T. Rowe Price Funds SICAV - Emerging Markets Bond Fund Qn EUR 10

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Performance History31/10/2024
Growth of 1,000 (GBP) Advanced Graph
T. Rowe Price Funds SICAV - Emerging Markets Bond Fund Qn EUR 10
Fund6.2-8.8-15.08.82.7
+/-Cat-2.90.6-2.52.80.5
+/-B’mrk-4.20.8-0.83.83.2
 
Key Stats
NAV
21/11/2024
 EUR 9.77
Day Change 0.39%
Morningstar Category™ Global Emerging Markets Bond - EUR Hedged
ISIN LU1859423920
Fund Size (Mil)
21/11/2024
 USD 165.45
Share Class Size (Mil)
21/11/2024
 EUR 0.59
Max Initial Charge -
Ongoing Charge
24/10/2024
  0.55%
Morningstar Research
Analyst Report15/10/2024
Mara Dobrescu, Director
Morningstar, Inc

T. Rowe Price Emerging Markets Bond's process enhancements and new lead manager still need time to prove their edge. This supports a Morningstar Analyst Rating of Neutral across all share classes.Michael Conelius, who had helmed this strategy...

Click here to read this analyst report on the underlying fund.
Morningstar Pillars
People23
Parent25
Process23
Performance
Price
Investment Objective: T. Rowe Price Funds SICAV - Emerging Markets Bond Fund Qn EUR 10
To maximise the value of its shares through both growth in the value of, and income from, its investments.
Returns
Trailing Returns (GBP)21/11/2024
YTD1.31
3 Years Annualised-2.59
5 Years Annualised-1.59
10 Years Annualised-
12 Month Yield 0.00
Management
Manager Name
Start Date
Samy Muaddi
30/06/2020
Inception Date
30/07/2018
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Category Benchmark
Fund BenchmarkMorningstar Benchmark
JPM EMBI Global Diversified TR USDMorningstar EM Sov Bd GR Hdg EUR
Target Market
Role In Portfolio
Standalone / CoreNot Specific
ComponentNot Specific
OtherNot Specific
Primary Objective
PreservationNot Specific
GrowthYes
IncomeYes
HedgingNot Specific
OtherNot Specific
Portfolio Profile for  T. Rowe Price Funds SICAV - Emerging Markets Bond Fund Qn EUR 1031/10/2024
Fixed Income
Effective Maturity-
Effective Duration-
Morningstar Style Box®
Fixed Income Style
Asset Allocation
  % Long% Short% Net Assets
Stock0.000.000.00
Bond91.500.0091.50
Property0.000.000.00
Cash18.4010.018.39
Other0.110.000.11

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In order to provide consistency across the report data provided by different Asset Managers, the calculated data points presented are generated using Morningstar’s proprietary calculation methodology which is set out in more detail at(https://www.morningstar.com/research/signature)
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