Fund Facts  

Inception Date: Oct 31, 2003
CUSIP: 74149P853
Ticker Symbol: PARBX
Morningstar Category:Target-Date 2020
As of Sep 30, 2022
Fund Net Assets ($millions) $4,874

Documents for Fund or Underlying Fund(s)  

Description

Objective  

The investment seeks the highest total return over time consistent with an emphasis on both capital growth and income.

Principal Investment Strategies  

The fund pursues its objective by investing in a diversified portfolio of other T. Rowe Price stock and bond mutual funds that represent various asset classes and sectors. The fund's allocation among T. Rowe Price mutual funds will change over time in relation to its target retirement date. It is designed for an investor who retired at or about the target date and who plans to withdraw the value of the account in the fund gradually after retirement.

Principal Investment Risks  

There is no guarantee that the Fund will achieve its investment objective. You may lose money by investing in the Fund. Please see the Fund’s prospectus or other disclosure documents for information about the Fund’s risks.

 

Performance & Expenses

Standard Performance As of Sep 30, 2022
Fund/Benchmark Name QtrYTD1-Yr3-Yr5-Yr10-YrSince Inception
T Rowe Price® Retirement 2020a-5.08%-19.27%-17.00%1.86%3.18%5.83%6.15%
S&P Target Date 2020 Indexa,b-4.59%-17.57%-14.75%0.98%2.64%5.11%N/A
Morningstar Target-Date 2020a,c-5.16%-18.77%-16.29%0.79%2.49%4.99%N/A

Fund past performance, as shown, is no guarantee of how the Fund will perform in the future. The performance shown has been annualized for periods greater than one year. Investment returns and principal value will fluctuate, so that an investor's shares, when redeemed, may be worth more or less than their original cost. For current performance, participants or plan sponsors in a MissionSquare Retirement administered account can log in at www.missionsq.org, or institutions can go to www.investments.missionsq.org.

Fund performance is shown comparing it to a "benchmark" which may be a (i) broad-based securities market index (ii) a group of mutual funds with similar investment objectives, or (iii) a short term government backed debt obligation such as a U.S. Treasury Bill. An index is not available for direct investment, is unmanaged, and does not reflect the costs of portfolio management or trading. A fund's portfolio may differ from the securities held in an index.

Fund Expensesa
Gross Expenses0.78%
Net Expenses0.78%

 

a. Certain information including, but not limited to, benchmark performance or other performance and/or fee information, is provided by Morningstar, Inc., © 2022 All rights reserved. This information: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of information. Morningstar is a registered trademark of Morningstar, Inc.

b. The S&P Target Date Indexes reflect exposure to various asset classes included in target date funds driven by a survey of such funds for each particular target date.

c. The Morningstar category average return represents the average return for a category of funds with similar investment objectives and strategies. The average is calculated and funds are assigned to a category by Morningstar.

Distributions

Dividends and Capital Gains  
Record Date Ex/Payable Date Income/Capital Gains Paid Per Share
Dec 21, 2021Dec 21, 2021$2.813000000
Dec 22, 2020Dec 22, 2020$2.190000000
Dec 20, 2019Dec 20, 2019$1.160000000
Dec 20, 2018Dec 20, 2018$1.820000000
Dec 21, 2017Dec 21, 2017$1.030000000
 

Morningstar Information

Morningstar RatingTM   As of Sep 30, 2022
Period Stars Category Size
Overall 4 Stars146
3-Year 4 Stars146
5-Year 3 Stars119
10-Year 4 Stars56

The Morningstar Rating™ for funds, or “star rating”, is calculated for managed products (including mutual funds, variable annuity and variable life subaccounts, exchange–traded funds, closed–end funds, and separate accounts) with at least a three–year history. Exchange–traded funds and open–ended mutual funds are considered a single population for comparative purposes. It is calculated based on a Morningstar Risk–Adjusted Return measure that accounts for variation in a managed product′s monthly excess performance, placing more emphasis on downward variations and rewarding consistent performance. The top 10% of products in each product category receive 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars, and the bottom 10% receive 1 star. The Overall Morningstar Rating for a managed product is derived from a weighted average of the performance figures associated with its three–, five–, and 10–year (if applicable) Morningstar Rating metrics. The weights are: 100% three–year rating for 36–59 months of total returns, 60% five–year rating/40% three–year rating for 60–119 months of total returns, and 50% 10–year rating/30% five–year rating/20% three-year rating for 120 or more months of total returns. While the 10-year overall star rating formula seems to give the most weight to the 10-year period, the most recent three-year period actually has the greatest impact because it is included in all three rating periods.

