T. Rowe Price International Value Equity Fund Class R RRIGX:NASDAQ
- 52 Week High17.22
- 52 Week High Date05/03/24
- 52 Week Low14.38
- 52 Week Low Date10/27/23
- Dividend Yield2.27
- Net Assets34
- Deferred Load %-
- Port Turnover %18
Key Stats
- Min Initial Invest2,500
- Min Sub Invest100
- Expense Ratio %1.31
- Front End Load %-
- YTD % Change5.79
- 1 Year % Change17.34
KEY STATS
- 52 Week High17.22
- 52 Week High Date05/03/24
- 52 Week Low14.38
- 52 Week Low Date10/27/23
- Dividend Yield2.27
- Net Assets34
- Deferred Load %-
- Port Turnover %18
- Min Initial Invest2,500
- Min Sub Invest100
- Expense Ratio %1.31
- Front End Load %-
- YTD % Change5.79
- 1 Year % Change17.34
Latest On T. Rowe Price International Value Equity Fund Class R
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