PUTNAM EQUITY INCOME FUND CLASS R SHARES(PEQRX) USD 28.88
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.25%USD 0.072USD0.0722023-03-08
20226.62%USD 1.912USD1.7162022-12-08
USD0.0682022-09-08
USD0.0642022-06-08
USD0.0642022-03-08
20217.39%USD 2.133USD1.9072021-12-08
USD0.0622021-09-08
USD0.0842021-06-08
USD0.082021-03-26
20205.23%USD 1.51USD1.2592020-12-28
USD0.0832020-09-28
USD0.0852020-06-26
USD0.0832020-03-26
20193.25%USD 0.94USD0.7292019-12-26
USD0.0832019-09-26
USD0.0642019-06-26
USD0.0642019-03-27
20184.32%USD 1.247USD1.092018-12-26
USD0.0632018-09-26
USD0.04682018-06-27
USD0.04682018-03-27
20172.51%USD 0.724USD0.45662017-12-27
USD0.04682017-09-27
USD0.04082017-06-28
USD0.18012017-03-28
20161.49%USD 0.43USD0.24042016-12-28
USD0.06232016-09-28
USD0.06332016-06-28
USD0.06432016-03-28
20153.69%USD 1.066USD0.89452015-12-28
USD0.05442015-09-29
USD0.05742015-06-29
USD0.05942015-03-27
20146.86%USD 1.981USD1.71372014-12-29
USD0.0672014-12-26
USD0.06632014-09-29
USD0.06632014-06-27
USD0.06732014-03-27
20136.76%USD 1.951USD1.58412013-12-27
USD0.1652013-12-26
USD0.06632013-09-27
USD0.06832013-06-27
USD0.06732013-03-27
20123.22%USD 0.93USD0.62242012-12-27
USD0.1252012-12-26
USD0.0692012-09-27
USD0.05622012-06-28
USD0.05722012-03-29
20110.91%USD 0.264USD0.09962011-12-29
USD0.0582011-09-29
USD0.0582011-06-29
USD0.04822011-03-29
20100.63%USD 0.181USD0.0612010-12-29
USD0.03932010-09-29
USD0.03932010-06-29
USD0.04132010-03-29
20090.70%USD 0.203USD0.07172009-12-29
USD0.03922009-09-29
USD0.03822009-06-29
USD0.05392009-03-27
20080.88%USD 0.255USD0.06962008-12-22
USD0.00982008-11-26
USD0.05592008-09-29
USD0.05392008-06-27
USD0.06572008-03-25
20076.42%USD 1.853USD0.06572007-12-21
USD1.59462007-11-27
USD0.06372007-09-25
USD0.06372007-06-26
USD0.06572007-03-23
20067.68%USD 2.217USD0.06762006-12-20
USD1.98472006-11-22
USD0.05682006-09-22
USD0.05592006-06-23
USD0.05192006-03-23
20055.43%USD 1.568USD0.05292005-12-21
USD1.37022005-11-22
USD0.0512005-09-23
USD0.05292005-06-23
USD0.04122005-03-22
20040.59%USD 0.17USD0.04212004-12-22
USD0.04312004-09-23
USD0.04212004-06-23
USD0.04312004-03-23
20030.33%USD 0.096USD0.04412003-12-19
USD0.05192003-09-23