529900H31AYI6WA1J534</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Santander Chile</custodianName>
            <custodianLei>3YJP8HORPAEXJ80D6368</custodianLei>
            <custodianCountry>CL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Handlowy w. Warszawie S.A.</custodianName>
            <custodianLei>XLEZHWWOI4HFQDGL4793</custodianLei>
            <custodianCountry>PL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Leumi le-Israel B.M.</custodianName>
            <custodianLei>7JDSZWRGUQY2DSTWCR57</custodianLei>
            <custodianCountry>IL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS Bank Spain, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank A.S.</custodianName>
            <custodianLei>CWZ8NZDH5SKY12Q4US31</custodianLei>
            <custodianCountry>TR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank Europe plc</custodianName>
            <custodianLei>N1FBEDJ5J41VKZLO2475</custodianLei>
            <custodianCountry>RO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank Maghreb S.A.</custodianName>
            <custodianLei>5493003FVWLMBFTISI11</custodianLei>
            <custodianCountry>MA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank del Peru S.A.</custodianName>
            <custodianLei>MYTK5NHHP1G8TVFGT193</custodianLei>
            <custodianCountry>PE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank, N.A.</custodianName>
            <custodianLei>E57ODZWZ7FF32TWEFA76</custodianLei>
            <custodianCountry>EG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS Bank Ltd</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>HU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>IE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>FirstRand Bank Limited</custodianName>
            <custodianLei>ZAYQDKTCATIXF9OQY690</custodianLei>
            <custodianCountry>ZA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank (China) Company Limited</custodianName>
            <custodianLei>2CZOJRADNJXBLT55G526</custodianLei>
            <custodianCountry>CN</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Malaysia Berhad</custodianName>
            <custodianLei>P3RPN9OJFCXUPJWB1Q09</custodianLei>
            <custodianCountry>MY</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Middle East Limited</custodianName>
            <custodianLei>549300F99IL9YJDWH369</custodianLei>
            <custodianCountry>AE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank International (Limited Liability Company)**</custodianName>
            <custodianLei>549300B831LSRSI6RA15</custodianLei>
            <custodianCountry>RU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>DK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan S.A. DTVM</custodianName>
            <custodianLei>5493001LS7J56NZZ3G07</custodianLei>
            <custodianCountry>BR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Saudi Arabia Company</custodianName>
            <custodianLei>549300HST49806XTCK29</custodianLei>
            <custodianCountry>SA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>IN</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>PT Bank HSBC Indonesia</custodianName>
            <custodianLei>213800HW5IDIRLWH1203</custodianLei>
            <custodianCountry>ID</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>NO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>FI</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Skandinaviska Enskilda Banken AB</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>SE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank (Thai) Public Company Limited</custodianName>
            <custodianLei>549300O1LQYCQ7G1IM57</custodianLei>
            <custodianCountry>TH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Korea Limited</custodianName>
            <custodianLei>NUXTG47HHHM1K2L0SG39</custodianLei>
            <custodianCountry>KR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>LK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Standard Chartered Bank (Taiwan) Limited</custodianName>
            <custodianLei>549300QJEO1B92LSHZ06</custodianLei>
            <custodianCountry>TW</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Austria AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Czech Republic and Slovakia, a.s.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>41846.58000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>48413.63000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>16065.71000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>15346.93000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>20534.79000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3231.31000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>23076.32000000</grossCommission>
          </broker>
          <broker>
            <brokerName>CLSA Americas, LLC</brokerName>
            <brokerFileNo>8-69166</brokerFileNo>
            <brokerCrdNo>000165533</brokerCrdNo>
            <brokerLei>213800M2DXATWY7JMS07</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3956.49000000</grossCommission>
          </broker>
          <broker>
            <brokerName>State Street Global Markets, LLC</brokerName>
            <brokerFileNo>8-69862</brokerFileNo>
            <brokerCrdNo>000285852</brokerCrdNo>
            <brokerLei>549300FDEDF5ORXCMQ56</brokerLei>
            <brokerStateCountry brokerState="US-MA" brokerCountry="US"/>
            <grossCommission>133049.65000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Saudi Awwal Bank</brokerName>
            <brokerFileNo>N/A</brokerFileNo>
            <brokerCrdNo>N/A</brokerCrdNo>
            <brokerLei>558600TQS0WENZUC5190</brokerLei>
            <brokerCountry>SA</brokerCountry>
            <grossCommission>12150.83000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>332795.27000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>347755.63000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Nomura Securities International, Inc.</principalName>
            <principalFileNo>8-15255</principalFileNo>
            <principalCrdNo>000004297</principalCrdNo>
            <principalLei>OXTKY6Q8X53C9ILVV871</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>197814.68000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Mizuho Securities USA LLC</principalName>
            <principalFileNo>8-37710</principalFileNo>
            <principalCrdNo>000019647</principalCrdNo>
