0001752724-21-110685.txt : 20210526
0001752724-21-110685.hdr.sgml : 20210526
20210525175917
ACCESSION NUMBER: 0001752724-21-110685
CONFORMED SUBMISSION TYPE: NPORT-P
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20210331
FILED AS OF DATE: 20210526
PERIOD START: 20211231
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: T. Rowe Price Spectrum Fund, Inc.
CENTRAL INDEX KEY: 0000808303
IRS NUMBER: 000000000
STATE OF INCORPORATION: MD
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: NPORT-P
SEC ACT: 1940 Act
SEC FILE NUMBER: 811-04998
FILM NUMBER: 21962054
BUSINESS ADDRESS:
STREET 1: 100 EAST PRATT STREET
CITY: BALTIMORE
STATE: MD
ZIP: 21202
BUSINESS PHONE: 410-345-2000
MAIL ADDRESS:
STREET 1: 100 EAST PRATT STREET
CITY: BALTIMORE
STATE: MD
ZIP: 21202
FORMER COMPANY:
FORMER CONFORMED NAME: PRICE T ROWE SPECTRUM FUND INC
DATE OF NAME CHANGE: 19920703
FORMER COMPANY:
FORMER CONFORMED NAME: PRICE T ROWE OMNI TRUST
DATE OF NAME CHANGE: 19870726
0000808303
S000002124
T. Rowe Price Spectrum International Equity Fund
C000005514
T. Rowe Price Spectrum International Equity Fund
PSILX
NPORT-P
1
primary_doc.xml
NPORT-P
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0000808303
XXXXXXXX
S000002124
C000005514
T. ROWE PRICE SPECTRUM FUND, INC.
811-04998
0000808303
549300C4CNSW3NCPIM75
100 East Pratt Street
Baltimore
21202
410-345-2000
T. Rowe Price Spectrum International Equity Fund
S000002124
549300C84TP53IYY4O12
2021-12-31
2021-03-31
N
2155646828.23
454466.70
2155192361.53
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.08000000
N
T Rowe Price Latin America Fund
NNIEUV820YZDO05KW707
T Rowe Price Latin America Fund
87281D728
922199.26353200
NS
USD
19790396.20000000
0.918265884440
Long
EC
RF
US
N
1
N
N
N
T Rowe Price International Discovery Fund
0Q0CC81N5HDD1TTTMO60
T Rowe Price International Discovery Fund
87281D744
1064530.35445800
NS
USD
100151015.75000000
4.646964119662
Long
EC
RF
US
N
1
N
N
N
T Rowe Price Japan Fund
NUUF05SLYLABQQF20E73
T Rowe Price Japan Fund
87281D736
7476926.20004000
NS
USD
144678521.97000000
6.713021285361
Long
EC
RF
US
N
1
N
N
N
T Rowe Price Africa & Middle East Fund
Q0BDHQYSLARY8T9Q5425
T Rowe Price Africa & Middle East Fund
87281D785
968287.11840300
NS
USD
8821095.65000000
0.409295049827
Long
EC
RF
US
N
1
N
N
N
T Rowe Price New Asia Fund
CQSPSLYRKR4YU51MLF76
T Rowe Price New Asia Fund
87281D710
11931613.83091500
NS
USD
314517340.58000000
14.59346952940
Long
EC
RF
US
N
1
N
N
N
T Rowe Price Emerging Europe Fund
BVN3MWBWV2V4M8TC6A78
T Rowe Price Emerging Europe Fund
87281D777
762235.94533400
NS
USD
11303959.07000000
0.524498846217
Long
EC
RF
US
N
1
N
N
N
T Rowe Price International Stock Fund
DIXEPQW5DPUCAUYFLI61
T Rowe Price International Stock Fund
87281D843
18937300.61560800
NS
USD
410560677.35000000
19.04983910849
Long
EC
RF
US
N
1
N
N
N
T Rowe Price Emerging Markets Stock Fund
IMG3L58DUY918PK2SP65
T Rowe Price Emerging Markets Stock Fund
87281D876
1330543.28471800
NS
USD
74337453.32000000
3.449225908875
Long
EC
RF
US
N
1
N
N
N
T Rowe Price Emerging Markets Value Stock Fund
549300O1OJ5I2F2FBD73
T Rowe Price Emerging Markets Value Stock Fund
87281D884
7711147.69208100
NS
USD
122607248.30000000
5.688923665865
Long
EC
RF
US
N
1
N
N
N
T Rowe Price Overseas Stock Fund
O80MRID2HJVYBDLHU105
T Rowe Price Overseas Stock Fund
87281D835
14284870.08017500
NS
USD
182846337.03000000
8.483991512488
Long
EC
RF
US
N
1
N
N
N
T Rowe Price European Stock Fund
