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05/10/2012 3:07PM
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PRSIX
T Rowe Price Personal Strategy Income Fund
NASDAQ
Net Asset Value
$18.19
Change
-0.07
(0.38%)
YTD
+0.95
(5.51%)
As of close 5/23/2013
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Snapshot
Performance & Risk
Holdings
Expenses
Charts
Lipper Leaders
The Fund seeks high total return with primary emphasis on capital appreciation using a portfolio comprised of 40% stocks, 40% bonds, and 20% money markets.
Growth of $10,000 Since
April 2003
1 Year
3 Year
5 Year
10 Year
Top 5 Holdings
TREBX
T Rowe Price Institutional Emerg Markets Bond Fund
6.07%
TRHYX
T Rowe Price Institutional High Yield Fund
6.02%
RPIIX
T Rowe Price Institutional International Bond Fund
5.19%
IEMFX
T Rowe Price Institutional Emerg Markets Eqty Fund
2.68%
PRAFX
T Rowe Price Real Assets Fund
1.67%
Total
21.63%
More Holdings >
Lipper Leader Scorecard
Total
Return
Consistent
Return
Preser-
vation
Tax
Efficiency
Expense
Highest
Lowest
More Lipper Rankings Data >
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Fund Highlights
Net Asset Value
$18.19
Previous Day Close
$18.26
Total Net Assets
$1.2 B
Total Standardized Returns
1 Year
3 Year
5 Year
10 Year
Since incept.
14.86%
10.30%
6.27%
7.36%
8.00%
Distribution Yield (TTM)
2.05%
Gross Expense Ratio
0.78%
Net Expense Ratio
0.63%
Fund Category
US Diversified Equity
Fund Classification
Mix Tgt Alloc Con
Investment Minimum (initial / additional)
Individual / Joint
$2,500 / $100
IRA / ESA
$1,000 / $100
Custodial
$1,000 / $100
After the initial investment minimum is met, additional investments ($100 or more) can be made via your Automatic Investment Plan.
Inception Date
07/29/1994
Manager
Charles M. Shriver
Managed Since
2011
Geographical Exposure
50%
•
13%
•
7%
•
•
3%
•
1%
•
<1%
Other: 25%
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