T. Rowe Price Emerging Markets Bond Fund Z Class(TREZX) USD 8.52
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.99%USD 0.084USD0.04082023-02-27
USD0.04322023-01-30
20226.26%USD 0.533USD0.04822022-12-29
USD0.044282022-11-29
USD0.042492022-10-28
USD0.033752022-09-29
USD0.045792022-08-30
USD0.047572022-07-28
USD0.045812022-06-29
USD0.045272022-05-27
USD0.04472022-04-28
USD0.047892022-03-30
USD0.042862022-02-25
USD0.044452022-01-28
20217.08%USD 0.603USD0.0512021-12-31
USD0.046912021-11-29
USD0.048452021-10-28
USD0.047372021-09-29
USD0.048082021-08-30
USD0.052332021-07-29
USD0.0512021-06-29
USD0.049422021-05-27
USD0.054652021-04-29
USD0.054152021-03-30
USD0.049812021-02-25
USD0.050182021-01-28
20205.74%USD 0.489USD0.061262020-12-30
USD0.052892020-11-27
USD0.058942020-10-29
USD0.053722020-09-29
USD0.047452020-08-28
USD0.044282020-07-30
USD0.037372020-06-29
USD0.051242020-05-28
USD0.054612020-04-29
USD0.027442020-03-30