Putnam Premier Income Trust

Putnam Premier Income Trust(PPT)股票分析

$3.420

-0.020 (-0.58%)收盘时

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High
3.440
Open
3.420
VWAP
3.42
Vol
98.39K
Mkt Cap
Low
3.400
Amount
336.48K
EV/EBITDA, TTM
0.00

Putnam Premier Income Trust (the Fund) is a non-diversified closed-end management investment company. The fund operates as a diversified fund. The fund seeks high current income consistent with the preservation of capital by allocating its investments among the United States Government sector, high yield sector and the international sector of the fixed-income securities market. The Fund's portfolio includes United States government agency mortgage obligations, United States treasury obligations, mortgage-backed securities, corporate bonds and notes, convertible bonds and notes, foreign government and agency bonds and notes, senior loans, asset-backed securities, common stocks, short-term investments, short-term investments and others. The fund may invest in higher-yielding, lower-rated bonds that may have a higher rate of default. It may also invest a significant portion of its assets in securitized debt instruments. The Fund’s investment manager is Putnam Investment Management, LLC.

估值指标

The current forward P/E ratio for Putnam Premier Income Trust (PPT) is 0.00, compared to its 5-year average forward P/E of 0.00.

Forward P/E

Strongly Undervalued
5Y Average P/E
0.00
Current P/E
0.00
高估
0.00
低估
0.00

Forward EV/EBITDA

Strongly Undervalued
5Y Average EV/EBITDA
0.00
Current EV/EBITDA
0.00
高估
0.00
低估
0.00

Forward P/S

Strongly Undervalued
5Y Average P/S
0.00
Current P/S
0.00
高估
0.00
低估
0.00

Whales holding PPT

W

Washington H. Soul Pattinson and Company Limited

+ HoldingPPT

+16.34%

3M Return

M

Mutual Trust Pty Ltd

+ HoldingPPT

+0.87%

3M Return

M

Macquarie Capital Investment Management LLC

+ HoldingPPT

-2.01%

3M Return

PPT FAQ — answered by Alphio AI

Putnam Premier Income Trust (the Fund) is a non-diversified closed-end management investment company. The fund operates as a diversified fund. The fund seeks high current income consistent with the preservation of capital by allocating its investments among the United States Government sector, high yield sector and the international sector of the fixed-income securities market. The Fund's portfolio includes United States government agency mortgage obligations, United States treasury obligations, mortgage-backed securities, corporate bonds and notes, convertible bonds and notes, foreign government and agency bonds and notes, senior loans, asset-backed securities, common stocks, short-term investments, short-term investments and others. The fund may invest in higher-yielding, lower-rated bonds that may have a higher rate of default. It may also invest a significant portion of its assets in securitized debt instruments. The Fund’s investment manager is Putnam Investment Management, LLC. It operates in the Financials sector.

本页仅供研究参考,不构成投资建议。模型可能出错。过往表现不代表未来结果。

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