            <principalLei>7TK5RJIZDFROZCA6XF66</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>119004.78000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>325356.64000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citadel Securities LLC</principalName>
            <principalFileNo>8-53574</principalFileNo>
            <principalCrdNo>000116797</principalCrdNo>
            <principalLei>12UUJYTN7D3SW8KCSG25</principalLei>
            <principalStateCountry principalState="US-FL" principalCountry="US"/>
            <principalTotalPurchaseSale>344436.38000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities, LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>236021.71000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>State Street Global Markets, LLC</principalName>
            <principalFileNo>8-69862</principalFileNo>
            <principalCrdNo>000285852</principalCrdNo>
            <principalLei>549300FDEDF5ORXCMQ56</principalLei>
            <principalStateCountry principalState="US-MA" principalCountry="US"/>
            <principalTotalPurchaseSale>1122425.09000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>2692814.91000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>257652391.29923075</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-foreign exchange</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
            <otherAssetDesc>Exchange traded fund</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Real Estate Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021039</mgmtInvSeriesId>
        <mgmtInvLei>549300VC2O1V3EMVBR05</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000059822" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000059823" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>Y</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Wellington Management Company LLP</subAdviserName>
            <subAdviserFileNo>801-15908</subAdviserFileNo>
            <subAdviserCrdNo>000106595</subAdviserCrdNo>
            <subAdviserLei>5493002CYKEKC8C01T66</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-MA" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Citi Mexico S.A.</custodianName>
            <custodianLei>529900H31AYI6WA1J534</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS Bank Spain, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS Bank Ltd</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>IE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>41392.32000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Cantor Fitzgerald &amp; Co.</brokerName>
            <brokerFileNo>8-00201</brokerFileNo>
            <brokerCrdNo>000000134</brokerCrdNo>
            <brokerLei>5493004J7H4GCPG6OB62</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>12789.62000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>16553.45000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Raymond James &amp; Associates, Inc.</brokerName>
            <brokerFileNo>8-10999</brokerFileNo>
            <brokerCrdNo>000000705</brokerCrdNo>
            <brokerLei>U4ONQX15J3RO8XCKE979</brokerLei>
            <brokerStateCountry brokerState="US-FL" brokerCountry="US"/>
            <grossCommission>11612.07000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>16186.56000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>11862.12000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>23010.34000000</grossCommission>
          </broker>
          <broker>
            <brokerName>TD SECURITIES (USA) LLC</brokerName>
            <brokerFileNo>8-36747</brokerFileNo>
            <brokerCrdNo>000018476</brokerCrdNo>
            <brokerLei>SUVUFHICNZMP2WKHG940</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>16400.04000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>15463.42000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Wells Fargo Securities, LLC</brokerName>
            <brokerFileNo>8-65876</brokerFileNo>
            <brokerCrdNo>000126292</brokerCrdNo>
            <brokerLei>VYVVCKR63DVZZN70PB21</brokerLei>
            <brokerStateCountry brokerState="US-NC" brokerCountry="US"/>
            <grossCommission>41391.21000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>280966.00000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1385000.00000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1018553.28000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1531118.00000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>3934671.28000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>203698963.73000002</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT S&amp;P 500 Index Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005416</mgmtInvSeriesId>
        <mgmtInvLei>549300R89FEPRYC12V29</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>4</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000033129" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000033130" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class IV Shares" sharesOutstandingClassId="C000014735" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000034094" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <indexFundInfo fundType="Index Fund">
            <isIndexFundAffiliated>N</isIndexFundAffiliated>
            <isIndexFundExclusive>N</isIndexFundExclusive>
            <indexFundReturnDiffBeforeExpense>0.00010000</indexFundReturnDiffBeforeExpense>
            <indexFundReturnDiffAfterExpense>-0.00290000</indexFundReturnDiffAfterExpense>
            <indexFundReturnDailyStdevBeforeExpense>0.00527066</indexFundReturnDailyStdevBeforeExpense>
            <indexFundReturnDailyStdevAfterExpense>0.00527057</indexFundReturnDailyStdevAfterExpense>
          </indexFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>155013900.10540301</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>186160.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17a-7 (17 CFR 270.17a-7)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>BlackRock Investment Management, LLC</subAdviserName>
            <subAdviserFileNo>801-56972</subAdviserFileNo>
            <subAdviserCrdNo>000108928</subAdviserCrdNo>
            <subAdviserLei>5493006MRTEZZ4S4CQ20</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2992.92000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>7718.78000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Piper Sandler &amp; Co.</brokerName>
            <brokerFileNo>8-15204</brokerFileNo>
            <brokerCrdNo>000000665</brokerCrdNo>
