T Rowe Price Equity Income Fund

T Rowe Price Equity Income Fund | PRFDX

Mutual Fund
T Rowe Price Equity Income Fund
Last update 2024-04-16 116 Stocks (3 new)
Value $17.98 Bil Turnover 4 %
Countries:
Portfolio Report

T Rowe Price Equity Income Fund Profile

Established in 1985, T. Rowe Price Equity Income Fund applies a conservative, value-oriented approach to investing. The fund is part of Baltimore-based asset managemnt firm T. Rowe Price. John Linehan has managed the fund since November 2015.

T Rowe Price Equity Income Fund Investing Philosophy

The fund's objective is to seek a high level of dividend income and long-term capital growth. The fund normally invests at least 80% of its net assets in common stocks, with an emphasis on large-capitalization stocks that have a strong track record of paying dividends or that are believed to be undervalued.

T Rowe Price Equity Income Fund's Portfolio

T Rowe Price Equity Income Fund Current Holdings

Add To Portfolio
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
BMY
Bristol-Myers Squibb Co
1,275,000
69,143.25
New Holding
0.38
+0.38%
0.06
-8.78%
-10.78%
90,596.11
Drug Manufacturers
REXR
Rexford Industrial Realty Inc
880,000
44,264.00
New Holding
0.25
+0.25%
0.41
-19.40%
-22.69%
9,366.32
REITs
BKR
Baker Hughes Co
1,025,000
34,337.50
New Holding
0.19
+0.19%
0.10
+10.70%
-1.87%
33,233.32
Oil & Gas
INTC
Intel Corp
1,385,000
61,175.45
+279.45%
0.34
+0.25%
0.03
-28.95%
-29.94%
149,458.79
Semiconductors
HON
Honeywell International Inc
285,000
58,496.25
+137.50%
0.33
+0.19%
0.04
-4.21%
-7.48%
125,691.66
Conglomerates
AEE
Ameren Corp
1,805,000
133,497.80
+89.01%
0.74
+0.35%
0.68
+8.25%
+4.27%
19,924.33
Utilities - Regulated
EQT
EQT Corp
3,135,000
116,214.45
+73.20%
0.65
+0.27%
0.71
+12.68%
+5.10%
17,844.73
Oil & Gas
C
Citigroup Inc
3,030,000
191,617.20
+62.03%
1.07
+0.41%
0.16
+16.16%
+21.34%
117,858.25
Banks
CMI
Cummins Inc
340,000
100,181.00
+51.11%
0.56
+0.19%
0.25
+22.88%
+22.51%
39,880.20
Industrial Products
COP
ConocoPhillips
515,000
65,549.20
+45.07%
0.36
+0.11%
0.04
+16.95%
+12.90%
152,371.99
Oil & Gas
WMB
Williams Companies Inc
2,170,000
84,564.90
+33.13%
0.47
+0.12%
0.18
+16.04%
+14.74%
48,066.87
Oil & Gas
KMB
Kimberly-Clark Corp
1,885,000
243,824.75
+32.28%
1.36
+0.33%
0.56
+14.24%
+13.28%
45,937.21
Consumer Packaged Goods
MMM
3M Co
465,000
41,237.36
+27.40%
0.23
+0.05%
0.08
+16.17%
+1.99%
50,582.75
Conglomerates
XKRX:005930
Samsung Electronics Co Ltd
2,995,000
183,315.14
+23.51%
1.02
+0.19%
0.04
+2.97%
-2.80%
508,241,446.04
Hardware
KVUE
Kenvue Inc
9,250,000
198,505.00
+21.71%
1.10
+0.20%
0.48
-7.39%
-10.75%
36,416.62
Consumer Packaged Goods
AZN
AstraZeneca PLC
1,950,000
132,112.50
+17.47%
0.73
+0.11%
0.06
+13.85%
+13.30%
230,917.48
Drug Manufacturers
SWK
Stanley Black & Decker Inc
2,555,000
250,211.15
+15.61%
1.39
+0.19%
1.66
-5.50%
-8.44%
13,662.40
Industrial Products
TEL
TE Connectivity Ltd
730,000
106,025.20
+14.96%
0.59
+0.08%
0.24
-2.24%
+0.38%
43,380.08
Hardware
SU
Suncor Energy Inc
3,015,000
111,283.65
+13.56%
0.62
+0.07%
0.23
+23.40%
+24.44%
50,890.82
Oil & Gas
UPS
United Parcel Service Inc
1,150,000
170,924.50
+8.49%
0.95
+0.07%
0.13
-6.76%
-5.28%
125,743.79
Transportation
100/Page
Total 119

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