0000869392-23-001641.txt : 20230727 0000869392-23-001641.hdr.sgml : 20230727 20230727162001 ACCESSION NUMBER: 0000869392-23-001641 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230531 FILED AS OF DATE: 20230727 DATE AS OF CHANGE: 20230727 PERIOD START: 20230831 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PUTNAM FUNDS TRUST CENTRAL INDEX KEY: 0001005942 IRS NUMBER: 043299786 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-07513 FILM NUMBER: 231118683 BUSINESS ADDRESS: STREET 1: 100 FEDERAL STREET CITY: BOSTON STATE: MA ZIP: 02110 BUSINESS PHONE: 6177601000 MAIL ADDRESS: STREET 1: 100 FEDERAL STREET CITY: BOSTON STATE: MA ZIP: 02110 0001005942 S000024246 Putnam Focused Equity Fund C000071529 Class A C000071530 Class B C000071531 Class C C000071533 Class R C000071534 Class Y C000203064 Class R6 Shares NPORT-P 1 primary_doc.xml NPORT-P false 0001005942 XXXXXXXX S000024246 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INTERNATIONAL 4PQUHN3JPFGFNF3BB653 CURRENCY FORWARDS N/A 1 NC N/A 3014931.81 0.523104153463 N/A DFE CORP US N 2 MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 3014931.81 USD 2996816.91 GBP 2023-06-21 18114.9 N N N MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 CURRENCY FORWARDS N/A 1 NC N/A 3014931.81 0.523104153463 N/A DFE CORP US N 2 MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 2900621.18 GBP 3014931.81 USD 2023-06-21 -114310.63 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 CURRENCY FORWARDS N/A 1 NC N/A 13305121.11 2.308498020381 N/A DFE CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 13305121.11 USD 13410037 EUR 2023-06-21 -104915.89 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 CURRENCY FORWARDS N/A 1 NC N/A 13305121.11 2.308498020381 N/A DFE CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 13304875.55 EUR 13305121.11 USD 2023-06-21 -245.56 N N N MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 CURRENCY FORWARDS N/A 1 NC N/A 9301353.9 1.613826502404 N/A DFE CORP US N 2 MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 9301353.9 USD 9376639 EUR 2023-06-21 -75285.1 N N N MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 CURRENCY FORWARDS N/A 1 NC N/A 9301353.9 1.613826502404 N/A DFE CORP US N 2 MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 9273336.79 EUR 9301353.9 USD 2023-06-21 -28017.11 N N N BARCLAYS BANK PLC WHOLESALE, LONDON G5GSEF7VJP5I7OUK5573 CURRENCY FORWARDS N/A 1 NC N/A 2219749.49 0.385136464452 N/A DFE CORP GB N 2 BARCLAYS BANK PLC WHOLESALE, LONDON G5GSEF7VJP5I7OUK5573 2219749.49 USD 2238302.49 EUR 2023-06-21 -18553.00 N N N BARCLAYS BANK PLC WHOLESALE, LONDON G5GSEF7VJP5I7OUK5573 CURRENCY FORWARDS N/A 1 NC N/A 2219749.49 0.385136464452 N/A DFE CORP GB N 2 BARCLAYS BANK PLC WHOLESALE, LONDON G5GSEF7VJP5I7OUK5573 2213586.02 EUR 2219749.49 USD 2023-06-21 -6163.47 N N N NATWEST MARKETS PLC RR3QWICWWIPCS8A4S074 CURRENCY FORWARDS N/A 1 NC N/A 1789323.23 0.310455583240 N/A DFE CORP GB N 2 NATWEST MARKETS PLC RR3QWICWWIPCS8A4S074 1789323.23 USD 1796173.84 DKK 2023-06-21 -6850.61 N N N NATWEST MARKETS PLC RR3QWICWWIPCS8A4S074 CURRENCY FORWARDS N/A 1 NC N/A 1789323.23 0.310455583240 N/A DFE CORP GB N 2 