Morningstar Stylebox As of Sep 30, 2022
Equity Stylebox Fixed Income Stylebox
Large BlendMedium Moderate
Allocation of Assets As of Jun 30, 2022
Type of Asset Percent
Equity50%
Fixed Income43%
Cash/Other7%

Due to rounding, percentages shown may not add up to 100%.

 
 

Characteristics

Allocation of Assets As of Jun 30, 2022
Asset ClassPercent
Domestic Stock33.1%
Foreign Stock17.2%
Domestic Bond29.3%
Foreign Bond13.5%
Preferred0.1%
Convertible0.3%
Cash6.6%
Other0.0%

Due to rounding, percentages shown may not add up to 100%.

 

Equity Sector As of Jun 30, 2022
SectorPercent
Technology9.1%
Healthcare7.8%
Financial Services7.4%
Consumer Cyclical5.9%
Industrials4.9%
Communication Services3.9%
Consumer Defensive2.9%
Basic Materials2.5%
Utilities2.1%
Real Estate2.0%
Energy1.9%

Exposure reflects equity securities only and will sum to the equity exposure of the fund.

 
Credit Quality As of Jun 30, 2022
Quality LevelPercent
AAA60.6%
AA4.6%
A9.1%
BBB9.9%
BB7.6%
B5.9%
Below B1.5%
Not Rated1.0%

Due to rounding, percentages shown may not add up to 100%. Exposure reflects fixed income securities only.

 
Top Ten Holdings As of Jun 30, 2022
Holding NamePercent
T. Rowe Price New Income Z14.4%
T. Rowe Price Ltd Dur Infl Focus Bd Z11.5%
T. Rowe Price Value Z9.8%
T. Rowe Price Growth Stock Z7.9%
T. Rowe Price Equity Index 500 Z5.5%
T. Rowe Price Intl Bd (USD Hdgd) Z5.2%
T. Rowe Price Dynamic Global Bond Z4.3%
T. Rowe Price International Value Eq Z4.1%
T. Rowe Price Overseas Stock Z4.0%
T. Rowe Price International Stock Z3.5%
Fixed Income Sector As of Jun 30, 2022
SectorPercent
Government25.4%
Corporate11.2%
Cash & Equivalents6.6%
Securitized6.4%
Municipal0.1%
Derivative-0.1%

Exposure reflects fixed income securities only and will sum to the fixed income exposure of the fund.

 
 

Statistics

Portfolio Statistics As of Sep 30, 2022
Statistic3-Year5-Year
Beta1.191.18
Alpha0.950.37
Standard Deviation12.8811.14
 
 

Trading Restrictions

Purchase, Sale, and Transfer Restrictions

 

This fund imposes trading restrictions which may limit your ability to buy or sell the fund in certain circumstances. Please see the fund prospectus or applicable disclosure materials for further information.

 

Footnotes

1.

T. Rowe Price® is a registered trademark of T. Rowe Price Group, Inc. - all rights reserved.

2.

The Fund is not a complete solution for all of your retirement savings needs. An investment in the Fund includes the risk of loss, including near, at or after the target date of the Fund. There is no guarantee that the Fund will provide adequate income at and through an investor's retirement.

3.

Please read the fund's prospectus or disclosure materials carefully for a complete summary of all fees, expenses, investment objectives and strategies, risks, financial highlights, and performance information. Investing involves risk, including possible loss of the amount invested. Investors should carefully consider the information contained in the prospectus or disclosure materials before investing. To request a prospectus or disclosure materials, you may contact us by calling 800-669-7400, or log in at www.missionsq.org.

The source for this information is Morningstar, Inc. Copyright © 2022 Morningstar, Inc.™ All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Morningstar, Inc. is a global investment research firm that is not affiliated with MissionSquare Retirement or its affiliates. MissionSquare Retirement does not independently verify Morningstar data.

Morningstar places funds in certain categories based on the fund's historical portfolio holdings. Placement of a fund in a particular Morningstar category does not mean that the fund will remain in that category or that it will invest primarily in securities consistent with its Morningstar category. A fund's investment strategy and portfolio holdings are governed by its prospectus, guidelines or other governing documents, not its Morningstar category.