TICCX
T. Rowe Price Corporate Income Fund, Inc.
T. ROWE PRICE CORPORATE INCOME FUND, INC.

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
266
Top-10 weight
17.07%
Effective holdings ?
133
Crowding ?
115.3

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 T Rowe Price Government Reserve Investment Fund TRPGRIA 11,042,466 $11.04M 3.71%
2 US TREASURY N/B 7,040,000 $7.17M 2.41%
3 TREASURY RESERVE FUND - Collateral 6,480,250 $6.48M 2.18%
4 CITIGROUP INC 6,105,000 $6.08M 2.05%
5 GOLDMAN SACHS GP 4,190,000 $3.85M 1.29%
6 AT&T INC 5,501,000 $3.74M 1.26%
7 Orange SA 3,675,000 $3.69M 1.24%
8 MORGAN STANLEY 3,635,000 $3.67M 1.23%
9 US TREASURY N/B 3,415,000 $3.61M 1.21%
10 DIAMONDBACK ENER 3,560,000 $3.47M 1.17%
11 CVS HEALTH CORP 3,450,000 $3.08M 1.03%
12 YARA INTERNATIONAL ASA SR UNSECURED 144A 11/32 7.378 2,640,000 $3.02M 1.02%
13 META PLATFORMS 3,095,000 $3.01M 1.01%
14 Sonic Capital LLC, Series 2020-1A, Class A2I 2,995,650 $2.97M 1.00%
15 State of Kuwait KUWIB 2,900,000 $2.91M 0.98%
16 T-MOBILE USA INC 2,786,000 $2.87M 0.97%
17 BANK OF AMER CRP 2,695,000 $2.82M 0.95%
18 DP WORLD LTD/UNITED ARAB EMIRATES 2,750,000 $2.81M 0.94%
19 US TREASURY N/B 2,415,000 $2.41M 0.81%
20 AFRICA FINANCE CORP SR UNSECURED 144A 10/29 5.55 AFRFIN 2,335,000 $2.40M 0.81%
21 ABBVIE INC 2,370,000 $2.33M 0.78%
22 OCCIDENTAL PETE 2,260,000 $2.25M 0.76%
23 BROADCOM INC 2,430,000 $2.25M 0.76%
24 BOEING CO/THE 2,000,000 $2.24M 0.75%
25 WELLS FARGO CO 2,085,000 $2.19M 0.74%
26 HBRLN 6.327 04/01/35 144A HBRLN 2,095,000 $2.18M 0.73%
27 JPMORGAN CHASE 2,050,000 $2.16M 0.73%
28 VERIZON COMM INC 2,145,000 $2.16M 0.72%
29 JACKSON NATL LIFE GLOBAL SECURED 144A 01/30 5.35 2,080,000 $2.15M 0.72%
30 SBA TOWER TRUST REGD 144A P/P 4.83100000 SBAC 2,085,000 $2.11M 0.71%
31 NATL AUSTRALIABK 2,235,000 $2.08M 0.70%
32 ATHENE GLOBAL FUNDING SECURED 144A 07/31 5.526 ATH 2,035,000 $2.07M 0.70%
33 CADENCE DESIGN 2,028,000 $2.04M 0.69%
34 MARS INC 1,980,000 $2.01M 0.68%
35 SUTTER HEALTH 1,880,000 $2.00M 0.67%
36 FIRST AMERICAN 1,942,000 $1.95M 0.66%
37 UNITEDHEALTH GRP 1,960,000 $1.95M 0.66%
38 STC SUKUK CO II LTD SR UNSECURED 144A 01/31 4.489 STCAB 1,900,000 $1.91M 0.64%
39 Standard Chartered PLC 4.30 01/13/2030 STANLN 1,890,000 $1.90M 0.64%
40 Vistra Operations Co. LLC 1,625,000 $1.82M 0.61%
41 JPM V6.254 10/23/34 JPM 1,650,000 $1.81M 0.61%
42 SAUDI INT BOND KSA 1,780,000 $1.78M 0.60%
43 HEALTH CARE SERVICE CORP SR UNSECURED 144A 06/30 2.2 HCSERV 1,933,000 $1.78M 0.60%
44 BAT CAPITAL CORP 1,700,000 $1.77M 0.59%
45 MOTOROLA SOLUTIO 1,670,000 $1.76M 0.59%
46 HEALTHCARE RLTY 1,835,000 $1.76M 0.59%
47 ENEL FIN INTL NV 1,690,000 $1.74M 0.58%
48 T-MOBILE USA INC 1,720,000 $1.73M 0.58%
49 PFIZER INC 1,685,000 $1.70M 0.57%
50 Vistra Operations Co. LLC 1,632,000 $1.69M 0.57%
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