RPGAX

T. Rowe Price Global Allocation RPGAX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode RPGAX ARYVX SGLYX PORTX PORIX TSHIX VLEOX POVSX COVAX BEMIX
6M 1.02 % 0.45 % -3.63 % -7.08 % -7.27 % 8.81 % 2.58 % 12.91 % 5.27 % 18.89 %
YTD 6.05 % 3.59 % 5.15 % -0.73 % -0.83 % 10.68 % 0.62 % 34.55 % -6.48 % 40.67 %
1Y -0.88 % 0.15 % 1.24 % -3.88 % -3.96 % 8.88 % -3.82 % 23.98 % -9.92 % 35.82 %
3Y 23.11 % 19.19 % 5.78 % 7.43 % 7.30 % 28.58 % 41.02 % 56.69 % -14.89 % 70.71 %
5Y 3.68 % 1.53 % -3.01 % -7.25 % -7.65 % 25.76 % 19.01 % 22.29 % -20.22 % 37.08 %
10Y 50.33 % 16.27 % -4.92 % 48.80 % 47.75 % 64.89 % 24.19 % 47.55 % -13.70 % 84.56 %
From the beginning 59.94 % 32.90 % -1.03 % 159.23 % 57.06 % 60.12 % 496.10 % 284.01 % 29.28 % 18.30 %

Dividend

T. Rowe Price Global Allocation

American Century Global Real Estate Fd Inv Cl

Global Managed Volatility Fund Class Y

Trillium ESG Global Equity Fund Retail Class

Trillium ESG Global Equity Fund Institutional Class

Transamerica Multi-Asset Income I

Value Line Small Cap Opportunities Fund, Inc. Investor Class

Putnam International Equity Fd Class A

Columbia Small Cap Value Fund II Class A

Brandes Emerging Markets Value Fund Class I