PUTNAM DYNAMIC ASSET ALLOCATION GROWTH FUND CLASS A SHARES(PAEAX) USD 16.72
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.61%USD 0.27USD0.272022-12-16
202117.06%USD 2.853USD2.8532021-12-16
20200.53%USD 0.089USD0.0892020-12-17
20191.55%USD 0.259USD0.2592019-12-18
20188.68%USD 1.452USD1.4522018-12-18
201710.42%USD 1.742USD1.7422017-12-18
20161.48%USD 0.247USD0.2472016-12-16
20155.77%USD 0.964USD0.9642015-12-17
201416.50%USD 2.758USD2.4152014-12-19
USD0.3432014-12-18
20131.39%USD 0.232USD0.2322013-12-19
20120.96%USD 0.16USD0.162012-12-19
20110.22%USD 0.037USD0.0372011-12-19
20102.81%USD 0.469USD0.452010-12-17
USD0.0192010-04-30
20092.90%USD 0.485USD0.4852009-12-18
20082.34%USD 0.392USD0.3922008-12-19
20072.64%USD 0.442USD0.2972007-12-17
USD0.1452007-12-14
20060.48%USD 0.08USD0.082006-12-11
20050.59%USD 0.099USD0.0992005-12-12
20040.75%USD 0.125USD0.1252004-12-13
20031.17%USD 0.195USD0.1952003-12-15
20021.64%USD 0.274USD0.2352002-12-11
USD0.022002-05-10
USD0.0192002-04-10
20011.78%USD 0.297USD0.2972001-12-12
200017.98%USD 3.006USD2.8162000-12-11
USD0.192000-12-08