85+
years experience
£562bn
GBP AUM in active equities*
198
Equity investment professionals
Global coverage:
Differentiated ideas:
Repeatable results:
Access the global opportunity through our range of specialist actively managed funds
An actively managed, dual mandate portfolio which seeks both long-term capital appreciation
Risks - The following risks are materially relevant to the fund: Country (China) risk, Emerging Markets risk, Currency risk, Small and mid-cap risk, High Yield Bond risk, Stock Connect risk
Past performance is not a reliable indicator of future performance.
10 December 2021
8 October 2021
MSCI All Country World Index Net
Hari Balkrishna
An unconstrained, high conviction fund seeking companies with a sustainable competitive advantage
Risks - The following risks are materially relevant to the fund: Currency risk, Small and mid-cap risk, Emerging markets risk, Liquidity risk, Style risk, Country (China) risk, Country (Russia and Ukraine) risk
Past performance is not a reliable indicator of future performance.
30 May 2017
28 March 2003
MSCI World Index Net
David Eiswert
A diversified fund of around 150-200 holdings focused on durable companies with superior growth prospects
Risks - The following risks are materially relevant to the fund: Currency risk, Emerging Markets risk, Small and mid-cap risk, Liquidity risk, Style risk
Past performance is not a reliable indicator of future performance.
28 August 2013
MSCI World Index Net
Scott Berg
A fund focusing on innovation and technological change by investing in companies that are ushering in or benefiting from rapid advances in technology
Risks - The following risks are materially relevant to the fund: Country (China) risk, Country (Russia and Ukraine) risk, Issuer Concentration risk, Sector Concentration risk, Small and mid-cap risk, Currency risk, Emerging Markets risk, Stock Connect risk, Style risk
Past performance is not a reliable indicator of future performance.
27 March 2017
22 July 2016
MSCI All Country World Index Information Technology Net
Alan Tu
A conviction-based global portfolio of around 80-100 attractively valued companies. We invest across the value spectrum, from deep value through to higher quality, more defensive companies, seeking to deliver positive excess returns regardless of which value substyle is currently favoured by the market.
Risks - The following risks are materially relevant to the fund: Currency risk, Small and mid-cap risk, Style risk
Past performance is not a reliable indicator of future performance.
28/11/2012
MSCI World Index Net
Sebastien Mallet
General fund risks - to be read in conjunction with the fund specific risks above. Equity risk, ESG and Sustainability risk, Geographic concentration risk, Hedging risk, Investment fund risk, Management risk, Operational risk., Market risk, Counterparty risk
If you have questions or would like more information about T. Rowe Price please contact us.
*Firmwide equity AUM includes assets managed by T. Rowe Price Associates, Inc. and its investment advisory affiliates. As at 31 March 2023.
** 12 sector portfolio managers, 95 research analysts, 54 associate research analysts, 6 quantitative analysts, and 31 specialty analysts as of 31 March 2023.
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Morningstar star rating applies to T. Rowe Price Funds SICAV – Global Focused Growth Equity Fund, T. Rowe Price Funds SICAV – Global Growth Equity Fund, T. Rowe Price Funds SICAV – Global Technology Equity Fund and T. Rowe Price Funds SICAV – Global Value Equity Fund as at 31 March 2023. The Morningstar Rating is updated on a monthly basis. For the latest ratings information please visit the Morningstar website. FE fundinfo Crown Fund Rating as at 31 July 2022.
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