NATWEST MARKETS PLC RR3QWICWWIPCS8A4S074 1788258.78 DKK 1789323.23 USD 2023-06-21 -1064.45 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 CURRENCY FORWARDS N/A 1 NC N/A 7297411.91 1.266133604412 N/A DFE CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 7297411.91 USD 7364751.3 DKK 2023-06-21 -67339.39 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 CURRENCY FORWARDS N/A 1 NC N/A 7297411.91 1.266133604412 N/A DFE CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 7364804.85 DKK 7297411.91 USD 2023-06-21 67392.94 N N N TORONTO-DOMINION BANK/THE PT3QB789TSUIDF371261 CURRENCY FORWARDS N/A 1 NC N/A 1599474.88 0.277516045409 N/A DFE CORP CA N 2 TORONTO-DOMINION BANK/THE PT3QB789TSUIDF371261 1599474.88 USD 1615028.12 DKK 2023-06-21 -15553.24 N N N TORONTO-DOMINION BANK/THE PT3QB789TSUIDF371261 CURRENCY FORWARDS N/A 1 NC N/A 1599474.88 0.277516045409 N/A DFE CORP CA N 2 TORONTO-DOMINION BANK/THE PT3QB789TSUIDF371261 1613359.43 DKK 1599474.88 USD 2023-06-21 13884.55 N N N GOLDMAN SACHS INTL FX W22LROWP2IHZNBB6K528 CURRENCY FORWARDS N/A 1 NC N/A 5807320.41 1.007596064656 N/A DFE CORP US N 2 GOLDMAN SACHS INTL FX W22LROWP2IHZNBB6K528 5829491.84 CAD 5807320.41 USD 2023-07-19 22171.43 N N N BANK OF AMERICA N.A. B4TYDEB6GKMZO031MB27 CURRENCY FORWARDS N/A 1 NC N/A 2309476.62 0.400704522816 N/A DFE CORP US N 2 BANK OF AMERICA N.A. B4TYDEB6GKMZO031MB27 2335428.93 CAD 2309476.62 USD 2023-07-19 25952.31 N N N UBS AG BFM8T61CT2L1QCEMIK50 CURRENCY FORWARDS N/A 1 NC N/A 8111782.2 1.407430492037 N/A DFE CORP US N 2 UBS AG BFM8T61CT2L1QCEMIK50 8203303.87 CAD 8111782.2 USD 2023-07-19 91521.67 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 CURRENCY FORWARDS N/A 1 NC N/A 4029944.64 0.699213419162 N/A DFE CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 4045681.77 DKK 4029944.64 USD 2023-09-20 15737.13 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 CURRENCY FORWARDS N/A 1 NC N/A 2414279.47 0.418888286026 N/A DFE CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 2412835.31 HKD 2414279.47 USD 2023-08-16 -1444.16 N N N HSBC BANK USA 1IE8VN30JCEQV1H4R804 CURRENCY FORWARDS N/A 1 NC N/A 11649792.53 2.021291108214 N/A DFE CORP US N 2 HSBC BANK USA 1IE8VN30JCEQV1H4R804 11643289.93 HKD 11649792.53 USD 2023-08-16 -6502.6 N N N MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 CURRENCY FORWARDS N/A 1 NC N/A 3266970.46 0.566833986493 N/A DFE CORP US N 2 MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 3265038.36 HKD 3266970.46 USD 2023-08-16 -1932.1 N N N JP MORGANCHASE BANK 7H6GLXDRUGQFU57RNE97 CURRENCY FORWARDS N/A 1 NC N/A 1768385.98 0.306822876722 N/A DFE CORP US N 2 JP MORGANCHASE BANK 7H6GLXDRUGQFU57RNE97 1767401.4 HKD 1768385.98 USD 2023-08-16 -984.58 N N N NATWEST MARKETS PLC RR3QWICWWIPCS8A4S074 CURRENCY FORWARDS N/A 1 NC N/A 1799862.09 0.312284122585 N/A DFE CORP GB N 2 NATWEST MARKETS PLC RR3QWICWWIPCS8A4S074 1806885.66 DKK 1799862.09 USD 2023-09-20 7023.57 N N N BARCLAYS BANK PLC WHOLESALE, LONDON G5GSEF7VJP5I7OUK5573 CURRENCY FORWARDS N/A 1 NC N/A 2230773.86 0.387049241954 N/A DFE CORP GB N 2 BARCLAYS BANK PLC WHOLESALE, LONDON G5GSEF7VJP5I7OUK5573 2249287.48 EUR 2230773.86 USD 2023-09-20 18513.62 