            <brokerLei>549300GRQCWQ3XGH0H10</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>6171.76000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>11035.38000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2873.18000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1756.72000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BNP Paribas Securities Corp.</brokerName>
            <brokerFileNo>8-32682</brokerFileNo>
            <brokerCrdNo>000015794</brokerCrdNo>
            <brokerLei>RCNB6OTYUAMMP879YW96</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1658.06000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1442.14000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1157.36999999</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2786.10000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>42665.85000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>UBS Securities LLC</principalName>
            <principalFileNo>8-22651</principalFileNo>
            <principalCrdNo>000007654</principalCrdNo>
            <principalLei>T6FIZBDPKLYJKFCRVK44</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1053.13000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>8094.70000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>9147.83000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>4711430859.78538510</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Small Cap Index Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000012314</mgmtInvSeriesId>
        <mgmtInvLei>5493000VA07W8O3AQ778</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000033510" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000033512" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
          <indexFundInfo fundType="Index Fund">
            <isIndexFundAffiliated>N</isIndexFundAffiliated>
            <isIndexFundExclusive>N</isIndexFundExclusive>
            <indexFundReturnDiffBeforeExpense>-0.04360000</indexFundReturnDiffBeforeExpense>
            <indexFundReturnDiffAfterExpense>-0.05010000</indexFundReturnDiffAfterExpense>
            <indexFundReturnDailyStdevBeforeExpense>0.10097327</indexFundReturnDailyStdevBeforeExpense>
            <indexFundReturnDailyStdevAfterExpense>0.10097106</indexFundReturnDailyStdevAfterExpense>
          </indexFundInfo>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>141685017.33665201</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>555302.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17a-7 (17 CFR 270.17a-7)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>BlackRock Investment Management, LLC</subAdviserName>
            <subAdviserFileNo>801-56972</subAdviserFileNo>
            <subAdviserCrdNo>000108928</subAdviserCrdNo>
            <subAdviserLei>5493006MRTEZZ4S4CQ20</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4534.49000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>12838.34000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3968.33000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>11214.57000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>7339.29000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>5100.35000000</grossCommission>
          </broker>
          <broker>
            <brokerName>TD SECURITIES (USA) LLC</brokerName>
            <brokerFileNo>8-36747</brokerFileNo>
            <brokerCrdNo>000018476</brokerCrdNo>
            <brokerLei>SUVUFHICNZMP2WKHG940</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>3777.89000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4515.64999999</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets, LLC</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4097.37000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>9661.00000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>85556.26000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>498.17000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>UBS Securities LLC</principalName>
            <principalFileNo>8-22651</principalFileNo>
            <principalCrdNo>000007654</principalCrdNo>
            <principalLei>T6FIZBDPKLYJKFCRVK44</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>420.80000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>221.27000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BNP Paribas Securities Corp.</principalName>
            <principalFileNo>8-32682</principalFileNo>
            <principalCrdNo>000015794</principalCrdNo>
            <principalLei>RCNB6OTYUAMMP879YW96</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>360.76000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citadel Securities LLC</principalName>
            <principalFileNo>8-53574</principalFileNo>
            <principalCrdNo>000116797</principalCrdNo>
            <principalLei>12UUJYTN7D3SW8KCSG25</principalLei>
            <principalStateCountry principalState="US-FL" principalCountry="US"/>
            <principalTotalPurchaseSale>146.49000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Virtu Americas LLC</principalName>
            <principalFileNo>8-68193</principalFileNo>
            <principalCrdNo>000149823</principalCrdNo>
            <principalLei>549300RA02N3BNSWBV74</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>306.08000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>346.90000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>2300.47000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>503095159.78076923</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Derivative-other</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <otherAssetDesc>Right</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Strategic Income Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000005423</mgmtInvSeriesId>
        <mgmtInvLei>5493003NBLEW4UFF5S87</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000014754" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>47292109.39065580</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>88315.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Victory Capital Management Inc</subAdviserName>
            <subAdviserFileNo>801-46878</subAdviserFileNo>
            <subAdviserCrdNo>000106189</subAdviserCrdNo>
            <subAdviserLei>549300YNO08S1SH3I683</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>Bloomberg L.P.</pricingServiceName>
            <pricingServiceLei>549300B56MD0ZC402L06</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing &amp; Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>S&amp;P Global Inc.</pricingServiceName>
