PUTNAM DYNAMIC ASSET ALLOCATION GROWTH FUND CLASS Y SHARES(PAGYX) USD 16.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.84%USD 0.312USD0.3122022-12-16
202117.12%USD 2.905USD2.9052021-12-16
20200.77%USD 0.131USD0.1312020-12-17
20191.76%USD 0.298USD0.2982019-12-18
20188.82%USD 1.497USD1.4972018-12-18
201710.54%USD 1.789USD1.7892017-12-18
20161.60%USD 0.272USD0.2722016-12-16
20155.95%USD 1.009USD1.0092015-12-17
201416.81%USD 2.852USD2.4622014-12-19
USD0.392014-12-18
20131.56%USD 0.264USD0.2642013-12-19
20121.14%USD 0.194USD0.1942012-12-19
20110.41%USD 0.07USD0.072011-12-19
20102.94%USD 0.499USD0.482010-12-17
USD0.0192010-04-30
20093.01%USD 0.51USD0.512009-12-18
20082.51%USD 0.426USD0.4262008-12-19
20073.01%USD 0.51USD0.3312007-12-17
USD0.1792007-12-14
20060.63%USD 0.107USD0.1072006-12-11
20050.74%USD 0.125USD0.1252005-12-12
20040.90%USD 0.152USD0.1522004-12-13
20031.30%USD 0.22USD0.222003-12-15
20021.53%USD 0.259USD0.2592002-12-11
20011.90%USD 0.322USD0.3222001-12-12