Macroaxis: Personalized Investing
Simple Personalized Investing

SP 500   1,651   4.84  Index Moved Down -0.29%
VTTVX PARJX RRTNX TRRHX Data Storage Technology Conglomerates Moderate 
United States GSPC USD ...  |  Investing Themes


Processing
Processing. Please wait...

Putnam insider: Jeffrey Knight

       

Jeffrey Knight - Putnam Insider Profile

Fund Manager since October 31, 2004

Knight is a Managing Director, Head of Investments, and Chief Investment Officer of Putnam??s Global Asset Allocation team. In this role, he oversees the team??s institutional and individual portfolios and the asset allocation investment process for Putnam??s multiassetclass portfolios. Mr. Knight is a Portfolio Member of The George Putnam Fund of Boston. Mr. Knight joined Putnam in 1993 as Vice President, Senior Quantitative Analyst, in the GAA Group. A founding member of the team, he was instrumental in the development and implementation of the group??s quantitative models and methodologies. Mr. Knight authors Putnam??s Capital Markets Outlook and is a member of Putnam??s Advisory Council.
  Money Manager Since 2004      
800-225-1581  

Other Appointments

Columbia Global Opportunities AIMRFXUnited States NASDAQ
Money Manager since 2013
Putnam Retirement Income LifestPRIOXUnited States NASDAQ
Money Manager since 2004
Putnam Absolute Return 500 YPJMYXUnited States NASDAQ
Money Manager since 2008
Putnam Retirement Income LifestPISFXUnited States NASDAQ
Money Manager since 2004
Columbia Capital Allocation ModCBMZXUnited States NASDAQ
Money Manager since 2013
Putnam RetirementReady 2035 APRRWXUnited States NASDAQ
Money Manager since 2004
Columbia Capital Allocation ModCGGTXUnited States NASDAQ
Money Manager since 2013
Putnam Dynamic Asset AllocationPACCXUnited States NASDAQ
Money Manager since 2002
Columbia Capital Allocation ModNIPAXUnited States NASDAQ
Money Manager since 2013
Putnam Retirement Income LifestPRMYXUnited States NASDAQ
Money Manager since 2004
Putnam Retirement Ready 2010 FuPRXRXUnited States AMEX
Money Manager since 2004
Putnam Dynamic Asset AllocationPACRXUnited States NASDAQ
Money Manager since 2002
Putnam Dynamic Asset AllocationPACYXUnited States NASDAQ
Money Manager since 2002
Putnam RetirementReady 2020 APRRMXUnited States NASDAQ
Money Manager since 2004
Putnam Dynamic Asset AllocationAABCXUnited States NASDAQ
Money Manager since 2002

Manager Performance

Fund Summary

The fund's asset allocation strategy may be attractive to investors who plan to retire or otherwise intend to begin making periodic withdrawals of their investments in or about 2025. It is designed to provide diversification among different asset classes by investing a majority of its assets in other Putnam mutual funds, referred to as underlying funds. The fund typically invests 60% of assets in equity and 40% of assets in fixed income securities.The fund is listed under Target Date 2021-2025 category and is part of Putnam family. Filter other
    
Specify Return Horizon
Set Return Range
Current Range 
Select Fund Category
Click to run this filter
 Run Equity Filter
Filter Other Insiders
 
    
    
PRRPX United States NASDAQ
Putnam RetirementReady 2025 Y
Benchmark S&P 500
Currency: USD - US Dollar
Traded on NASDAQ Stock Exchange
    
    

Putnam price boundaries

    
April 23 2013
 18.60 
  
 18.60 
0.00  No Change   0.00%  
Lowest period price (30 days)
May 08 2013
 19.13 
  
 19.13 
0.00  No Change   0.00%  
Highest period price (30 days)
    

Promote Putnam and Jeffrey Knight

Follow Putnam with Macroaxis syndicated feed, custom widget, or your favorite custom stock ticker
Add To Reader
 
Add Putnam to your reader
 

Today Change

 United States Nasdaq   0.97 % Macroaxis: 0.97 Moved Up  
 
 United States Russel   0.21 % Macroaxis: 0.21 Moved Up  
 
 United States SP 500   0.29 % Macroaxis: 0.29 Moved Down  
 
 United States NYSE   0.44 % Macroaxis: 0.44 Moved Down  
 
 thisRed PRRPX PRRPX agains markets  0.47 % Macroaxis: 0.47 Moved Down  
 

Fund Performance

Price to Earning12.95 times
Price to Book1.90 times
Price to Sales0.97 times
Number of Employees1
Probability Of Bankruptcy1.00 %
Annual Yield1.66 %
Year to Date Return5.42 %
One Year Return0.83 %
Three Year Return16.51 %
Five Year Return(0.32) %


 
Analytics
Risk Adjusted Returns Landscape
Live Efficient Frontier
Market Correlation Analysis
Watchlist Analysis
Financial Content
Portfolio Estimation and Projections
Portfolio Theme Builder
 
 
Research Modules
Equities Backtesting Analysis
Instant Retirement Optimizer
Cross-portfolio RSS and Mobile Access
Company, fund, and ETF Directory
Financial Advisor Directory
Insider and Manager Directory
Wealth Management
 Gadgets, Widgets, and Apps          
  
 
Services And Technology
Frequently Asked Questions
Quick Product Tour
Product Technology Overview
Solution Methodology
Plans and Pricing
 
Free Investor Tools
World Market Correlations
Instant Equity Comparator
Watchlist Analysis
Position Suggestions
Equity Alpha Analysis
 
About Us
About Macroaxis
Contact Us
Product Terms Of Use
Service Privacy Policy
Advertising Opportunities
Content

Thanks for checking out Macroaxis

Tell us what you like and what you don't like. We promise we'll not only listen but write you back

Contact Us
Macroaxis is user-driven community of investors. We appreciate any feedback or comment you can provide. Please fill out our quick survey to help us provide your with a better service and user experience

Fill Out Quick Survey
Most of the functionality on our site is free to use. However we do provide premium service to sophisticated investors. Our premium subscription will give you unprecedented capabilities to optimize your portfolios using robust financial analysis toolkit, fast mean-variance optimization engine, and proven portfolio theory

Go Premium