RPBAX Holdings — T. Rowe Price Balanced Fund, Inc.

All 1819 reported holdings of T. Rowe Price Balanced Fund, Inc. (RPBAX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
T Rowe Pr Real Assets-I3.94%$207.96M
Trp Inst High Yield Fund3.75%$197.70M
NVIDIA Corp.3.32%$175.32M
Apple, Inc.2.29%$120.77M
Amazon.com, Inc.1.80%$95.02M
Microsoft Corp.1.72%$90.84M
Alphabet, Inc. Cl C1.40%$74.14M
Broadcom, Inc.1.34%$70.66M
Alphabet, Inc. Cl A1.22%$64.22M
T. Rowe Price Government Reserve Fund0.87%$45.85M
Meta Platforms, Inc.-Class A0.84%$44.46M
Advanced Micro Devices0.80%$42.29M
Trp Inflation Protected Bd Fd-I0.72%$37.94M
Asml Holding NV0.71%$37.28M
J.p. Morgan Chase & Co.0.68%$35.79M
Eli Lilly & Co.0.67%$35.58M
Micron Technology, Inc.0.65%$34.42M
Tesla, Inc.0.61%$32.24M
Lam Research Corp.0.56%$29.64M
Berkshire Hathaway, Inc.-Cl B0.54%$28.25M
Applied Materials, Inc.0.51%$26.97M
Carvana Co.0.51%$26.90M
Visa, Inc.-Class A Shares0.51%$26.89M
US Treasury N/b0.50%$26.30M
Trp Ltd. Duration Infl Focused Bd Fd-I0.49%$26.09M
Astrazeneca PLC0.48%$25.43M
Unitedhealth Group, Inc.0.48%$25.13M
Siemens AG-Reg0.46%$24.03M
Johnson & Johnson0.45%$23.69M
Deere & Co.0.44%$23.37M
US Treasury N/b0.42%$22.36M
Mastercard, Inc. - A0.40%$21.09M
Keysight Technologies In0.39%$20.79M
Intel Corp.0.39%$20.76M
GE Aerospace0.39%$20.33M
Taiwan Semiconductor Manufac0.37%$19.72M
Unilever PLC0.37%$19.64M
Philip Morris International0.37%$19.62M
Netflix, Inc.0.37%$19.42M
Linde PLC0.35%$18.69M
Cisco Systems, Inc.0.35%$18.34M
Morgan Stanley0.34%$18.11M
Grs - Security Lending Collateral0.34%$17.69M
US Treasury N/b0.32%$16.74M
Bank Of America Corp.0.31%$16.62M
US Treasury N/b0.31%$16.54M
Procter & Gamble Co/the0.31%$16.48M
T-Mobile US, Inc.0.30%$15.63M
Conocophillips0.29%$15.17M
US Treasury N/b0.28%$15.02M
Shell PLC-ADR0.28%$14.85M
Southern Co/the0.28%$14.70M
Totalenergies SE0.28%$14.69M
Gilead Sciences, Inc.0.28%$14.67M
US Treasury N/b0.28%$14.59M
Mitsubishi Ufj Financial Gro0.28%$14.53M
Wabtec Corp.0.27%$14.36M
Tokyo Electron Ltd.0.27%$14.35M
Chubb Ltd.0.27%$14.35M
Booking Holdings, Inc.0.27%$14.15M
Banco Santander SA0.27%$14.00M
Ametek, Inc.0.26%$13.72M
Schwab (charles) Corp.0.26%$13.69M
Abbott Laboratories0.24%$12.85M
Exxon Mobil Corp.0.24%$12.75M
Chevron Corp.0.24%$12.73M
Airbus SE0.24%$12.58M
Asml Holding NV Ny0.24%$12.42M
Caterpillar, Inc.0.23%$12.38M
US Treasury N/b0.23%$12.19M
US Treasury N/b0.23%$12.19M
Marvell Technology, Inc.0.23%$12.18M
Welltower, Inc.0.23%$12.08M
US Treasury N/b0.23%$12.03M
Texas Instruments, Inc.0.23%$11.95M
US Treasury N/b0.23%$11.90M
