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T Rowe Price Japan Fund

Ranked 24 out of 290 in - Japan over 12 months
All calculations are in JPY unless stated

Managed by

Archibald Ciganer

Archibald Ciganer is currently based in Tokyo with T. Rowe Price. He is a portfolio manager responsible for the Japan Equity Strategy dealing in Asian equities, using a growth investment style. He joined the firm in 2007 and prior to this was a credit analyst and vice president in mergers and acquisitions at BNP Paribas in Japan. Archibald graduated from the Institut d’Etudes Politiques de Paris with a degree in Finance & Accounting. He also holds the CFA Charter.

Objective

The Fund seeks capital appreciation through investment in common stocks of companies located (or with primary operations) in Japan. The Fund invests in a wide range of Japanese industries and companies. Stock selection reflects a growth style.

Showing fund performance globally. You can view performance in individual jurisdictions.

Performance

Japan over : 30/11/2017 - 30/11/2018
  • Rank 24/290 Total Return
  • Rank 208/290 Standard Deviation
  • Rank 167/290 Max Drawdown

Total Return

Quarterly Performance

to 30/09/2018 Annual Q1 Q2 Q3 Q4
2018 -1.3% 3.0% 6.6%
2017 28.1% 3.9% 7.2% 6.3% 8.3%
2016 7.8% -4.9% -3.8% 7.3% 9.8%
2015 15.3% 13.1% 5.7% -11.2% 8.7%
2014 4.4% -7.0% 4.7% 4.3% 2.8%
2013 58.0% 22.5% 11.1% 6.1% 9.5%
2012 24.4% 17.8% -7.1% -2.0% 16.0%
2011 -13.1% -1.2% 1.3% -12.1% -1.2%
2010 -0.5% 6.9% -13.7% 0.8% 7.0%
2009 3.6% -14.6% 17.1% 1.3% 2.3%
2008 -44.4% -18.0% 8.2% -18.1% -23.4%
2007 -11.4% -1.3% 3.3% -6.8% -6.8%
2006 -4.8% 1.7% -10.4% 2.5% 1.9%
2005 61.3% 4.1% 3.2% 22.7% 22.3%
2004 11.7% 12.5% 5.8% -7.3% 1.4%
2003 30.2% -7.2% 14.1% 15.7% 6.4%
2002 -24.7% 2.3% -6.2% -11.4% -11.5%
2001 -22.3% -0.6% -1.7% -22.1% 2.1%
2000 -30.0% -2.4% -6.2% -6.5% -18.2%
1999 93.0% 25.3% 20.5% 7.4% 19.1%
1998 -5.3% 4.7% -1.6% -11.4% 3.7%
1997 -12.7% -1.7% 11.3% -6.8% -14.4%
1996 0.2% 3.8% 5.7% -4.2% -4.6%
1995 0.2% -18.6% -7.5% 24.9% 6.5%
1994 2.9% 7.7% 4.6% -6.7% -2.0%
1993 7.8% 4.8% 3.6% 9.2% -9.0%
1992 -13.5% -2.1% -6.1% -7.9% 2.2%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. United States

Fund Info

  • Launch date30/12/1991
  • Share Class size750Mn
  • Base currencyUSD
  • ISIN US77956H7089

Purchase Info

  • Min. initial investment2,500
  • Min. regular additional investment100

Charges

  • Annual management0.79%

Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in JPY).