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T. Rowe Price Global Allocation A USD

WKNA2ANZJ
AssetklasseMischfonds
15,382-0,06
-0,39%
19.08.2025 05:35
15,382-0,06
-0,39%
19.08.2025 05:35
Verkaufen
15,43VerkaufenStück: 3.300
Kaufen
15,661KaufenStück: 3.200
Eröffnung
15,382
Hoch
15,382
Tief
15,382
The fund invests mainly in a diversified portfolio of bonds, stocks and other investments from issuers around the world, including emerging markets. Specifically, the fund invests in equity and equity related securities of companies as well as a wide range of debt securities of issuers across sectors and credit quality. Portfolio debt securities can include fixed and floating rate bonds, convertible bonds (including, to a limited extent, contingent convertible bonds), warrants and other transferable debt securities of any type, including high yield securities and, to a limited extent, distressed and defaulted bonds.
Emittent
T. Rowe Price Luxembourg Management SARL
Benchmark
-
Fondsgröße in Mio.
61,628
Gesamtkostenquote (TER)
1,47 %
Tracking Difference
1,2929
Replikation
-
Fondswährung
USD
Domizil
LU
Fondsauflage
-
Ausschüttung
Thesaurierend
Ausschüttungsintervall
-
NAV
18,12
NAV Datum
14.8.2025