T. Rowe Price QM U.S. Bond Index Fund, Inc. (TSBLX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
9.51
-0.02 (-0.21%)
Feb 3, 2025, 10:39 AM EST
-1.45%
Fund Assets n/a
Expense Ratio 0.12%
Min. Investment $1,000,000
Turnover n/a
Dividend (ttm) 0.37
Dividend Yield 3.92%
Dividend Growth 14.62%
Payout Frequency Monthly
Ex-Dividend Date Dec 31, 2024
Previous Close 9.53
YTD Return 0.32%
1-Year Return 2.06%
5-Year Return n/a
52-Week Low n/a
52-Week High n/a
Beta (5Y) n/a
Holdings 1342
Inception Date Oct 5, 2020

About TSBLX

The T. Rowe Price QM U.S. Bond Index Fund, Inc. (TSBLX) seeks to provide a total return which matches or exceeds the performance of the U.S. investment-grade bond market. Under normal market conditions the Fund will invest substantially all of its assets in bonds specifically represented in the Barclays Capital Aggregate Bond Index.

Category Core Bond
Performance Rating Average
Risk Rating Average
Stock Exchange NASDAQ
Ticker Symbol TSBLX
Share Class -i Class
Index Bloomberg U.S. Aggregate Bond TR

Performance

TSBLX had a total return of 2.06% in the past year. Since the fund's inception, the average annual return has been -2.11%, including dividends.

Other Share Classes

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

Symbol Share Class Expense Ratio
TSBZX -z Class n/a

Top 10 Holdings

16.83% of assets
Name Symbol Weight
United States Treasury Notes 4.5% T 4.5 05.31.29 3.89%
T. Rowe Price Gov. Reserve TRPGRIA 3.25%
United States Treasury Notes 4.125% T 4.125 10.31.27 1.83%
United States Treasury Notes 4.625% T 4.625 02.28.26 1.42%
United States Treasury Bonds 2% T 2 02.15.50 1.23%
United States Treasury Notes 4.375% T 4.375 05.15.34 1.11%
United States Treasury Notes 4.125% T 4.125 10.31.26 1.07%
United States Treasury Notes 2.75% T 2.75 07.31.27 1.02%
United States Treasury Notes 1.875% T 1.875 02.28.27 1.01%
United States Treasury Notes 4.125% T 4.125 11.30.29 0.99%
View More Holdings

Dividend History

Ex-Dividend Amount Pay Date
Jan 31, 2025 $0.03632 Jan 31, 2025
Dec 31, 2024 $0.0351 Dec 31, 2024
Nov 29, 2024 $0.03512 Nov 29, 2024
Oct 31, 2024 $0.03493 Oct 31, 2024
Sep 30, 2024 $0.0322 Sep 30, 2024
Aug 30, 2024 $0.03716 Aug 30, 2024
Full Dividend History