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Putnam Asset Allocation: Conservative M (PACMX)

On Feb 10: 8.59 USD  Up 0.04 (0.47%)  
 MORE ON PACMX 
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 PUTNAM ASSET ALLOCATION CONSERV Delayed quote dataEdit
Net Asset Value:8.59
Trade Time:Feb 10
Change:Up 0.04 (0.47%)
Prev Close:8.59
YTD Return*:28.94%
Net Assets*:9.21M
Yield*:3.06%
* As of 30-Nov-09
[Chart]
3m  6m  1y  2y  5y  max 
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 HEADLINES 
Putnam Investments Webcast to Feature CEO Bob Reynolds, CIO Walter Donovan and Fund Managers on Investment Opportunities
Business Wire (Wed 12:28am)
Putnam Investments CEO Reynolds Urges Action - This Year - to Strengthen All of America's Retirement Savings Systems
Business Wire (Tue, Feb 2)
Putnam Investments Ranked #1 in Lipper/Barron's Best Mutual-Fund Families Survey
Business Wire (Mon, Feb 1)
Putnam Investments Launches an Innovative Retirement Planning Platform to Drive Participant Savings
Business Wire (Wed, Jan 27)
Survey Shows Americans Unsure about Retirement Income Needs
Business Wire (Wed, Jan 27)
Putnam Investments Launches New Roth IRA Resource Center for Financial Advisors
Business Wire (Sat, Jan 23)
Putnam Announces Distribution Rates for Open-End Funds
Business Wire (Wed, Jan 20)
Putnam Investments Wins DALBAR Service Awards for the 2Oth Year; Retains Role as Veteran Industry Leader in Service Excellence
Business Wire (Wed, Jan 13)
Société Générale Savings and Investment Retirement Plan U.S. Taps Putnam Investments to Manage $220 Million Defined Contribution Plan for U.S. Employees
Business Wire (Tue, Jan 12)
Putnam Investments Announces Change to Shareholder Meeting Schedule for Putnam Municipal Opportunities Trust
Business Wire (Fri, Jan 1)
More Headlines for PACMX...

 FUND BASICS30-Nov-09
Morningstar Overall Rating:2 stars
Total Assets:9.21M
Category:Conservative Allocation
Total Expense Ratio:%
Fund Profile - Holdings


 PERFORMANCE & RISK30-Nov-09
YTD Return:28.94%
5y Avg Return:2.50%
Rank in Category (ytd):70
% Rank in Category (ytd):10.95%
Beta (3y):0.78
Morningstar Risk Rating:Above average
Performance Details - Risk Details

 FUND SUMMARY 
The investment seeks total return consistent with preservation of capital. The fund generally invests 55% to 85% of assets in fixed-income securities and 15% to 45% in equity securities. It may adjust portfolio allocations form time to time within a certain rage for the fund to try to optimize a fund?s performance consistent with its goal.
Fund Profile


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