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Explore Models

Browse the full T. Rowe Price model lineup and narrow it down by series, category, implementation, tax treatment, and equity allocation. Competitor models are available on the Compare page.

46 models

Equity Building Blocks

Equity Building Block — US Large-Cap Core

100% Equity

Seeks to complete or complement a core allocation with a focused, high-conviction equity sleeve.

3 materials
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Equity Building Blocks

Equity Building Block — US Small-Mid Complete

100% Equity

Seeks to complete or complement a core allocation with a focused, high-conviction equity sleeve.

3 materials
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Equity Building Blocks

Equity Building Block — International Core

100% Equity

Seeks to complete or complement a core allocation with a focused, high-conviction equity sleeve.

3 materials
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Equity Building Blocks

Equity Building Block — Emerging Markets

100% Equity

Seeks to complete or complement a core allocation with a focused, high-conviction equity sleeve.

3 materials
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Equity Building Blocks

Equity Building Block — Global Quality Dividend

100% Equity

Seeks to complete or complement a core allocation with a focused, high-conviction equity sleeve.

3 materials
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Dynamic Allocation

Dynamic Allocation — Defensive

25% Equity / 67% Fixed Income

Seeks to add value over a strategic benchmark through tactical shifts across asset classes and sub-sectors.

3 materials
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Dynamic Allocation

Dynamic Allocation — Conservative

40% Equity / 52% Fixed Income

Seeks to add value over a strategic benchmark through tactical shifts across asset classes and sub-sectors.

3 materials
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Dynamic Allocation

Dynamic Allocation — Balanced

55% Equity / 37% Fixed Income

Seeks to add value over a strategic benchmark through tactical shifts across asset classes and sub-sectors.

3 materials
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Dynamic Allocation

Dynamic Allocation — Growth Tilt

65% Equity / 27% Fixed Income

Seeks to add value over a strategic benchmark through tactical shifts across asset classes and sub-sectors.

3 materials
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Dynamic Allocation

Dynamic Allocation — Growth

75% Equity / 18% Fixed Income

Seeks to add value over a strategic benchmark through tactical shifts across asset classes and sub-sectors.

3 materials
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Dynamic Allocation

Dynamic Allocation — High Growth

85% Equity / 8% Fixed Income

Seeks to add value over a strategic benchmark through tactical shifts across asset classes and sub-sectors.

3 materials
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Income Models

Retirement Income — Income Preservation

20% Equity / 75% Fixed Income

Seeks a durable income stream with moderated drawdown for investors in or near the distribution phase.

3 materials
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Income Models

Retirement Income — Conservative Income

30% Equity / 66% Fixed Income

Seeks a durable income stream with moderated drawdown for investors in or near the distribution phase.

3 materials
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Income Models

Retirement Income — Diversified Income

40% Equity / 52% Fixed Income

Seeks a durable income stream with moderated drawdown for investors in or near the distribution phase.

3 materials
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Income Models

Retirement Income — Income & Growth

50% Equity / 43% Fixed Income

Seeks a durable income stream with moderated drawdown for investors in or near the distribution phase.

3 materials
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Income Models

Retirement Income — Growth of Income

60% Equity / 34% Fixed Income

Seeks a durable income stream with moderated drawdown for investors in or near the distribution phase.

3 materials
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Low Duration

Low Duration — Reserve

0% Equity / 85% Fixed Income

Seeks capital preservation and liquidity for goals within a one- to three-year horizon.

3 materials
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Low Duration

Low Duration — Stability

10% Equity / 80% Fixed Income

Seeks capital preservation and liquidity for goals within a one- to three-year horizon.

3 materials
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Low Duration

Low Duration — Short Horizon

20% Equity / 72% Fixed Income

Seeks capital preservation and liquidity for goals within a one- to three-year horizon.

3 materials
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Low Duration

Low Duration — Near-Term Growth

30% Equity / 64% Fixed Income

Seeks capital preservation and liquidity for goals within a one- to three-year horizon.

3 materials
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Target Allocation Active

Target Allocation Active — Conservative

20% Equity / 78% Fixed Income

Seeks long-term total return through a strategically weighted mix of actively managed equity and fixed income strategies.

3 materials
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Target Allocation Active

Target Allocation Active — Moderately Conservative

30% Equity / 68% Fixed Income

Seeks long-term total return through a strategically weighted mix of actively managed equity and fixed income strategies.

3 materials
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Target Allocation Active

Target Allocation Active — Balanced Income

40% Equity / 58% Fixed Income

Seeks long-term total return through a strategically weighted mix of actively managed equity and fixed income strategies.