            <pricingServiceLei>Y6X4K52KMJMZE7I7MY94</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Citi Mexico S.A.</custodianName>
            <custodianLei>529900H31AYI6WA1J534</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Banco Santander Chile</custodianName>
            <custodianLei>3YJP8HORPAEXJ80D6368</custodianLei>
            <custodianCountry>CL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Bank Handlowy w. Warszawie S.A.</custodianName>
            <custodianLei>XLEZHWWOI4HFQDGL4793</custodianLei>
            <custodianCountry>PL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS Bank Spain, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank A.S.</custodianName>
            <custodianLei>CWZ8NZDH5SKY12Q4US31</custodianLei>
            <custodianCountry>TR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank Europe plc</custodianName>
            <custodianLei>N1FBEDJ5J41VKZLO2475</custodianLei>
            <custodianCountry>RO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Citibank del Peru S.A.</custodianName>
            <custodianLei>MYTK5NHHP1G8TVFGT193</custodianLei>
            <custodianCountry>PE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Cititrust Colombia S.A.</custodianName>
            <custodianLei>549300242J3IJCOSGI49</custodianLei>
            <custodianCountry>CO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS Bank Ltd</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Deutsche Bank AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>HU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>FirstRand Bank Limited</custodianName>
            <custodianLei>ZAYQDKTCATIXF9OQY690</custodianLei>
            <custodianCountry>ZA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC Bank Bermuda Limited</custodianName>
            <custodianLei>0W1U67PTV5WY3WYWKD79</custodianLei>
            <custodianCountry>BM</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan S.A. DTVM</custodianName>
            <custodianLei>5493001LS7J56NZZ3G07</custodianLei>
            <custodianCountry>BR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>IN</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>PT Bank HSBC Indonesia</custodianName>
            <custodianLei>213800HW5IDIRLWH1203</custodianLei>
            <custodianCountry>ID</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Royal Bank of Canada</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Stanbic IBTC Bank Plc</custodianName>
            <custodianLei>029200098C3K8BI2D551</custodianLei>
            <custodianCountry>NG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Kenya Limited</custodianName>
            <custodianLei>549300RBHWW5EJIRG629</custodianLei>
            <custodianCountry>KE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Korea Limited</custodianName>
            <custodianLei>NUXTG47HHHM1K2L0SG39</custodianLei>
            <custodianCountry>KR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Uganda Limited</custodianName>
            <custodianLei>549300W7CNYGJ68XGD27</custodianLei>
            <custodianCountry>UG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Standard Chartered Bank Zambia Plc</custodianName>
            <custodianLei>549300247QDZHDI30A83</custodianLei>
            <custodianCountry>ZM</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>The Hongkong and Shanghai Banking Corporation Limited</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Austria AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Czech Republic and Slovakia, a.s.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Unicredit Bank Srbija a.d.</custodianName>
            <custodianLei>52990001O0THU00TYK59</custodianLei>
            <custodianCountry>RS</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>36934.58000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Instinet, LLC</brokerName>
            <brokerFileNo>8-23669</brokerFileNo>
            <brokerCrdNo>000007897</brokerCrdNo>
            <brokerLei>549300MGMN3RKMU8FT57</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2429.64000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>39364.22000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>J.P. Morgan Securities LLC</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>121685709.40000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs &amp; Co. LLC</principalName>
            <principalFileNo>8-00129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>57897461.07999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Nomura Securities International, Inc.</principalName>
            <principalFileNo>8-15255</principalFileNo>
            <principalCrdNo>000004297</principalCrdNo>
            <principalLei>OXTKY6Q8X53C9ILVV871</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>51341227.60000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citigroup Global Markets Inc.</principalName>
            <principalFileNo>8-08177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>101138013.31999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>595856743.67999995</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BNP Paribas Securities Corp.</principalName>
            <principalFileNo>8-32682</principalFileNo>
            <principalCrdNo>000015794</principalCrdNo>
            <principalLei>RCNB6OTYUAMMP879YW96</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>213696970.25999999</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Mizuho Securities USA LLC</principalName>
            <principalFileNo>8-37710</principalFileNo>
            <principalCrdNo>000019647</principalCrdNo>
            <principalLei>7TK5RJIZDFROZCA6XF66</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>91154178.81000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays Capital, Inc.</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>192623884.09000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities, LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>229824313.99000001</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BofA Securities, Inc.</principalName>
            <principalFileNo>8-69787</principalFileNo>
            <principalCrdNo>000283942</principalCrdNo>