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 CURRENCY FORWARDS N/A 1 NC N/A 13371200.9 2.319963159491 N/A DFE CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 13476553.39 EUR 13371200.9 USD 2023-09-20 105352.49 N N N MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 CURRENCY FORWARDS N/A 1 NC N/A 6337552.84 1.099593762751 N/A DFE CORP US N 2 MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 6389221.2 EUR 6337552.84 USD 2023-09-20 51668.36 N N N MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 CURRENCY FORWARDS N/A 1 NC N/A 3018692.38 0.523756629177 N/A DFE CORP US N 2 MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 3000102.09 GBP 3018692.38 USD 2023-09-20 -18590.29 N N N WESTPAC BANKING CORPORATION EN5TNI6CI43VEPAMHL14 CURRENCY FORWARDS N/A 1 NC N/A 912182.7 0.158267778231 N/A DFE CORP US N 2 WESTPAC BANKING CORPORATION EN5TNI6CI43VEPAMHL14 912182.7 USD 906913.78 GBP 2023-06-21 5268.92 N N N WESTPAC BANKING CORPORATION EN5TNI6CI43VEPAMHL14 CURRENCY FORWARDS N/A 1 NC N/A 913320.48 0.158465188150 N/A DFE CORP US N 2 WESTPAC BANKING CORPORATION EN5TNI6CI43VEPAMHL14 907924.59 GBP 913320.48 USD 2023-09-20 -5395.89 N N N STATE STREET B AND T CO 571474TGEMMWANRLN572 CURRENCY FORWARDS N/A 1 NC N/A 8709439.01 1.511126621621 N/A DFE CORP US N 2 STATE STREET B AND T CO 571474TGEMMWANRLN572 8657270.75 GBP 8709439.01 USD 2023-09-20 -52168.26 N N N GOLDMAN SACHS INTL FX W22LROWP2IHZNBB6K528 CURRENCY FORWARDS N/A 1 NC N/A 2895213.45 0.502332482557 N/A DFE CORP US N 2 GOLDMAN SACHS INTL FX W22LROWP2IHZNBB6K528 2878673.19 GBP 2895213.45 USD 2023-09-20 -16540.26 N N N AIA GROUP LTD ZP5ILWVSYE4LJGMMVD57 ORDINARY SHARES N/A 1765800 NS 17121711.36 2.970693498640 Long EC CORP HK N 2 N N N CENOVUS ENERGY INC 549300F4XPHJ7NOSP309 ORDINARY SHARES N/A 665501 NS 10633308.8 1.844926634787 Long EC CORP CA N 1 N N N CANADIAN PACIFIC KANSAS CITY LTD N/A ORDINARY SHARES 13646K108 60700 NS USD 4625340 0.802517177056 Long EC CORP CA N 1 N N ASSURED GUARANTY LTD 549300BBOQUJEPH87M14 ORDINARY SHARES G0585R106 153438 NS USD 7940416.5 1.377697776646 Long EC CORP BM N 1 N N N AXA SA F5WCUMTUM4RKZ1MAIE39 ORDINARY SHARES N/A 341272 NS 9719386.18 1.686356972654 Long EC CORP FR N 2 N N N State Street Institutional U.S. Government Money Market Fund, Premier Class N/A SHORT TERM INV FUND N/A 120000 NS USD 120000 0.020820536706 Long STIV RF US N 1 N N N PUTNAM CASH COLLATERAL POOL LLC 5493005HRIV7IFMKD774 SHORT TERM INV FUND N/A 16988145 NS USD 16988145 2.947519137798 Long STIV PF US N 2 N N PUTNAM SHORT TERM INVESTMENT FUND 5493003MK0Q7JP8CPP42 SHORT TERM INV FUND 74676P664 14787405.87 NS USD 14787405.87 2.565681055831 Long STIV PF US N 2 N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912797FC6 200000 PA USD 195701.28 0.033955047364 Long DBT UST US N 2 2023-10-26 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912797FK8 600000 PA USD 585397.3 0.101569049767 Long DBT UST US N 2 2023-11-16 Fixed 0 N N N N N N 2023-07-27 Putnam Investments Inc Janet C. Smith NPORT Principal Financial Officer XXXX NPORT-EX 2 b_el8nport053123.htm QUARTERLY PORTFOLIO HOLDINGS
Putnam Focused Equity Fund
The fund's portfolio
5/31/23 (Unaudited)


