T. Rowe Price International Funds, Inc. - T. Rowe Price International Discovery Fund (PRIDX) Dividends

Last dividend for T. Rowe Price International Funds, Inc. - T. Rowe Price International Discovery Fund (PRIDX) as of Aug. 21, 2026 is 3.67 USD. The forward dividend yield for PRIDX as of Aug. 21, 2026 is 4.33%. Average dividend growth rate for stock T. Rowe Price International Funds, Inc. - T. Rowe Price International Discovery Fund (PRIDX) for past three years is 30.00%.

Dividend history for stock PRIDX (T. Rowe Price International Funds, Inc. - T. Rowe Price International Discovery Fund) including historic stock price, dividend growth rate predictions based on history and split, spin-off and special dividends.

T. Rowe Price International Funds, Inc. - T. Rowe Price International Discovery Fund Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2025-12-12 2025-12-15 3.6699 USD (44.80%) 75.38 USD 75.38 USD
2024-12-13 2024-12-16 2.5345 USD (96.44%) 62.83 USD 62.83 USD
2023-12-14 2023-12-15 1.2902 USD (-28.65%) 60.62 USD 62.99 USD
2022-12-14 2022-12-15 1.8082 USD (-86.00%) 53.55 USD 56.85 USD
2021-12-16 2021-12-17 12.9200 USD (231.28%) 76.88 USD 84.15 USD
2020-12-16 2020-12-17 3.9000 USD (393.67%) 71.64 USD 90.77 USD
2019-12-17 2019-12-18 0.7900 USD (-77.03%) 51.62 USD 68.33 USD
2018-12-17 2018-12-18 3.4400 USD (39.27%) 41.43 USD 55.48 USD
2017-12-18 2017-12-19 2.4700 USD (102.46%) 50.24 USD 71.41 USD
2016-12-16 2016-12-19 1.2200 USD (2340%) 36.13 USD 53.18 USD
2016-06-28 2016-06-29 0.0500 USD (-98.15%) 34.73 USD 52.31 USD
2015-12-16 2015-12-17 2.7000 USD (-29.50%) 35.79 USD 53.95 USD
2014-12-16 2014-12-17 3.8300 USD (148.70%) 32.56 USD 51.58 USD
2013-12-17 2013-12-18 1.5400 USD (71.11%) 32.70 USD 55.74 USD
2012-12-18 2012-12-19 0.9000 USD (136.84%) 26.29 USD 46.10 USD
2011-12-16 2011-12-19 0.3800 USD (1800%) 20.86 USD 37.31 USD
2011-06-28 2011-06-29 0.0200 USD (-96.67%) 25.47 USD 46.02 USD
2010-12-16 2010-12-17 0.6000 USD (11.11%) 24.28 USD 43.90 USD
2009-12-16 2009-12-17 0.5400 USD (45.95%) 20.16 USD 36.95 USD
2008-12-16 2008-12-17 0.3700 USD (-94.12%) 12.95 USD 24.08 USD
2007-12-18 2007-12-19 6.2900 USD (20.50%) 25.84 USD 48.82 USD
2006-12-19 2006-12-20 5.2200 USD (1350%) 22.14 USD 47.48 USD
2005-12-13 2005-12-14 0.3600 USD (800%) 17.35 USD 41.36 USD
2004-12-14 2004-12-15 0.0400 USD (-71.43%) 13.57 USD 32.63 USD
2003-12-17 2003-12-18 0.1400 USD (636.84%) 10.96 USD 26.40 USD
2003-02-28 0.0190 USD (-9.52%) 6.43 USD 15.57 USD
2003-01-31 0.0210 USD 6.60 USD 16.00 USD
2002-11-29 0.0210 USD (-8.70%) 6.61 USD 16.05 USD
2002-05-31 0.0230 USD (15%) 7.90 USD 19.19 USD
2002-04-30 0.0200 USD (-99.66%) 7.70 USD 18.73 USD
2000-12-13 2000-12-14 5.8300 USD (107.47%) 10.45 USD 25.45 USD
1999-12-15 1999-12-16 2.8100 USD (806.45%) 12.40 USD 36.77 USD
1998-12-16 1998-12-17 0.3100 USD (24%) 4.87 USD 15.65 USD
1997-12-29 1997-12-29 0.2500 USD (92.31%) 4.59 USD 15.05 USD
1996-12-27 1996-12-30 0.1300 USD (8.33%) 4.87 USD 16.22 USD
1995-12-27 1995-12-28 0.1200 USD (-87.10%) 4.27 USD 14.36 USD
1994-12-28 1994-12-29 0.9300 USD (933.33%) 4.47 USD 15.14 USD
1993-12-22 1993-12-31 0.0900 USD (-30.77%) 4.84 USD 17.41 USD
1992-12-23 1993-01-04 0.1300 USD 3.23 USD 11.68 USD
1991-12-24 0.1300 USD (-53.57%) 3.52 USD 12.88 USD
1990-12-21 0.2800 USD (-33.33%) 3.19 USD 11.78 USD
1990-01-25 0.4200 USD (110%) 3.72 USD 14.08 USD
1989-12-22 0.2000 USD 3.58 USD 13.94 USD

PRIDX

Price: $85.22

52 week price:
71.71
85.91

Dividend Yield: 4.34%

5-year range yield:
2.13%
16.81%

Forward Dividend Yield: 4.33%

Dividend Per Share: 3.67 USD

Earnings Per Share: 3.92 USD

P/E Ratio: 20.12

Exchange: NAS

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 6.7 billion

Average Dividend Frequency: 1

Years Paying Dividends: 24

DGR3: 30.00%

DGR5: 30.00%

DGR10: 30.00%

DGR20: 30.00%

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