PRHYX quote
6.29unchanged unch
Previous Close6.29CategoryHigh Yield Bond
Net Assets5.03 BilDividend Yield7.44%
Morningstar ratings:Minimum Initial Purchase2,500
RiskAverage1 Year Return50.93%
RatingRating: 4 out of 53 Year Return4.50%
ReturnAbove Average5 Year Return5.23%
Cumulative growth of a $10,000 investment
10k growth chart
20042005200620072008YTD
Growth10.33%14.11%25.22%29.18%-2.41%37.49%
Value$11,033$11,411$12,522$12,918$9,759$13,749
Last NAV update 11/25/2009 8:00 PM ET   Financial data in U.S. dollars

Your latest quotes:  PRHYX, TAVFX, WSCI, STST, SYNM, MAKOX

Overview
The investment seeks high current income; capital appreciation is a secondary consideration. The fund normally invest at least 80% of assets in a widely diversified portfolio of high-yield corporate bonds, income-producing convertible securities, and preferred stocks. High-yield bonds are rated below investment grade (BB and lower). Its weighted average maturity generally is expected to be in the 5- to 10-year range. The fund may invest in futures, options, and swaps.
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More information for PRHYX
Fees and expenses
Front load0.00%
Deferred load0.00%
Expense Ratio0.80%
Top holdings for PRHYX
Company Name% Net Assets
T. Rowe Price Reserve2.92%
Ford Motor 3.56%0.96%
Lucent Tech Cap Tr I Pfd0.91%
Sprint Nextel 8.375%0.80%
E Trade Finl 12.5%0.78%
More top holdings for PRHYX
Additional Fund Information
Inception date12/31/1984
ManagerMark Vaselkiv
Manager start date06/30/1996
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