T. Rowe Price Funds SICAV
Euro Corporate Bond Fund
Concerned about credit risk? Seek calmer waters.
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T. Rowe Price Funds SICAV
Concerned about credit risk? Seek calmer waters.
The Fund aims to deliver consistent outperformance against its benchmark in different market environments.
Our disciplined risk management process is designed to manage downside risk, particularly in periods of rapid increases in credit spreads.
We focus on high-quality securities with the best liquidity characteristics. Our portfolio construction is also based on optimal diversification to avoid concentration risk.
An actively managed and broadly diversified portfolio of investment grade corporate issues, that aims to generate consistent alpha in different market environments.
| Inception date | February 2002 |
| No. of holdings | 100-200 |
| Portfolio Manager | Howard Woodward |
| Benchmark | Bloomberg Euro-Aggregate: Corporates Index EUR |
| ISIN | LU0133091248 |
When investing in funds, certain risks apply, which include credit, derivative, and interest rate risks. For a full list of risks applicable to this fund, please refer to the prospectus.
General Fund Risks
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