PUTNAM INTERNATIONAL VALUE FUND CLASS A SHARES(PNGAX) USD 12.4
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.48%USD 0.183USD0.1832022-12-22
20215.61%USD 0.696USD0.6962021-12-22
20201.68%USD 0.208USD0.2082020-12-23
20193.49%USD 0.433USD0.4332019-12-23
20181.79%USD 0.222USD0.2222018-12-21
20171.09%USD 0.135USD0.1352017-12-21
20161.79%USD 0.222USD0.2222016-12-22
20150.89%USD 0.11USD0.112015-12-23
20141.69%USD 0.209USD0.2092014-12-26
20131.26%USD 0.156USD0.1562013-12-09
20121.02%USD 0.127USD0.1272012-12-26
20113.71%USD 0.46USD0.462011-12-22
20101.07%USD 0.133USD0.1332010-12-22
20090.25%USD 0.031USD0.0312009-12-23
20081.01%USD 0.125USD0.1252008-12-24
200723.10%USD 2.864USD2.572007-12-21
USD0.2942007-12-20
200616.10%USD 1.996USD1.5642006-12-20
USD0.4322006-12-19
20051.30%USD 0.161USD0.1612005-12-21
20040.73%USD 0.091USD0.0882004-12-22
USD0.0032004-03-23
20031.02%USD 0.126USD0.1262003-12-19
20020.78%USD 0.097USD0.0972002-12-23
20010.48%USD 0.06USD0.0152001-12-21
USD0.0152001-09-21
USD0.0152001-06-21
USD0.0152001-03-21
200010.85%USD 1.346USD1.1532000-12-21
USD0.1482000-12-20
USD0.0152000-09-21
USD0.0152000-06-21
USD0.0152000-03-21