F02UHRPTUVEKSDNQDB53
T Rowe Price European Stock Fund
87281D751
12180428.80405800
NS
USD
307068610.15000000
14.24785163640
Long
EC
RF
US
N
1
N
N
N
T Rowe Price International Value Equity Fund
97KIE6QHONOYE0TN8681
T Rowe Price International Value Equity Fund
87281D827
29993919.74186800
NS
USD
458906972.05000000
21.29308641963
Long
EC
RF
US
N
1
N
N
N
2021-05-24
T. ROWE PRICE SPECTRUM FUND, INC.
Alan S. Dupski
Alan S. Dupski
Treasurer & Vice President
XXXX
NPORT-EX
2
70G1SpectrumIntlFd.htm
T.
ROWE
PRICE
Spectrum
International
Equity
Fund
March
31,
2021
(Unaudited)
Portfolio
of
Investments
(1)
$
Value
12/31/20
$
Purchase
Cost
$
Sales
Cost
Shares
$
Value
3/31/21
(Cost
and
value
in
$000s)
(1)
EQUITY
MUTUAL
FUNDS
100.0%
T.
Rowe
Price
Funds:
International
Value
Equity
Fund
418,189
17,471
9,198
30,005,035
459,077
International
Stock
Fund
397,313
13,678
11,820
18,944,804
410,723
New
Asia
Fund
290,895
10,296
620
11,936,486
314,646
European
Stock
Fund
319,097
10,270
28,213
12,185,086
307,186
Overseas
Stock
Fund
167,401
5,785
351
14,290,258
182,915
Japan
Fund
116,435
34,662
271
7,480,043
144,739
Emerging
Markets
Discovery
Stock
Fund
98,302
15,835
209
7,714,110
122,655
International
Discovery
Fund
93,830
3,232
194
1,064,956
100,191
Emerging
Markets
Stock
Fund
67,298
6,435
146
1,331,090
74,368
Latin
America
Fund
20,545
689
77
922,568
19,798
Emerging
Europe
Fund
10,823
375
29
762,531
11,308
Africa
&
Middle
East
Fund
7,629
266
17
968,647
8,825
Total
Equity
Mutual
Funds
(Cost
$1,468,008)
2,156,431
Total
Investments
in
Securities
100.0%
(Cost
$1,468,008)
$
2,156,431
Other
Assets
Less
Liabilities
(0.0)%
(391)
Net
Assets
100.0%
$
2,156,040
(1)
Each
underlying
Price
Fund
is
an
affiliated
company;
the
fund
is
invested
in
the Z
Class
of
each
underlying
Price
Fund.
Additional
information
about
each underlying
Price
Fund
is
available
by
calling
1-877-495-1138
and
at
www.troweprice.com.
T.
ROWE
PRICE
Spectrum
International
Equity
Fund
The
accompanying
notes
are
an
integral
part
of
this
Portfolio
of
Investments.
AFFILIATED
COMPANIES
($000s)
The
fund
may
invest
in
certain
securities
that
are
considered
affiliated
companies.
As
defined
by
the
1940
Act,
an
affiliated
company
is
one
in
which
the
fund
owns
5%
or
more
of
the
outstanding
voting
securities,
or
a
company
that
is
under
common
ownership
or
control.
The
following
securities
were
considered
affiliated
companies
for
all
or
some
portion
of
the
three
months
ended
March
31,
2021.
Net
realized
gain
(loss),
investment
income,
and
change
in
net
unrealized
gain/loss
reflect
all
activity
for
the
period
then
ended.
Affiliate
Net
Realized
Gain
(Loss)
Change
in
Net
Unrealized
Gain/Loss
Investment
Income
T.
Rowe
Price
Funds:
Africa
&
Middle
East
Fund
$
(1)
$
947
$
—
Emerging
Europe
Fund
(5)
139
—
Emerging
Markets
Discovery
Stock
Fund
(1)
8,727
—
Emerging
Markets
Stock
Fund
(2)
781
—
European
Stock
Fund
2,427
6,032
—
International
Discovery
Fund
(2)
3,323
—
International
Stock
Fund
13
11,552
—
International
Value
Equity
Fund
(110)
32,615
—
Japan
Fund
(4)
(6,087)
—
Latin
America
Fund
(34)
(1,359)
—
New
Asia
Fund
(9)
14,075
—
Overseas
Stock
Fund
(1)
10,080
—
Totals
$
2,271#
$
80,825
$
—+
#
Capital
gain
distributions
from
mutual
funds
represented
$0
of
the
net
realized
gain
(loss).
+
Investment
income
comprised
$0
of
income
distributions
from
underlying
Price
Funds.
T.
ROWE
PRICE
Spectrum
International
Equity
Fund
Unaudited
Notes
to
Portfolio
of
Investments
T.
