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Share Buybacks

The latest quarterly buybacks is $-333.50 Million with a quarter-over-quarter change of -139.76%. Share buybacks (stock repurchases) represent cash spent by the company to buy back its own shares in the open market, reducing shares outstanding and returning capital to shareholders.

Buybacks

TROW Buybacks

$-333.50M

Reported quarterly buybacks; no daily interpolation.

-538.89% 5Y

Current Buybacks

$-333.50M

$-333.50 Million

Quarter-over-Quarter Change

-139.76%

vs. $-139.10M prior quarter

Historical Data

96

Quarters of data available

Quarterly Buybacks History

PeriodBuybacksQoQ Change% Change
Q1 2026$-333.50M$-194.40M-139.76%
Q4 2025$-139.10M+$14.40M+9.38%
Q3 2025$-153.50M$-40.40M-35.72%
Q2 2025$-113.10M+$102.10M+47.44%
Q1 2025$-215.20M$-113.80M-112.23%
Q4 2024$-101.40M$-27.80M-37.77%
Q3 2024$-73.60M+$38.80M+34.52%
Q2 2024$-112.40M$-29.30M-35.26%
Q1 2024$-83.10M+$48.10M+36.66%
Q4 2023$-131.20M$-40.40M-44.49%
Q3 2023$-90.80M$-48.60M-115.17%
Q2 2023$-42.20M$-34.00M-414.63%
Q1 2023$-8.20M+$113.70M+93.27%
Q4 2022$-121.90M+$95.60M+43.95%
Q3 2022$-217.50M$-27.20M-14.29%
Q2 2022$-190.30M+$129.80M+40.55%
Q1 2022$-320.10M+$325.30M+50.40%
Q4 2021$-645.40M$-463.70M-255.20%
Q3 2021$-181.70M$-129.50M-248.08%
Q2 2021$-52.20M+$207.00M+79.86%
Q1 2021$-259.20M$-215.80M-497.24%
Q4 2020$-43.40M+$88.00M+66.97%
Q3 2020$-131.40M+$4.40M+3.24%
Q2 2020$-135.80M+$755.50M+84.76%
Q1 2020$-891.30M$-761.50M-586.67%
Q4 2019$-129.80M+$43.40M+25.06%
Q3 2019$-173.20M$-1.40M-0.81%
Q2 2019$-171.80M+$59.20M+25.63%
Q1 2019$-231.00M+$316.40M+57.80%
Q4 2018$-547.40M$-454.70M-490.51%
Q3 2018$-92.70M+$66.30M+41.70%
Q2 2018$-159.00M+$132.30M+45.42%
Q1 2018$-291.30M$-289.90M-20707.14%
Q4 2017$-1.40M+$8.40M+85.71%
Q3 2017$-9.80M+$131.00M+93.04%
Q2 2017$-140.80M+$165.30M+54.00%
Q1 2017$-306.10M$-154.90M-102.45%
Q4 2016$-151.20M+$130.50M+46.33%
Q3 2016$-281.70M$-244.40M-655.23%
Q2 2016$-37.30M+$169.40M+81.95%
Q1 2016$-206.70M$-39.60M-23.70%
Q4 2015$-167.10M+$299.80M+64.21%
Q3 2015$-466.90M$-226.70M-94.38%
Q2 2015$-240.20M$-126.60M-111.44%
Q1 2015$-113.60M+$18.20M+13.81%
Q4 2014$-131.80M+$95.00M+41.89%
Q3 2014$-226.80M$-201.20M-785.94%
Q2 2014$-25.60M+$5.70M+18.21%
Q1 2014$-31.30M+$89.80M+74.15%
Q4 2013$-121.10M$-107.00M-758.87%
Q3 2013$-14.10M$-14.10M
Q2 2013$0+$0
Q1 2013$0+$344.50M+100.00%
Q4 2012$-344.50M$-338.50M-5641.67%
Q3 2012$-6.00M+$123.20M+95.36%
Q2 2012$-129.20M$-129.20M
Q1 2012$0+$18.10M+100.00%
Q4 2011$-18.10M+$208.20M+92.00%
Q3 2011$-226.30M$-22.30M-10.93%
Q2 2011$-204.00M$-172.70M-551.76%
Q1 2011$-31.30M$-31.30M
Q4 2010$0+$85.50M+100.00%
Q3 2010$-85.50M+$36.30M+29.80%
Q2 2010$-121.80M$-89.10M-272.48%
Q1 2010$-32.70M$-20.60M-170.25%
Q4 2009$-12.10M$-12.10M
Q3 2009$0+$8.00M+100.00%
Q2 2009$-8.00M+$42.90M+84.28%
Q1 2009$-50.90M+$103.80M+67.10%
Q4 2008$-154.70M$-64.90M-72.27%
Q3 2008$-89.80M$-15.00M-20.05%
Q2 2008$-74.80M+$220.10M+74.64%
Q1 2008$-294.90M$-147.20M-99.66%
Q4 2007$-147.70M+$9.10M+5.80%
Q3 2007$-156.80M$-80.80M-106.32%
Q2 2007$-76.00M$-52.80M-227.59%
Q1 2007$-23.20M$-23.17M-72400.00%
Q4 2006$-32,000+$45.97M+99.93%
Q3 2006$-46.00M+$79.00M+63.20%
Q2 2006$-125.00M$-125.00M
Q1 2006$0+$0
Q4 2005$0+$0
Q3 2005$0+$39.15M+100.00%
Q2 2005$-39.15M$-2.44M-6.66%
Q1 2005$-36.70M$-36.70M
Q4 2004$0+$18.33M+100.00%
Q3 2004$-18.33M$-18.33M
Q2 2004$0+$0
Q1 2004$0+$1,000+100.00%
Q4 2003$-1,000$-1,000
Q3 2003$0$-1,000-100.00%
Q2 2003$1,000+$19.96M+100.01%
Q1 2003$-19.96M$-16.11M-417.58%
Q4 2002$-3.86M+$10.99M+74.02%
Q3 2002$-14.85M+$62.22M+80.74%
Q2 2002$-77.07M
Data as of Thursday, June 25, 2026

