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Multi-Asset

PRMYX Putnam Retirement Advantage Plus Maturity Fund

  • Established target date expertise focused on improving participant outcomes. Designed and managed by the same Franklin Templeton Investment Solutions (FTIS) team that oversees Putnam Retirement Advantage.
  • Deep private alternatives due diligence and manager research capabilities. Supported by FTIS' dedicated alternatives manager research team, with 30+ years of experience conducting hedge fund and private alternatives due diligence. 
  • Enhanced diversification within a target date framework. Professionally managed diversified exposure to traditional and alternative asset classes at the total portfolio level. 

Popular Documents

  • Factsheet
  • Prospectus
  • Annual Report
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NAV $0.00(0.00%)
$17.29
As of 06/09/2026
YTD Total Returns At NAV
1.84%
As of 06/09/2026
Total Net Assets
$632.70M
As of 04/30/2026 (Updated Monthly)

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Putnam Retirement Advantage Plus Maturity Fund - Class Y - PRMYX

  • Overview
  • Performance
  • Portfolio
  • Distributions & Tax
  • Pricing
  • Documents
Skipped to Overview Section Content

Overview

Fund Facts

Fund description

Seeks as high a rate of current income as the portfolio managers believe is consistent with capital preservation. The fund is designed for investors who are near or in retirement and who want to take income distributions from their savings.

Benchmark
S&P Target Date To Retirement Income Index
Dividend Frequency, if any
Monthly
Distribution Rate at NAVAs of 06/09/2026 (Updated Daily)
3.94%
30-Day SEC Yield—With WaiverAs of 05/31/2026 (Updated Monthly)
3.56%
30-Day SEC Yield—Without WaiverAs of 05/31/2026 (Updated Monthly)
3.06%
Fund Inception Date
11/01/2004

Sales Charges, Expenses & Fees

As of 04/17/2026
Gross Expense Ratio
1.24%
Net Expense Ratio

Expense Limitation

Expense Waiver Type: Contractual fee waiver, expense cap and/or reimbursement
Expense Limitation Expires: 02/26/2029

0.68%
Maximum Initial Charge
—
CDSC
N/A
12b-1 Fee
N/A

Identifiers

Fund Number
1951
Ticker
PRMYX
CUSIP Code
746859388

Average Annual Total Returns As of 05/31/2026

View performance section for additional info As of 05/31/2026

Class Y

  • 9.23%1 Year
  • 8.59%3 Years
  • 4.61%5 Years
  • 3.94%10 Years
  • 3.46%Since Inception
    10/29/2004

Additional Fund Info

Share Class Inception Date
11/01/2004
Investment Style
Income
Lipper Classification
Mixed-Asset Target Today Funds
Morningstar Category
Target-Date Retirement

Manager and Commentary

About the Team

Franklin Templeton Investment Solutions

Franklin Templeton Investment Solutions (FTIS) is a leader in multi-asset, quantitative, and hedged solutions, leveraging a global network of investment teams to offer innovative and diversified strategies. With a focus on long-term investing, we combine deep research, active management, and data-driven insights to create solutions which seek to meet the evolving needs of investors worldwide.

Franklin Templeton Investment Solutions
[Adrian H Chans avatar]

Managed Fund Since 2021

[Brett S Goldsteins avatar]

Managed Fund Since 2019

[Laura Greens avatar]

Managed Fund Since 2026

[Thomas Nelsons avatar]

Managed Fund Since 2025

[Jonathan M Schreibers avatar]

Managed Fund Since 2025

Portfolio Manager Profile
Years of Experience
Manager Location

Latest Insights

June 10, 2026

Allocation Views: Optimistic on equities, mindful of inflation

April 7, 2026

Hedge Fund Strategy Outlook: Second quarter 2026

March 26, 2026

Improving outcomes with private assets in target date funds

March 25, 2026

Portable alpha: Putting capital to its highest and best use
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Performance

Average Annual Total Returns

As of 05/31/2026

Choose Month

2026

Use arrow keys to navigate calendar. Press Enter to select a date.
2026
Selected Month May 2026
Created with Highcharts 12.6.0024681012141 Year3 Years5 Years10 YearsSince Inception
Class Y - With Sales Charge (POP) (%)
Month End
As of 05/31/2026
Class Y - Without Sales Charge (NAV) (%)
Month End
As of 05/31/2026
S&P Target Date To Retirement Income Index (%)
Month End
As of 05/31/2026

Ratings

Morningstar logo
Overall Morningstar Rating
Overall Morningstar Rating: 2 out of 5 stars  
As of 05/31/2026
3 Years
3 Years: 2 out of 5 stars  
142 Funds in category
5 Years
5 Years: 5 out of 5 stars  
133 Funds in category
10 Years
10 Years: 1 out of 5 stars  
82 Funds in category
Rating Category
Target-Date Retirement
Morningstar Style Box
As of 05/31/2026
Current Historical
Large
Medium
Small
Value Blend Growth
Style
Size
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Portfolio

Assets

As of04/30/2026 (Updated Monthly)

Total Net Assets
$632.70 Million

Positions

As of 04/30/2026 (Updated Monthly)

Number of Holdings
Fund
5

Data is currently not available for this fund.