Novartis AG-Reg0.22%$11.80M
Mcdonald S Corp.0.22%$11.78M
US Treasury N/b0.22%$11.73M
Roche Holding AG0.22%$11.73M
Recruit Holdings Co. Ltd.0.22%$11.68M
US Treasury N/b0.22%$11.51M
US Treasury N/b0.22%$11.38M
US Treasury N/b0.22%$11.37M
Rolls-Royce Holdings PLC0.21%$11.34M
Banco Bilbao Vizcaya Argenta0.21%$11.32M
US Treasury N/b0.21%$11.33M
Prysmian Spa0.21%$11.07M
American Express Co.0.21%$10.99M
Analog Devices, Inc.0.21%$10.97M
Sumitomo Corp.0.21%$10.95M
Slb Ltd.0.21%$10.94M
Csx Corp.0.21%$10.83M
US Treasury N/b0.20%$10.80M
Unicredit Spa0.20%$10.77M
Air Liquide SA0.20%$10.69M
Sony Group Corp.0.20%$10.67M
Ge Vernova LLC0.20%$10.67M
Standard Chartered PLC0.20%$10.33M
Tenet Healthcare Corp.0.19%$10.25M
Intercontinental Exchange, Inc.0.19%$10.13M
Goldman Sachs Group, Inc.0.19%$10.02M
Hitachi Ltd.0.19%$9.94M
Mondelez International, Inc.0.19%$9.94M
Societe Generale SA0.19%$9.82M
Cvs Health Corp.0.19%$9.82M
Autozone, Inc.0.19%$9.81M
US Treasury N/b0.19%$9.80M
Abb Ltd.-Reg0.18%$9.72M
Dbs Group Holdings Ltd.0.18%$9.64M
US Treasury N/b0.18%$9.63M
Sandvik Ab0.18%$9.57M
Novo Nordisk A/s-B0.18%$9.45M
Fhms K137 A20.18%$9.43M
US Treasury N/b0.18%$9.42M
US Treasury N/b0.18%$9.40M
Barclays PLC0.18%$9.40M
Ubs Group AG-Reg0.18%$9.38M
Ingersoll-Rand, Inc.0.18%$9.38M
Home Depot, Inc.0.18%$9.30M
Fnma 30 Yr0.18%$9.27M
Compass Group PLC0.18%$9.25M
Parker Hannifin Corp.0.17%$9.20M
Anz Group Holdings Ltd.0.17%$9.17M
Axa SA0.17%$9.15M
Fifth Third Bancorp0.17%$9.13M
Samsung Electronics Co. Ltd.0.17%$9.14M
Cencora, Inc.0.17%$9.12M
Siemens Energy AG0.17%$9.08M
Safran SA0.17%$9.07M
Infineon Technologies AG0.17%$9.07M
Public Storage0.17%$9.00M
Toyota Motor Corp.0.17%$8.92M
Republic Services, Inc.0.17%$8.90M
British American Tobacco PLC0.17%$8.88M
US Treasury N/b0.17%$8.87M
National Grid PLC0.17%$8.78M
Oracle Corp.0.17%$8.76M
US Treasury N/b0.17%$8.74M
Amphenol Corp.-Cl A0.16%$8.68M
US Treasury N/b0.16%$8.56M
Walt Disney Co/the0.16%$8.56M
Intuitive Surgical, Inc.0.16%$8.54M
Enel Spa0.16%$8.49M
Engie0.16%$8.48M
US Treasury N/b0.16%$8.45M
Ameren Corporation0.16%$8.40M
Citigroup, Inc.0.16%$8.39M
Taiwan Semiconductor-Sp ADR0.16%$8.37M
US Treasury N/b0.15%$8.10M
US Treasury N/b0.15%$8.09M
US Treasury N/b0.15%$8.08M
Range Resources Corp.0.15%$8.05M
Nestle SA-Reg0.15%$8.00M
Mitsubishi Electric Corp.0.15%$7.86M
Fnma 30 Yr0.15%$7.83M
Asics Corp.0.15%$7.76M
Softbank Group Corp.0.15%$7.73M
Sumitomo Mitsui Trust Group, Inc.0.14%$7.53M
Argenx SE - ADR0.14%$7.42M
Marsh & Mclennan Cos0.14%$7.38M
Constellation Energy0.14%$7.35M
Allstate Corp.0.14%$7.34M
