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    T. Rowe Price Small-Cap Value (PRSVX)

    46.87 Up 0.17(0.36%) Mar 27

    Profile as of Feb 27, 2015Get Profile for:
    T. Rowe Price Small-Cap Value
    T. Rowe Price Small-cap Value Fund, Inc.100 East Pratt StreetBaltimore, MD 21202
    Map
    Phone: 800-638-5660
    Fund Overview 
    Category:Small Blend
    Fund Family:T. Rowe Price
    Net Assets:8.98B
    Year-to-Date Return:-0.19%
    Yield:0.68%
    Morningstar Rating:3 stars
    Fund Inception Date:Jun 30, 1988
    Morningstar Style Box 
    Small Blend
    [View Category Definition]
    View Top Small Blend Funds
    About the Morningstar Style Box
    Management Information 
    J. David Wagner
    Lead Manager since Jun 30, 2014
    David Wagner is an associate portfolio manager in the U.S. Equity Division for the Small-Cap Core Strategy and a vice president of T. Rowe Price Group, Inc. Mr. Wagner has nine years of investment experience, eight of which have been at T. Rowe Price. He joined the firm in 2000 after serving as a summer intern at T. Rowe Price in 1999, covering senior living companies. Prior to this, he was employed as an associate analyst in the antitrust area by National Economic Research Associates Inc. Mr. Wagner earned a B.A., summa cum laude, in economics from the College of William and Mary and an M.B.A. from the Darden Graduate School of Business, University of Virginia. He has also earned the Chartered Financial Analyst accreditation.
    Investment Information 
    Min Initial Investment:2,500
    Min Initial Investment, IRA:1,000
    Min Initial Investment, AIP:2,500
    Min Subsequent Investment:100
    Min Subsequent Investment, IRA:100
    Min Subsequent Investment, AIP:100
    PRSVX can be purchased from 107 brokerages.

    Fund Summary 
    The investment seeks long-term capital growth. The fund will invest at least 80% of its net assets (including any borrowings for investment purposes) in companies with a market capitalization that is within or below the range of companies in the Russell 2000 Index. It may invest in foreign stocks in keeping with the fund's objectives. The fund may sell securities for a variety of reasons, such as to secure gains, limit losses, or redeploy assets into more promising opportunities.

    Fund Operations 
    Last Dividend (Dec 11, 2014) : 0.34
    Last Cap Gain : 0.00
    Annual Holdings Turnover (Mar 25, 2015) : 16.00%
    Average for Category:54.82%
    Fees & Expenses 
    ExpensePRSVXCategory Avg
    Annual Report Expense Ratio (net):0.81%1.25%
    Prospectus Net Expense Ratio:0.96%N/A
    Prospectus Gross Expense Ratio:0.96%N/A
    Max 12b1 Fee:0.00%N/A
    Max Front End Sales Load:N/A5.21%
    Max Deferred Sales Load: N/A1.95%
    3 Yr Expense Projection*:306559
    5 Yr Expense Projection*:531909
    10 Yr Expense Projection*:1,1781,866
    * Per $10,000 invested