Holdings

As of 04/30/2026 (Updated Monthly)

PUTNAM MULTI-ASSET INCOME FUND
PUTNAM DYNAMIC ASSET ALLOCATION BALANCED FUND
PUTNAM SHORT TERM INVESTMENT FUND
FRANKLIN BSP LENDING FUND
CLARION PARTNERS REAL ESTATE INCOME FUND INC
Cash and Equivalents
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Distributions & Tax

Distribution Frequency

Ex-Dividend Fund: This type of fund declares periodic dividends, which are paid to shareholders who own the fund as of a certain date - known as the "record date". After the record date, the fund is said to be trading "ex-dividend"(literally, without the dividend). An investor who buys shares during the interval between the record date and the payment of the dividend does not receive the dividend. A fund that's in the ex-dividend period is marked with an "x" in newspaper listings.

Daily Accrual Fund: This type of fund typically declares income dividends each day that its net asset value is calculated. These dividends remain in the fund until the designated reinvestment or payment date and are distributed to the shareholders, generally once a month, as additional shares or cash, respectively.

MonthlyThis fund is an ex-Dividend fund
Capital Gain Distributions
December

Rates and Yields Read important information about results and other investment disclosures

Distribution Rate 

As of 06/09/2026 (Updated Daily)
At Net Asset Value (NAV) 3.94%

30-Day SEC Yield 

As of 05/31/2026 (Updated Monthly)
w/ Waiver  3.56%
w/o Waiver 3.06%

Distributions Per Share
Distributions with future dates are estimates and those figures are not final

Estimated distributions can change depending on current market conditions and number of shares outstanding. Changes can occur up to the record date. Estimates don't include ordinary income distributions the funds may be making. A fund's capital gain distributions per share will be the same for each share class. All dates and distributions are subject to board approval.

05/29/2026
04/30/2026
03/31/2026
02/27/2026
01/30/2026
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Pricing

Daily Fund Prices

As of 06/09/2026

Share Prices

As of 06/09/2026

NAV  (Net Asset Value)
$17.29
NAV Change 
$0.00
NAV Change (%) 
0.00%
POP  (Public Offering Price)
$17.29

52-Week Range

Highest NAV As of 05/28/2026
$17.48
Lowest NAV As of 06/13/2025
$16.61
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Documents

Fund Literature
Fund Literature
Name Download Add to Cart
Factsheet - Putnam Retirement Advantage Plus Funds (Class Y)Download Document
Regulatory Documents
Regulatory Documents
Name Download Add to Cart
Annual Report - Putnam Retirement Advantage Plus Maturity Fund - Class YDownload Document
Annual Financial Statements and Other Information - Putnam Retirement Advantage PlusDownload Document
Semi-Annual Report - Putnam Retirement Advantage Plus Maturity Fund - Class YDownload Document
Semi-Annual Financial Statements and Other Information - Putnam Retirement Advantage Plus FundsDownload Document
Prospectus - Putnam Retirement Advantage PlusDownload Document
Statement Of Additional Information - Putnam Target Date FundsDownload Document
Fiscal Q1 Holdings - Putnam Target Date FundsDownload Document

Risks

All investments involve risks, including possible loss of principal. Investments in underlying funds are subject to the same risks as, and indirectly bear the fees and expenses of, the underlying funds. The allocation of assets among different strategies, asset classes and investments may not prove beneficial or produce the desired results. The investment style may become out of favor, which may have a negative impact on performance. Small- and mid-cap stocks involve greater risks and volatility than large-cap stocks. Fixed income securities involve interest rate, credit, inflation and reinvestment risks, and possible loss of principal. As interest rates rise, the value of fixed income securities falls. International investments are subject to special risks, including currency fluctuations and social, economic and political uncertainties, which could increase volatility. These risks are magnified in emerging markets. Derivative instruments can be illiquid, may disproportionately increase losses, and have a potentially large impact on performance. An investment in private market investments is suitable only for investors who can bear the risks associated with them (such as private credit and private equity) with potential limited liquidity. Shares will not be listed on a public exchange, and no secondary market is expected to develop. Interval funds are required to offer quarterly redemptions of at least 5% of fund NAV. Tender offer funds offer periodic redemptions with timing and amounts set by the manager. Many tender offer funds offer quarterly redemptions but can be reduced or suspended from the fund's intended targets board approval. The risks associated with a real estate strategy include, but are not limited to various risks inherent in the ownership of real estate property, such as fluctuations in lease occupancy rates and operating expenses, variations in rental schedules, which in turn may be adversely affected by general and local economic conditions, the supply and demand for real estate properties, zoning laws, rent control laws, real property taxes, the availability and costs of financing, environmental laws, and uninsured losses (generally from catastrophic events such as earthquakes, floods and wars). Active management does not ensure gains or protect against market declines. These and other risks are discussed in the fund's prospectus.

Important Information

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