Target Allocation Active — Moderate Growth

Target AllocationTarget Allocation Active

80% Equity / 18% Fixed Income · Active implementation · Last reviewed 2026-01-16

Ask T. Rowe Price
ActiveConstruction v15Jan 2016Jul 2026Benchmark: Blended Global 60/40 Index

AI insights

Generate a briefing on positioning, performance, and risk for Target Allocation Active — Moderate Growth.

Volatility

7.1%

Annualized standard deviation

Max drawdown

-22.2%

Peak to trough

Sharpe ratio

-0.03

2.4% risk-free rate

Equity exposure

80%

Strategic target

Risk statistics

Model versus benchmark, since inception

MeasureModelBench

Annualized return

Since inception, net of fund fees

2.2%1.8%

Standard deviation

Annualized volatility of monthly returns

7.1%7.0%

Sharpe ratio

Assumes a 2.4% risk-free rate

-0.03-0.09

Max drawdown

Largest peak-to-trough decline

-22.2%-22.2%

Beta vs benchmark

Sensitivity to benchmark movements

0.941.00

Tracking error

Dispersion of excess return

2.1%0.0%

Historical drawdowns

How the model behaved through stress periods

  • COVID-19 selloff

    Jan 2020Mar 2020

    -25.2%

    Benchmark -26.4% · Model outperformed by 1.2 pts

  • 2022 rate shock

    Jan 2022Oct 2022

    -17.6%

    Benchmark -19.0% · Model outperformed by 1.4 pts

  • 2025 growth scare

    Feb 2025May 2025

    -8.6%

    Benchmark -9.4% · Model outperformed by 0.8 pts

Simulated stress results for illustration only.