PRASX

T. Rowe Price New Asia Fund PRASX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode PRASX CHTTX NOMIX HSVRX TRPBX BIECX ACINX PRSIX
6M 29.40 % 14.29 % 20.41 % 21.69 % 13.60 % 20.98 % 10.86 % 9.93 %
YTD 24.13 % 6.93 % 5.66 % 1.45 % 10.35 % 30.27 % 10.92 % 7.69 %
1Y 15.49 % -5.17 % -5.78 % -1.91 % 3.03 % 20.59 % -6.73 % 4.55 %
3Y 43.56 % 28.69 % 12.82 % 17.47 % 24.98 % 100.83 % 27.62 % 20.79 %
5Y -7.08 % -31.81 % 15.20 % 28.89 % 1.86 % 96.80 % -28.86 % 1.15 %
10Y 31.79 % -42.74 % 24.89 % 65.70 % 18.11 % 66.90 % -42.02 % 17.57 %
From the beginning 314.60 % 114.40 % 121.18 % 321.10 % 161.68 % 85.10 % 139.80 % 77.88 %

Dividend

T. Rowe Price New Asia Fund

AMG River Road Mid Cap Value Fund

Northern Mid Cap Index Fund

Harbor Small Cap Value Fund

T. Rowe Price Spectrum Moderate Allocation Fund

Brandes International Equity Fund

Columbia Acorn International Fund

T. Rowe Price Spectrum Conservative Allocation Fund