The Trustees of The Putnam Funds have declared the following distributions.
FUND NAME AND DISTRIBUTIONS  | 
RECORD/ EX DATE  | 
PAYMENT DATE  | 
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  | 
  | 
  | 
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Putnam Convertible Securities Fund– Class A Shares (PCONX)  | 
||||
$0.0320 per share investment income  | 
6/8/22  | 
6/10/22  | 
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  | 
  | 
  | 
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Putnam Dynamic Asset Allocation Balanced Fund– Class A Shares (PABAX)  | 
||||
$0.0460 per share investment income  | 
6/16/22  | 
6/21/22  | 
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  | 
  | 
  | 
||
Putnam Dynamic Asset Allocation Conservative Fund– Class A Shares (PACAX)  | 
||||
$0.0130 per share investment income  | 
6/16/22  | 
6/21/22  | 
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  | 
  | 
  | 
||
Putnam Diversified Income Trust – Class A Shares (PDINX)  | 
||||
$0.0190 per share investment income  | 
6/16/22  | 
6/21/22  | 
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  | 
  | 
  | 
||
Putnam Fixed Income Absolute Return Fund – Class A Shares (PTRNX)  | 
||||
$0.0250 per share investment income  | 
6/16/22  | 
6/21/22  | 
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  | 
  | 
  | 
||
George Putnam Balanced Fund – Class A Shares (PGEOX)  | 
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$0.0410 per share investment income  | 
5/25/22  | 
5/27/22  | 
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  | 
  | 
  | 
||
Putnam Global Income Trust – Class A Shares (PGGIX)  | 
||||
$0.0170 per share investment income  | 
5/25/22  | 
5/27/22  | 
||
  | 
  | 
  | 
||
Putnam High Yield Fund– Class A Shares (PHYIX)  | 
||||
$0.0210 per share investment income  | 
5/23/22  | 
5/25/22  | 
||
  | 
6/23/22  | 
6/27/22  | 
||
  | 
  | 
  | 
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Putnam Income Fund – Class A Shares (PINCX)  | 
||||
$0.0140 per share investment income  | 
5/23/22  | 
5/25/22  | 
||
  | 
6/23/22  | 
6/27/22  | 
||
  | 
  | 
  | 
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Putnam Large Cap Value Fund – Class A Shares (PEYAX)  | 
||||
$0.0820 per share investment income  | 
6/8/22  | 
6/10/22  | 
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  | 
  | 
  | 
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Putnam Mortgage Opportunities Fund – Class A Shares (PMORX)  | 
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$0.0330 per share investment income  | 
6/16/22  | 
6/21/22  | 
||
  | 
  | 
  | 
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Putnam Mortgage Securities Fund – Class A Shares (PGSIX)  | 
||||
$0.0410 per share investment income  | 
6/16/22  | 
6/21/22  | 
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View source version on businesswire.com: https://www.businesswire.com/news/home/20220520005042/en/
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