NON-VANGUARD FUNDS

TRRHX T. Rowe Price Retirement 2025 Fund Investor Class

NTF funds

YTD performance

as of 03/13/2025

Asset class

Domestic Balanced

Category

Target-Date 2025

NAV price

$16.83

as of 03/17/2025

Investment minimum

$2,500

as of 03/17/2025

Overview

Key facts

Asset class

Domestic Balanced

Category

Target-Date 2025

Inception date

02/27/2004

Fund Number

9066

Price

Minimum Investment

$2,500

NAV Price

$16.83

as of 03/17/2025

NAV change

increased$0.10 (0.60%)

as of 03/17/2025

Performance

YTD returns

0.06%

as of 03/13/2025

Product summary
The investment seeks the highest total return over time consistent with an emphasis on both capital growth and income. The fund invests in a diversified portfolio of other T. Rowe Price stock and bond funds that represent various asset classes and sectors. Its allocation among T. Rowe Price mutual funds will change over time in relation to its target retirement date. The fund is managed based on the specific retirement year (target date 2025) included in its name and assumes a retirement age of 65.
Fund management

Manager Name: Lee/DeDominicis/Jacobs van Merlen

Manager Tenure: 7 years

Performance & fees

Total returns
Month-end/Quarterly Pre-Tax Toggle

as of 02/28/2025

Recent returns

Average annual

Month-end3-Month totalYTD1-yr3-yr5-yr10-yr

Since inception

02/27/2004

TRRHX

0.47%0.12%2.78%10.07%4.92%7.97%6.89%7.20%

Benchmark

-1.92%-1.91%1.18%17.53%11.59%16.12%12.36%

as of 12/31/2024

Year

Total return by NAV

20249.69%
202314.57%
2022-15.67%
202111.88%
202014.69%
201920.95%
2018-5.62%
201717.68%
20167.55%
2015-0.17%

Gross Expense Ratio

This information is temporarily unavailable.

Historical volatility measures

This information is temporararily unavailable

Fund-specific fees

Purchase fee

None

Fund family redemption fee

See prospectus

Transaction fee6

None

Note: There may be a broker-assisted fee for trades placed by phone. See the Vanguard brokerage commission and fee schedule for more information.

Load

None

$50 early redemption fee will apply to all sales within 60 calendar days of the most recent purchase trade date.

Minimums
Initial minimumAdditional investments
General account$2,500$500
UGMA/UTMA$2,500$500
IRA$1,000$500

The performance data shown represent past performance, which is not a guarantee of future results. Investment returns and principal value will fluctuate so that investors' shares, when sold, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data cited.

Performance data do not reflect the deduction of the $25 annual account service fee that may be applied to certain accounts. If this fee was included, performance would be lower.

Account Profile
Fund options
Dividend ReinvestmentYes
Dollar Cost AveragingEligible
Trading Cutoffs
Deadline for Purchases4:00 p.m. Eastern
Deadline for Redemptions4:00 p.m. Eastern
Deadline for Exchanges4:00 p.m. Eastern
Settlement Date
PurchasesNext
RedemptionsNext
Note

Price

Closing price

Closing price as of 03/17/2025

NAV

$16.83

NAV change

increased$0.10 (0.60%)

52-week High

$17.77

as of 12/04/2024

52-week Low

$15.93

as of 04/19/2024

52-week Difference

$1.84 (11.55%)

Historical prices
Chart/Table Toggle
NameDateNAV
TRRHX 03/17/2025
$16.83

This chart can’t be displayed on mobile devices. For the best viewing experience, visit this page from your desktop or laptop.

Portfolio composition

Allocation to underlying funds

This information is temporarily unavailable.

Characteristics

as of 01/31/2025

FundamentalTRRHX
Number of stocks
Median market cap
Earnings growth rate
P/E ratio
P/B ratio
Return on equity
Foreign holdings 24.5%
FundamentalTRRHX
Number of bonds
Yield to maturity
Average coupon
Average maturity 7.6 years
Average duration
FundamentalTRRHX
Turnover rate (Fiscal Year-end 05/31/2024) 31.5%
Short-term reserves 7.4%
Fund total net assets as of
Asset allocation

as of 01/31/2025

55.54%Stock
Asset class TRRHXStock 55.54%Bond 36.87%Short term reserves 7.21%Commodities 0.38%
Stylebox

Equity

Market Captialization Large Investment Style Blend

Fixed Income

Quality

Trsy/
Agcy
Inv Grd
Corp
Below
Inv
Grade

Duration

Short

Medium

Long

Month end 10 largest holdings

68.22% of total net assets as of 01/31/2025

RankHoldings% of fund
1T. Rowe Price New Income Z13.13%
2T. Rowe Price Ltd Dur Infl Focus Bd Z9.37%
3T. Rowe Price Value Z8.20%
4T. Rowe Price Growth Stock Z8.17%
5T. Rowe Price US Large-Cap Core Z5.65%
6T. Rowe Price Equity Index 500 Z5.63%
7T. Rowe Price Hedged Equity Z5.34%
8T. Rowe Price Intl Bd (USD Hdgd) Z4.69%
9T. Rowe Price Overseas Stock Z4.07%
10T. Rowe Price International Value Eq Z3.97%

Dashboard

1

For non-Vanguard funds, yield is defined as a fund's annualized current rate of investment income, calculated with a Securities and Exchange Commission formula that includes the fund's net income (based on the yield to maturity of each bond it holds), the average number of outstanding fund shares during the 30-day period reported by Morningstar, and the maximum offering price per share on the last day of the period. The data is provided by Morningstar and is only as current as the information supplied to Morningstar by third parties. The yield for a money market fund more closely reflects the current earnings of the fund than its total return.

