BOSTON, MA — (Marketwire) — 05/24/12 — In the news release, “Putnam Announces Distribution Rates for Open-End Funds,” issued Wednesday, May 23, by Putnam Investments, we are advised by the company that the Payment Date for the first five funds should read “5/30/2012” rather than “5/25/2012” as originally issued. Complete corrected text follows.
BOSTON, MA — May 23, 2012 — The Trustees of The Putnam Funds have declared the following distributions.
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