BOSTON--(BUSINESS WIRE)--The Trustees of The Putnam Funds declare the following distributions today.
|
RECORD |
PAYMENT |
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|
FUND NAME AND DISTRIBUTIONS |
DATE |
DATE |
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|
Putnam Retirement Ready Maturity Fund-Class B Shares(a) |
10/28/09 | 10/30/09 | ||||
| $ 0.0020 per share investment income | ||||||
|
Putnam Retirement Ready Maturity Fund-Class C Shares(a) |
10/28/09 | 10/30/09 | ||||
| $ 0.0010 per share investment income | ||||||
|
Putnam Retirement Ready Maturity Fund-Class M Shares(a) |
10/28/09 | 10/30/09 | ||||
| $ 0.0050 per share investment income | ||||||
|
Putnam Retirement Ready Maturity Fund-Class R Shares(a) |
10/28/09 | 10/30/09 | ||||
| $ 0.0090 per share investment income | ||||||
|
Putnam Retirement Ready Maturity Fund-Class Y Shares (PRMYX) |
10/28/09 | 10/30/09 | ||||
| $ 0.0150 per share investment income |
(a) Quotron Symbol pending
Putnam Investments
Shareholders, 1-800-225-1581
or
Media Contact:
Jennifer Santos, 617-760-8582
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