PUTNAM DYNAMIC ASSET ALLOCATION BALANCED FUND CLASS R SHARES(PAARX) USD 13.94
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.046USD0.0462023-03-16
20225.60%USD 0.78USD0.6732022-12-16
USD0.0372022-09-16
USD0.0372022-06-16
USD0.0332022-03-17
202113.56%USD 1.89USD1.7952021-12-16
USD0.0312021-09-16
USD0.0322021-06-17
USD0.0322021-03-18
20201.99%USD 0.278USD0.1272020-12-17
USD0.0322020-09-17
USD0.062020-06-18
USD0.0592020-03-18
20191.69%USD 0.236USD0.062019-12-18
USD0.0592019-09-18
USD0.062019-06-18
USD0.0572019-03-18
20187.92%USD 1.104USD0.9492018-12-18
USD0.0552018-09-18
USD0.0532018-06-18
USD0.0472018-03-16
20176.50%USD 0.906USD0.7692017-12-18
USD0.0482017-09-18
USD0.0442017-06-16
USD0.0452017-03-16
20162.22%USD 0.309USD0.172016-12-16
USD0.0472016-09-16
USD0.0462016-06-16
USD0.0462016-03-17
20156.54%USD 0.911USD0.7912015-12-17
USD0.032015-09-18
USD0.0452015-06-19
USD0.0452015-03-19
20146.56%USD 0.915USD0.7442014-12-19
USD0.0432014-12-18
USD0.0442014-09-19
USD0.0442014-06-19
USD0.042014-03-19
20131.13%USD 0.158USD0.0392013-12-19
USD0.042013-09-19
USD0.0392013-06-19
USD0.042013-03-19
20121.18%USD 0.164USD0.0412012-12-19
USD0.0412012-09-19
USD0.0412012-06-19
USD0.0412012-03-16
20111.18%USD 0.165USD0.0422011-12-19
USD0.0412011-09-19
USD0.0412011-06-17
USD0.0412011-03-18
20103.42%USD 0.477USD0.262010-12-17
USD0.06582010-09-17
USD0.06582010-06-18
USD0.0232010-04-30
USD0.06192010-03-19
20093.80%USD 0.53USD0.3282009-12-18
USD0.06112009-09-18
USD0.06112009-06-19
USD0.07932009-03-19
20084.40%USD 0.613USD0.21012008-12-19
USD0.07782008-09-19
USD0.0832008-09-18
USD0.07122008-06-19
USD0.0762008-06-18
USD0.04592008-03-17
USD0.0492008-03-14
20072.39%USD 0.333USD0.04592007-12-17
USD0.0492007-12-14
USD0.02532007-09-17
USD0.0272007-09-14
USD0.0452007-06-15
USD0.0482007-06-14
USD0.0452007-03-13
USD0.0482007-03-12
20062.20%USD 0.306USD0.04592006-12-11
USD0.0492006-12-08
USD0.03372006-09-13
USD0.0362006-09-12
USD0.03562006-06-13
USD0.0382006-06-12
USD0.03282006-03-13
USD0.0352006-03-10
20052.46%USD 0.343USD0.03472005-12-12
USD0.05532005-12-10
USD0.0962005-12-09
USD0.02422005-09-13
USD0.0262005-09-12
USD0.02522005-06-13
USD0.0272005-06-10
USD0.02612005-03-14
USD0.0282005-03-11
20041.64%USD 0.228USD0.0282004-12-13
USD0.032004-12-10
USD0.03082004-09-13
USD0.0332004-09-10
USD0.02522004-06-15
USD0.0272004-06-14
USD0.02612004-03-15
USD0.0282004-03-12
20032.36%USD 0.329USD0.0282003-12-15
USD0.10822003-12-13
USD0.1462003-12-12
USD0.02242003-09-15
USD0.0242003-09-12