PUTNAM DYNAMIC ASSET ALLOCATION BALANCED FUND CLASS Y SHARES(PABYX) USD 14.13
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.45%USD 0.063USD0.0632023-03-16
20226.04%USD 0.853USD0.692022-12-16
USD0.0552022-09-16
USD0.0552022-06-16
USD0.0532022-03-17
202114.01%USD 1.979USD1.8182021-12-16
USD0.0542021-09-16
USD0.0542021-06-17
USD0.0532021-03-18
20202.53%USD 0.357USD0.1492020-12-17
USD0.0522020-09-17
USD0.0782020-06-18
USD0.0782020-03-18
20192.18%USD 0.308USD0.0782019-12-18
USD0.0782019-09-18
USD0.0792019-06-18
USD0.0732019-03-18
20187.33%USD 1.035USD0.82212018-12-18
USD0.0752018-09-18
USD0.0722018-06-18
USD0.0662018-03-16
20176.94%USD 0.98USD0.7892017-12-18
USD0.0662017-09-18
USD0.0632017-06-16
USD0.0622017-03-16
20162.60%USD 0.368USD0.1872016-12-16
USD0.0592016-09-16
USD0.0612016-06-16
USD0.0612016-03-17
201511.42%USD 1.613USD0.8062015-12-17
USD0.622015-09-18
USD0.0622015-09-17
USD0.0632015-06-19
USD0.0622015-03-19
20147.13%USD 1.007USD0.7632014-12-19
USD0.0622014-12-18
USD0.0632014-09-19
USD0.0622014-06-19
USD0.0572014-03-19
20131.58%USD 0.223USD0.0562013-12-19
USD0.0562013-09-19
USD0.0562013-06-19
USD0.0552013-03-19
20121.56%USD 0.22USD0.0552012-12-19
USD0.0552012-09-19
USD0.0552012-06-19
USD0.0552012-03-16
20111.56%USD 0.22USD0.0552011-12-19
USD0.0552011-09-19
USD0.0552011-06-17
USD0.0552011-03-18
20103.55%USD 0.502USD0.2732010-12-17
USD0.07762010-09-17
USD0.07762010-06-18
USD0.07372010-03-19
20094.04%USD 0.571USD0.33992009-12-18
USD0.07162009-09-18
USD0.07072009-06-19
USD0.08882009-03-19
20084.98%USD 0.703USD0.22072008-12-19
USD0.08912008-09-19
USD0.0952008-09-18
USD0.08442008-06-19
USD0.092008-06-18
USD0.062008-03-17
USD0.0642008-03-14
20073.51%USD 0.496USD0.062007-12-17
USD0.0642007-12-14
USD0.062007-09-17
USD0.0642007-09-14
USD0.062007-06-15
USD0.0642007-06-14
USD0.062007-03-13
USD0.0642007-03-12
20062.92%USD 0.413USD0.05912006-12-11
USD0.0632006-12-08
USD0.04692006-09-13
USD0.052006-09-12
USD0.04692006-06-13
USD0.052006-06-12
USD0.04692006-03-13
USD0.052006-03-10
20053.10%USD 0.437USD0.04692005-12-12
USD0.05532005-12-10
USD0.1092005-12-09
USD0.03642005-09-13
USD0.0392005-09-12
USD0.03642005-06-13
USD0.0392005-06-10
USD0.03642005-03-14
USD0.0392005-03-11
20042.09%USD 0.296USD0.03542004-12-13
USD0.0382004-12-10
USD0.03542004-09-13
USD0.0382004-09-10
USD0.03542004-06-15
USD0.0382004-06-14
USD0.03642004-03-15
USD0.0392004-03-12
20033.80%USD 0.537USD0.03542003-12-15
USD0.10822003-12-13
USD0.1542003-12-12
USD0.03542003-09-15
USD0.0382003-09-12
USD0.03542003-06-11
USD0.0382003-06-10
USD0.04482003-03-11
USD0.0482003-03-10
20021.86%USD 0.263USD0.11762002-12-11
USD0.04572002-09-11
USD0.04572002-06-11
USD0.05412002-03-12
20012.24%USD 0.316USD0.1532001-12-12
USD0.05412001-09-11
USD0.05412001-06-12
USD0.0552001-03-13
200012.19%USD 1.723USD1.5562000-12-11
USD0.0562000-09-12
USD0.0552000-06-13
USD0.0562000-03-13