PRGMX

T. Rowe Price GNMA Fund PRGMX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode PRGMX LVAEX PSILX NFJ FIUIX LTFIX TRRFX PYVLX PRISX CSSPX
6M 2.36 % -1.12 % 6.99 % 6.01 % 3.06 % 4.50 % 1.20 % 9.57 % 6.23 % -2.10 %
YTD 3.52 % 1.50 % 22.70 % 1.50 % 7.70 % 10.86 % 5.43 % 11.13 % 13.02 % 6.80 %
1Y 3.65 % -0.75 % 21.75 % 3.46 % 4.48 % 7.85 % 5.08 % 10.25 % 12.55 % 6.40 %
3Y 1.73 % 8.98 % 39.97 % 14.30 % 25.86 % 36.10 % 17.29 % 10.45 % 54.05 % 12.45 %
5Y -12.71 % 2.68 % 10.76 % -3.01 % 32.16 % 14.19 % -9.47 % 0.79 % 80.68 % 1.96 %
10Y -12.62 % 12.74 % 45.62 % 4.21 % 61.62 % 54.58 % 1.20 % 28.36 % 123.52 % 7.03 %
From the beginning -18.01 % 14.15 % 73.00 % -48.85 % 256.70 % 78.88 % 25.32 % 80.24 % 380.80 % 116.80 %

Dividend

T. Rowe Price GNMA Fund

LSV Value Equity Fund

T. Rowe Price Spectrum International Equity Fund

Virtus Dividend, Interest & Premium Strategy Fund

Fidelity Utilities Fund

Principal LifeTime 2055 Fund

T. Rowe Price Retirement 2005 Fund

Payden Equity Income Fund

T. Rowe Price Financial Services Fund

Cohen & Steers Global Realty Shares Fund