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T. Rowe Price Growth Stock (PRGFX)

96.07
+0.65
+(0.68%)
At close: 8:03:58 PM EDT

Fund Summary

The fund normally invests at least 80% of its net assets (plus any borrowings for investment purposes) in stocks of companies with growth characteristics. For purposes of the fund’s 80% investment policy, the fund's managers consider a company to have growth characteristics if the company’s securities are represented in an appropriate third-party growth-oriented index. The fund is non-diversified.

T. Rowe Price Growth Stock

Baltimore MD 21202
100 East Pratt Street

Fund Overview

Category Large Growth
Fund Family T. Rowe Price
Net Assets 49.92B
YTD Return -0.97%
Yield 0.00%
Morningstar Rating
Inception Date Sep 30, 2002

Fund Operations

Last Dividend 0.14
Last Cap Gain 65.00
Holdings Turnover 38.20%
Average for Category --

Fees & Expenses

Expense PRGFX Category Average
Annual Report Expense Ratio (net) 0.65% 0.99%
Prospectus Net Expense Ratio 0.65% --
Prospectus Gross Expense Ratio 0.65% --
Max 12b1 Fee -- --
Max Front End Sales Load -- 5.36%
Max Deferred Sales Load -- 1.33%
3 Yr Expense Projection 0 --
5 Yr Expense Projection 0 --
10 Yr Expense Projection 0 --

Management Information

Jim Stillwagon is a portfolio manager in the U.S. Equity Division. He is the president of the US Communications and Technology Strategy and is the chairman of the strategy’s Investment Advisory Committee. He also is a vice president and an Investment Advisory Committee member of the Science & Technology Equity, US Large-Cap Core Growth Equity, US Structured Research Equity, US Tax-Efficient Multi-Cap Growth Equity, and Institutional Large-Cap Core Growth Equity Strategies. Jim is a vice president of T. Rowe Price Group, Inc.

Morningstar Style Box

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Morningstar Category

While the investment objective stated in a fund's prospectus may or may not reflect how the fund actually invests, the Morningstar category is assigned based on the underlying securities in each portfolio. Morningstar categories help investors and investment professionals make meaningful comparisons between funds. The categories make it easier to build well-diversified portfolios, assess potential risk, and identify top-performing funds. We place funds in a given category based on their portfolio statistics and compositions over the past three years. If the fund is new and has no portfolio history, we estimate where it will fall before giving it a more permanent category assignment. When necessary, we may change a category assignment based on recent changes to the portfolio.

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