T. Rowe Price Retirement 2015 Fund

T. ROWE PRICE RETIREMENT FUNDS, INC. · 4 share classes

Target-date 2015 fund
One fund, 4 share classes:TRRGXPARHXRRTMXTRUBX
$5.17B NAV
32 positions · as of 2026-05-31 · filed 2026-07-28

Fund classification

Classified from what the fund holds · as of 2026 Q2

T. Rowe Price Retirement 2015 Fund is a target-date 2015 fund.

Asset class
Target-date
Region
United States
Management
Actively managed
Fund type
Open-end fund
Target year
2015
Features
Fund of funds

Fund profile

As filed in the prospectus · 2025 Q3

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

Strategy · summarised

The fund invests in a diversified portfolio of other T. Rowe Price mutual funds representing equity and fixed income asset classes, with allocations that shift over time according to a predetermined glide path tied to its 2015 target retirement date. The asset mix becomes progressively more conservative as the target date approaches and remains so thereafter, moving from higher equity exposure toward a neutral 55% equity allocation at the target date and continuing to decline until approximately 30 years after retirement. The fund is designed to support both pre-retirement accumulation and post-retirement withdrawals, though it does not guarantee a particular income level. Because the fund's returns depend on the performance of its underlying fund holdings, divergence from the glide path may occur due to significant market movements or cash flows.

Portfolio turnover 14.80% · as of 2025 Q3

Allocation

Asset groups · long / short shown separately, never netted · 2026 Q2

100.96%
of net assets
Stocks47.88%
Bonds41.02%
Securitized6.74%
Cash & short-term3.59%
2 smaller1.74%

Look-through blends 26 underlying funds; 0.0% of NAV was not looked through and stays direct-classified.

Latest quarter

What changed since the fund's previous filing

2026Q2 vs 2026Q1: 5 new4 exited

New: U S TREASURY BILL, ESM6 S&P500 EMINI FUT JUN26, MFSM6 MSCI EAFE JUN26, RTYM6 E-MINI RUSS 2000 JUN26, FVU6 US 5YR NOTE (CBT) SEP26

Exited: U S TREASURY BILL, MFSH6 MSCI EAFE MAR26, RTYH6 E-MINI RUSS 2000 MAR26, ESH6 S&P500 EMINI FUT MAR26

Return profile

Chart:

Total return as filed — price change plus distributions reinvested · trailing figures to Apr 2026

Share class1-year3-year5-yearVolWorst fall
+15.14%+36.03%+28.14%6.78%-5.87%
+14.75%+34.94%+26.37%6.78%-5.90%
+14.56%+33.99%+24.91%6.87%-5.99%
+15.24%6.83%

These classes hold the same portfolio, so the 0.67pp spread over 1 year is the cost difference between them — roughly 0.67pp a year — not a difference in what they own.

Cumulative return· Jun 2023 – Apr 2026

May 2026 has been filed since the trailing figures were struck, so it is not in the table above or the curve — every figure here shares one cut-off, which is what makes them comparable with other funds.

Debt profile

What this fund holds — value-weighted across its bond and securitized long positions · as of 2026-05-31

Avg coupon
0.00%
Avg maturity
0.18 yr
Coupon type

Share of the fund's debt by how its coupon behaves — the fact that decides whether a rate move reaches this portfolio at all.

0%
floating
Zero-coupon or unclassified100.0%
Maturity ladder

Share of the fund's debt value in each maturity band, shortest first.

<1y
<1y100.0%
Flagged holdings
Defaulted: none reported
In arrears: none reported
Paid in kind: none reported

Based on what filers reported; a filer that never reported a flag also reads as none.

Risk profile

Interest-rate and credit-spread sensitivity, both in years · as of 2026Q2

This fund filed the credit-spread disclosure and reported no sensitivity — measured, and the answer is none.

Interest-rate duration
0.00 yr
approx. move per 100bp
Credit-spread duration
0.00 yr
approx. move per 100bp
Investment grade: +0.00 yrHigh yield: +0.00 yr
Show the numbers
TenorRate yrsIG yrsHY yrsIG $/bpHY $/bp
3 mo+0.00+0.00+0.00$0$0
1 yr+0.00+0.00+0.00$0$0
5 yr+0.00+0.00+0.00$0$0
10 yr+0.00+0.00+0.00$0$0
30 yr+0.00+0.00+0.00$0$0

Dollar change per 1bp of spread movement, as filed and sign-anchored. A blank cell was not filed; a zero was.

Holdings

By % of NAV · equity positions carry filed share counts · every resolvable issuer links to its company page

Issuer%NAVValue
TRP NEW INCOME FD-ZTRVZX15.33%$792.54M
TRP LTD DURATION INFL FOCUSED BD FD-ZTRPZX14.72%$760.72M
TRP GROWTH STOCK FD-ZTRJZX7.53%$389.32M
TRP VALUE FD-ZTRZAX7.33%$378.79M
TRP INTL BOND FD (USD HEDGED)-ZTRMZX5.91%$305.66M
TRP HEDGED EQUITY FD-ZPZHEX4.74%$245.23M
TRP EQUITY INDEX 500 FD-ZTRHZX4.13%$213.62M
TRP US LARGE-CAP CORE FD-ZTRZLX4.01%$207.45M
TRP INTL VALUE EQUITY FD-ZTROZX3.58%$185.27M
TRP DYNAMIC GLOBAL BOND FD-ZTRDZX3.58%$185.16M
Showing 10 of 32Sign in to see more

Reported price is the fund's own reported value divided by its own reported shares at 2026-05-31 — not a live quote, and not what the fund paid.

Top 10 positions are 70.88% of net assets, top 25 98.92%, across 32 issuers.

See more of this fund's book

More positions with filed share counts, and the quarter-over-quarter change list rather than the largest few — free with an account, no card required.

Sign in free