COMMON STOCKS (97.4%)(a)
        Shares Value
Banks (2.2%)
Citigroup, Inc. 287,820 $12,756,182

12,756,182
Beverages (2.7%)
Constellation Brands, Inc. Class A 64,040 15,559,799

15,559,799
Biotechnology (1.0%)
Ascendis Pharma A/S ADR (Denmark)(NON)(S) 63,191 5,495,721

5,495,721
Broadline retail (7.0%)
Amazon.com, Inc.(NON) 336,700 40,599,286

40,599,286
Building products (2.5%)
Johnson Controls International PLC 243,700 14,548,890

14,548,890
Capital markets (1.5%)
Charles Schwab Corp. (The) 161,500 8,509,435

8,509,435
Chemicals (1.4%)
Corteva, Inc. 155,300 8,306,997

8,306,997
Consumer staples distribution and retail (2.1%)
Walmart, Inc. 81,900 12,028,653

12,028,653
Electronic equipment, instruments, and components (2.1%)
Vontier Corp. 401,700 11,906,388

11,906,388
Financial services (3.1%)
Apollo Global Management, Inc. 264,500 17,681,825

17,681,825
Ground transportation (2.9%)
Canadian Pacific Kansas City, Ltd. (Canada)(S) 60,700 4,625,340
Hertz Global Holdings, Inc.(NON)(S) 84,000 1,317,120
Union Pacific Corp. 56,148 10,809,613

16,752,073
Health care equipment and supplies (1.1%)
Intuitive Surgical, Inc.(NON) 21,100 6,495,424

6,495,424
Health care providers and services (2.9%)
Cigna Corp. 67,800 16,774,398

16,774,398
Hotels, restaurants, and leisure (2.4%)
Hilton Worldwide Holdings, Inc. 102,514 13,954,206

13,954,206
Insurance (6.0%)
AIA Group, Ltd. (Hong Kong) 1,765,800 17,121,711
Assured Guaranty, Ltd. 153,438 7,940,417
AXA SA (France) 341,272 9,719,386

34,781,514
Interactive media and services (4.8%)
Alphabet, Inc. Class A(NON) 225,200 27,670,324

27,670,324
Leisure products (0.4%)
Peloton Interactive, Inc. Class A(NON)(S) 313,600 2,283,008

2,283,008
Life sciences tools and services (1.2%)
Danaher Corp. 30,300 6,957,486

6,957,486
Machinery (2.4%)
Otis Worldwide Corp. 174,037 13,837,682

13,837,682
Media (2.5%)
Charter Communications, Inc. Class A(NON) 43,613 14,224,380

14,224,380
Office REITs (0.9%)
Vornado Realty Trust(R)(S) 393,066 5,329,975

5,329,975
Oil, gas, and consumable fuels (8.3%)
Cenovus Energy, Inc. (Canada) 665,501 10,633,309
Enterprise Products Partners LP 543,812 13,774,758
Exxon Mobil Corp. 230,200 23,521,836

47,929,903
Passenger airlines (2.2%)
Ryanair Holdings PLC ADR (Ireland)(NON) 122,000 12,819,760

12,819,760
Personal care products (0.1%)
Kenvue, Inc.(NON) 30,822 773,324

773,324
Pharmaceuticals (5.2%)
AstraZeneca PLC ADR (United Kingdom) 216,300 15,807,204
Eli Lilly and Co. 32,600 14,000,396

