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Form NPORT-P Putnam Target Date Funds For: Apr 30

June 21, 2021 2:29 PM EDT

    
        NPORT-P
        false
        
            
            
                
                    0001295293
                    XXXXXXXX
                
            
            
            
            
                S000030470
                C000093619
                C000093618
                C000093620
                C000093623
                C000093622
                C000222456
                C000222457
                C000174682
                C000222455
            
            
            
        
    
    
        
            Putnam Target Date Funds
            811-21598
            0001295293
            5493005X9RIMZKJNE675
            100 FEDERAL STREET
            BOSTON
            
            02110
            1-800-225-1581
            Putnam Retirement Ready 2055 Fund
            S000030470
            549300GOYXVI0SBV3D92
            2021-07-31
            2021-04-30
            N
        
        
            33929969.45
            36075.93
            33893893.51
            0.00
            0.00
            0.00
            0.00
            0.00
            0.00
            0.00
            0.00
            0.00
            0.00
            0.00
            0.00
            0.00
            1.66
            N
            
                
                    
                    
                    
                    
                    
                    
                    
                    
                    
                
                
                    
                        
                        
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                    
                    
                        
                        
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                    
                    
                        
                        
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                    
                    
                        
                        
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                    
                    
                        
                        
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                    
                    
                        
                        
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                        
                            
                            
                            
                        
                    
                
                
                
                
            
            
            
            
            
            
        
        
            
                PUTNAM DYNAMIC ASSET ALLOCATION GROWTH FUND
                54930008K7GIJC4BGQ63
                MUTUAL FUND
                N/A
                
                    
                
                512203.51
                NS
                USD
                10653833.07
                31.432898288891
                Long
                EC
                RF
                US
                N
                
                1
                
                    N
                    N
                    N
                
            
            
                PUTNAM MULTI-ASSET ABSOLUTE RETURN FUND
                54930063MZOBFIL7WY32
                MUTUAL FUND
                N/A
                
                    
                
                307368.62
                NS
                USD
                3202781.05
                9.449433863359
                Long
                EC
                RF
                US
                N
                
                1
                
                    N
                    N
                    N
                
            
            
                PUTNAM GOVERNMENT MONEY MARKET FUND
                549300SEUI2XMME8T893
                MUTUAL FUND
                74680A802
                
                    
                
                160949.56
                NS
                USD
                160949.56
                0.474863001502
                Long
                EC
                RF
                US
                N
                
                1
                
                    N
                    N
                    N
                
            
            
                PUTNAM FIXED INCOME ABSOLUTE RETURN FUND
                549300PER537II0N8U45
                MUTUAL FUND
                N/A
                
                    
                
                44108.58
                NS
                USD
                425206.74
                1.254523148838
                Long
                EC
                RF
                US
                N
                
                1
                
                    N
                    N
                    N
                
            
            
                PUTNAM DYNAMIC ASSET ALLOCATION EQUITY FUND
                217HJO8KUHO2Y4P04346
                MUTUAL FUND
                N/A
                
                    
                
                1245696.53
                NS
                USD
                19470236.7
                57.444674215431
                Long
                EC
                RF
                US
                N
                
                1
                
                    N
                    N
                    N
                
            
        
        
            2021-06-21
            Putnam Investments Inc
            Janet C. Smith
            NPORT
            Principal Financial Officer
        
    
    XXXX




Putnam RetirementReady 2055 Fund
The fund's portfolio
4/30/21 (Unaudited)
        Shares Value
Absolute Return Funds (10.7%)*
Putnam Fixed Income Absolute Return Fund Class P(AFF) 44,055 $424,686
Putnam Multi-Asset Absolute Return Fund Class P(AFF) 306,995 3,198,892

Total Absolute Return Funds (cost $3,730,964) $3,623,578
Asset Allocation Funds (88.9%)*
Putnam Dynamic Asset Allocation Equity Fund Class P(AFF) 1,244,232 $19,447,344
Putnam Dynamic Asset Allocation Growth Fund Class P(AFF) 511,598 10,641,244

Total Asset Allocation Funds (cost $24,591,448) $30,088,588
Fixed Income Funds (0.5%)*
Putnam Government Money Market Fund Class G(AFF) 160,755 $160,755

Total Fixed Income Funds (cost $160,755) $160,755

Total Investments (cost $28,483,167) $33,872,921
* Percentages indicated are based on net assets of $33,853,801.













Notes to the fund's portfolio
Unless noted otherwise, the notes to the fund's portfolio are for the close of the fund's reporting period, which ran from August 1, 2020 through April 30, 2021 (the reporting period). Within the following notes to the portfolio, references to "ASC 820" represent Accounting Standards Codification ASC 820 Fair Value Measurements and Disclosures.
(AFF) Affiliated Company.
Security valuation: The price of the fund’s shares is based on its net asset value (NAV), which is in turn based on the NAVs of the underlying Putnam Funds in which it invests, which are classified as Level 1 securities under Accounting Standards Codification Fair Value Measurements and Disclosures (ASC 820). The NAVs of the underlying Putnam Funds are determined based on the policies contained in each underlying Putnam Fund’s financial statements. The NAV per share of each class equals the total value of its assets, less its liabilities, divided by the number of its outstanding shares. Shares are only valued as of the close of regular trading on the New York Stock Exchange each day the exchange is open.
ASC 820 establishes a three-level hierarchy for disclosure of fair value measurements. The valuation hierarchy is based upon the transparency of inputs to the valuation of the fund’s investments. The three levels are defined as follows:
Level 1: Valuations based on quoted prices for identical securities in active markets.
Level 2: Valuations based on quoted prices in markets that are not active or for which all significant inputs are observable, either directly or indirectly.
Level 3: Valuations based on inputs that are unobservable and significant to the fair value measurement.
The following is a summary of the inputs used to value the fund's net assets as of the close of the reporting period:
Valuation inputs
Investments in securities: Level 1 Level 2 Level 3 Total
Putnam RetirementReady 2055 Fund $33,872,921 $— $— $33,872,921









Affiliated transactions
Transactions during the reporting period with a company which is under common ownership or control, or involving securities of companies in which a fund owned at least 5% of the voting securities, were as follows:
Putnam RetirementReady 2055 Fund
Affiliates Fair value as of 7/31/20 Purchase cost Sale proceeds Investment income Capital gain distributions Realized gain (loss) Change in unrealized appreciation (depreciation) Shares outstanding as of 4/30/21 Fair value as of 4/30/21
Putnam Fixed Income Absolute Return Fund Class P $276,267 $223,094 $82,193 $8,489 $— $(732) $8,250 44,055 $424,686
Putnam Multi-Asset Absolute Return Fund Class P 2,280,545 1,680,108 656,319 (43,270) (62,172) 306,995 3,198,892
Putnam Dynamic Asset Allocation Equity Fund Class P 14,427,405 6,714,329 5,401,618 150,481 394,862 1,212,720 2,494,508 1,244,232 19,447,344
Putnam Dynamic Asset Allocation Growth Fund Class P 7,004,853 3,931,227 2,054,330 72,690 345,074 1,414,420 511,598 10,641,244
Putnam Government Money Market Fund Class G 102,320 280,160 221,725 9 160,755 160,755
Totals $24,091,390 $12,828,918 $8,416,185 $231,669 $394,862 $1,513,792 $3,855,006 $33,872,921
For additional information regarding the fund please see the fund's most recent annual or semiannual shareholder report filed on the Securities and Exchange Commission's Web site, www.sec.gov, or visit Putnam's Individual Investor Web site at www.putnaminvestments.com




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