Symbol: PIM Sector: Financial Services Industry: Asset Management
Dividend Yield: | 6.97% | |
Dividend per Share: | $ 0.3200 | |
Next Ex-Div Date: | 2019-06-21 | |
Next Div Payout: | $ 0.0267 | |
Payment Schedule: | Monthly | - |
Payout Ratio (ttm) | n.a. |
Ø 3yr Growth Rate | +1.07 % | +0.43% |
Ø 5yr Growth Rate | +0.64 % | - |
Type: | Common Stock |
Exchange: | New York Stock Exchange |
Current Price (*): | $ 4.59 |
Week 52 high: | $ 4.70 |
Week 52 low: | $ 4.06 |
Marketcap | $ 236,706,463 |
Return on Equity | 0.00 % |
P/E Ratio high | 0.00 |
P/E Ratio low | 0.00 |
About: The Fund invests primarily in investment grade bonds of U.S. issuers, high-yield and international fixed income securities with limited maturities. It seeks high current income and relative stability of net asset value. Effective of 9/9/2005, the investment policy allows the Fund to invest without stated limit in bank loans and swap instruments.
Tags: Asset Management Financial Services
Website: http://www.putnam.com