29,807,600
Semiconductors and semiconductor equipment (3.6%)
Advanced Micro Devices, Inc.(NON) 99,400 11,750,074
NVIDIA Corp. 23,200 8,777,488

20,527,562
Software (14.2%)
Intuit, Inc. 27,300 11,441,976
Microsoft Corp. 184,598 60,620,137
Oracle Corp. 88,700 9,396,878

81,458,991
Specialty retail (3.2%)
Home Depot, Inc. (The) 64,034 18,150,437

18,150,437
Technology hardware, storage, and peripherals (7.5%)
Apple, Inc. 243,500 43,160,375

43,160,375

Total common stocks (cost $486,334,358) $561,081,598









SHORT-TERM INVESTMENTS (5.7%)(a)
        Principal amount/shares Value
Putnam Cash Collateral Pool, LLC 5.29%(AFF) Shares 16,988,145 $16,988,145
Putnam Short Term Investment Fund Class P 5.21%(AFF) Shares 14,787,406 14,787,406
State Street Institutional U.S. Government Money Market Fund, Premier Class 5.02%(P) Shares 120,000 120,000
U.S. Treasury Bills 5.324%, 11/16/23(SEGSF) $600,000 585,397
U.S. Treasury Bills 5.453%, 10/26/23(SEGSF) 200,000 195,701

Total short-term investments (cost $32,676,972) $32,676,649
TOTAL INVESTMENTS

Total investments (cost $519,011,330) $593,758,247









FORWARD CURRENCY CONTRACTS at 5/31/23 (aggregate face value $182,433,952) (Unaudited)
  Counterparty Currency Contract type* Delivery date Value Aggregate face value Unrealized
appreciation/
(depreciation)
Bank of America N.A.
Canadian Dollar Sell 7/19/23 $2,309,477 $2,335,429 $25,952
Barclays Bank PLC
Euro Buy 6/21/23 2,219,749 2,238,302 (18,553)
Euro Sell 6/21/23 2,219,749 2,213,586 (6,163)
Euro Sell 9/20/23 2,230,774 2,249,287 18,513
Citibank, N.A.
Danish Krone Buy 6/21/23 7,297,412 7,364,751 (67,339)
Danish Krone Sell 6/21/23 7,297,412 7,364,805 67,393
Danish Krone Sell 9/20/23 4,029,945 4,045,682 15,737
Euro Buy 6/21/23 13,305,121 13,410,037 (104,916)
Euro Sell 6/21/23 13,305,121 13,304,876 (245)
Euro Sell 9/20/23 13,371,201 13,476,553 105,352
Hong Kong Dollar Sell 8/16/23 2,414,279 2,412,835 (1,444)
Goldman Sachs International
British Pound Buy 6/21/23 2,891,607 2,875,478 16,129
British Pound Sell 6/21/23 2,891,607 2,782,383 (109,224)
British Pound Sell 9/20/23 2,895,213 2,878,673 (16,540)
Canadian Dollar Sell 7/19/23 5,807,320 5,829,492 22,172
HSBC Bank USA, National Association
Hong Kong Dollar Sell 8/16/23 11,649,793 11,643,290 (6,503)
JPMorgan Chase Bank N.A.
Hong Kong Dollar Sell 8/16/23 1,768,386 1,767,401 (985)
Morgan Stanley & Co. International PLC
British Pound Buy 6/21/23 3,014,932 2,996,817 18,115
British Pound Sell 6/21/23 3,014,932 2,900,621 (114,311)
British Pound Sell 9/20/23 3,018,692 3,000,102 (18,590)
Euro Buy 6/21/23 9,301,354 9,376,639 (75,285)
Euro Sell 6/21/23 9,301,354 9,273,337 (28,017)
Euro Sell 9/20/23 6,337,553 6,389,221 51,668
Hong Kong Dollar Sell 8/16/23 3,266,970 3,265,038 (1,932)
NatWest Markets PLC
Danish Krone Buy 6/21/23 1,789,323 1,796,174 (6,851)
Danish Krone Sell 6/21/23 1,789,323 1,788,259 (1,064)
Danish Krone Sell 9/20/23 1,799,862 1,806,886 7,024
State Street Bank and Trust Co.
British Pound Buy 6/21/23 8,698,589 8,647,415 51,174
British Pound Sell 6/21/23 8,698,589 8,370,342 (328,247)
British Pound Sell 9/20/23 8,709,439 8,657,271 (52,168)
Hong Kong Dollar Buy 8/16/23 1,848,753 1,848,679 74
Toronto-Dominion Bank
Danish Krone Buy 6/21/23 1,599,475 1,615,028 (15,553)
Danish Krone Sell 6/21/23 1,599,475 1,613,359 13,884
UBS AG
Canadian Dollar Sell 7/19/23 8,111,782 8,203,304 91,522
WestPac Banking Corp.
British Pound Buy 6/21/23 912,183 906,914 5,269
British Pound Sell 6/21/23 912,183 877,762 (34,421)
British Pound Sell 9/20/23 913,320 907,924 (5,396)

