
T. Rowe Price Mid-Cap Value Fund I Class
FundTRMIXNASDAQ0.00 n/a
+0.00%(+0.00)
About
This fund's primary objective is to achieve substantial growth in capital over an extended period. To accomplish this, it typically allocates a minimum of 80% of its total net assets (which may include funds acquired through borrowing) towards investments in companies. These companies are selected such that their market value, calculated at the time of acquisition, corresponds with the market capitalization range of constituents within either the S&P MidCap 400 Index or the Russell Midcap Value Index.
Key Facts
Expense Ratio
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Assets Under Management
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NAV
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Holdings
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Inception Date
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Asset Class
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Issuer
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Avg. Volume
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Market Cap
$15.86B
Beta
1.00
52-Week Range
$31.22$38.38$38.50
52W LowCurrent52W High
Performance
1 Week
+2.13%
1 Month
+4.52%
3 Months
+15.57%
YTD
+19.68%
1 Year
+23.01%
3 Years
+28.49%
5 Years
+8.82%
Sector Exposure
Sector exposure data isn't available for this fund yet.
Top Holdings
Holdings data isn't available for this fund yet.