From a technical perspective, T. Rowe Price (TROW) is looking like an interesting pick, as it just reached a key level of support.
T. Rowe Price (TROW) reached a significant support level, and could be a good pick for investors from a technical perspective. Recently, TROW broke through the 200-day moving average, which suggests a long-term bullish trend.
TROW's Q2-2025 saw continued net outflows, with no clear catalyst for a turnaround, keeping the stock stagnant, despite attractive valuation. Operating income declined due to rising expenses, and positive EPS was driven by non-operating gains, masking underlying business weakness. ETF inflows are a bright spot, but they are lower margin and not enough to offset persistent outflows from actively managed products.
![]() TR1 2 months ago | Other | €1.09 Per Share |
![]() TR1 4 months ago | Other | €1.09 Per Share |
![]() TR1 8 months ago | Other | €1.06 Per Share |
![]() TR1 11 months ago | Other | €1.06 Per Share |
![]() TR1 14 Jun 2024 | Other | €1.06 Per Share |
31 Oct 2025 (In 2 months) Date | | 2.43 Cons. EPS | - EPS |
30 Oct 2025 (In 2 months) Date | | - Cons. EPS | - EPS |
1 Aug 2025 Date | | 2.13 Cons. EPS | - EPS |
24 Jul 2025 Date | | - Cons. EPS | - EPS |
24 Apr 2025 Date | | - Cons. EPS | - EPS |
![]() TR1 2 months ago | Other | €1.09 Per Share |
![]() TR1 4 months ago | Other | €1.09 Per Share |
![]() TR1 8 months ago | Other | €1.06 Per Share |
![]() TR1 11 months ago | Other | €1.06 Per Share |
![]() TR1 14 Jun 2024 | Other | €1.06 Per Share |
31 Oct 2025 (In 2 months) Date | | 2.43 Cons. EPS | - EPS |
30 Oct 2025 (In 2 months) Date | | - Cons. EPS | - EPS |
1 Aug 2025 Date | | 2.13 Cons. EPS | - EPS |
24 Jul 2025 Date | | - Cons. EPS | - EPS |
24 Apr 2025 Date | | - Cons. EPS | - EPS |
Asset Management Industry | Financial Services Sector | Robert W. Sharps CPA CEO | XFRA Exchange | US74144T1088 ISIN |
US Country | 8,084 Employees | 13 Jun 2025 Last Dividend | 26 Jun 2006 Last Split | 13 Sep 1989 IPO Date |
T. Rowe Price Group, Inc. is a globally recognized investment manager, with a history tracing back to its establishment in 1937. This publicly owned entity has carved out a reputation for providing a wide array of services to a diverse group of clients that includes individuals, institutional investors, retirement plans, financial intermediaries, and institutions. Originally known as T. Rowe Group, Inc. and T. Rowe Price Associates, Inc., the firm has its headquarters in Baltimore, Maryland, and boasts a significant global presence through its additional offices located in strategic financial centers across North America, Europe, Asia, and Australia. T. Rowe Price Group prides itself on its comprehensive investment strategies, which involve both fundamental and quantitative analyses, supporting a bottom-up approach to investing. The firm also places a significant emphasis on socially responsible investing, particularly focusing on environmental, social, and governance (ESG) issues, reflecting its commitment to sustainable and ethical investment practices.
At the core of T. Rowe Price's offerings are its equity and fixed income mutual funds, designed to cater to a broad spectrum of investor needs. These funds are the result of meticulous market analysis and research, both in-house and external, enabling the firm to invest across the global public equity and fixed income markets. This diversification aims to optimize returns while managing risk, making these funds attractive options for both individual and institutional investors.
T. Rowe Price extends its investment expertise to the sphere of venture capital, focusing on late-stage transactions. The firm typically invests between $3 million and $5 million, targeting companies that exhibit strong potential for growth. This venture capital initiative further exemplifies T. Rowe Price's commitment to fostering innovation and supporting companies at critical junctures of their development.
An integral part of T. Rowe Price's investment philosophy is its focus on socially responsible investing, particularly with regard to environmental, social, and governance (ESG) issues. The firm leverages a comprehensive screening process to assess potential investments through an ESG lens, aiming to contribute positively to global sustainability efforts while pursuing financial returns. This approach appeals to investors who are not only interested in the financial performance of their investments but also in the impact their investments have on the world.