T. Rowe Price Emerging Markets Bond Fund |
| Current NAV as of 11/20/2009 | $12.60 |
| NAV Change | $0.00 |
| Daily YTD Return as of 11/20/2009 | 34.53% |
| NAV 12 Month Low-High | $9.32 - $12.72 |
| Net Assets as of 10/31/2009 | $1,613.82 Million |
| Annualized Dividend as of (11/20/2009) | 6.79% |
| SEC Dividend as of (11/15/2009) | 6.20% |
| Overall |
|
| 3 Year |
|
| 5 Year |
|
| 10 Year |
|
| Month End 10/31/2009 |
Quarter End 09/30/2009 |
|
| 1 Year | 42.17% | 17.48% |
| 3 Years | 5.95% | 6.60% |
| 5 Years | 9.55% | 9.94% |
| 10 Years | 12.55% | 13.12% |
| Since Inception | 12.50% | 12.56% |
| Inception Date | December 30, 1994 | |
| Expense Ratio as of 12/31/2008 | 0.98% | |