The Trustees of The Putnam Funds declared the following distributions.
| Ex Date | Regular Distribution Per Share | ||||||||||||||
| Fund | Record Date | Pay Date | Class A | Class B | Class C | Class R | Class Y | Class R5 | Class R6 | Class R3 | Class R4 | ||||
| Putnam Global Income Trust 1 | 12/28/2021 | 12/30/2021  | 
PGGIX  | 
PGLBX  | 
PGGLX  | 
PGBRX  | 
PGGYX  | 
PGGDX  | 
PGGEX  | 
N/A  | 
N/A  | 
||||
*Investment Income  | 
0.0170  | 
0.0080  | 
0.0090  | 
0.0140  | 
0.0200  | 
0.0210  | 
0.0210  | 
N/A  | 
N/A  | 
||||||
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
||||||
| Putnam Retirement Advantage Maturity Fund | 12/28/2021 | 12/30/2021  | 
POMGX  | 
N/A  | 
PLFGX  | 
PAKYX  | 
PAETX  | 
PAHOX  | 
PADLX  | 
PAHMX  | 
PAHNX  | 
||||
**Extra Taxable Income:  | 
0.3190  | 
N/A  | 
0.3120  | 
0.3150  | 
0.3220  | 
0.3220  | 
0.3230  | 
0.3180  | 
0.3200  | 
||||||
**Short Term Capital Gain:  | 
0.1260  | 
N/A  | 
0.1260  | 
0.1260  | 
0.1260  | 
0.1260  | 
0.1260  | 
0.1260  | 
0.1260  | 
||||||
**Long Term Capital Gain:  | 
0.0310  | 
N/A  | 
0.0310  | 
0.0310  | 
0.0310  | 
0.0310  | 
0.0310  | 
0.0310  | 
0.0310  | 
||||||
Total Distribution:  | 
0.4760  | 
  | 
0.4690  | 
0.4720  | 
0.4790  | 
0.4790  | 
0.4800  | 
0.4750  | 
0.4770  | 
||||||
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
||||||
| Putnam RetirementReady Maturity Fund 2 | 12/28/2021 | 12/30/2021  | 
PRMAX  | 
PRMLX  | 
PRMCX  | 
PRMKX  | 
PRMYX  | 
PACQX  | 
PREWX  | 
PACKX  | 
PACPX  | 
||||
*Investment Income  | 
0.0180  | 
0.0070  | 
0.0060  | 
0.0120  | 
0.0220  | 
0.0220  | 
0.0230  | 
0.0160  | 
0.0190  | 
||||||
**Extra Taxable Income:  | 
0.2190  | 
0.2190  | 
0.2190  | 
0.2190  | 
0.2190  | 
0.2190  | 
0.2190  | 
0.2190  | 
0.2190  | 
||||||
**Long Term Capital Gain:  | 
0.1840  | 
0.1840  | 
0.1840  | 
0.1840  | 
0.1840  | 
0.1840  | 
0.1840  | 
0.1840  | 
0.1840  | 
||||||
Total Distribution:  | 
0.4210  | 
0.4100  | 
0.4090  | 
0.4150  | 
0.4250  | 
0.4250  | 
0.4260  | 
0.4190  | 
0.4220  | 
||||||
| 1 Class A regular quarterly distributions were announced on the 11/19/21 press release. | |||||||||||||||
| 2 The Class A regular monthly distribution for Putnam RetirementReady Maturity Fund was announced on the 12/27/21 press release. | |||||||||||||||
19(a) NOTICE
Putnam RetirementReady Maturity Fund
As of December 16, 2021, the fund had net realized and unrealized losses of $1.287 per share, of which $0.288. represents unrealized depreciation of portfolio securities.
View source version on businesswire.com: https://www.businesswire.com/news/home/20211228005134/en/
Contacts
Putnam Shareholders Contact: 1-800-225-1581
