T. Rowe Price Associates

T. Rowe Price Associates Portfolio holdings

AUM $883B
1-Year Return 25.8%
 

T. Rowe Price Associates, Inc., founded in 1937 by Thomas Rowe Price, Jr., is a globally recognized investment management firm headquartered in Baltimore, Maryland, known for its disciplined, research-driven approach to active investing. The company manages hundreds of billions in assets, offering a wide range of mutual funds, retirement plans, and advisory services tailored to individual investors, institutions, and financial intermediaries. Emphasizing long-term growth and a conservative investment philosophy, T. Rowe Price has built a strong reputation for its equity and fixed-income funds, often focusing on fundamental analysis to identify undervalued opportunities. Still publicly traded and independent, it remains a trusted name in the industry, balancing tradition with innovation to meet evolving client needs.

This Quarter Return
-0.3%
1 Year Return
+25.8%
3 Year Return
+128.18%
5 Year Return
+198.37%
10 Year Return
+601.91%
AUM
$468B
AUM Growth
-$6.98B
Cap. Flow
+$3.79B
Cap. Flow %
0.81%
Top 10 Hldgs %
16.09%
Holding
2,593
New
77
Increased
1,210
Reduced
770
Closed
91

Sector Composition

1 Healthcare 20.69%
2 Consumer Discretionary 15.01%
3 Financials 13.64%
4 Technology 12.55%
5 Industrials 10.03%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BERY
876
DELISTED
Berry Global Group, Inc.
BERY
$37.9M 0.01%
1,142,507
-102,978
-8% -$3.42M
VTR icon
877
Ventas
VTR
$31.6B
$37.9M 0.01%
602,153
+12,300
+2% +$774K
PDCO
878
DELISTED
Patterson Companies, Inc.
PDCO
$37.9M 0.01%
814,600
+656,960
+417% +$30.6M
PHM icon
879
Pultegroup
PHM
$27.4B
$37.7M 0.01%
2,013,549
+5,212
+0.3% +$97.5K
AVD icon
880
American Vanguard Corp
AVD
$159M
$37.6M 0.01%
2,383,936
+99,770
+4% +$1.57M
CLX icon
881
Clorox
CLX
$15.2B
$37.5M 0.01%
297,364
-37,557
-11% -$4.73M
NVCR icon
882
NovoCure
NVCR
$1.42B
$37.5M 0.01%
2,588,465
-360
-0% -$5.21K
PFGC icon
883
Performance Food Group
PFGC
$16.6B
$37.4M 0.01%
1,600,270
-517,560
-24% -$12.1M
TYL icon
884
Tyler Technologies
TYL
$24B
$37.1M 0.01%
288,140
+2,250
+0.8% +$289K
ACHN
885
DELISTED
Achillion Pharmaceuticals, Inc.
ACHN
$37M 0.01%
4,795,207
+735,088
+18% +$5.67M
HAWK
886
DELISTED
Blackhawk Network Holdings, Inc. Common Stock
HAWK
$36.9M 0.01%
1,075,642
+227,740
+27% +$7.81M
MPC icon
887
Marathon Petroleum
MPC
$55.4B
$36.8M 0.01%
989,128
+30,470
+3% +$1.13M
MKTX icon
888
MarketAxess Holdings
MKTX
$7.04B
$36.8M 0.01%
294,440
-2,960
-1% -$369K
TLMR
889
DELISTED
TALMER BANCORP INC (MI)
TLMR
$36.4M 0.01%
2,014,850
-1,130,270
-36% -$20.4M
TWTR
890
DELISTED
Twitter, Inc.
TWTR
$36.2M 0.01%
2,186,293
-432,959
-17% -$7.17M
BFH icon
891
Bread Financial
BFH
$2.98B
$36.2M 0.01%
205,983
+11,916
+6% +$2.09M
MRC icon
892
MRC Global
MRC
$1.26B
$36.1M 0.01%
2,747,290
+667,290
+32% +$8.77M
DISCK
893
DELISTED
Discovery, Inc. Series C Common Stock
DISCK
$36M 0.01%
1,333,690
-1,110
-0.1% -$30K
SJM icon
894
J.M. Smucker
SJM
$11.8B
$35.7M 0.01%
275,029
+8,710
+3% +$1.13M
HTGC icon
895
Hercules Capital
HTGC
$3.55B
$35.6M 0.01%
2,966,770
+36,960
+1% +$444K
BF.B icon
896
Brown-Forman Class B
BF.B
$13B
$35.5M 0.01%
1,127,209
+32,975
+3% +$1.04M
SCI icon
897
Service Corp International
SCI
$11.3B
$35.5M 0.01%
1,438,624
+473,183
+49% +$11.7M
CRI icon
898
Carter's
CRI
$1.1B
$35.2M 0.01%
334,473
+7,666
+2% +$808K
CHSP
899
DELISTED
Chesapeake Lodging Trust
CHSP
$35.2M 0.01%
1,331,130
-6,920
-0.5% -$183K
TIF
900
DELISTED
Tiffany & Co.
TIF
$35.1M 0.01%
478,116
+3,010
+0.6% +$221K