T. Rowe Price High Yield Fund (PRHYX)
Ticker Symbol:
PRHYX
Fund Status:
Closed to new Retail investors  /  Open to subsequent Retail investments
Closed to new Retail Investors as of April 27, 2012 at 4pm EST
Fund Composition
Asset Allocation
as of 03/31/2013
Volatility and Other Measures
as of 04/30/2013
Beta 1.20
0.99
Standard Deviation 7.51
Credit Quality Diversification1
as of 03/31/2013
% of Total Net Assets
BBB/BB Rated & Above 3.2%
BB Rated 19.8%
BB/B Rated 10.7%
B Rated 36.4%
B/CCC Rated 9.0%
CCC and Below 14.6%
Credit Default Swaps -0.1%
Default 0.2%
Equities 3.0%
Not Rated 1.3%
Short Term 1.9%
1Sources: Moody's Investors Service and Standard & Poor's (S&P); split ratings (i.e. BB/B and B/CCC) are assigned when the Moody's and S&P ratings differ.

Short term holdings are not rated.
Modified Duration to Worst
as of 04/30/2013
3.56 years
Weighted Avg. Maturity
as of 05/21/2013
6.72 years
10 Largest Holdings
View Holdings as of:
Coupon % Maturity
CCO HLDGS LLC/CAP CORP 5.125 02/15/2023
CIT GROUP INC 144A 5.500 02/15/2019
FIRST DATA CORPORATION 12.625 01/15/2021
FIRST DATA CORPORATION 144A 6.750 11/01/2020
GENON ENERGY INC 9.500 10/15/2018
HCA INC 7.500 02/15/2022
MGM RESORTS INTL 6.625 12/15/2021
RITE AID CORP 9.250 03/15/2020
SPRINT NEXTEL CORP 144A 9.000 11/15/2018
UNIVISION COMMUNICATIONS 144A 8.500 05/15/2021
As of 03/31/2013 the High Yield Fund had a total of 636 holdings.
Bond Maturity Diversification2
  as of 04/30/2013
% of Total Net Assets
0 - 1 YRS 2.4%
1 - 5 YRS 17.8%
5 - 10 YRS 75.0%
10 + YRS 4.8%
2Total may not equal 100% due to rounding.
Sector Diversification
as of 04/30/2013
% of Total Net Assets
Cyclical 46.7%
Defensive 39.5%
Energy 11.6%
Short-Term 2.2%
See Glossary for additional details on all data elements.