T. Rowe Price Emerging Markets Bond I (PRXIX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
9.68
+0.04 (0.41%)
Sep 11, 2025, 9:30 AM EDT
0.41%
Fund Assets4.99B
Expense Ratio0.69%
Min. Investment$0.00
Turnover40.20%
Dividend (ttm)0.58
Dividend Yield6.04%
Dividend Growth11.80%
Payout FrequencyMonthly
Ex-Dividend DateAug 29, 2025
Previous Close9.64
YTD Return6.18%
1-Year Return6.20%
5-Year Return6.14%
52-Week Low8.77
52-Week High9.68
Beta (5Y)n/a
Holdings409
Inception DateAug 28, 2015

About PRXIX

T. Rowe Price Emerging Markets Bond Fund I Class is an institutional mutual fund designed to offer investors exposure to the debt markets of emerging economies. Its primary objective is to provide a combination of high income and capital appreciation by allocating at least 80% of its assets to government or corporate bonds issued by emerging market nations. The fund often maintains an intermediate to long weighted average maturity, with holdings diversified across sovereign and corporate issuers. Notably, up to 20% of its assets may be invested in lower-rated, high-yield bonds, including those in default, reflecting a willingness to accept greater credit risk for potentially higher returns. PRXIX targets investors seeking income potential that significantly exceeds that of U.S. Treasuries or investment-grade bonds, compensating for the increased risk inherent in emerging debt markets. The fund is actively managed and benchmarks its performance against the J.P. Morgan EMBI Global Diversified Index, positioning itself as a specialized vehicle for institutions aiming to diversify fixed-income portfolios and capture growth opportunities in developing regions.

Fund Family T. Rowe Price
Category Emerging Markets Bond
Stock Exchange NASDAQ
Ticker Symbol PRXIX
Share Class -i Class
Index JP Morgan EMBI Global Diversified TR

Performance

PRXIX had a total return of 6.20% in the past year, including dividends. Since the fund's inception, the average annual return has been 3.35%.

Equivalent Funds

These are funds that follow the same index from the other major fund companies.

SymbolProviderNameExpense Ratio
FGYMXFidelityFidelity Advisor New Markets Income C0.76%
FGWMXFidelityFidelity Advisor New Markets Income M0.76%
FGBMXFidelityFidelity Advisor New Markets Income Z0.76%
FGZMXFidelityFidelity Advisor New Markets Income I0.76%
FNMIXFidelityFidelity New Markets Income0.76%

Other Share Classes

These are alternative share classes of the same fund, from the same provider.

SymbolShare ClassExpense Ratio
TREZX-z Classn/a
PAIKX-advisor Class1.15%

Top 10 Holdings

13.06% of assets
NameSymbolWeight
Malaysia (Government Of) 3.828%MGS.3.828 07.05.34 04191.92%
South Africa (Republic of) 7.1%SOAF.7.1 11.19.36 REGS1.72%
Ivory Coast (Republic Of) 6.125%IVYCST.6.125 06.15.33 REGS1.60%
Panama (Republic of) 6.4%PANAMA.6.4 02.14.351.32%
Brazil (Federative Republic) 6.625%BRAZIL.6.625 03.15.351.30%
Petroleos Mexicanos Sa De CV 10%PEMEX.10 02.07.331.14%
Romania (Republic Of) 6.625%ROMANI.6.625 05.16.36 144A1.11%
Cash Offsets For Shorts & Derivativesn/a1.04%
Petroleos Mexicanos Sa De CV 8.75%PEMEX.8.75 06.02.290.96%
Export-Import Bank of India 3.25%EXIMBK.3.25 01.15.30 REGS0.94%
View More Holdings

Dividend History

Ex-DividendAmountPay Date
Aug 29, 2025$0.05149Aug 29, 2025
Jul 31, 2025$0.0489Jul 31, 2025
Jun 30, 2025$0.04527Jun 30, 2025
May 30, 2025$0.04984May 30, 2025
Apr 30, 2025$0.04763Apr 30, 2025
Mar 31, 2025$0.04625Mar 31, 2025
Full Dividend History