PUTNAM EQUITY INCOME FUND CLASS A SHARES(PEYAX) USD 29.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.31%USD 0.089USD0.0892023-03-08
20226.81%USD 1.987USD1.7342022-12-08
USD0.0892022-09-08
USD0.0822022-06-08
USD0.0822022-03-08
20217.57%USD 2.207USD1.9272021-12-08
USD0.0822021-09-08
USD0.0992021-06-08
USD0.0992021-03-26
20205.39%USD 1.573USD1.2762020-12-28
USD0.0992020-09-28
USD0.0992020-06-26
USD0.0992020-03-26
20193.44%USD 1.003USD0.7462019-12-26
USD0.0992019-09-26
USD0.0792019-06-26
USD0.0792019-03-27
20184.48%USD 1.307USD1.1052018-12-26
USD0.07862018-09-26
USD0.06172018-06-27
USD0.06172018-03-27
20172.77%USD 0.807USD0.49052017-12-27
USD0.06172017-09-27
USD0.06172017-06-28
USD0.1932017-03-28
20161.65%USD 0.48USD0.25432016-12-28
USD0.07522016-09-28
USD0.07522016-06-28
USD0.07522016-03-28
20153.83%USD 1.117USD0.07032015-12-29
USD0.83612015-12-28
USD0.07032015-09-29
USD0.07032015-06-29
USD0.07032015-03-26
20147.01%USD 2.044USD1.72672014-12-29
USD0.082014-12-26
USD0.07922014-09-29
USD0.07922014-06-27
USD0.07922014-03-27
20136.89%USD 2.01USD1.59612013-12-27
USD0.1772013-12-26
USD0.07882013-09-27
USD0.07882013-06-27
USD0.07882013-03-27
20123.35%USD 0.976USD0.63022012-12-27
USD0.1362012-12-26
USD0.07852012-09-27
USD0.06582012-06-28
USD0.06582012-03-29
20111.01%USD 0.296USD0.1082011-12-29
USD0.06562011-09-29
USD0.06562011-06-29
USD0.05682011-03-29
20100.79%USD 0.231USD0.06952010-12-29
USD0.04692010-09-29
USD0.04692010-06-29
USD0.0212010-04-30
USD0.04692010-03-29
20090.78%USD 0.228USD0.07822009-12-29
USD0.04682009-09-29
USD0.04392009-06-29
USD0.05952009-03-27
20080.98%USD 0.285USD0.07412008-12-22
USD0.00982008-11-26
USD0.06342008-09-29
USD0.06342008-06-27
USD0.07412008-03-25
20076.46%USD 1.884USD0.07412007-12-21
USD1.58732007-11-27
USD0.07412007-09-25
USD0.07412007-06-26
USD0.07412007-03-23
20067.69%USD 2.244USD0.07412006-12-20
USD1.97562006-11-22
USD0.06632006-09-22
USD0.06632006-06-23
USD0.06152006-03-23
20055.49%USD 1.6USD0.06152005-12-21
USD1.36382005-11-22
USD0.06152005-09-23
USD0.06152005-06-23
USD0.05172005-03-22
20040.70%USD 0.205USD0.05172004-12-22
USD0.05172004-09-23
USD0.05072004-06-23
USD0.05072004-03-23
20030.70%USD 0.203USD0.05072003-12-19
USD0.05072003-09-23
USD0.05072003-06-23
USD0.05072003-03-21
20020.70%USD 0.203USD0.05072002-12-21
USD0.05072002-09-21
USD0.05072002-06-21
USD0.05072002-03-21
20011.65%USD 0.481USD0.23472001-12-21
USD0.0632001-12-20
USD0.0612001-09-21
USD0.0612001-06-21
USD0.0612001-03-21
20001.38%USD 0.402USD0.14882000-12-21
USD0.0632000-12-20
USD0.0612000-09-21
USD0.0612000-06-21
USD0.06832000-03-21