T Rowe Price Group Inc
NASDAQ:TROW
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Intrinsic Value
The intrinsic value of one TROW stock under the Base Case scenario is 142.37 USD. Compared to the current market price of 119.84 USD, T Rowe Price Group Inc is Undervalued by 16%.
The Intrinsic Value is calculated as the average of DCF and Relative values:
Valuation Backtest
T Rowe Price Group Inc
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Fundamental Analysis
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T. Rowe Price Group Inc. is a leading investment management firm known for its commitment to delivering long-term value for its clients. Founded in 1937 by Thomas Rowe Price Jr. in Baltimore, Maryland, the firm has cultivated a strong reputation for its disciplined investment approach, focusing on fundamental research and risk management. With over $1.6 trillion in assets under management, T. Rowe Price serves a diverse clientele that includes individual investors, financial intermediaries, and institutional clients. The company prides itself on its active management style, leveraging a vast network of analysts and portfolio managers who continuously analyze global markets and economic trend...
T. Rowe Price Group Inc. is a leading investment management firm known for its commitment to delivering long-term value for its clients. Founded in 1937 by Thomas Rowe Price Jr. in Baltimore, Maryland, the firm has cultivated a strong reputation for its disciplined investment approach, focusing on fundamental research and risk management. With over $1.6 trillion in assets under management, T. Rowe Price serves a diverse clientele that includes individual investors, financial intermediaries, and institutional clients. The company prides itself on its active management style, leveraging a vast network of analysts and portfolio managers who continuously analyze global markets and economic trends to identify investment opportunities.
As an investor, T. Rowe Price represents a compelling option due to its consistent historical performance and adherence to its value-driven principles. The firm emphasizes a long-term investment horizon, which aligns well with the strategies employed by legendary investors like Warren Buffett and Charlie Munger. With a wide array of mutual funds and ETFs spanning various asset classes, including equity, fixed income, and multi-asset strategies, T. Rowe Price provides investors with the flexibility to build well-diversified portfolios. Moreover, the company has demonstrated a strong financial position, characterized by a robust balance sheet and strong cash flow generation, allowing it to invest in technology and expand its offerings while also returning capital to shareholders. Overall, T. Rowe Price stands out as a reputable partner for those seeking to grow their wealth in a thoughtful and strategic manner.
T. Rowe Price Group Inc. is a global asset management firm with several core business segments that primarily focus on investment management services. The main segments include:
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Investment Management: This is the primary segment of T. Rowe Price, where the firm offers a diverse range of mutual funds, sub-advisory services, and separate account management across various asset classes, including equity, fixed income, and multi-asset strategies. Their investment philosophy emphasizes long-term growth and value investing.
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Retail Investor Services: T. Rowe Price provides investment solutions directly to individual investors through mutual funds, retirement accounts, and various investment vehicles. This segment includes advisory services and educational resources aimed at helping individuals manage their own investments.
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Institutional Investor Services: This segment caters to a wide array of institutional clients, including pension funds, endowments, foundations, and insurance companies. T. Rowe Price offers customized investment strategies and services tailored to the unique goals and requirements of these institutional investors.
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Retirement Services: The firm offers retirement planning and investment management solutions, such as 401(k) plans and other workplace retirement products. T. Rowe Price helps employers design and manage retirement plans that meet the needs of their employees while adhering to regulatory requirements.
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Global Investment Management: T. Rowe Price has a strong international presence, managing assets for clients worldwide. This segment focuses on leveraging global investment opportunities and understanding regional market dynamics to create value for their clients.
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Wealth Management: This segment includes personalized investment strategies and financial planning services for high-net-worth individuals and families. T. Rowe Price assists clients in managing their wealth across generations, focusing on achieving long-term financial goals.
Each of these segments leverages T. Rowe Price's extensive research capabilities, investment expertise, and commitment to client service, which are integral to the firm's overall success and reputation in the asset management industry.