Lloyds Banking Group PLC0.14%$7.24M
Sampo Oyj-A Shs0.14%$7.19M
Fnma 30 Yr0.14%$7.18M
Tokio Marine Holdings, Inc.0.14%$7.16M
Fnma 30 Yr Tba Jul0.14%$7.15M
Definity Financial Corp.0.13%$7.11M
Dnb Bank Asa0.13%$7.07M
Kddi Corp.0.13%$6.99M
Chugai Pharmaceutical Co. Ltd.0.13%$6.91M
Bristol-Myers Squibb Co.0.13%$6.90M
Crowdstrike Holdings, Inc. - A0.13%$6.88M
Monolithic Power Systems, Inc.0.13%$6.76M
Gnma Ii Tba Jul0.13%$6.75M
Holcim Ltd.-Reg0.13%$6.73M
Fujikura Ltd.0.13%$6.74M
Aia Group Ltd.0.13%$6.65M
US Treasury N/b0.13%$6.64M
Panasonic Holdings Corp.0.13%$6.63M
L Oreal0.12%$6.55M
Ryanair Holdings PLC-Sp ADR0.12%$6.53M
US Treasury N/b0.12%$6.52M
Sea Ltd. ADR0.12%$6.48M
International Paper Co.0.12%$6.45M
Isetan Mitsukoshi Holdings L0.12%$6.45M
US Treasury N/b0.12%$6.33M
Ball Corp.0.12%$6.32M
Qualcomm, Inc.0.12%$6.32M
Intl Business Machines Corp.0.12%$6.25M
Takeda Pharmaceutical Co. Ltd.0.12%$6.23M
Glencore PLC0.12%$6.23M
Ing Groep NV Cva Nlg10.12%$6.21M
Bt Group PLC0.12%$6.17M
Koninklijke Philips NV0.12%$6.12M
US Treasury N/b0.12%$6.10M
Fhms K753 A20.12%$6.08M
Vinci SA0.11%$6.02M
Fnma 30 Yr0.11%$5.95M
US Treasury N/b0.11%$5.94M
Murata Manufacturing Co. Ltd.0.11%$5.93M
Fnma 30 Yr Tba Jul0.11%$5.87M
Abbvie, Inc.0.11%$5.85M
Element Fleet Management Corp.0.11%$5.85M
Techtronic Industries Co. Ltd.0.11%$5.83M
Revvity, Inc.0.11%$5.77M
Sanofi0.11%$5.75M
US Treasury N/b0.11%$5.73M
Colgate-Palmolive Co.0.11%$5.73M
Scentre Group0.11%$5.69M
Shopify, Inc. - Class A0.11%$5.65M
Lowe S Cos, Inc.0.11%$5.61M
Technipfmc PLC0.11%$5.61M
Canadian Natural Resources0.10%$5.51M
Coca-Cola Co/the0.10%$5.44M
Generali0.10%$5.41M
Ucb SA0.10%$5.36M
Thermo Fisher Scientific, Inc.0.10%$5.32M
Be Semiconductor Industries0.10%$5.32M
Brookfield Corp.0.10%$5.31M
Tjx Companies, Inc.0.10%$5.26M
Admiral Group PLC0.10%$5.22M
Equinor Asa0.10%$5.15M
Essex Property Trust, Inc.0.10%$5.13M
US Treasury N/b0.10%$5.13M
Arista Networks, Inc.0.10%$5.12M
Servicenow, Inc.0.10%$5.10M
Resona Holdings, Inc.0.10%$5.10M
Antofagasta PLC0.10%$5.08M
3i Group PLC0.10%$5.07M
Next PLC0.10%$5.04M
US Treasury N/b0.09%$5.01M
Macquarie Group Ltd.0.09%$4.95M
Valero Energy Corp.0.09%$4.96M
Heidelberg Materials AG0.09%$4.91M
Shin-Etsu Chemical Co. Ltd.0.09%$4.89M
Ross Stores, Inc.0.09%$4.89M
Walmart, Inc.0.09%$4.89M
Metlife, Inc.0.09%$4.85M
US Treasury N/b0.09%$4.85M
Orix Corp.0.09%$4.85M
Diageo PLC0.09%$4.76M
US Treasury N/b0.09%$4.75M
Sap SE0.09%$4.74M
Emerson Electric Co.0.09%$4.74M
Abn Amro Bank NV-Cva Gdr0.09%$4.74M
Bhp Group Ltd.0.09%$4.72M
Packaging Corp. Of America0.09%$4.71M
