October 10, 2025 a 11:43 am

TROW: Fundamental Ratio Analysis - T. Rowe Price Group, Inc.

T. Rowe Price Group, Inc. stock image

T. Rowe Price Group, Inc. stands as a prominent entity in the asset management industry with a strong commitment to socially responsible investing. The company's diversified global presence and a robust fundamental analysis approach make it a noteworthy consideration for investors. While the current market for asset managers is competitive, TROW's historical performance and expertise could provide an edge. The investment community should keep an eye on how it leverages its strategic initiatives in changing market dynamics.

Fundamental Rating

Assessing T. Rowe Price's fundamental strength, the ratings reflect a solid performance across various key metrics, indicative of steady financial health and competitive market positioning.

Category Score Visual Representation
Discounted Cash Flow 4
Return on Equity 5
Return on Assets 5
Debt to Equity 2
Price to Earnings 3
Price to Book 2

Historical Rating

The historical perspective gives insight into the progression of T. Rowe Price's score over time, showing consistency in evaluation metrics.

Date Overall Score DCF ROE ROA Debt to Equity P/E P/B
2025-10-09 4 4 5 5 2 3 2
Past 0 4 5 5 2 3 2

Analyst Price Targets

Analyst price targets provide a spectrum of TROW's future valuation, presenting a range that can inform strategic decisions for stakeholders.

High Low Median Consensus
$125 $90 $115 $110
Stock chart showing recent price changes

Analyst Sentiment

The sentiment from analysts indicates a moderate position in the market, reflective of a 'Hold' consensus, which necessitates careful analysis of market shifts.

Recommendation Count Visual Representation
Strong Buy 0
Buy 8
Hold 24
Sell 6
Strong Sell 0

Conclusion

T. Rowe Price Group, Inc. displays competitive fundamentals with consistent ratings, supported by a strong Return on Equity and Assets. Challenges such as market competition and debt levels exist but are paired with opportunities in socially responsible investing. The 'Hold' consensus reflects a stable yet cautious stance among analysts. Future performance will depend on how well the company adapts to evolving market dynamics. Overall, it remains a noteworthy contender in the asset management sector.