T. Rowe Price Group Inc. possesses several unique competitive advantages that distinguish it from its rivals in the investment management industry:
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Strong Brand Reputation: T. Rowe Price has built a solid reputation for long-term investment performance and reliability over the decades. This strong brand equity helps attract both individual and institutional investors.
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Active Management Expertise: The firm has a long-standing commitment to active management, employing a team of experienced portfolio managers and analysts. Their robust investment processes and research capabilities allow them to identify attractive investment opportunities that may be overlooked by competitors.
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Research-Driven Approach: T. Rowe Price emphasizes a fundamental, bottom-up research approach. Their large team of analysts provides in-depth company and industry insights, enabling informed investment decisions that can lead to superior performance.
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Client-Centric Focus: The company operates with a strong prioritization of client interests. Their commitment to transparency, providing financial education, and tailoring strategies to fit client needs fosters loyalty and trust.
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Diverse Product Offerings: T. Rowe Price offers a wide range of investment products, including mutual funds, retirement solutions, and separately managed accounts. This diversification allows them to attract a broad range of clients and asset types.
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Global Reach with Local Expertise: The firm's global presence, paired with local expertise, enables it to capitalize on diverse market opportunities. Their international capabilities help in asset allocation across various geographic regions.
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Strong Financial Position: T. Rowe Price maintains a strong balance sheet with significant assets under management (AUM). This financial strength allows for continued investment in research and innovation, as well as marketing initiatives.
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Low Employee Turnover: The company has historically low turnover rates, which contributes to stability and continuity in their investment strategies. Experienced employees tend to deliver better results due to their deep market knowledge.
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Institutional Relationships: T. Rowe Price has established strong relationships with institutional clients, which often leads to long-term partnerships. These relationships can provide a steady stream of revenue and assets.
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Adaptability and Innovation: The firm leverages technology and innovation to enhance its investment processes and customer service, staying competitive in a rapidly evolving industry.
These competitive advantages contribute to T. Rowe Price’s ability to maintain its market position and achieve long-term growth in a competitive landscape.
T. Rowe Price Group Inc. faces several risks and challenges in the near future that could impact its performance. Here are some key areas of concern:
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Market Volatility: The asset management industry is highly sensitive to fluctuations in financial markets. Economic downturns or increased volatility can lead to diminished asset values, resulting in lower management fees and revenues.
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Interest Rate Changes: Changes in interest rates can affect fixed income investments significantly. Rising rates may lead to declining bond prices, impacting the investment performance of funds managed by T. Rowe Price.
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Regulatory Changes: The asset management industry is subject to extensive regulation. Changes in regulations, especially those pertaining to fiduciary duty, transparency, and disclosures, can impact operational costs and compliance requirements.
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Competitive Pressure: The asset management sector is increasingly competitive, with various firms offering low-cost index funds and exchange-traded funds (ETFs). This pressure could lead to fee compression, affecting T. Rowe Price’s profitability.
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Technological Disruption: The rise of financial technology (fintech) and robo-advisors poses a threat to traditional asset management firms. T. Rowe Price needs to invest in technology to enhance customer experience and maintain a competitive edge.
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Client Retention and Acquisition: Attracting and retaining clients is crucial for asset managers. Shifts in investor preferences, especially among younger clients who favor digital platforms, can challenge T. Rowe Price's traditional service models.
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Global Economic Uncertainty: Geopolitical risks, trade tensions, and global macroeconomic conditions can significantly impact investment flows and client sentiment, leading to potential outflows from funds.
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Performance Pressure: T. Rowe Price, like other asset managers, faces pressure to consistently deliver strong investment performance. Poor performance can lead to client attrition and reduced inflows.
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ESG Considerations: There’s an increasing focus on environmental, social, and governance (ESG) factors in investing. The inability to align investment strategies with ESG principles may lead to reputational risks and client losses.
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Cultural and Operational Challenges: As the firm grows, maintaining corporate culture and operational efficiency can become challenging. Succession planning and leadership transitions are also critical for long-term stability.
