The Trustees of The Putnam Funds declared the following distributions.
| RECORD | PAYMENT | ||||
FUND NAME AND DISTRIBUTIONS | DATE | DATE | ||||
|
|
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Putnam Diversified Income Trust - Class B Shares (PSIBX) |
| |||||
$0.0190 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
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Putnam Diversified Income Trust - Class C Shares (PDVCX) |
|
| ||||
$0.0190 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Diversified Income Trust - Class M Shares (PDVMX) |
|
| ||||
$0.0220 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
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Putnam Diversified Income Trust - Class R Shares (PDVRX) |
|
| ||||
$0.0220 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Diversified Income Trust - Class Y Shares (PDVYX) |
|
| ||||
$0.0240 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
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Putnam Diversified Income Trust - Class R6 Shares (PDVGX) |
|
| ||||
$0.0250 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
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Putnam Dynamic Asset Allocation Conservative Fund - Class B Shares (PACBX) |
|
| ||||
$0.0130 per share investment income | 1/16/20 | 1/21/20 | ||||
|
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Putnam Dynamic Asset Allocation Conservative Fund - Class C Shares (PACCX) |
|
| ||||
$0.0130 per share investment income | 1/16/20 | 1/21/20 | ||||
|
| |||||
Putnam Dynamic Asset Allocation Conservative Fund - Class R Shares (PACRX) |
|
| ||||
$0.0170 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Dynamic Asset Allocation Conservative Fund - Class Y Shares (PACYX) |
|
| ||||
$0.0210 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Dynamic Asset Allocation Conservative Fund - Class R5 Shares (PACDX) |
|
| ||||
$0.0220 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Dynamic Asset Allocation Conservative Fund - Class R6 Shares (PCCEX) |
|
| ||||
$0.0220 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Dynamic Asset Allocation Conservative Fund - Class P Shares (a) |
|
| ||||
$0.0230 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Fixed Income Absolute Return Fund – Class B Shares (PTRBX) |
|
| ||||
$0.0290 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Fixed Income Absolute Return Fund – Class C Shares (PTRGX) |
|
| ||||
$0.0250 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Fixed Income Absolute Return Fund – Class R Shares (PTRKX) |
|
| ||||
$0.0290 per share investment income | 1/16/20 | 1/21/20 | ||||
|
|
| ||||
Putnam Fixed Income Absolute Return Fund – Class Y Shares (PYTRX) |
|
| ||||
$0.0330 per share investment income | 1/16/20 | 1/21/20 | ||||
|
|
| ||||
Putnam Fixed Income Absolute Return Fund – Class R6 Shares (PTREX) |
|
| ||||
$0.0330 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Fixed Income Absolute Return Fund – Class P Shares (a) |
|
| ||||
$0.0330 per share investment income | 1/16/20 | 1/21/20 | ||||
|
|
| ||||
Putnam Mortgage Opportunities Fund - Class C Shares (PMOZX) |
|
| ||||
$0.0250 per share investment income | 1/16/20 | 1/21/20 | ||||
|
|
| ||||
Putnam Mortgage Opportunities Fund - Class Y Shares (PMOYX) |
|
| ||||
$0.0330 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Mortgage Opportunities Fund - Class I Shares (PMOTX) |
|
| ||||
$0.0340 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
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Putnam Mortgage Securities Fund - Class B Shares (PGSBX) |
|
| ||||
$0.0410 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
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Putnam Mortgage Securities Fund - Class C Shares (PGVCX) |
|
| ||||
$0.0410 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
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Putnam Mortgage Securities Fund - Class R Shares (PGVRX) |
|
| ||||
$0.0460 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Mortgage Securities Fund - Class Y Shares (PUSYX) |
|
| ||||
$0.0520 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
Putnam Mortgage Securities Fund - Class R6 Shares (POLYX) |
|
| ||||
$0.0530 per share investment income | 1/16/20 | 1/21/20 | ||||
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|
| ||||
(a) Quotron Symbol pending |
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