v3.25.2
Shareholder Report, Holdings (Details)
Jun. 30, 2025
C000186128 | T. Rowe Price New Income Fund  
Holdings [Line Items]  
Percent of Net Asset Value 14.20%
C000186128 | T. Rowe Price Limited Duration Inflation Focused Bond Fund  
Holdings [Line Items]  
Percent of Net Asset Value 11.90%
C000186128 | T. Rowe Price Value Fund  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000186128 | T. Rowe Price Growth Stock Fund  
Holdings [Line Items]  
Percent of Net Asset Value 7.10%
C000186128 | T. Rowe Price International Bond Fund (USD Hedged)  
Holdings [Line Items]  
Percent of Net Asset Value 5.50%
C000186128 | T. Rowe Price Hedged Equity Fund  
Holdings [Line Items]  
Percent of Net Asset Value 5.10%
C000186128 | T. Rowe Price U.S. Large-Cap Core Fund  
Holdings [Line Items]  
Percent of Net Asset Value 5.00%
C000186128 | T. Rowe Price International Value Equity Fund  
Holdings [Line Items]  
Percent of Net Asset Value 4.20%
C000186128 | T. Rowe Price Equity Index 500 Fund  
Holdings [Line Items]  
Percent of Net Asset Value 3.70%
C000186128 | T. Rowe Price Overseas Stock Fund  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000186128 | Domestic Equity Funds  
Holdings [Line Items]  
Percent of Net Asset Value 37.20%
C000186128 | Domestic Bond Funds  
Holdings [Line Items]  
Percent of Net Asset Value 32.20%
C000186128 | International Equity Funds  
Holdings [Line Items]  
Percent of Net Asset Value 13.60%
C000186128 | International Bond Funds  
Holdings [Line Items]  
Percent of Net Asset Value 12.90%
C000186128 | Other Holdings Grouping  
Holdings [Line Items]  
Percent of Net Asset Value 4.10%
C000247283 | T. Rowe Price New Income Fund  
Holdings [Line Items]  
Percent of Net Asset Value 14.20%
C000247283 | T. Rowe Price Limited Duration Inflation Focused Bond Fund  
Holdings [Line Items]  
Percent of Net Asset Value 11.90%
C000247283 | T. Rowe Price Value Fund  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000247283 | T. Rowe Price Growth Stock Fund  
Holdings [Line Items]  
Percent of Net Asset Value 7.10%
C000247283 | T. Rowe Price International Bond Fund (USD Hedged)  
Holdings [Line Items]  
Percent of Net Asset Value 5.50%
C000247283 | T. Rowe Price Hedged Equity Fund  
Holdings [Line Items]  
Percent of Net Asset Value 5.10%
C000247283 | T. Rowe Price U.S. Large-Cap Core Fund  
Holdings [Line Items]  
Percent of Net Asset Value 5.00%
C000247283 | T. Rowe Price International Value Equity Fund  
Holdings [Line Items]  
Percent of Net Asset Value 4.20%
C000247283 | T. Rowe Price Equity Index 500 Fund  
Holdings [Line Items]  
Percent of Net Asset Value 3.70%
C000247283 | T. Rowe Price Overseas Stock Fund  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000247283 | Domestic Equity Funds  
Holdings [Line Items]  
Percent of Net Asset Value 37.20%
C000247283 | Domestic Bond Funds  
Holdings [Line Items]  
Percent of Net Asset Value 32.20%
C000247283 | International Equity Funds  
Holdings [Line Items]  
Percent of Net Asset Value 13.60%
C000247283 | International Bond Funds  
Holdings [Line Items]  
Percent of Net Asset Value 12.90%
C000247283 | Other Holdings Grouping  
Holdings [Line Items]  
Percent of Net Asset Value 4.10%