Navigating these challenges will require T. Rowe Price to adapt its strategies, enhance its technological capabilities, and focus on client engagement to maintain its competitive position.
Revenue & Expenses Breakdown
T Rowe Price Group Inc
Balance Sheet Decomposition
T Rowe Price Group Inc
Current Assets | 3.6B |
Cash & Short-Term Investments | 2.7B |
Receivables | 846.9m |
Non-Current Assets | 9.5B |
Long-Term Investments | 4.7B |
PP&E | 1.1B |
Intangibles | 3.1B |
Other Non-Current Assets | 640.5m |
Current Liabilities | 1.2B |
Accounts Payable | 290m |
Accrued Liabilities | 865.8m |
Short-Term Debt | 77.2m |
Other Current Liabilities | 13.6m |
Non-Current Liabilities | 1.9B |
Other Non-Current Liabilities | 1.9B |
Earnings Waterfall
T Rowe Price Group Inc
Revenue
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6.8B
USD
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Operating Expenses
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-4.6B
USD
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Operating Income
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2.2B
USD
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Other Expenses
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-276.6m
USD
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Net Income
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1.9B
USD
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Free Cash Flow Analysis
T Rowe Price Group Inc
USD | |
Free Cash Flow | USD |
In Q3 2024, T. Rowe Price reported adjusted EPS of $2.57, up 18% YoY, despite $12.2 billion in net outflows primarily driven by U.S. equity products. Notably, their target date funds attracted net inflows of $3.6 billion. The firm anticipates that 2024 net outflows will be less than half of 2023, excluding a major sub-advised variable annuity termination expected to impact the fourth quarter significantly. Looking ahead, management expressed confidence in achieving substantial growth in 2025, particularly from alternatives, ETFs, and retirement funds, as client interest in innovative strategies continues to rise.
What is Earnings Call?
TROW Profitability Score
Profitability Due Diligence
T Rowe Price Group Inc's profitability score is 62/100. The higher the profitability score, the more profitable the company is.
Score
T Rowe Price Group Inc's profitability score is 62/100. The higher the profitability score, the more profitable the company is.
TROW Solvency Score
Solvency Due Diligence
T Rowe Price Group Inc's solvency score is 85/100. The higher the solvency score, the more solvent the company is.
Score
T Rowe Price Group Inc's solvency score is 85/100. The higher the solvency score, the more solvent the company is.
Wall St
Price Targets
TROW Price Targets Summary
T Rowe Price Group Inc
According to Wall Street analysts, the average 1-year price target for TROW is 115.26 USD with a low forecast of 104.03 USD and a high forecast of 135.45 USD.
Dividends
Current shareholder yield for TROW is .
Shareholder yield represents the total return a company provides to its shareholders, calculated as the sum of dividend yield, buyback yield, and debt paydown yield. What is shareholder yield?
Ownership
TROW Insider Trading
Buy and sell transactions by insiders
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Profile
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Description
T. Rowe Price Group, Inc. is a global investment management organization, which engages in the provision of investment management services. The company is headquartered in Baltimore, Maryland and currently employs 7,529 full-time employees. The company provides a range of United States mutual funds, sub advised funds, separately managed accounts, collective investment trusts and other products, which include open-ended investment products offered to investors outside the United States and products offered through variable annuity life insurance plans in the United States. The company also provides investment advisory clients with related administrative services, including distribution, mutual fund transfer agent, accounting and shareholder services; participant recordkeeping and transfer agent services for defined contribution retirement plans; brokerage; trust services; and non-discretionary advisory services through model delivery. The company operates in Americas; Europe, Middle East and Africa; and Asia Pacific. The company serves clients in approximately 50 countries across the world.
Contact
IPO
Employees
Officers
The intrinsic value of one TROW stock under the Base Case scenario is 142.37 USD.
Compared to the current market price of 119.84 USD, T Rowe Price Group Inc is Undervalued by 16%.