About T. Rowe Price Group, Inc.

T. Rowe Price Group, Inc. operates as a publicly traded entity specializing in investment management. The firm extends its financial expertise to a diverse range of clients, including individual investors, institutional organizations, retirement benefit plans, and financial intermediaries. It is responsible for the establishment and ongoing management of both equity and fixed income mutual funds. The company's investment activities encompass public stock and bond markets worldwide. Employing a bottom-up methodology, the firm integrates both fundamental and quantitative analysis, leveraging insights from both internal research capabilities and external sources for its investment decisions. A core tenet of its investment philosophy is socially responsible investing, with a significant emphasis on environmental, social, and governance (ESG) factors. Furthermore, T. Rowe Price engages in late-stage venture capital transactions, typically committing between $3 million and $5 million per investment. Historically, the firm was known as T. Rowe Group, Inc. and T. Rowe Price Associates, Inc. Established in 1937, its global headquarters are situated in Baltimore, Maryland. The firm maintains a substantial international presence, with additional offices in Colorado Springs, Colorado; Owings Mills, Maryland; San Francisco, California; New York, New York; Philadelphia, Pennsylvania; Tampa, Florida; Toronto, Ontario; Hellerup, Denmark; Amsterdam, The Netherlands; Luxembourg, Grand Duchy of Luxembourg; Zurich, Switzerland; Dubai, United Arab Emirates; London, United Kingdom; Sydney, New South Wales; Hong Kong; Tokyo, Japan; Singapore; Frankfurt, Germany; Madrid, Spain; Milan, Italy; Stockholm, Sweden; Melbourne, Australia; and Amsterdam, Netherlands.

Baltimore, MD
8,084 employees
Financial Services / Asset Management
Sector
Financial Services
Industry
Asset Management
CEO
Robert W. Sharps