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Advisor Class | T. Rowe Price Global Infrastructure Fund
Shareholder Fees -
Advisor Class
T. Rowe Price Global Infrastructure Fund
T. Rowe Price Global Infrastructure Fund--Advisor Class
Redemption fee (as a percentage of amount redeemed on shares held for 90 days or less) 2.00%
Annual Fund Operating Expenses -
Advisor Class
T. Rowe Price Global Infrastructure Fund
T. Rowe Price Global Infrastructure Fund--Advisor Class
Management fees 0.80%
Distribution and service (12b-1) fees 0.25%
Other expenses 1.93%
Total annual fund operating expenses 2.98%
Fee waiver/expense reimbursement [1] 1.78%
Total annual fund operating expenses after fee waiver/expense reimbursement [1] 1.20%
[1] T. Rowe Price Associates, Inc. has agreed (through February 28, 2014) to waive its fees and/or bear any expenses (excluding interest, taxes, brokerage, extraordinary expenses, and acquired fund fees) that would cause the class's ratio of expenses to average net assets to exceed 1.20%. Termination of the agreement would require approval by the fund's Board of Directors. Fees waived and expenses paid under this agreement (and a previous limitation of 1.20%) are subject to reimbursement to T. Rowe Price Associates, Inc. by the fund whenever the class's expense ratio is below 1.20%. However, no reimbursement will be made more than three years after the waiver or payment, or if it would result in the expense ratio exceeding 1.20%.
Expense Example - (USD $)
1 year
3 years
5 years
10 years
Advisor Class T. Rowe Price Global Infrastructure Fund T. Rowe Price Global Infrastructure Fund--Advisor Class
122 510 1,183 2,986
Bar Chart
Average Annual Total Returns - Advisor Class T. Rowe Price Global Infrastructure Fund
1 Year
Since inception
Inception Date
T. Rowe Price Global Infrastructure Fund--Advisor Class
(5.29%) 0.71% Jan. 27, 2010
T. Rowe Price Global Infrastructure Fund--Advisor Class Returns after taxes on distributions
(5.76%) 0.42% Jan. 27, 2010
T. Rowe Price Global Infrastructure Fund--Advisor Class Returns after taxes on distributions and sale of fund shares
(2.68%) 0.71% Jan. 27, 2010
UBS World Infrastructure & Utilities Index
(0.32%) 3.29%  
Lipper Specialty/Miscellaneous Funds Average
(3.19%) 6.15%