
T. Rowe Price Overseas Stock I
FundTROIXNASDAQ0.00 n/a
+0.00%(+0.00)
About
The fund manager aims to commit substantial capital globally, spreading investments widely across established international markets and, to a lesser degree, in developing economies. Typically, no less than 80% of the fund's net assets, encompassing any borrowed funds for investment, will be allocated to non-U.S. equities. Additionally, at least 65% of its net assets will be directed toward stocks of large-capitalization companies.
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
$24.79B
Beta
0.89
52-Week Range
$14.56$17.62$17.93
52W LowCurrent52W High
Performance
1 Week
+0.57%
1 Month
−0.34%
3 Months
+9.37%
YTD
+8.90%
1 Year
+18.89%
3 Years
+47.32%
5 Years
+32.68%
Sector Exposure
Sector exposure data isn't available for this fund yet.
Top Holdings
Holdings data isn't available for this fund yet.