PRTIX

T. Rowe Price U.S. Treasury Intermediate Index Fund PRTIX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode PRTIX RPTFX FLXSX HNASX WOGSX HJPNX TRHRX FFBSX FJSCX NMIMX
6M 2.38 % 19.89 % 33.53 % 32.72 % 27.33 % 21.71 % 17.98 % 24.66 % 17.19 % 26.57 %
YTD 4.23 % 14.08 % 10.57 % 12.82 % 16.31 % 17.06 % 13.13 % 17.93 % 22.14 % 9.21 %
1Y 1.97 % 8.68 % 9.41 % 9.74 % 4.13 % 7.72 % 7.51 % 12.14 % 15.07 % 1.31 %
3Y 2.58 % 45.10 % 42.24 % 91.28 % 54.52 % 69.34 % 39.42 % 61.33 % 56.48 % 46.09 %
5Y -18.07 % 33.22 % 50.34 % 41.64 % 43.18 % 11.69 % 27.22 % 41.22 % 11.96 % 20.15 %
10Y -13.26 % 69.09 % 76.80 % 154.27 % 150.78 % 107.05 % 57.95 % 55.20 % 40.47 % 42.63 %
From the beginning 3.40 % 94.72 % 76.80 % 102.23 % 1 481.40 % 384.02 % 81.44 % 55.20 % 81.12 % 201.10 %

Dividend

T. Rowe Price U.S. Treasury Intermediate Index Fund

T. Rowe Price Target Retirement 2045 Fund

Fidelity Flex Small Cap Index Fund

Homestead Fds, Inc. Growth Fund

White Oak Select Growth Fund

Hennessy Japan Fund

T. Rowe Price Target Retirement 2040 Fund

Fidelity Freedom Blend 2065 Fund

Fidelity Japan Smaller Companies Fund

Columbia Large Cap Enhanced Core Fund