PUTNAM CONVERTIBLE SECURITIES FUND CLASS R SHARES(PCVRX) USD 21.76
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.14%USD 0.031USD0.0312023-03-08
20221.74%USD 0.379USD0.3172022-12-08
USD0.032022-09-08
USD0.0172022-06-08
USD0.0152022-03-08
202132.48%USD 7.068USD7.0312021-12-08
USD0.012021-09-08
USD0.0152021-06-08
USD0.0122021-03-26
202016.91%USD 3.68USD3.4622020-12-28
USD0.0692020-09-28
USD0.0752020-06-26
USD0.0742020-03-26
20198.56%USD 1.862USD1.5762019-12-26
USD0.0772019-09-26
USD0.1042019-06-26
USD0.1052019-03-27
201813.55%USD 2.949USD2.6352018-12-26
USD0.1052018-09-26
USD0.1042018-06-27
USD0.1052018-03-27
20174.32%USD 0.941USD0.6252017-12-27
USD0.1052017-09-27
USD0.1032017-06-28
USD0.1082017-03-28
20161.95%USD 0.425USD0.1042016-12-28
USD0.1062016-09-28
USD0.1072016-06-28
USD0.1082016-03-28
20155.87%USD 1.277USD0.9512015-12-28
USD0.1022015-09-29
USD0.1112015-06-29
USD0.1132015-03-27
20147.67%USD 1.668USD1.1612014-12-29
USD0.1262014-12-26
USD0.1272014-09-29
USD0.1262014-06-27
USD0.1282014-03-27
20132.36%USD 0.513USD0.1272013-12-27
USD0.1282013-09-27
USD0.1292013-06-27
USD0.1292013-03-27
20122.54%USD 0.552USD0.1632012-12-27
USD0.12882012-09-27
USD0.13082012-06-28
USD0.12982012-03-29
20112.38%USD 0.518USD0.13082011-12-29
USD0.12982011-09-29
USD0.12882011-06-29
USD0.12882011-03-29
20102.40%USD 0.521USD0.12982010-12-29
USD0.13082010-09-29
USD0.13082010-06-29
USD0.12982010-03-29
20092.45%USD 0.532USD0.13182009-12-29
USD0.13182009-09-29
USD0.13382009-06-29
USD0.13482009-03-27
20082.23%USD 0.484USD0.12382008-12-29
USD0.12082008-09-29
USD0.11982008-06-27
USD0.11982008-03-25
20072.24%USD 0.488USD0.12482007-12-21
USD0.11982007-09-25
USD0.11982007-06-26
USD0.12382007-03-23
20062.32%USD 0.504USD0.12082006-12-20
USD0.12282006-09-22
USD0.12382006-06-23
USD0.13682006-03-23
20051.68%USD 0.366USD0.12082005-12-21
USD0.12282005-09-23
USD0.12282005-06-23