PUTNAM EQUITY INCOME FUND CLASS Y SHARES(PEIYX) USD 29.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.37%USD 0.107USD0.1072023-03-08
20227.07%USD 2.063USD1.7532022-12-08
USD0.1072022-09-08
USD0.1022022-06-08
USD0.1012022-03-08
20217.82%USD 2.281USD1.9472021-12-08
USD0.1022021-09-08
USD0.1152021-06-08
USD0.1172021-03-26
20205.60%USD 1.634USD1.2922020-12-28
USD0.1142020-09-28
USD0.1132020-06-26
USD0.1152020-03-26
20193.65%USD 1.065USD0.7622019-12-26
USD0.1152019-09-26
USD0.0942019-06-26
USD0.0942019-03-27
20184.70%USD 1.37USD1.122018-12-26
USD0.0952018-09-26
USD0.07762018-06-27
USD0.07762018-03-27
20172.88%USD 0.84USD0.48752017-12-27
USD0.07562017-09-27
USD0.06862017-06-28
USD0.20792017-03-28
20161.81%USD 0.53USD0.26722016-12-28
USD0.08812016-09-28
USD0.08712016-06-28
USD0.08712016-03-28
20154.01%USD 1.17USD0.91922015-12-28
USD0.08312015-09-29
USD0.08412015-06-29
USD0.08312015-03-27
20147.24%USD 2.112USD1.73952014-12-29
USD0.0932014-12-26
USD0.0942014-09-29
USD0.0932014-06-27
USD0.0922014-03-27
20137.10%USD 2.071USD1.60892013-12-27
USD0.192013-12-26
USD0.0912013-09-27
USD0.0912013-06-27
USD0.092013-03-27
20123.54%USD 1.032USD0.64412012-12-27
USD0.1472012-12-26
USD0.08882012-09-27
USD0.07592012-06-28
USD0.07592012-03-29
20111.15%USD 0.336USD0.11742011-12-29
USD0.07472011-09-29
USD0.07672011-06-29
USD0.06692011-03-29
20100.84%USD 0.246USD0.07872010-12-29
USD0.0562010-09-29
USD0.0562010-06-29
USD0.0552010-03-29
20090.89%USD 0.259USD0.08642009-12-29
USD0.0552009-09-29
USD0.05112009-06-29
USD0.06682009-03-27
20081.10%USD 0.322USD0.08162008-12-22
USD0.00982008-11-26
USD0.07272008-09-29
USD0.07372008-06-27
USD0.08452008-03-25
20076.65%USD 1.942USD0.08452007-12-21
USD1.59862007-11-27
USD0.08652007-09-25
USD0.08652007-06-26
USD0.08552007-03-23
20067.89%USD 2.302USD0.08452006-12-20
USD1.98962006-11-22
USD0.07762006-09-22
USD0.07762006-06-23
USD0.07272006-03-23
20055.66%USD 1.653USD0.07172005-12-21
USD1.37362005-11-22
USD0.07272005-09-23
USD0.07272005-06-23
USD0.06192005-03-22
20040.84%USD 0.246USD0.06192004-12-22
USD0.06192004-09-23
USD0.06092004-06-23
USD0.06092004-03-23
20030.81%USD 0.238USD0.06092003-12-19
USD0.05992003-09-23
USD0.0592003-06-23
USD0.0582003-03-21
20020.81%USD 0.238USD0.0592002-12-21
USD0.0592002-09-21
USD0.05992002-06-21
USD0.05992002-03-21
20011.57%USD 0.457USD0.24472001-12-21
USD0.07072001-09-21
USD0.07072001-06-21
USD0.07072001-03-21
20001.29%USD 0.375USD0.15822000-12-21
USD0.06982000-09-21
USD0.06982000-06-21
USD0.07762000-03-21