Unrealized appreciation 509,978

Unrealized (depreciation) (1,013,747)

Total $(503,769)
* The exchange currency for all contracts listed is the United States Dollar.













Key to holding's abbreviations
ADR American Depository Receipts: Represents ownership of foreign securities on deposit with a custodian bank.
Notes to the fund's portfolio
Unless noted otherwise, the notes to the fund's portfolio are for the close of the fund's reporting period, which ran from September 1, 2022 through May 31, 2023 (the reporting period). Within the following notes to the portfolio, references to "Putnam Management" represent Putnam Investment Management, LLC, the fund's manager, an indirect wholly-owned subsidiary of Putnam Investments, LLC, references to "ASC 820" represent Accounting Standards Codification 820 Fair Value Measurements and Disclosures and references to "OTC", if any, represent over-the-counter.
(a) Percentages indicated are based on net assets of $575,933,152.
(NON) This security is non-income-producing.
(AFF) Affiliated company. For investments in Putnam Cash Collateral Pool, LLC and Putnam Short Term Investment Fund, the rate quoted in the security description is the annualized 7-day yield of the fund at the close of the reporting period. Transactions during the period with any company which is under common ownership or control were as follows:
Name of affiliate Fair value
as of
8/31/22
Purchase
cost
Sale
proceeds
Investment
income
Shares outstanding
and fair
value as of
5/31/23
Short-term investments
Putnam Cash Collateral Pool, LLC*# $12,319,627 $189,811,046 $185,142,528 $468,284 $16,988,145
Putnam Short Term Investment Fund** 22,326,272 62,176,420 69,715,286 392,648 14,787,406





