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    Putnam Premier Income Trust

    PPT

    3.56

    USD
    0.00
    (0.00%)
    Day's range
    3.54
    3.58
    52 wk Range
    3.4
    3.74

    PPT Cash Flow

    Period EndingJul 31, 2024Jul 31, 2023Jul 31, 2022Jul 31, 2021Jul 31, 2020Jul 31, 2019Jul 31, 2018Jul 31, 2017Jul 31, 2016Jul 31, 2015Jul 31, 2014Jul 31, 2013
    Net Income32,004,012955,709-20,452,78417,026,889-23,381,53022,142,83735,940,66963,665,036-19,864,472-25,191,41263,474,93572,832,028
    Depreciation & Amortization000000000000
    Deferred Income Tax000000000000
    Stock-Based Compensation000000000000
    Change in Working Capital000000000000
    Accounts Receivable Change000000000000
    Inventory Change000000000000
    Accounts Payable Change000000000000
    Other Working Capital Change000000000000
    Other Non-Cash Items-32,004,012-955,70920,452,784-17,026,88923,381,530-22,142,837-35,940,669-63,665,03619,864,47225,191,412-63,474,935-72,832,028
    Net Cash Provided by Operating Activities000000000000
    Investments in Property, Plant & Equipment000000000000
    Net Acquisitions000000000000
    Purchases of Investments000000000000
    Sales & Maturities of Investments000000000000
    Other Investing Activities000000000000
    Net Cash Used for Investing Activities000000000000
    Debt Repayment000000000000
    Common Stock Issued000000000000
    Common Stock Repurchased000000000000
    Dividends Paid000000000000
    Other Financing Activities000000000000
    Net Cash Used/Provided by Financing Activities000000000000
    Effect of Forex Changes on Cash000000000000
    Net Change in Cash00280,3910-322,018-284,973000000
    Cash at End of Period0145,764304,974024,583346,601000000
    Cash at Beginning of Period0024,5830346,601631,574000000
    Operating Cash Flow000000000000
    Capital Expenditure000000000000
    Free Cash Flow000000000000