            <principalLei>549300HN4UKV1E2R3U73</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>615194446.83000004</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>2466711376.73000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>322555537.13923073</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>ABS-collateralized bond/debt obligation</assetClassType>
            <assetClassType>ABS-mortgage backed security</assetClassType>
            <assetClassType>ABS-other</assetClassType>
            <assetClassType>Debt</assetClassType>
            <assetClassType>Derivative-credit</assetClassType>
            <assetClassType>Derivative-foreign exchange</assetClassType>
            <assetClassType>Derivative-interest rate</assetClassType>
            <assetClassType>Derivative-other</assetClassType>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Equity-preferred</assetClassType>
            <assetClassType>Loan</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <assetClassType>Short-term investment vehicle</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT U.S. 130/30 Equity Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000067312</mgmtInvSeriesId>
        <mgmtInvLei>549300ULEV0UFTRLE172</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>1</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000216457" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>0.00000000</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>0.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(f)(17 CFR 270.18f-4(f))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>N</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Jacobs Levy Equity Management, Inc.</subAdviserName>
            <subAdviserFileNo>801-28257</subAdviserFileNo>
            <subAdviserCrdNo>000107022</subAdviserCrdNo>
            <subAdviserLei>549300BVR9AUZB18HW43</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Cantor Fitzgerald &amp; Co.</brokerName>
            <brokerFileNo>8-00201</brokerFileNo>
            <brokerCrdNo>000000134</brokerCrdNo>
            <brokerLei>5493004J7H4GCPG6OB62</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2454.90000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1391.23000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2007.11000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Merrill Lynch, Pierce, Fenner &amp; Smith Inc.</brokerName>
            <brokerFileNo>8-07221</brokerFileNo>
            <brokerCrdNo>000007691</brokerCrdNo>
            <brokerLei>8NAV47T0Y26Q87Y0QP81</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>654.87000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>623.85000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BMO Capital Markets Corp.</brokerName>
            <brokerFileNo>8-34344</brokerFileNo>
            <brokerCrdNo>000016686</brokerCrdNo>
            <brokerLei>RUC0QBLBRPRCU4W1NE59</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>723.20000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>604.48000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Liquidnet, Inc.</brokerName>
            <brokerFileNo>8-52461</brokerFileNo>
            <brokerCrdNo>000103987</brokerCrdNo>
            <brokerLei>213800HSKBBO1GCVRG79</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>4616.64999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Wells Fargo Securities, LLC</brokerName>
            <brokerFileNo>8-65876</brokerFileNo>
            <brokerCrdNo>000126292</brokerCrdNo>
            <brokerLei>VYVVCKR63DVZZN70PB21</brokerLei>
            <brokerStateCountry brokerState="US-NC" brokerCountry="US"/>
            <grossCommission>1656.00000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Virtu Americas LLC</brokerName>
            <brokerFileNo>8-68193</brokerFileNo>
            <brokerCrdNo>000149823</brokerCrdNo>
            <brokerLei>549300RA02N3BNSWBV74</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>59188.23000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>75989.13000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1022488959.80461550</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Derivative-equity</assetClassType>
            <assetClassType>Equity-common</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT Victory Mid Cap Value Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000021037</mgmtInvSeriesId>
        <mgmtInvLei>5493006I2DKS4C9MJN49</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class I Shares" sharesOutstandingClassId="C000059817" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000059818" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>38011835.42756160</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>44631.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>Victory Capital Management Inc.</subAdviserName>
            <subAdviserFileNo>801-46878</subAdviserFileNo>
            <subAdviserCrdNo>000106189</subAdviserCrdNo>
            <subAdviserLei>549300YNO08S1SH3I683</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NY" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>BNP Paribas</custodianName>
            <custodianLei>R0MUWSFPU8MPRO8K5P83</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>IE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>Euroclear</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. Morgan Bank Luxembourg S.A.</custodianName>
            <custodianLei>549300ZK53CNGEEI6A29</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>Mizuho Bank, Ltd.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UniCredit Bank Czech Republic and Slovakia, a.s.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>6331.17000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>8047.06000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Keybanc Capital Markets Inc.</brokerName>
            <brokerFileNo>8-30177</brokerFileNo>
            <brokerCrdNo>000000566</brokerCrdNo>
            <brokerLei>2EQWV0180Z211YVAD813</brokerLei>
            <brokerStateCountry brokerState="US-OH" brokerCountry="US"/>
            <grossCommission>12176.48000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Stifel, Nicolaus &amp; Company, Incorporated</brokerName>
            <brokerFileNo>8-01447</brokerFileNo>
            <brokerCrdNo>000000793</brokerCrdNo>
            <brokerLei>5WUVMA08EYG4KEUPW589</brokerLei>
            <brokerStateCountry brokerState="US-MO" brokerCountry="US"/>
            <grossCommission>6041.83000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>9746.95000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Stephens Inc.</brokerName>
            <brokerFileNo>8-01927</brokerFileNo>