Total Short-term investments $34,645,899 $251,987,466 $254,857,814 $860,932 $31,775,551
* The fund may lend securities, through its agent, to qualified borrowers in order to earn additional income. The loans are collateralized by cash in an amount at least equal to the fair value of the securities loaned. The fair value of securities loaned is determined daily and any additional required collateral is allocated to the fund on the next business day. The remaining maturities of the securities lending transactions are considered overnight and continuous. The risk of borrower default will be borne by the fund’s agent; the fund will bear the risk of loss with respect to the investment of the cash collateral. The fund receives cash collateral, which is invested in Putnam Cash Collateral Pool, LLC, a limited liability company managed by an affiliate of Putnam Management. Investments in Putnam Cash Collateral Pool, LLC are valued at its closing net asset value each business day. There are no management fees charged to Putnam Cash Collateral Pool, LLC and there were no realized or unrealized gains or losses during the period.
# At the close of the reporting period, the fund received cash collateral of $16,988,145 for securities loaned. The rate quoted in the security description is the annualized 7-day yield at the close of the reporting period. At the close of the reporting period, the value of securities loaned amounted to $16,584,681.
** Management fees charged to Putnam Short Term Investment Fund have been waived by Putnam Management. There were no realized or unrealized gains or losses during the period.
(SEGSF) This security, in part or in entirety, was pledged and segregated with the custodian for collateral on certain derivative contracts at the close of the reporting period. Collateral at period end totaled $555,530.
(P) This security was pledged, or purchased with cash that was pledged, to the fund for collateral on certain derivative contracts. The rate quoted in the security description is the annualized 7-day yield of the fund at the close of the reporting period.
(R) Real Estate Investment Trust.
(S) This security is on loan, in part or in entirety, at the close of the reporting period.
Unless otherwise noted, the rates quoted in Short-term investments security descriptions represent the weighted average yield to maturity.
The dates shown on debt obligations are the original maturity dates.
Security valuation: Portfolio securities and other investments are valued using policies and procedures adopted by the Board of Trustees. The Trustees have formed a Pricing Committee to oversee the implementation of these procedures and have delegated responsibility for valuing the fund’s assets in accordance with these procedures to Putnam Management. Putnam Management has established an internal Valuation Committee that is responsible for making fair value determinations, evaluating the effectiveness of the pricing policies of the fund and reporting to the Pricing Committee.
Investments for which market quotations are readily available are valued at the last reported sales price on their principal exchange, or official closing price for certain markets, and are classified as Level 1 securities under ASC 820. If no sales are reported, as in the case of some securities that are traded OTC, a security is valued at its last reported bid price and is generally categorized as a Level 2 security.
Investments in open-end investment companies (excluding exchange-traded funds), if any, which can be classified as Level 1 or Level 2 securities, are valued based on their net asset value. The net asset value of such investment companies equals the total value of their assets less their liabilities and divided by the number of their outstanding shares.
Market quotations are not considered to be readily available for certain debt obligations (including short-term investments with remaining maturities of 60 days or less) and other investments; such investments are valued on the basis of valuations furnished by an independent pricing service approved by the Trustees or dealers selected by Putnam Management. Such services or dealers determine valuations for normal institutional-size trading units of such securities using methods based on market transactions for comparable securities and various relationships, generally recognized by institutional traders, between securities (which consider such factors as security prices, yields, maturities and ratings). These securities will generally be categorized as Level 2.
Many securities markets and exchanges outside the U.S. close prior to the scheduled close of the New York Stock Exchange and therefore the closing prices for securities in such markets or on such exchanges may not fully reflect events that occur after such close but before the scheduled close of the New York Stock Exchange. Accordingly, on certain days, the fund will fair value certain foreign equity securities taking into account multiple factors including movements in the U.S. securities markets, currency valuations and comparisons to the valuation of American Depository Receipts, exchange-traded funds and futures contracts. The foreign equity securities, which would generally be classified as Level 1 securities, will be transferred to Level 2 of the fair value hierarchy when they are valued at fair value. The number of days on which fair value prices will be used will depend on market activity and it is possible that fair value prices will be used by the fund to a significant extent. At the close of the reporting period, fair value pricing was used for certain foreign securities in the portfolio. Securities quoted in foreign currencies, if any, are translated into U.S. dollars at the current exchange rate.
To the extent a pricing service or dealer is unable to value a security or provides a valuation that Putnam Management does not believe accurately reflects the security’s fair value, the security will be valued at fair value by Putnam Management, who has been designated as valuation designee pursuant to Rule 2a-5 under the Investment Company Act of 1940, in accordance with policies and procedures approved by the Trustees. Certain investments, including certain restricted and illiquid securities and derivatives, are also valued at fair value following procedures approved by the Trustees. These valuations consider such factors as significant market or specific security events such as interest rate or credit quality changes, various relationships with other securities, discount rates, U.S. Treasury, U.S. swap and credit yields, index levels, convexity exposures, recovery rates, sales and other multiples and resale restrictions. These securities are classified as Level 2 or as Level 3 depending on the priority of the significant inputs.
To assess the continuing appropriateness of fair valuations, the Valuation Committee reviews and affirms the reasonableness of such valuations on a regular basis after considering all relevant information that is reasonably available. Such valuations and procedures are reviewed periodically by the Trustees. The fair value of securities is generally determined as the amount that the fund could reasonably expect to realize from an orderly disposition of such securities over a reasonable period of time. By its nature, a fair value price is a good faith estimate of the value of a security in a current sale and does not reflect an actual market price, which may be different by a material amount.
Forward currency contracts: The fund buys and sells forward currency contracts, which are agreements between two parties to buy and sell currencies at a set price on a future date. These contracts were used to hedge foreign exchange risk.
The U.S. dollar value of forward currency contracts is determined using current forward currency exchange rates supplied by a quotation service. The fair value of the contract will fluctuate with changes in currency exchange rates. The contract is marked to market daily and the change in fair value is recorded as an unrealized gain or loss. The fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed when the contract matures or by delivery of the currency. The fund could be exposed to risk if the value of the currency changes unfavorably, if the counterparties to the contracts are unable to meet the terms of their contracts or if the fund is unable to enter into a closing position.
For the fund's average contract amount on forward currency contracts, see the appropriate table at the end of these footnotes.
Master agreements: The fund is a party to ISDA (International Swaps and Derivatives Association, Inc.) Master Agreements (Master Agreements) with certain counterparties that govern OTC derivative and foreign exchange contracts entered into from time to time. The Master Agreements may contain provisions regarding, among other things, the parties’ general obligations, representations, agreements, collateral requirements, events of default and early termination. With respect to certain counterparties, in accordance with the terms of the Master Agreements, collateral posted to the fund is held in a segregated account by the fund’s custodian and, with respect to those amounts which can be sold or repledged, is presented in the fund’s portfolio.
Collateral pledged by the fund is segregated by the fund’s custodian and identified in the fund’s portfolio. Collateral can be in the form of cash or debt securities issued by the U.S. Government or related agencies or other securities as agreed to by the fund and the applicable counterparty. Collateral requirements are determined based on the fund’s net position with each counterparty.
Termination events applicable to the fund may occur upon a decline in the fund’s net assets below a specified threshold over a certain period of time. Termination events applicable to counterparties may occur upon a decline in the counterparty’s long-term and short-term credit ratings below a specified level. In each case, upon occurrence, the other party may elect to terminate early and cause settlement of all derivative and foreign exchange contracts outstanding, including the payment of any losses and costs resulting from such early termination, as reasonably determined by the terminating party. Any decision by one or more of the fund’s counterparties to elect early termination could impact the fund’s future derivative activity.
At the close of the reporting period, the fund had a net liability position of $635,781 on open derivative contracts subject to the Master Agreements. Collateral posted by the fund at period end for these agreements totaled $555,530 and may include amounts related to unsettled agreements.









