A global asset management firm focused on client success
Our mission is simple: Help clients around the world achieve their long-term investment goals
assets held in your own name at
assets held in your own name at
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關於
T. Rowe Price
Founded in 1937, Baltimore-based T. Rowe Price Group, Inc. (troweprice.com) is a global investment management organization with USD 1.27 trillion in assets under management¹ as of 31 December 2022. With 943 investment professionals² and local presence in 17 markets, we provide a broad array of mutual funds, subadvisor services, and separate account management for individual and institutional investors, and financial intermediaries. T. Rowe Price’s disciplined, risk-aware investment approach focuses on diversification, style consistency, and fundamental research.
¹ Firmwide AUM includes assets managed by T. Rowe Price Associates, Inc. and its investment advisory affiliates.
² Includes Oak Hill Advisors (OHA) associates.
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T. Rowe Price
The following key strengths are competitive advantages that distinguish T. Rowe Price from other firms:
Tenured Investment Team
Through the cultivation of a rigorous hiring and mentoring process, a collaborative culture, and an intelligent remuneration structure, we have achieved a record of professional tenure that is among the strongest in our industry. For example, portfolio managers average 17 years of tenure as of 31 December 2022. Lengthy tenure helps ensure the consistency and integrity of the investment process.
Focus on Proprietary Research
T. Rowe Price believes that original, in-house research is the primary driver of value-added active management. We have 409 research professionals³ stationed around the world, gathering information on the companies they follow. They interact extensively across sectors and asset classes, promoting a broad perspective that supports well-informed investment conclusions. In addition, dedicated ESG specialists in our Responsible Investing and Governance teams collaborate closely with our investment professionals and use proprietary evaluation processes to identify and analyze the impact of ESG factors on our investments.
Emphasis on Risk Management
Risk management is paramount in the portfolio construction and monitoring process. We believe well-diversified portfolios can help guard against excessive volatility, as does the deep company-specific knowledge of our research analysts. T. Rowe Price puts a premium on achieving strong risk-adjusted performance for our clients.
Experience in Emerging markets
We have invested in emerging markets for decades since 1980. Our demonstrated track record across markets lends confidence to investors. We manage over USD 17.62 billion of assets⁴ in China related equities, covering both on-and off-shore securities.
³ Excludes OHA associates.
⁴ Source: T. Rowe Price. As at 31 December 2022. Firmwide AUM includes assets managed by T. Rowe Price Associates, Inc. and its investment advisory affiliates.
T. ROWE PRICE, INVEST WITH CONFIDENCE, and the Bighorn Sheep design are, collectively and/or apart, trademarks of T. Rowe Price Group, Inc. Used with permission.
Awards
Citywire Asia Awards 2021 Asia Awards Best Fund Manager
- Equity – Equity Japan – Archibald Ciganer
- Equity – Global Growth/Value/ Blend – David Eiswert
AsianInvestor Asset Management Awards 2021
- Global Equity - Global Focused Growth Equity Fund
Asian Private Banker Asset Management Awards For Excellence 2022
- Best Fund Provider - US Equity
- Best Fund Provider - Global Equity