            <brokerCrdNo>000003496</brokerCrdNo>
            <brokerLei>213800LH6T9XDYZCA534</brokerLei>
            <brokerStateCountry brokerState="US-AR" brokerCountry="US"/>
            <grossCommission>3956.21000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Capital Institutional Services, Inc.</brokerName>
            <brokerFileNo>8-22273</brokerFileNo>
            <brokerCrdNo>000007551</brokerCrdNo>
            <brokerLei>54930061X8RDWFDJIS05</brokerLei>
            <brokerStateCountry brokerState="US-TX" brokerCountry="US"/>
            <grossCommission>19704.25000000</grossCommission>
          </broker>
          <broker>
            <brokerName>ROBERT W. BAIRD &amp; CO. INCORPORATED</brokerName>
            <brokerFileNo>8-00497</brokerFileNo>
            <brokerCrdNo>000008158</brokerCrdNo>
            <brokerLei>549300772UJAHRD6LO53</brokerLei>
            <brokerStateCountry brokerState="US-WI" brokerCountry="US"/>
            <grossCommission>24967.59999999</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays Capital, Inc.</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>5868.01000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Liquidnet, Inc.</brokerName>
            <brokerFileNo>8-52461</brokerFileNo>
            <brokerCrdNo>000103987</brokerCrdNo>
            <brokerLei>213800HSKBBO1GCVRG79</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>17779.24000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>149635.72000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Morgan Stanley &amp; Co. LLC</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1752300.00000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>1752300.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>332761077.69076920</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Equity-common</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT iShares Fixed Income ETF Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000062668</mgmtInvSeriesId>
        <mgmtInvLei>549300HXWYFSB6TE8E03</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000203213" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000203214" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>10078610.71684929</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>22899.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>BlackRock Investment Management, LLC</subAdviserName>
            <subAdviserFileNo>801-56972</subAdviserFileNo>
            <subAdviserCrdNo>000108928</subAdviserCrdNo>
            <subAdviserLei>5493006MRTEZZ4S4CQ20</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>658.98000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>618.72000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>228.86000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>472.75000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>868.76000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jane Street Capital, LLC</brokerName>
            <brokerFileNo>8-52275</brokerFileNo>
            <brokerCrdNo>000103782</brokerCrdNo>
            <brokerLei>549300ZM16HMPEPNV857</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>82.54000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citadel Securities LLC</brokerName>
            <brokerFileNo>8-53574</brokerFileNo>
            <brokerCrdNo>000116797</brokerCrdNo>
            <brokerLei>12UUJYTN7D3SW8KCSG25</brokerLei>
            <brokerStateCountry brokerState="US-FL" brokerCountry="US"/>
            <grossCommission>171.28000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jane Street Execution Services, LLC</brokerName>
            <brokerFileNo>8-69254</brokerFileNo>
            <brokerCrdNo>000167280</brokerCrdNo>
            <brokerLei>549300HXJLXCPDWAH070</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>905.06000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1340.70000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>5347.65000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>87141180.21615384</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Global Equity ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <otherAssetDesc>Exchange traded fund</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>NVIT iShares Global Equity ETF Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000062667</mgmtInvSeriesId>
        <mgmtInvLei>5493009N2AY3YLT72A89</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class II Shares" sharesOutstandingClassId="C000203211" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class Y Shares" sharesOutstandingClassId="C000203212" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>Y</isFundSecuritiesLending>
        <fundLendSecurities didFundLendSecurities="Y">
          <isFundLiquidated>N</isFundLiquidated>
          <isFundAdverselyImpacted>N</isFundAdverselyImpacted>
        </fundLendSecurities>
        <securityLendings>
          <securityLending>
            <securitiesAgentName>JPMorgan Chase Bank NA</securitiesAgentName>
            <securitiesAgentLei>7H6GLXDRUGQFU57RNE97</securitiesAgentLei>
            <isSecuritiesAgentAffiliated>N</isSecuritiesAgentAffiliated>
            <securityAgentIdemnity isSecurityAgentIdemnity="Y">
              <idemnityProviders>
                <idemnityProvider idemnityProviderName="N/A" idemnityProviderLei="N/A" idemnityProviderRssdId="N/A"/>
              </idemnityProviders>
              <didIndemnificationRights>N</didIndemnificationRights>
            </securityAgentIdemnity>
          </securityLending>
        </securityLendings>
        <collateralManagers>
          <collateralManager collateralManagerName="JPMorgan Chase Bank NA" collateralManagerLei="7H6GLXDRUGQFU57RNE97" isCollateralManagerAffliliated="N" isCollateralManagerAffliliatedWithFund="N"/>
        </collateralManagers>
        <paymentToAgentManagers>
          <paymentToAgentManagerType>Revenue sharing split</paymentToAgentManagerType>
        </paymentToAgentManagers>
        <avgPortfolioSecuritiesValue>17007919.44269320</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>54470.00000000</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 18f-4 (17 CFR 270.18f-4)</relyOnRuleType>
          <relyOnRuleType>Rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))</relyOnRuleType>
          <relyOnRuleType>Rule 22d-1 (17 CFR 270.22d-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>Y</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Nationwide Fund Advisors</investmentAdviserName>