2

The acquired fund fees and expenses based on the fees and expenses of the underlying funds.

Overview

3

The acquired fund fees and expenses based on the fees and expenses of the underlying funds.

Performance & fees

4

The acquired fund fees and expenses based on the fees and expenses of the underlying funds.

5

Most recent data available. © 2023 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; (3) does not constitute investment advice offered by Morningstar; and (4) 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. Past performance is no guarantee of future results.

6

No-transaction-fee (NTF) funds may carry a redemption fee. See the Vanguard brokerage commission and fee schedule for more information.

Price

7

For non-Vanguard funds, yield is defined as a fund's annualized current rate of investment income, calculated with a Securities and Exchange Commission formula that includes the fund's net income (based on the yield to maturity of each bond it holds), the average number of outstanding fund shares during the 30-day period reported by Morningstar, and the maximum offering price per share on the last day of the period. The data is provided by Morningstar and is only as current as the information supplied to Morningstar by third parties. The yield for a money market fund more closely reflects the current earnings of the fund than its total return.

Portfolio composition

8

Alternative minimum tax (AMT) percentage represents the fund's income subject to the AMT as of the date indicated.

© 2023 Morningstar, Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar; (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. Past performance is no guarantee of future results.

Total returns: Short-term total return information is provided only as a service. Historical performance—particularly short-term performance—is no guarantee of future returns. Price, yield, and return on an actual investment will fluctuate, and you may have a gain or loss when you sell. Average annual returns include changes in price and reinvestments of dividends and capital gains. Since-inception returns for less than 1 year and year-to-date returns aren't annualized. Index performance is provided as a benchmark but isn't illustrative of any particular investment. You can't invest in an index.

Standardized returns: To see quarterly fee-adjusted returns, refer to the Price & Performance details.

Expense ratios: Expense ratios are displayed on Overview. For investments that are less than 1 fiscal year old, expense ratios are estimated.

Risk: All investing is subject to risk, including the possible loss of the money you invest. Funds that concentrate on a relatively narrow market sector face the risk of higher share-price volatility. Investments in stocks or bonds issued by non-U.S. companies are subject to risks including country/regional risk and currency risk.

Target-date investments are subject to the risks of their underlying funds. The year in the investment name refers to the approximate year (the target date) when an investor would retire and leave the workforce. The investment will gradually shift its emphasis from more aggressive investments to more conservative ones based on its target date. A target-date investment is not guaranteed at any time, including on or after the target date.

Bond funds are subject to the risk that an issuer will fail to make payments on time, and that bond prices will decline because of rising interest rates or negative perceptions of an issuer's ability to make payments.

U.S. government backing of Treasury or agency securities applies only to the underlying securities and does not prevent share-price fluctuations. Unlike stocks and bonds, U.S. Treasury bills are guaranteed as to the timely payment of principal and interest.

Although the income from a municipal bond fund is exempt from federal tax, you may owe taxes on any capital gains realized through the fund's trading or through your own redemption of shares. For some investors, a portion of the fund's income may be subject to state and local taxes, as well as to the federal Alternative Minimum Tax.

High-yield bonds generally have medium- and lower-range credit quality ratings and are therefore subject to a higher level of credit risk than bonds with higher credit quality ratings.

Derivatives are subject to a number of risks, such as liquidity risk interest rate risk, market risk, credit risk, and management risk.  A fund investing in a derivative instrument could lose more than the principal amount invested.

Prices of mid- and small-cap stocks often fluctuate more than those of large-company stocks.

Stocks of companies based in emerging markets are subject to national and regional political and economic risks and to the risk of currency fluctuations. These risks are especially high in emerging markets.

Currency hedging risk is the chance that currency hedging transactions may not perfectly offset a fund's foreign currency exposures and may eliminate any chance for a fund to benefit from favorable fluctuations in relevant currency exchange rates. Funds incur expenses to hedge currency exposures.

ESG funds are subject to ESG investment risk, which is the chance that the stocks or bonds screened by the index provider or advisor, as applicable, for ESG criteria generally will underperform the market as a whole or, in the aggregate, will trail returns of other funds screened for ESG criteria. The index provider or advisor’s assessment of a company, based on the company’s level of involvement in a particular industry or their own ESG criteria, may differ from that of other funds or an investor’s assessment of such company. As a result, the companies deemed eligible by the index provider or advisor may not reflect the beliefs and values of any particular investor and may not exhibit positive or favorable ESG characteristics. The evaluation of companies for ESG screening or integration is dependent on the timely and accurate reporting of ESG data by the companies. Successful application of the screens will depend on the index provider or advisor's proper identification and analysis of ESG data. The advisor may not be successful in assessing and identifying companies that have or will have a positive impact or support a given position. In some circumstances, companies could ultimately have a negative impact or no impact or support a given position.

The fund profiles are intended to provide a brief summary of the mutual funds. Not all disclosures apply to all funds. Cost data shown here may be incomplete. Please refer to the fund's prospectus for full information on advisory fees, distribution charges, and other expenses. You should read the prospectus before investing in any fund to ensure the fund is appropriate for your goals and risk tolerance.

Fund price provided by Refinitiv. Disclaimer. Additional data on this page provided by Morningstar®. Disclaimer.

Fund prices are provided or calculated using data from third-party sources. Vanguard is not responsible for the accuracy or timeliness of third-party data.

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