Strategy
Investment Objective
- Employ fundamental research with a bottom-up approach.
- Assess the capability, strategy, and management of the business.
- Evaluate the asset base potential.
- Understand the supply and demand dynamics by property and market.
- Analyze balance sheet strength and flexibility.
- Integrate a risk-adjusted perspective throughout our analysis.
- Establish whether we would want to own a business for the long term.
- Leverage the deep knowledge base at T. Rowe Price, including dedicated analysts in North America, Europe, and Asia.
- Real estate is affected by general economic conditions. When growth is slowing, demand for property decreases and prices may decline. Since the fund can invest substantially in foreign securities, it will also be subject to the risks inherent in non-U.S. issues.
US Mutual Fund Vendor Indices Disclaimers
Current Year Performance
Asset Allocation
Holdings
Industry
Regions
Team
How to Invest
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'Fund Manager Tenure' refers to the number of years managing the fund. In the case of co-portfolio management, the longer tenure is displayed.
'Net Assets' figure applies to all share classes.
Effective June 1, 2019, the "net" version of the benchmark replaced the "gross" version of the benchmark. The "net" version of the benchmark assumes the reinvestment of dividends after the deduction of withholding taxes.
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