T. Rowe Price International Discovery
(PRIDX)
US Markets Closed
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53.71
+0.72
+1.36%
:

Previous Close

52.99

Net Assets

3.55B

Yield

1.09%

Front load

None

Expenses

1.23%

Category

Foreign Small/Mid Growth

Morningstar Risk

Below Average

Morningstar Rating ★★★★
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Performance
Returns %
Key statistics
  • Composition
  • Performance
  • Top Holdings
  • Top Rated Funds
  • Fund vs. Category
Quarterly Returns
  • Annual

  • PRIDX

  • Category

    • 2013

    • 24.37%

    • -

    • 2012

    • 26.00%

    • -

    • 2011

    • -14.08%

    • -

    • 2010

    • 20.47%

    • -

    • 2013

    • 2012

    • 2011

      • Q1

      • 6.03%

      • 17.23%

      • 1.91%

      • Q2

      • -0.47%

      • -5.42%

      • 2.91%

      • Q3

      • 10.42%

      • 7.86%

      • -19.36%

      • Q4

      • 6.73%

      • 5.35%

      • 1.59%

      Composition
      Sector Weightings
      Equity Investment Style
      Bond Investment Style
      The two dimensions of the Fund Style box measure the average size of companies that have been in the FUND, from the top to bottom, and the average valuation characteristics of the FUND's past stock holdings, from left to right.
      • Name

      • % Portfolio Weight

      • Shares Held

      • Change

        • T. Rowe Price Short-Term Bond

        • 4.31

        • 17,746,645

        • 1,539,990

        • NORMA Group SE

        • 1.37

        • 1,017,737

        • 0

        • Pacific Textiles Holdings Ltd

        • 1.21

        • 39,696,000

        • 3,225,000

        • Carphone Warehouse Group PLC

        • 0.99

        • 7,342,804

        • 0

        • Eurofins Scientific Group SA

        • 0.92

        • 123,363

        • 0

        • PayPoint PLC

        • 0.87

        • 1,912,000

        • 0

        • AVEVA Group PLC

        • 0.84

        • 997,006

        • 0

        • Jupiter Fund Management PLC

        • 0.83

        • 5,024,124

        • -585,530

        • Temp Holdings Co., Ltd.

        • 0.83

        • 1,040,800

        • 105,400

        • Investec PLC

        • 0.80

        • 3,558,647

        • 0

        • Name

        • Rating

        • YTD Return %

          • Oppenheimer International Small Co Y

          • ★★★★★
          • -4.58

          • Oberweis International Opportunities

          • ★★★★★
          • -8.02

          • Oppenheimer International Small Co A

          • ★★★★
          • -4.79

          • Thornburg International Growth I

          • ★★★★
          • -15.33

          • Oppenheimer International Small Co B

          • ★★★★
          • -5.36

          • Aberdeen Global Small Cap Instl Svc

          • ★★★★
          • -1.24

          • Aberdeen Global Small Cap Instl

          • ★★★★
          • -1.04

          • Fidelity Advisor® Intl Sm Cap Opps I

          • ★★★★
          • -5.72

          • Fidelity Advisor® Intl Sm Cap Opps C

          • ★★★★
          • -6.51

          • Touchstone Intl Small Cap Instl

          • ★★★★
          • -4.70

          • Name

          • PRIDX

          • Category

            • Expense Ratio

            • 1.23%

            • 1.57%

            • Net Assets

            • 3.55B

            • 258.27M

            • Dividend Yield

            • 1.77%

            • 2.00

            • Price/Book

            • 1.98

            • 2.35

            • Price/Sales

            • 0.85

            • 1.30

            • Price/Cash Flow

            • 7.03

            • 7.01

            Profile

            Name of Issuer

            T. Rowe Price

            Fund Style

            Open

            Fund Manager

            Justin Thomson

            Investment Style

            Medium Growth

            The investment seeks long-term growth of capital through investments primarily in the common stocks of rapidly growing, small- to medium-sized companies outside the U.S. The managers expect to invest substantially all of its assets outside the U.S. and to diversify broadly among developed and emerging countries throughout the world. Normally, at least 80% of the fund's net assets (including any borrowings for investment purposes) will be invested in stocks. While the fund invests with an awareness of the global economic backdrop and the outlook for industry sectors and individual countries, bottom-up stock selection is the focus of the fund's decision-making.

            Purchase Information

            Initial Purchase 2,500
            Initial Purchase: IRA 1,000
            Initial Purchase: AIP 2,500
            Front load None
            Back Load None

            Inception

            12/30/1988