PRIDX
T. Rowe Price International Discovery Fund
Mutual fund
$83.57+0.69 (+0.83%)Close Oct 2, 2026
Dec 30, 1988 – Oct 2, 2026, Dividends reinvested
- Final balance
- $346,816
- CAGR
- +9.85%
- Max drawdown
- −64.93%
- Sharpe ratio
- 0.69
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Growth of $10,000
Trailing returns (%)
Annualized from 3Y- 1M
- −1.43%
- 3M
- +2.18%
- 6M
- +12.10%
- YTD
- +11.22%
- 1Y
- +14.81%
- 3Y
- +17.84%
- 5Y
- +2.61%
- 10Y
- +8.75%
- 15Y
- +10.16%
- 20Y
- +7.71%
- 25Y
- +10.38%
- 30Y
- +10.17%
- Since 1988
- +9.85%
Metrics
Since 1988| Volatility | 15.26% |
|---|---|
| Sortino ratio | 0.95 |
| Calmar ratio | 0.15 |
| Best year, 1999 | +154.38% |
| Worst year, 2008 | −49.89% |
| Positive years | 24 of 37 |
| Longest drawdown | 5.8 years |
Worst drawdowns
Since 1988| Decline | Peak | Bottom | Recovered | Length |
|---|---|---|---|---|
| −64.9% | Mar 2000 | Oct 2002 | Dec 2005 | 5.8 years |
| −62.7% | Oct 2007 | Mar 2009 | Mar 2013 | 5.4 years |
| −43.9% | Sep 2021 | Oct 2022 | Jan 2026 | 4.4 years |
| −33.7% | Jan 2018 | Mar 2020 | Jun 2020 | 2.4 years |
| −32.1% | Aug 1990 | Jan 1991 | Oct 1993 | 3.2 years |
Annual returns
1988 from Dec 30 · 2026 through Oct 2