T. Rowe Price Value ETF

TVAL
ETF Ticker

+22.32%

+28.20%

NYSE Arca Exchange

Equity

United States

Factor

ETF Strategy Fund Grade A

The T. Rowe Price Value ETF, TVAL_US, is an actively managed strategy providing exposure to United States, Factor Equity. It is listed on the NYSE Arca Exchange and has assets under management of $1,040.0m (as of Aug 31, 2026). The ETF trades in USD and was listed on the exchange on Jun 14, 2023. It has a net expense ratio of 33bps. (All data in USD as of Sep 11, 2026 unless stated.)

The investment process governing the actively managed T. Rowe Price Value ETF seeks long-term capital growth by investing primarily in US equity securities using a fundamental value approach. The strategy typically holds a diversified portfolio of large-capitalisation companies, with flexibility to own mid-cap names, and focuses on businesses that appear undervalued on measures such as price-to-earnings, price-to-book, price-to-cash-flow, dividend yield and estimates of intrinsic value relative to underlying fundamentals. Research analysts and portfolio managers conduct bottom-up company assessments, evaluating competitive position, management quality, balance sheet strength, cash-flow durability and capital-allocation discipline, while incorporating scenario analysis around revenues, margins and reinvestment opportunities. Portfolio construction emphasises stock-specific ideas over sector or factor bets, with position sizes reflecting conviction, liquidity and risk contribution within diversification guidelines. Sell and trim decisions are driven by valuation normalisation, a weakening investment thesis, deteriorating fundamentals or better risk-adjusted opportunities elsewhere in the universe.

ETF Details

Key Facts

Issuer:
T. Rowe Price
AUM:
$1,040.0m (as of Aug 31, 2026)
Net Expense Ratio:
33 bps
Inception Date:
Jun 14, 2023
Index:
Actively managed strategy
Dividend Frequency:
N/A

Trading

Ticker:
TVAL
Exchange:
NYSE Arca Exchange
ISIN:
US87283Q8592
Trading Currency:
USD
Domicile:
United States

Classification & Risk

Asset Class:
Equity
Asset Region:
United States
Theme:
Factor
Economic Development:
Developed Markets
1 Year Volatility:
10.88%
3 Year Volatility:
12.48%
5 Year Volatility:
N/A

Performance

TTM Dividend Yield:
1.19% (verify with issuer)
1 Month Performance:
-0.74%
3 Month Performance:
5.38%
6 Month Performance:
17.42%
1 Year Performance:
28.20%
3 Year Performance:
73.91%
5 Year Performance:
N/A
Investment Proposition

T. Rowe Price Value ETF (TVAL) provides actively managed exposure to U.S. companies the team views as undervalued relative to their long-term prospects. The strategy seeks capital appreciation by emphasizing durable business models and assets that appear under-recognized, including firms temporarily out of favor, while maintaining broad industry diversification and risk awareness. Portfolio construction reflects a patient value philosophy, grounded in fundamental research and supported by a longstanding, collaborative analyst culture known for bottom-up security selection and disciplined valuation work. Key characteristics can include a tilt toward cash-flow resilience, balance-sheet quality, and self-help catalysts, with cyclical sensitivity moderated by business durability and valuation discipline. The fund may lag in momentum-led markets favoring richly valued growth but can benefit when the market rewards earnings sustainability and mean reversion. Potential portfolio roles include a large-cap value sleeve, a core equity diversifier to growth-heavy allocations, and a fundamental complement within factor-completion frameworks. Suitable users include allocators pursuing style balance across the U.S. equity core and fundamental stock pickers seeking value exposure within a rules-aware, diversified wrapper. A key risk to monitor is value-style cyclicality, which can produce extended relative performance stretches.

ETF Analytics

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