            <investmentAdviserFileNo>801-56370</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000109391</investmentAdviserCrdNo>
            <investmentAdviserLei>549300IDZFNVQJYDHP15</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-OH" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <subAdvisers>
          <subAdviser>
            <subAdviserName>BlackRock Investment Management, LLC</subAdviserName>
            <subAdviserFileNo>801-56972</subAdviserFileNo>
            <subAdviserCrdNo>000108928</subAdviserCrdNo>
            <subAdviserLei>5493006MRTEZZ4S4CQ20</subAdviserLei>
            <isSubAdviserAffiliated>N</isSubAdviserAffiliated>
            <subAdviserStateCountry subAdviserState="US-NJ" subAdviserCountry="US"/>
            <isSubAdviserHired>N</isSubAdviserHired>
          </subAdviser>
        </subAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>NATIONWIDE FUND MANAGEMENT, LLC</transferAgentName>
            <transferAgentFileNo>84-00825</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentRssdId>N/A</transferAgentRssdId>
            <transferAgentStateCountry transferAgentState="US-OH" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>U.S. BANCORP FUND SERVICES, LLC</transferAgentName>
            <transferAgentFileNo>85-11357</transferAgentFileNo>
            <transferAgentLei>N1GZ7BBF3NP8GI976H15</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-WI" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>LSEG US FIN CORP.</pricingServiceName>
            <pricingServiceLei>2138007FV67QQ13CGJ43</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMorgan Chase Bank, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>JPMORGAN CHASE BANK, N.A.</adminName>
            <adminLei>7H6GLXDRUGQFU57RNE97</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>N</isAdminAffiliated>
            <isAdminSubAdmin>Y</isAdminSubAdmin>
          </admin>
          <admin>
            <adminName>NATIONWIDE FUND MANAGEMENT, LLC</adminName>
            <adminLei>N/A</adminLei>
            <adminRssdId>N/A</adminRssdId>
            <adminOther>84-00825</adminOther>
            <idNumberDesc>SEC File Number</idNumberDesc>
            <adminStateCountry adminState="US-OH" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE INVESTMENT SERVICES CORPORATION</brokerDealerName>
            <brokerDealerFileNo>8-20254</brokerDealerFileNo>
            <brokerDealerCrdNo>000007110</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE SECURITIES, LLC</brokerDealerName>
            <brokerDealerFileNo>8-12500</brokerDealerFileNo>
            <brokerDealerCrdNo>000011173</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>NATIONWIDE FUND DISTRIBUTORS, LLC</brokerDealerName>
            <brokerDealerFileNo>8-42135</brokerDealerFileNo>
            <brokerDealerCrdNo>000025910</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerRssdId>N/A</brokerDealerRssdId>
            <brokerDealerStateCountry brokerDealerState="US-OH" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.00000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>J.P. Morgan Securities LLC</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2325.98000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs &amp; Co. LLC</brokerName>
            <brokerFileNo>8-00129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>213.22000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>168.81000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citigroup Global Markets Inc.</brokerName>
            <brokerFileNo>8-08177</brokerFileNo>
            <brokerCrdNo>000007059</brokerCrdNo>
            <brokerLei>MBNUM2BPBDO7JBLYG310</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>97.45000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS Securities LLC</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>263.72000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley &amp; Co. LLC</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>305.72000000</grossCommission>
          </broker>
          <broker>
            <brokerName>TD SECURITIES (USA) LLC</brokerName>
            <brokerFileNo>8-36747</brokerFileNo>
            <brokerCrdNo>000018476</brokerCrdNo>
            <brokerLei>SUVUFHICNZMP2WKHG940</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>429.36000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Citadel Securities LLC</brokerName>
            <brokerFileNo>8-53574</brokerFileNo>
            <brokerCrdNo>000116797</brokerCrdNo>
            <brokerLei>12UUJYTN7D3SW8KCSG25</brokerLei>
            <brokerStateCountry brokerState="US-FL" brokerCountry="US"/>
            <grossCommission>22.24000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jane Street Execution Services, LLC</brokerName>
            <brokerFileNo>8-69254</brokerFileNo>
            <brokerCrdNo>000167280</brokerCrdNo>
            <brokerLei>549300HXJLXCPDWAH070</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>15.06000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BofA Securities, Inc.</brokerName>
            <brokerFileNo>8-69787</brokerFileNo>
            <brokerCrdNo>000283942</brokerCrdNo>
            <brokerLei>549300HN4UKV1E2R3U73</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>1770.18000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>5617.69000000</aggregateCommission>
        <principalAggregatePurchase>0.00000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>99297638.44923076</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>100000000.00000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, NA"/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="NVIT Allspring Discovery Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Global Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Equity Dividend Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT BlackRock Managed Global Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Blueprint Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Bond Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT DoubleLine Total Return Tactical Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Emerging Markets Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Fidelity Institutional AM Worldwide Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GQG US Quality Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Emerging Markets Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS International Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Large