• Log Out Log In
  • T. Rowe Price International Stock Fund (PRITX)
    Ticker Symbol:
    PRITX
    Fund Status:
    Open to new Retail investors  /  Open to subsequent Retail investments
    Fund Composition
    Asset Allocation
    as of 09/30/2014
    Volatility and Other Measures
    as of 10/31/2014
    Beta 0.90
    0.89
    Standard Deviation 12.55
    Price/Earnings Ratio (International) 17.8
    Earnings Growth Rate (International) 9.5
    Turnover Rate N/A
    Median Market
    Capitalization
    $25,442.11 Million
    Country Exposure
    as of 10/31/2014
    United Kingdom 15.0%
    Japan 13.5%
    Switzerland 8.8%
    France 8.1%
    China 6.4%
    Australia 4.9%
    Hong Kong 4.7%
    India 4.7%
    Germany 4.6%
    Sweden 3.6%
    10 Largest Holdings
    Represents 14.48 % of Total Net Assets
    View Holdings as of:
    AIA Group
    ASML Holding
    Baidu
    Bayer
    Capita
    Credit Suisse Group
    Japan Tobacco
    Liberty Global
    Priceline
    WPP
    As of 09/30/2014 the International Stock Fund had a total of 131 holdings.
    Sector Diversification
    as of 10/31/2014
    % of Total Net Assets
    Financials 18.8%
    Consumer Discretionary 18.0%
    Industrials & Business Services 14.1%
    Information Technology 12.3%
    Consumer Staples 10.3%
    Health Care 8.6%
    Materials 5.3%
    Telecommunication Services 4.6%
    Energy 4.1%
    Utilities 1.5%
    Regional Exposure
    as of 10/31/2014
    Europe 49.4%
    Pacific Ex Japan 25.6%
    Japan 13.5%
    North America 4.3%
    Latin America 3.1%
    Middle East & Africa 1.7%
    See Glossary for additional details on all data elements.