T Rowe Price Equity Income Fund

T Rowe Price Equity Income Fund | PRFDX

Mutual Fund
T Rowe Price Equity Income Fund
Last update 2024-07-16 116 Stocks (5 new)
Value $17.42 Bil Turnover 8 %
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
UNH
UnitedHealth Group Inc
523,000
266342.98
New Holding
1.53
+1.53%
0.06
+19.01%
+14.94%
552250.221
Healthcare Plans
GEV
GE Vernova Inc
640,000
109766.4
New Holding
0.63
+0.63%
0.23
+51.04%
0%
73341.912
Utilities - Independent Power Producers
MRO
Marathon Oil Corp
1,590,000
45585.3
New Holding
0.26
+0.26%
0.28
-1.53%
+17.64%
15696.297
Oil & Gas
CSX
CSX Corp
985,000
32948.25
New Holding
0.19
+0.19%
0.05
+3.98%
+1.88%
67778.334
Transportation
CRM
Salesforce Inc
95,000
24424.5
New Holding
0.14
+0.14%
0.01
+14.91%
+9.97%
275423.6
Software
HUM
Humana Inc
95,000
35496.75
+153.33%
0.2
+0.12%
0.08
-31.85%
-43.19%
31072.058
Healthcare Plans
BKR
Baker Hughes Co
2,385,000
83880.45
+132.68%
0.48
+0.27%
0.24
+9.91%
+12.52%
37452.074
Oil & Gas
REXR
Rexford Industrial Realty Inc
1,985,000
88511.15
+125.57%
0.51
+0.28%
0.91
-2.84%
-13.37%
10392.149
REITs
CMCSA
Comcast Corp
2,650,000
103774
+120.83%
0.6
+0.33%
0.07
+10.12%
-3.08%
159779.417
Telecommunication Services
INTC
Intel Corp
2,670,000
82689.9
+92.78%
0.47
+0.23%
0.06
-29.23%
-52.49%
100742.56
Semiconductors
CSCO
Cisco Systems Inc
1,050,000
49885.5
+65.35%
0.29
+0.11%
0.03
+16.90%
+10.88%
216497.364
Hardware
ACN
Accenture PLC
405,000
122881.05
+62.00%
0.71
+0.27%
0.06
+21.55%
+4.45%
225823.24
Software
DG
Dollar General Corp
490,000
64792.7
+58.06%
0.37
+0.14%
0.22
-36.87%
-38.12%
18140.801
Retail - Defensive
BMY
Bristol-Myers Squibb Co
1,950,000
80983.5
+52.94%
0.46
+0.16%
0.1
+29.53%
+6.88%
105830.028
Drug Manufacturers
TEL
TE Connectivity Ltd
1,105,000
166225.15
+51.37%
0.95
+0.32%
0.36
-4.25%
+6.36%
44831.042
Hardware
HON
Honeywell International Inc
420,000
89686.8
+47.37%
0.51
+0.16%
0.06
+1.08%
+4.68%
140322.481
Conglomerates
MDLZ
Mondelez International Inc
280,000
18323.2
+42.51%
0.11
+0.03%
0.02
+8.86%
-0.59%
94387.466
Consumer Packaged Goods
TRP
TC Energy Corp
1,840,000
69736
+29.12%
0.4
+0.09%
0.18
+31.13%
+35.55%
47493.051
Oil & Gas
KVUE
Kenvue Inc
11,470,000
208524.6
+24.00%
1.2
+0.23%
0.6
+20.92%
+2.76%
41099.49
Consumer Packaged Goods
ZBH
Zimmer Biomet Holdings Inc
2,460,000
266983.8
+23.62%
1.53
+0.29%
1.2
-4.08%
-14.37%
21078.018
Medical Devices & Instruments
100/Page
Total 121

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