T. Rowe Price Strategic Income Fund (PRSNX)
Ticker Symbol:
PRSNX
Fund Status:
Open to new Retail investors  /  Open to subsequent Retail investments
Fund Composition
Asset Allocation
as of 12/31/2014
Volatility and Other Measures
as of 12/31/2014
Beta 1.17
0.54
Standard Deviation 3.99
Credit Quality Diversification1
as of 12/31/2014
% of Total Net Assets
AAA 6.2%
AA 4.3%
A 7.8%
BBB 16.8%
BB 11.9%
B 23.8%
CCC 4.9%
CC 0.3%
D 0.3%
Not Rated 3.3%
Reserves 10.2%
US Government Agency Securities 6.5%
US Treasury 3.9%
1Sources: Moody's Investors Service; if Moody's does not rate a security, then Standard & Poor's (S&P) is used as a secondary source. When available, T. Rowe Price will use Fitch for securities that are not rated by Moody's or S&P.

U.S. Treasury securities are issued by the U.S. Treasury and are backed by the full faith and credit of the U.S. government. The ratings of U.S Treasury securities are derived from the ratings on the U.S. government.
Weighted Avg. Effective Duration
as of 12/31/2014
3.90 years
Weighted Avg. Maturity
as of 01/27/2015
5.84 years
10 Largest Holdings
Represents 24.70 % of Total Net Assets
View Holdings as of:
Coupon % Maturity
BRAZIL NTN-F 10.000 01/01/2025
CHINA DIM SUM 1.940 08/18/2018
FNMA 30 YR TBA JAN 3.500 01/29/2021
GERMANY 2.000 08/15/2023
INDIA 8.120 12/10/2020
MEXICO 5.000 06/15/2017
SINGAPORE 3.000 09/01/2024
TIPS .125 07/15/2024
TRP INST FLOATING RATE FUND
TRP INST HIGH YIELD FUND
As of 12/31/2014 the Strategic Income Fund had a total of 468 holdings.
Bond Maturity Diversification2
  as of 12/31/2014
% of Total Net Assets
0 - 1 YRS 12.4%
1 - 5 YRS 24.4%
5 - 10 YRS 54.2%
10 + YRS 9.0%
2Total may not equal 100% due to rounding.
Sector Diversification
as of 12/31/2014
% of Total Net Assets
High Yield 15.9%
Emerging Markets (Local Currency) 15.2%
U.S. Mortgage 11.6%
Global Treasury 11.5%
Emerging Markets (USD) 11.3%
Cash & Equivalents 10.2%
Bank Debt 7.0%
U.S. Government Agency 5.4%
U.S. Corporate 4.1%
U.S. ASSET-BACKED SECURITIES 3.1%
U.S. COMMERCIAL MORTGAGE-BACKED SECURITIES 2.1%
Euro Corporate 1.5%
Convertibles 1.0%
See Glossary for additional details on all data elements.