Suzuki Motor Corp.0.09%$4.71M
Danaher Corp.0.09%$4.71M
Ericsson Lm-B Shs0.09%$4.70M
Ajinomoto Co., Inc.0.09%$4.70M
Martin Marietta Materials0.09%$4.68M
Indra Sistemas SA0.09%$4.67M
Te Connectivity PLC0.09%$4.66M
Bawag Group AG0.09%$4.62M
US Treasury N/b0.09%$4.57M
Gnma Ll 30 Yr0.09%$4.53M
Mitsui Fudosan Co. Ltd.0.09%$4.53M
Gnma Ii Tba Jul0.09%$4.51M
Bunzl PLC0.08%$4.39M
Fhms K-150 A20.08%$4.37M
Equity Lifestyle Properties0.08%$4.37M
Pentair PLC0.08%$4.33M
Costco Wholesale Corp.0.08%$4.30M
Hoya Corp.0.08%$4.29M
US Treasury N/b0.08%$4.23M
Seven & I Holdings Co. Ltd.0.08%$4.21M
Fnma 30 Yr0.08%$4.20M
Aercap Holdings NV0.08%$4.15M
Fnma 30 Yr Tba Jul0.08%$4.13M
Suncorp Group Ltd.0.08%$4.11M
Nintendo Co. Ltd.0.08%$4.09M
Kla Corp.0.08%$4.08M
Norfolk Southern Corp.0.08%$4.07M
Sandisk Corp.0.08%$4.07M
Northrop Grumman Corp.0.08%$4.04M
Moncler Spa0.08%$4.04M
Gnma Ii Tba Jul0.08%$4.01M
US Treasury N/b0.08%$3.99M
Siemens Healthineers AG0.08%$3.98M
Salesforce, Inc.0.08%$3.98M
Bhp Group Ltd.-Di0.08%$3.97M
Bmark 2026-V21 A30.07%$3.91M
National Bank Of Canada0.07%$3.89M
US Treasury N/b0.07%$3.87M
Kering0.07%$3.86M
Fnma 30 Yr0.07%$3.85M
Wells Fargo & Company0.07%$3.84M
Telstra Group Ltd.0.07%$3.80M
Autoliv, Inc. Sdr0.07%$3.77M
Essilorluxottica0.07%$3.76M
Mitsubishi Chemical Group Corp.0.07%$3.76M
Coles Group Ltd.0.07%$3.75M
Royalty Pharma PLC- Cl A0.07%$3.71M
Magnum Ice Cream Co. Nv/the0.07%$3.71M
Stora Enso Oyj-R Shs0.07%$3.70M
Rheinmetall AG0.07%$3.69M
Banco Santander SA0.07%$3.69M
Fnma 30 Yr0.07%$3.69M
Bank Of America Corp.0.07%$3.65M
Erste Group Bank AG0.07%$3.64M
Tractor Supply Company0.07%$3.64M
Morgan Stanley0.07%$3.62M
Fhms K-156 A20.07%$3.61M
Corebridge Financial, Inc.0.07%$3.60M
US Treasury N/b0.07%$3.59M
Fcbsl 2023-2a A1r 144a0.07%$3.58M
US Treasury N/b0.07%$3.55M
Quest Diagnostics, Inc.0.07%$3.53M
Aker Bp Asa0.07%$3.50M
Capital One Financial Corp.0.07%$3.50M
Old Dominion Freight Line0.07%$3.50M
Fnma 30 Yr0.07%$3.49M
Otis Worldwide Corp.0.07%$3.48M
Komatsu Ltd.0.07%$3.48M
Fnma 30 Yr0.07%$3.47M
Fnma 30 Yr0.07%$3.45M
Fnma 30 Yr0.07%$3.44M
Fnma 30 Yr Tba Jul0.07%$3.44M
Tpmt 2024-2 A1b 144a0.06%$3.42M
US Treasury N/b0.06%$3.41M
Cenovus Energy, Inc.0.06%$3.40M
Segro PLC0.06%$3.37M
Doordash, Inc. - A0.06%$3.35M
Openai Group Pbc Class A Common Pp0.06%$3.35M
Caterpillar Finl Service0.06%$3.34M
Neub 2022-48a A1r 144a0.06%$3.34M
Rockt 2022-1a A1r 144a0.06%$3.34M
Fnma 30 Yr0.06%$3.33M
Huntington Bancshares, Inc.0.06%$3.30M
Agl 2021-13a A1r 144a0.06%$3.29M
Bx 2025-Volt A 144a0.06%$3.27M
Grupo Mexico Sab De Cv-Ser B0.06%$3.24M