3 materials
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Target Allocation Active

Target Allocation Active — Balanced

60% Equity / 38% Fixed Income

Seeks long-term total return through a strategically weighted mix of actively managed equity and fixed income strategies.

3 materials
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Target Allocation Active

Target Allocation Active — Growth

70% Equity / 28% Fixed Income

Seeks long-term total return through a strategically weighted mix of actively managed equity and fixed income strategies.

3 materials
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Target Allocation Active

Target Allocation Active — Moderate Growth

80% Equity / 18% Fixed Income

Seeks long-term total return through a strategically weighted mix of actively managed equity and fixed income strategies.

3 materials
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Target Allocation Active

Target Allocation Active — Aggressive Growth

90% Equity / 8% Fixed Income

Seeks long-term total return through a strategically weighted mix of actively managed equity and fixed income strategies.

3 materials
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Target Allocation Blend

Target Allocation Blend — Conservative

20% Equity / 78% Fixed Income

Seeks long-term total return while managing overall cost by combining active managers with index building blocks.

3 materials
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Target Allocation Blend

Target Allocation Blend — Moderately Conservative

30% Equity / 68% Fixed Income

Seeks long-term total return while managing overall cost by combining active managers with index building blocks.

3 materials
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Target Allocation Blend

Target Allocation Blend — Balanced Income

40% Equity / 58% Fixed Income

Seeks long-term total return while managing overall cost by combining active managers with index building blocks.

3 materials
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Target Allocation Blend

Target Allocation Blend — Balanced

60% Equity / 38% Fixed Income

Seeks long-term total return while managing overall cost by combining active managers with index building blocks.

3 materials
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Target Allocation Blend

Target Allocation Blend — Growth

70% Equity / 28% Fixed Income

Seeks long-term total return while managing overall cost by combining active managers with index building blocks.

3 materials
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Target Allocation Blend

Target Allocation Blend — Moderate Growth

80% Equity / 18% Fixed Income

Seeks long-term total return while managing overall cost by combining active managers with index building blocks.

3 materials
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Target Allocation Blend

Target Allocation Blend — Aggressive Growth

90% Equity / 8% Fixed Income

Seeks long-term total return while managing overall cost by combining active managers with index building blocks.

3 materials
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Target Allocation ETF

Target Allocation ETF — Conservative

20% Equity / 78% Fixed Income

Seeks broad market exposure and long-term total return using a fully ETF-implemented allocation.

3 materials
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Target Allocation ETF

Target Allocation ETF — Moderately Conservative

30% Equity / 68% Fixed Income

Seeks broad market exposure and long-term total return using a fully ETF-implemented allocation.

3 materials
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Target Allocation ETF

Target Allocation ETF — Balanced Income

40% Equity / 58% Fixed Income

Seeks broad market exposure and long-term total return using a fully ETF-implemented allocation.

3 materials
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Target Allocation ETF

Target Allocation ETF — Balanced

60% Equity / 38% Fixed Income

Seeks broad market exposure and long-term total return using a fully ETF-implemented allocation.

3 materials
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Target Allocation ETF

Target Allocation ETF — Growth

70% Equity / 28% Fixed Income

Seeks broad market exposure and long-term total return using a fully ETF-implemented allocation.

3 materials
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Target Allocation ETF

Target Allocation ETF — Moderate Growth

80% Equity / 18% Fixed Income

Seeks broad market exposure and long-term total return using a fully ETF-implemented allocation.

3 materials
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Tax-Aware Blend

Tax-Aware Blend — Conservative

20% Equity / 78% Fixed Income

Seeks after-tax total return by pairing municipal fixed income with tax-managed equity exposure.

3 materials
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Tax-Aware Blend

Tax-Aware Blend — Moderately Conservative

30% Equity / 68% Fixed Income

Seeks after-tax total return by pairing municipal fixed income with tax-managed equity exposure.

3 materials
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Tax-Aware Blend

Tax-Aware Blend — Balanced Income

40% Equity / 58% Fixed Income

Seeks after-tax total return by pairing municipal fixed income with tax-managed equity exposure.

3 materials
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Tax-Aware Blend

Tax-Aware Blend — Balanced

60% Equity / 38% Fixed Income

Seeks after-tax total return by pairing municipal fixed income with tax-managed equity exposure.

3 materials
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Tax-Aware Blend

Tax-Aware Blend — Growth

70% Equity / 28% Fixed Income

Seeks after-tax total return by pairing municipal fixed income with tax-managed equity exposure.

3 materials
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Tax-Aware Blend

Tax-Aware Blend — Moderate Growth

80% Equity / 18% Fixed Income

Seeks after-tax total return by pairing municipal fixed income with tax-managed equity exposure.

3 materials
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