Putnam Dynamic Asset Allocation Balanced(PAADX) USD 14.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.063USD0.0632023-03-16
20225.94%USD 0.843USD0.6812022-12-16
USD0.0552022-09-16
USD0.0552022-06-16
USD0.0522022-03-17
202113.92%USD 1.976USD1.8172021-12-16
USD0.0532021-09-16
USD0.0532021-06-17
USD0.0532021-03-18
20202.51%USD 0.357USD0.1492020-12-17
USD0.0522020-09-17
USD0.0782020-06-18
USD0.0782020-03-18
20192.18%USD 0.309USD0.0782019-12-18
USD0.0792019-09-18
USD0.0782019-06-18
USD0.0742019-03-18
20188.31%USD 1.18USD0.9672018-12-18
USD0.0752018-09-18
USD0.0722018-06-18
USD0.0662018-03-16
20176.87%USD 0.976USD0.792017-12-18
USD0.0662017-09-18
USD0.0572017-06-16
USD0.0632017-03-16
20162.65%USD 0.376USD0.1872016-12-16
USD0.0632016-09-16
USD0.0622016-06-16
USD0.0642016-03-17
20157.00%USD 0.994USD0.8072015-12-17
USD0.0622015-09-18
USD0.0632015-06-19
USD0.0622015-03-19
20147.01%USD 0.996USD0.7642014-12-19
USD0.0632014-12-18
USD0.0612014-09-19
USD0.052014-06-19
USD0.0582014-03-19
20131.61%USD 0.229USD0.0592013-12-19
USD0.0572013-09-19
USD0.0572013-06-19
USD0.0562013-03-19
20120.77%USD 0.11USD0.0562012-12-19
USD0.0542012-09-19