Rowe
Price
Spectrum
International
Equity
Fund (the
fund),
formerly
the T.
Rowe
Price
Spectrum
International
Fund, is
registered
under
the
Investment
Company
Act
of
1940
(the
1940
Act)
as
an
open-end
management
investment
company
and
follows
accounting
and
reporting
guidance
of
the
Financial
Accounting
Standards
Board
Accounting
Standards
Codification
Topic
946.
The
accompanying
Portfolio
of
Investments
was
prepared
in
accordance
with
accounting
principles
generally
accepted
in
the
United
States
of
America
(GAAP).
For
additional
information
on
the
fund’s
significant
accounting
policies
and
investment
related
disclosures,
please
refer
to
the
fund’s
most
recent
semiannual
or
annual
shareholder
report
and
its
prospectus.
VALUATION
The
fund’s
financial
instruments
are
valued
at
the
close
of
the
New
York
Stock
Exchange
(NYSE),
normally
4
p.m.
ET,
each
day
the
NYSE
is
open
for
business.
The
fund’s
financial
instruments
are
reported
at
fair
value,
which
GAAP
defines
as
the
price
that
would
be
received
to
sell
an
asset
or
paid
to
transfer
a
liability
in
an
orderly
transaction
between
market
participants
at
the
measurement
date.
Investments
in
the
underlying
Price
Funds
are
valued
at
their
closing
net
asset
value
per
share
on
the
day
of
valuation.
The
T.
Rowe
Price
Valuation
Committee
(the
Valuation
Committee)
is
an
internal
committee
that
has
been
delegated
certain
responsibilities
by
the
fund’s
Board
of
Directors
(the
Board)
to
ensure
that
financial
instruments
are
appropriately
priced
at
fair
value
in
accordance
with
GAAP
and
the
1940
Act.
Subject
to
oversight
by
the
Board,
the
Valuation
Committee
develops
and
oversees
pricing-related
policies
and
procedures
and
approves
all
fair
value
determinations.
Specifically,
the
Valuation
Committee
establishes
policies
and
procedures
used
in
valuing
financial
instruments; determines
pricing
techniques,
sources,
and
persons
eligible
to
effect
fair
value
pricing
actions; evaluates
the service
and
performance
of
the
pricing
vendors;
oversees
the
pricing
process
to
ensure
policies
and
procedures
are
being
followed; and
provides
guidance
on
internal
controls
and
valuation-related
matters.
The
Valuation
Committee
provides
periodic
reporting
to
the
Board
on
valuation
matters.
Various
valuation
techniques
and
inputs
are
used
to
determine
the
fair
value
of
financial
instruments.
GAAP
establishes
the
following
fair
value
hierarchy
that
categorizes
the
inputs
used
to
measure
fair
value:
Level
1 - quoted
prices
(unadjusted)
in
active
markets
for
identical
financial
instruments
that
the
fund
can
access
at
the
reporting
date
T.
ROWE
PRICE
Spectrum
International
Equity
Fund
Level
2 -
inputs
other
than
Level
1
quoted
prices
that
are
observable,
either
directly
or
indirectly
(including,
but
not
limited
to,
quoted
prices
for
similar
financial
instruments
in
active
markets,
quoted
prices
for
identical
or
similar
financial
instruments
in
inactive
markets,
interest
rates
and
yield
curves,
implied
volatilities,
and
credit
spreads)
Level
3 - unobservable
inputs
(including
the
fund's
own
assumptions
in
determining
fair
value)
Observable
inputs
are
developed
using
market
data,
such
as
publicly
available
information
about
actual
events
or
transactions,
and
reflect
the
assumptions
that
market
participants
would
use
to
price
the
financial
instrument.
Unobservable
inputs
are
those
for
which
market
data
are
not
available
and
are
developed
using
the
best
information
available
about
the
assumptions
that
market
participants
would
use
to
price
the
financial
instrument.
GAAP
requires
valuation
techniques
to
maximize
the
use
of
relevant
observable
inputs
and
minimize
the
use
of
unobservable
inputs.
When
multiple
inputs
are
used
to
derive
fair
value,
the
financial
instrument
is
assigned
to
the
level
within
the
fair
value
hierarchy
based
on
the
lowest-level
input
that
is
significant
to
the
fair
value
of
the
financial
instrument.
Input
levels
are
not
necessarily
an
indication
of
the
risk
or
liquidity
associated
with
financial
instruments
at
that
level
but
rather
the
degree
of
judgment
used
in
determining
those
values.
On
March
31,
2021,
all
of
the
fund's
financial
instruments
were
classified
as
Level
1,
based
on
the
inputs
used
to
determine
their
fair
values.
F118-054Q1
03/21