T. ROWE PRICE INTERNATIONAL STOCK FUND T. ROWE PRICE INTERNATIONAL STOCK FUND(PRITX) USD 18.33
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.86%USD 0.157USD0.1572022-12-14
20217.97%USD 1.46USD1.462021-12-16
20201.75%USD 0.32USD0.322020-12-16
20192.73%USD 0.5USD0.52019-12-17
20185.97%USD 1.095USD1.0952018-12-17
20175.02%USD 0.92USD0.922017-12-18
20161.85%USD 0.34USD0.342016-12-16
20151.15%USD 0.21USD0.212015-12-16
20142.95%USD 0.54USD0.542014-12-16
20130.82%USD 0.15USD0.152013-12-17
20121.04%USD 0.19USD0.192012-12-18
20110.98%USD 0.18USD0.182011-12-16
20101.19%USD 0.218USD0.192010-12-16
USD0.0282010-04-30
20091.42%USD 0.26USD0.262009-12-16
20081.42%USD 0.26USD0.262008-12-16
200712.38%USD 2.27USD2.272007-12-18
20064.36%USD 0.8USD0.82006-12-19
20051.31%USD 0.24USD0.242005-12-13
20040.82%USD 0.15USD0.152004-12-14
20030.87%USD 0.16USD0.162003-12-17
20020.60%USD 0.11USD0.112002-12-18
20011.80%USD 0.33USD0.332001-12-12
20006.93%USD 1.27USD1.272000-12-13