Cap Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT GS Small Cap Equity Insights Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Government Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT International Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Invesco Small Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Balanced Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Capital Appreciation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth &amp; Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Managed Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Aggressive Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Investor Destinations Moderately Conservative Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Digital Evolution Strategy Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Equity and Options Total Return Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Inflation Managed Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Innovators Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan U.S. Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT J.P. Morgan US Technology Leaders Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Core Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Jacobs Levy Large Cap Growth Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Core Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term Bond Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Loomis Short Term High Yield Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Asset Allocation Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Managed American Funds Growth-Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Mid Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Multi-Manager Small Company Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT NASDAQ-100 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Putnam International Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Real Estate Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT S&amp;P 500 Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Small Cap Index Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Strategic Income Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT U.S. 130/30 Equity Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT Victory Mid Cap Value Fund" secFileNo="811-03213"/>
                <creditUser fundName="NVIT iShares Fixed Income ETF Fund" secFileNo="811-03213"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Core Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide BNY Mellon Dynamic U.S. Equity Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Cognitive Value Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard International Equities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bailard Technology &amp; Science Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Bond Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2030 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2035 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2040 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2045 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2050 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2055 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2060 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2065 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination 2070 Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Destination Retirement Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Fundamental All Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide GQG US Quality Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Mid Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Geneva Small Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Inflation-Protected Securities Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide International Small Cap Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Invesco Core Plus Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderate Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Aggressive Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Investor Destinations Moderately Conservative Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Large Cap Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis All Cap Growth Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Core Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Loomis Short Term Bond Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Mid Cap Market Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide NYSE Arca Tech 100 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide S&amp;P 500 Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Schroders Global Equity Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Small Cap Index Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide Strategic Income Fund" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide U.S. 130/30 Equity Portfolio" secFileNo="811-08495"/>
                <creditUser fundName="Nationwide WCM Focused Small Cap Fund" secFileNo="811-08495"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
        <liquidityClassifications>
          <liquidityClassificationService>
            <liquidityName>Intercontinental Exchange, Inc.</liquidityName>
            <liquidityLei>5493000F4ZO33MV32P92</liquidityLei>
            <liquidityStateCountry liquidityCountry="US" liquidityState="US-DE"/>
            <isAffiliatedPerson>N</isAffiliatedPerson>
            <assetClassType>Other</assetClassType>
            <assetClassType>Repurchase agreement</assetClassType>
            <otherAssetDesc>Exchange traded fund</otherAssetDesc>
          </liquidityClassificationService>
        </liquidityClassifications>
        <isLiquidityHiredTerminated>N</isLiquidityHiredTerminated>
      </managementInvestmentQuestion>
    </managementInvestmentQuestionSeriesInfo>
    <attachmentsTab>
      <isLegalProceedings>true</isLegalProceedings>
      <isProvisionFinancialSupport>false</isProvisionFinancialSupport>
      <isIPAReportInternalControl>true</isIPAReportInternalControl>
      <isChangeAccPrinciples>false</isChangeAccPrinciples>
      <isInfoRequiredEO>false</isInfoRequiredEO>
      <isOtherInfoRequired>false</isOtherInfoRequired>
    </attachmentsTab>
    <signature registrantSignedName="Nationwide Variable Insurance Trust" signedDate="2025-12-31" signature="David Majewski" title="Treasurer"/>
  </formData>
</edgarSubmission>