Kt Corp.0.06%$3.24M
Fnma 30 Yr0.06%$3.23M
US Treasury N/b0.06%$3.23M
Agilent Technologies, Inc. 144a0.06%$3.19M
Corning, Inc.0.06%$3.17M
JPMorgan Chase & Co.0.06%$3.17M
Fnma 30 Yr Tba Jul0.06%$3.16M
Unitedhealth Group, Inc.0.06%$3.15M
Orsted A/s0.06%$3.12M
Vmware, Inc.0.06%$3.11M
US Treasury N/b0.06%$3.11M
Wells Fargo & Company0.06%$3.10M
General Motors Finl Co.0.06%$3.08M
Cno Global Funding 144a0.06%$3.08M
Bx 2025-Roic A 144a0.06%$3.08M
Merck & Co. Inc.0.06%$3.08M
Fnma 30 Yr0.06%$3.07M
United Mexican States0.06%$3.05M
Fortum Oyj0.06%$3.04M
JPMorgan Chase & Co.0.06%$3.03M
Shimizu Corp.0.06%$3.01M
Crvna 2026-P1 A40.06%$3.00M
Equitable America Global 144a0.06%$3.00M
Pricoa Global Funding 1 144a0.06%$3.00M
Mondelez International0.06%$2.98M
Vici Properties, Inc.0.06%$2.95M
Athene Global Funding 144a0.06%$2.94M
Kion Group AG0.06%$2.94M
Anthropic PBC SER H-1 CVT PFD PP0.06%$2.94M
Jackson Natl Life Global 144a0.06%$2.92M
Kraft Heinz Foods Co.0.06%$2.90M
Nextera Energy Capital0.05%$2.89M
New York Life Global Fdg 144a0.05%$2.87M
US Treasury N/b0.05%$2.86M
Fnma 15yr0.05%$2.86M
Enterprise Products Oper0.05%$2.83M
Seagate Technology Holdings0.05%$2.83M
Toronto-Dominion Bank0.05%$2.82M
Skandinaviska Enskilda 144a0.05%$2.82M
Stryker Corp.0.05%$2.81M
Eli Lilly & Co.0.05%$2.79M
Wfcm 2025-5c6 A30.05%$2.79M
US Treasury N/b0.05%$2.78M
Fnma 30 Yr0.05%$2.77M
Palo Alto Networks, Inc.0.05%$2.76M
Fnma 30 Yr0.05%$2.76M
Province Of Alberta0.05%$2.75M
Fnma 30 Yr0.05%$2.75M
US Treasury N/b0.05%$2.72M
Danske Bank A/s 144a0.05%$2.71M
Amazon.com, Inc.0.05%$2.69M
Space Exploration Techn-Cl A0.05%$2.69M
Fnma 30 Yr0.05%$2.69M
Autozone, Inc.0.05%$2.69M
Zoetis, Inc.0.05%$2.68M
Cent 2025-City A 144a0.05%$2.68M
Fulton Cnty Ga Babs0.05%$2.67M
Denso Corp. 144a0.05%$2.64M
Fnma 30 Yr0.05%$2.63M
Cvs Health Corp.0.05%$2.63M
US Treasury N/b0.05%$2.62M
Mid-Atlantic Interstate 144a0.05%$2.62M
National Bank Of Canada0.05%$2.62M
Focus 2026-1a A2 144a0.05%$2.61M
Gnma Ll 30 Yr0.05%$2.61M
Gnma Ll 30 Yr0.05%$2.60M
British Columbia0.05%$2.60M
Dte Energy Co.0.05%$2.60M
Citigroup, Inc.0.05%$2.60M
Fnma 30 Yr0.05%$2.59M
Crh America Finance, Inc. 144a0.05%$2.57M
Fnma 30 Yr0.05%$2.56M
Bx 2026-Csmo A 144a0.05%$2.57M
Smb 2026-A A1a 144a0.05%$2.56M
Manitoba (province Of)0.05%$2.56M
US Treasury N/b0.05%$2.54M
Jpmmt 2025-Nmq3 A1 144a0.05%$2.54M
US Treasury N/b0.05%$2.52M
Mandatum Oyj0.05%$2.50M
Bank Of America Corp.0.05%$2.50M
Fnma 30 Yr0.05%$2.50M
Transdigm Group, Inc.0.05%$2.49M
Codelco, Inc. 144a0.05%$2.49M
Rogers Communications In0.05%$2.49M
