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Putnam Diversified Income A (PDINX)

On Nov 24: 8.15 USD  Up 0.01 (0.12%)  
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PUTNAM DIVERSIFIED INCOME TRUST Delayed quote dataEdit
Net Asset Value: 8.15
Trade Time: Nov 24
Change: Up 0.01 (0.12%)
Prev Close: 8.15
YTD Return*: 3.42%
Net Assets*: 1.42B
Yield*: 5.44%
* As of 31-Dec-07
Putnam Diversified Income A (PDINX)
3m  6m  1y  2y  5y  max 
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HEADLINES
Putnam Announces Dividend Rates for Open-End Funds
Business Wire (Mon, Nov 23)
Putnam Announces Dividend Rates for Open-End Funds
Business Wire (Wed, Oct 28)
Putnam Announces Dividend Rates for One Open-End Fund
Business Wire (Tue, Oct 27)
Putnam Announces Dividend Rates for Open-End Funds
Business Wire (Fri, Oct 16)
Putnam Announces Distribution Rates for Closed-End Funds
Business Wire (Thu, Oct 8)
Putnam Announces Dividend Rates for Open-End Funds
Business Wire (Mon, Sep 28)
Putnam Announces Dividend Rates for Open-End Funds
Business Wire (Thu, Sep 24)
CORRECTING and REPLACING Putnam Announces Dividend Rates for Open-End Funds
Business Wire (Wed, Sep 23)
Putnam Announces Dividend Rates for Open-End Funds
Business Wire (Wed, Sep 23)
Putnam Investments Offers Industrys First Suite of Target Date Funds to Integrate Absolute Return Strategies
Business Wire (Tue, Sep 22)
More Headlines for PDINX...

31-Dec-07
FUND BASICS
Morningstar Overall Rating: 2 stars
Total Assets: 1.42B
Category: Multisector Bond
Total Expense Ratio: 0.98%
Fund Profile - Holdings


31-Dec-07
PERFORMANCE & RISK
YTD Return: 3.42%
5y Avg Return: 8.17%
Rank in Category (ytd): 140
% Rank in Category (ytd): 76.5%
Beta (3y): 0.48
Morningstar Risk Rating: Average
Performance Details - Risk Details

FUND SUMMARY
The investment seeks current income consistent with preservation of capital. The fund normally invests between 15% and 65% of assets in each of the following categories: U.S. government securities and investment-grade bonds of U.S. corporations; lower-rated bonds of U.S. corporations; and bonds of foreign governments and corporations. It will typically invest at least 70% of assets in debt instruments that are rated below BBB or of equivalent quality. However, the fund will usually not invest more than 5% of assets in debt instruments rated below CCC.
Fund Profile


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