PUTNAM INTERNATIONAL VALUE FUND CLASS R SHARES(PIIRX) USD 12.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.33%USD 0.162USD0.1622022-12-22
20215.63%USD 0.688USD0.6882021-12-22
20201.48%USD 0.181USD0.1812020-12-23
20193.31%USD 0.405USD0.4052019-12-23
20181.42%USD 0.174USD0.1742018-12-21
20171.00%USD 0.122USD0.1222017-12-21
20161.77%USD 0.216USD0.2162016-12-22
20150.11%USD 0.013USD0.0132015-12-23
20141.51%USD 0.185USD0.1852014-12-26
20131.06%USD 0.129USD0.1292013-12-26
20120.88%USD 0.107USD0.1072012-12-26
20113.58%USD 0.438USD0.4382011-12-22
20100.94%USD 0.115USD0.1152010-12-22
20090.11%USD 0.014USD0.0142009-12-23
20080.92%USD 0.112USD0.1122008-12-24
200723.16%USD 2.83USD2.5532007-12-21
USD0.2772007-12-20
200616.28%USD 1.99USD1.5612006-12-20
USD0.4292006-12-19
20051.26%USD 0.154USD0.1542005-12-21
20040.75%USD 0.092USD0.0922004-12-22