Southern Copper Corp.0.05%$2.47M
Fnma 30 Yr0.05%$2.47M
Nwml 2024-1ar A1r 144a0.05%$2.45M
Bridgepoint Group-Regs0.05%$2.45M
Kingspan Group PLC0.05%$2.44M
Agl 2021-10a A1r2 144a0.05%$2.40M
Pacific Life Gf Ii 144a0.05%$2.40M
Fnma 30 Yr0.05%$2.39M
Uber Technologies, Inc.0.04%$2.37M
Batln 2024-25a Br 144a0.04%$2.37M
American Honda Finance0.04%$2.36M
Coca-Cola European Partn 144a0.04%$2.36M
Massmutual Global Fundin 144a0.04%$2.36M
Fnma 30 Yr0.04%$2.35M
Fnma 30 Yr0.04%$2.33M
Hyundai Capital America 144a0.04%$2.31M
Gnma Ll 30 Yr0.04%$2.30M
Maple Parent Hlds Co. 144a0.04%$2.30M
Nextera Energy, Inc.0.04%$2.30M
Gnma Ll 30 Yr0.04%$2.29M
Royal Caribbean Cruises0.04%$2.29M
US Treasury N/b0.04%$2.29M
Columbia Pipeline Holdco 144a0.04%$2.29M
Datadog, Inc. - Class A0.04%$2.27M
Fnma 30 Yr0.04%$2.26M
Cyrus 2024-2a A2 144a0.04%$2.26M
Republic Services, Inc.0.04%$2.26M
Morgan Stanley0.04%$2.26M
Western Digital Corp.0.04%$2.25M
Cintas Corp.0.04%$2.25M
Romania 144a0.04%$2.25M
Fnma 30 Yr0.04%$2.24M
Fnma 15yr0.04%$2.23M
Public Service Enterpris0.04%$2.23M
John Deere Capital Corp.0.04%$2.21M
US Treasury N/b0.04%$2.21M
Foundry Jv Holdco LLC 144a0.04%$2.20M
Jde Peet's NV 144a0.04%$2.20M
Boeing Co/the0.04%$2.20M
Equifax, Inc.0.04%$2.18M
Seb4p 2026-1a A2 144a0.04%$2.18M
Fordf 2026-2 A0.04%$2.18M
Heico Corp.0.04%$2.17M
Fnma 30 Yr0.04%$2.16M
Pfizer, Inc.0.04%$2.16M
US Treasury N/b0.04%$2.15M
Gnma Ll 30 Yr0.04%$2.15M
Kioxia Holdings Corp.0.04%$2.15M
O'reilly Automotive, Inc.0.04%$2.14M
Daimler Trucks Finan Na 144a0.04%$2.14M
Vertiv Holdings Co.-A0.04%$2.14M
Cvc Capital Partners PLC0.04%$2.14M
Eaton Corp. PLC0.04%$2.13M
Waste Connections, Inc.0.04%$2.12M
Volkswagen Group America 144a0.04%$2.12M
Gnma Ll 30 Yr0.04%$2.11M
Detroit Mi City Sd Qscb0.04%$2.11M
Barclays PLC0.04%$2.10M
Charles Schwab Corp.0.04%$2.10M
Xcel Energy, Inc.0.04%$2.09M
Fhms K-179 A20.04%$2.09M
Cnh Industrial Cap LLC0.04%$2.08M
US Treasury N/b0.04%$2.07M
Sc Pub Svc Auth Txbl Rev Sr C0.04%$2.07M
Northwestern Mutual Glbl 144a0.04%$2.07M
Province Of Quebec0.04%$2.06M
US Treasury N/b0.04%$2.05M
Fidelity Natl Financial0.04%$2.05M
Totalenergi Cap USA LLC0.04%$2.05M
Bank Of Ny Mellon Corp.0.04%$2.05M
Appalachian Power Co.0.04%$2.04M
Southern Cal Edison0.04%$2.03M
Roper Technologies, Inc.0.04%$2.03M
Realty Income Corp.0.04%$2.03M
Pub Fin Wi Rev Txbl Bayhealth Proj Sr B0.04%$2.02M
Tencent Holdings Ltd.0.04%$2.02M
Fiserv, Inc.0.04%$2.02M
Fnma 20yr0.04%$2.01M
Bank Of Montreal0.04%$2.01M
Fnma 15yr0.04%$2.01M
Oracle Corp.0.04%$1.99M

RPBAX overview: performance, fees, allocation and SEC filings