SOURCE: Putnam Investments

Putnam Investments

February 21, 2014 15:01 ET

Putnam Announces Distribution Rates for Open End Funds

BOSTON, MA--(Marketwired - Feb 21, 2014) - The Trustees of The Putnam Funds declared the following distributions.

    RECORD/   PAYMENT
FUND NAME AND DISTRIBUTIONS   EX DATE   DATE
         
Putnam Emerging Markets Income Fund - Class B Shares (PEMHX)        
$0.0320 per share investments income   2/21/2014   2/25/2014
         
Putnam Emerging Markets Income Fund - Class C Shares (PEMJX)        
$0.0300 per share investments income   2/21/2014   2/25/2014
         
Putnam Emerging Markets Income Fund - Class M Shares (PEMKX)        
$0.0340 per share investments income   2/21/2014   2/25/2014
         
Putnam Emerging Markets Income Fund - Class Y Shares (PEMOX)        
$0.0380 per share investments income   2/21/2014   2/25/2014
         
Putnam High Yield Trust - Class B Shares (PHBBX)        
$0.0300 per share investment income   2/21/2014   2/25/2014
         
Putnam High Yield Trust - Class C Shares (PCHYX)        
$0.0300 per share investment income   2/21/2014   2/25/2014
         
Putnam High Yield Trust - Class M Shares (PHIMX)        
$0.0330 per share investment income   2/21/2014   2/25/2014
         
Putnam High Yield Trust - Class R Shares (PHDRX)        
$0.0330 per share investment income   2/21/2014   2/25/2014
         
Putnam High Yield Trust - Class Y Shares (PHYYX)        
$0.0370 per share investment income   2/21/2014   2/25/2014

Contact Information

  • PUTNAM SHAREHOLDERS CONTACT:
    1-800-225-1581