T. Rowe Price Group is a global asset management holding company with more than 85 years of experience, offering active equity, fixed income, multi-asset, and alternatives strategies to individuals, advisors, institutions, and retirement plan sponsors worldwide. Related services include fund administration, distribution, participant recordkeeping and transfer agent services for defined contribution plans, brokerage, and trust services.
Investment solutions are distributed through U.S. mutual funds, collective investment trusts, ETFs, subadvised funds, separately managed accounts, CLOs, and non-U.S. open-ended products, among others. Multi-year strategic initiatives target expanded access to the U.S. wealth management channel, global growth in select markets, private and alternatives capabilities, and digital distribution enhancement. Common stock trades on NASDAQ under the symbol TROW.
Asset Management1 90% · Administrative Distribution Servicing And Other Fee Revenue 8% · Capital Allocation Based Income 1% · Performance Based Advisory Fees 1%
product & service · FY2025 (ended Dec 2025) · share of tagged segment revenue (10-K XBRL, as filed)