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Putnam Investments Announces 19(a) Notices for Closed-End Municipal Funds

The 19(a) monthly distribution notices for Putnam Managed Municipal Income Trust (NYSE:PMM) and Putnam Municipal Opportunities Trust (NYSE:PMO) are now available. These informational notices provide further details on the sources of the funds’ monthly distributions and follows the most recent distribution announcement.

The table below provides an estimate of the sources of the Fund’s current distribution and its cumulative distributions paid this fiscal year-to-date. Amounts are expressed on a per share of common stock basis, and as a percentage of the distribution amount.

 

 

 

 

 

 

Estimated sources & percentages of distributions

Ticker

 

Time period

 

Per share

distribution

(Nov)

 

Net

investment

income

 

Short-

term

capital

gains

 

Long-

term

capital

gains

 

Return of

capital

 

Net

investment

income

 

Short-

term

capital

gains

 

Long-

term

capital

gains

 

Return

of

capital

PMM (FYE 10/31) Current month

$

0.0320

$

0.0257

$

-

$

0.0063

$

-

80.3%

0.0%

19.7%

0.0%

Fiscal YTD

$

0.0320

$

0.0257

$

-

$

0.0063

$

-

80.3%

0.0%

19.7%

0.0%

PMO (FYE 4/30) Current month

$

0.0531

$

0.0531

$

-

$

-

$

-

100.0%

0.0%

0.0%

0.0%

Fiscal YTD

$

0.3717

$

0.3717

$

-

$

-

$

-

100.0%

0.0%

0.0%

0.0%

The table below provides information regarding distributions and total return performance for various periods.

Data as of 10/31/2021

Annualized

 

Cumulative

5-year

 

Current

 

Fiscal

 

Fiscal YTD

return

 

distribution

 

YTD

 

distribution

Ticker

at NAV

 

rate at NAV*

 

return at NAV

 

rate at NAV**

PMM (FYE 10/31)

5.18%

 

4.69%

 

8.44%

 

4.69%

PMO (FYE 4/30)

5.36%

 

4.65%

 

0.47%

 

4.65%

 
Performance includes the deduction of management fees and administrative expenses, assumes reinvestment of distributions, and does not account for taxes.
 
*Most recent distribution annualized and divided by NAV at the end of the period.
**Total fiscal period distributions annualized and divided by NAV at the end of the period.

You should not draw any conclusions about the Fund’s investment performance from the amount of this distribution or from the terms of the Fund’s Distribution Policy.

The amounts and sources of distributions reported in this 19(a) Notice are only estimates and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend on the Fund’s investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-Div for the calendar year that will tell you how to report these distributions for federal income tax purposes.

The funds periodically provide fund-related information on their websites. The following information will be available for each fund at putnam.com at the frequencies indicated: (1) Full holdings will be available monthly beginning on the 8th business day after the end of each month; (2) Top 10 holdings and additional portfolio statistics will be available monthly, approximately 15 days after month-end.

Contacts

PUTNAM SHAREHOLDERS CONTACT: 1-800-225-1581

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