ASC 820 establishes a three-level hierarchy for disclosure of fair value measurements. The valuation hierarchy is based upon the transparency of inputs to the valuation of the fund's investments. The three levels are defined as follows:
Level 1: Valuations based on quoted prices for identical securities in active markets.
Level 2: Valuations based on quoted prices in markets that are not active or for which all significant inputs are observable, either directly or indirectly.
Level 3: Valuations based on inputs that are unobservable and significant to the fair value measurement.
The following is a summary of the inputs used to value the fund's net assets as of the close of the reporting period:
  Valuation inputs
Investments in securities: Level 1 Level 2 Level 3
Common stocks*:
Communication services $41,894,704 $— $—
Consumer discretionary 74,986,937
Consumer staples 28,361,776
Energy 47,929,903
Financials 46,887,859 26,841,097
Health care 65,530,629
Industrials 57,958,405
Information technology 157,053,316
Materials 8,306,997
Real Estate 5,329,975



Total common stocks 534,240,501 26,841,097
Short-term investments 120,000 32,556,649



Totals by level $534,360,501 $59,397,746 $—
  Valuation inputs
Other financial instruments: Level 1 Level 2 Level 3
Forward currency contracts $— $(503,769) $—



Totals by level $— $(503,769) $—
* Common stock classifications are presented at the sector level, which may differ from the fund's portfolio presentation.
The volume of activity for the reporting period for any derivative type that was held at the close of the period is listed below and was based on an average of the holdings of that derivative at the end of each fiscal quarter in the reporting period:
Forward currency contracts (contract amount) $118,700,000
For additional information regarding the fund please see the fund's most recent annual or semiannual shareholder report filed on the Securities and Exchange Commission's Web site, www.sec.gov, or visit Putnam's Individual Investor Web site at www.putnaminvestments.com