PUTNAM EQUITY INCOME FUND CLASS C SHARES(PEQCX) USD 28.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.13%USD 0.036USD0.0362023-03-08
20226.15%USD 1.766USD1.6812022-12-08
USD0.0352022-09-08
USD0.0242022-06-08
USD0.0262022-03-08
20216.92%USD 1.987USD1.8682021-12-08
USD0.0232021-09-08
USD0.0542021-06-08
USD0.0422021-03-26
20204.83%USD 1.388USD1.2282020-12-28
USD0.0522020-09-28
USD0.0572020-06-26
USD0.0512020-03-26
20192.86%USD 0.821USD0.6992019-12-26
USD0.0522019-09-26
USD0.0342019-06-26
USD0.0362019-03-27
20183.92%USD 1.126USD1.0612018-12-26
USD0.03282018-09-26
USD0.01492018-06-27
USD0.01692018-03-27
20172.15%USD 0.618USD0.42772017-12-27
USD0.01992017-09-27
USD0.01692017-06-28
USD0.15322017-03-28
20161.17%USD 0.335USD0.21672016-12-28
USD0.03762016-09-28
USD0.03862016-06-28
USD0.04252016-03-28
20153.37%USD 0.969USD0.87062015-12-28
USD0.03262015-09-29
USD0.03172015-06-29
USD0.03362015-03-27
20146.47%USD 1.857USD1.68892014-12-29
USD0.0422014-12-26
USD0.04062014-09-29
USD0.04162014-06-27
USD0.04352014-03-27
20136.40%USD 1.838USD1.55922013-12-27
USD0.142013-12-26
USD0.04552013-09-27
USD0.04552013-06-27
USD0.04752013-03-27
20122.89%USD 0.829USD0.60152012-12-27
USD0.1042012-12-26
USD0.04832012-09-27
USD0.03752012-06-28
USD0.03752012-03-29
20110.66%USD 0.19USD0.08282011-12-29
USD0.03932011-09-29
USD0.03742011-06-29
USD0.03052011-03-29
20100.39%USD 0.112USD0.04432010-12-29
USD0.02262010-09-29
USD0.02262010-06-29
USD0.02262010-03-29
20090.50%USD 0.143USD0.0552009-12-29
USD0.02452009-09-29
USD0.02452009-06-29
USD0.03922009-03-27
20080.62%USD 0.178USD0.05592008-12-22
USD0.00982008-11-26
USD0.03532008-09-29
USD0.03232008-06-27
USD0.04512008-03-25
20076.13%USD 1.759USD0.04412007-12-21
USD1.59462007-11-27
USD0.04022007-09-25
USD0.03922007-06-26
USD0.04122007-03-23
20067.41%USD 2.127USD0.04412006-12-20
USD1.98462006-11-22
USD0.03432006-09-22
USD0.03432006-06-23
USD0.02942006-03-23
20055.16%USD 1.482USD0.03232005-12-21
USD1.37012005-11-22
USD0.02842005-09-23
USD0.02942005-06-23
USD0.02162005-03-22
20040.31%USD 0.089USD0.02252004-12-22
USD0.02352004-09-23
USD0.02162004-06-23
USD0.02162004-03-23
20030.39%USD 0.112USD0.02452003-12-19
USD0.02842003-09-23
USD0.02942003-06-23
USD0.02942003-03-21
20020.38%USD 0.108USD0.02942002-12-21
USD0.02842002-09-21
USD0.02452002-06-21
USD0.02552002-03-21
20011.00%USD 0.286USD0.21162001-12-21
USD0.0382001-12-20
USD0.03632001-09-21