PUTNAM MULTI-CAP VALUE FUND CLASS A SHARES(PMVAX) USD 16.27
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202122.88%USD 3.723USD3.7232021-12-06
202015.51%USD 2.524USD2.5242020-12-04
20192.97%USD 0.484USD0.4842019-12-05
201827.46%USD 4.467USD4.4672018-12-06
20175.49%USD 0.893USD0.8932017-12-06
20162.60%USD 0.423USD0.4232016-12-07
20159.88%USD 1.608USD1.4182015-12-08
USD0.192015-12-07
201411.51%USD 1.873USD1.7452014-12-08
USD0.1282014-12-05
20130.63%USD 0.103USD0.1032013-12-09
20121.29%USD 0.21USD0.212012-12-07
20110.32%USD 0.052USD0.0522011-12-07
20100.01%USD 0.002USD0.0022010-12-07
20090.09%USD 0.014USD0.0142009-12-07
20080.17%USD 0.028USD0.0282008-12-04
200715.61%USD 2.54USD2.4792007-12-06
USD0.0612007-12-05
200612.75%USD 2.075USD1.8352006-12-05
USD0.242006-12-04
200510.58%USD 1.721USD1.7092005-12-06
USD0.0122005-12-05
20041.19%USD 0.194USD0.1932004-12-07
USD0.0012004-12-06
20030.08%USD 0.013USD0.0132003-12-08
20020.89%USD 0.145USD0.0252002-12-23
USD0.0252002-09-21
USD0.0252002-06-21
USD0.0132002-05-10
USD0.0212002-04-30
USD0.0112002-04-10
USD0.0252002-03-21
20010.81%USD 0.132USD0.0572001-12-21
USD0.0252001-12-20
USD0.0252001-09-21
USD0.0252001-06-21