T. Rowe Price Dynamic Global Bond Fund I Class (RPEIX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
7.81
+0.01 (0.13%)
Feb 20, 2025, 4:00 PM EST
1.03%
Fund Assets 4.32B
Expense Ratio 0.52%
Min. Investment $1,000,000
Turnover n/a
Dividend (ttm) 0.42
Dividend Yield 5.30%
Dividend Growth 18.00%
Payout Frequency Monthly
Ex-Dividend Date Feb 28, 2025
Previous Close 7.80
YTD Return 0.68%
1-Year Return 5.64%
5-Year Return 12.57%
52-Week Low n/a
52-Week High n/a
Beta (5Y) n/a
Holdings 419
Inception Date Aug 28, 2015

About RPEIX

The T. Rowe Price Dynamic Global Bond Fund I Class (RPEIX) seeks to offer some protection against rising interest rates and provide a low correlation with the equity markets. It invests at least 40% of its net assets in foreign securities including securities of emerging market issuers.

Category Nontraditional Bond
Performance Rating Average
Risk Rating Below Average
Stock Exchange NASDAQ
Ticker Symbol RPEIX
Share Class -i Class
Index ICE BofA US 3-Month T Bill TR IX

Performance

RPEIX had a total return of 5.64% in the past year. Since the fund's inception, the average annual return has been 1.74%, including dividends.

Other Share Classes

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

Symbol Share Class Expense Ratio
TRDZX -z Class n/a
PAIEX -advisor Class 0.90%

Top 10 Holdings

48.72% of assets
Name Symbol Weight
UNITED STATES TREASURY NOTE/BOND T 3.875 03.31.25 5.99%
UNITED STATES TREASURY BILL B 0 05.15.25 5.89%
UNITED STATES TREASURY INFLATION INDEXED BONDS TII 0.125 04.15.25 5.61%
T. Rowe Price Government Reserve Fund - Collateral n/a 5.55%
UNITED STATES TREASURY NOTE/BOND T 4.25 05.31.25 5.45%
UNITED STATES TREASURY BILL B 0 04.17.25 4.91%
UNITED STATES TREASURY NOTE/BOND T 1.375 01.31.25 4.88%
DEUTSCHE BUNDESREPUBLIK INFLATION LINKED BOND n/a 4.80%
THAILAND GOVERNMENT BOND THAIGB 1.25 03.12.28 ILB 2.92%
BRAZIL NOTAS DO TESOURO NACIONAL SERIE F BNTNF 10 01.01.31 NTNF 2.71%
View More Holdings

Dividend History

Ex-Dividend Amount Pay Date
Feb 28, 2025 $0.03559 Feb 28, 2025
Jan 31, 2025 $0.03329 Jan 31, 2025
Dec 31, 2024 $0.03465 Dec 31, 2024
Nov 29, 2024 $0.03245 Nov 29, 2024
Oct 31, 2024 $0.03156 Oct 31, 2024
Sep 30, 2024 $0.02701 Sep 30, 2024
Full Dividend History