Putnam Announces Distribution Rates for Open End Funds
Putnam Announces Distribution Rates for Open End Funds
BOSTON--(BUSINESS WIRE)--The Trustees of The Putnam Funds declared the following distributions.
| Ex Date | Regular Distribution Per Share |
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| Fund | Record Date | Pay Date | Class B | Class C | Class M | Class R | Class Y | Class R5 | Class R6 | Class R3 | Class R4 | |||||||||||
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| Putnam Global Income Trust | 4/27/2022 | 4/29/2022 | PGLBX |
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PGGLX |
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N/A |
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PGBRX |
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PGGYX |
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PGGDX |
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PGGEX |
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N/A |
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N/A |
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| *Investment Income Distribution: | 0.0090 |
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0.0100 |
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N/A |
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0.0150 |
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0.0190 |
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0.0200 |
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0.0210 |
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N/A |
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N/A |
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| Putnam RetirementReady Maturity Fund | 4/27/2022 | 4/29/2022 | PRMLX |
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PRMCX |
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N/A |
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PRMKX |
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PRMYX |
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PACQX |
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PREWX |
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PACKX |
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PACPX |
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| *Investment Income Distribution: | 0.0070 |
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0.0070 |
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N/A |
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0.0120 |
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0.0220 |
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0.0220 |
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0.0230 |
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0.0160 |
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0.0190 |
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Contacts
Putnam Shareholders Contact: 1-800-225-1581