0000869392-21-001913.txt : 20210924 0000869392-21-001913.hdr.sgml : 20210924 20210924114129 ACCESSION NUMBER: 0000869392-21-001913 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210731 FILED AS OF DATE: 20210924 PERIOD START: 20211031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PUTNAM CONVERTIBLE SECURITIES FUND CENTRAL INDEX KEY: 0000081247 IRS NUMBER: 042493360 STATE OF INCORPORATION: MA FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-02280 FILM NUMBER: 211275538 BUSINESS ADDRESS: STREET 1: ONE POST OFFICE SQ STREET 2: MAILSTOP A 14 CITY: BOSTON STATE: MA ZIP: 02109 BUSINESS PHONE: 6172921000 MAIL ADDRESS: STREET 1: ONE POST OFFICE SQUARE CITY: BOSTON STATE: MA ZIP: 02109 FORMER COMPANY: FORMER CONFORMED NAME: PUTNAM CONVERTIBLE INCOME GROWTH TRUST DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: PUTNAM CONVERTIBLE FUND DATE OF NAME CHANGE: 19841212 FORMER COMPANY: FORMER CONFORMED NAME: PUTNAM CONVERTIBLE FUND INC /PRED/ DATE OF NAME CHANGE: 19821109 0000081247 S000005511 PUTNAM CONVERTIBLE SECURITIES FUND C000015003 Class C Shares C000015004 Class A Shares PCONX C000015005 Class B Shares PCNBX C000015007 Class R Shares PCVRX C000015008 Class Y Shares PCGYX C000153039 CLASS I C000202780 Class R6 Shares NPORT-P 1 primary_doc.xml NPORT-P false 0000081247 XXXXXXXX S000005511 C000202780 C000015008 C000153039 C000015007 C000015003 C000015005 C000015004 Putnam Convertible Securities Fund 811-02280 0000081247 MFUGQW3FOQNH8167YS65 100 FEDERAL STREET BOSTON 02110 1-800-225-1581 Putnam Convertible Securities Fund S000005511 MFUGQW3FOQNH8167YS65 2021-10-31 2021-07-31 N 1064707540.38 43796823.16 1020910717.21 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 5081.91 USD N SERVICENOW INC 549300HJTQM36M0E1G39 COMMON STOCK 81762P102 10460 NS USD 6149329.4 0.602337628192 Long EC CORP US N 1 N N N LAM RESEARCH CORP 549300I4GMO6D34U1T02 COMMON STOCK 512807108 4420 NS USD 2817352.2 0.275964602243 Long EC CORP US N 1 N N N BANK OF AMERICA CORP 9DJT3UXIJIZJI4WXO774 COMMON STOCK 060505104 126190 NS USD 4840648.4 0.474150022955 Long EC CORP US N 1 N N N GT ADVANCED TECHNOLOGIES INC CC3ZPVRUVFT7LNKH2Y90 COMMON STOCK 36191U205 552 NS USD 29664.48 0.00290568798 Long EC CORP US N 3 N N N ROYAL CARIBBEAN CRUISES LTD K2NEH8QNVW44JIWK7Z55 CONV. 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INTERACTIVE LLC 549300SZUIU7Z32Q0664 CONVERTIBLE BONDS 530610AD6 3170000 PA USD 6924865 0.678302703974 Long DBT CORP US N 2 2046-09-30 Fixed 1.75 N N N N N CHARTER COMMUNICATIONS INC COMMON STOCK USD XXXX N N N MICROCHIP TECHNOLOGY INC 5493007PTFULNYZJ1R12 CONVERTIBLE BONDS 595017AF1 5247000 PA USD 11199196.8 1.096981020104 Long DBT CORP US N 2 2027-02-15 Fixed 1.625 N N N N N MICROCHIP TECHNOLOGY INC COMMON STOCK USD XXXX N N N DISH NETWORK CORP 529900U350CWHH15G169 CONVERTIBLE BONDS 25470MAB5 5277000 PA USD 5408925 0.529813715227 Long DBT CORP US N 2 2026-08-15 Fixed 3.375 N N N N N DISH NETWORK CORP COMMON STOCK USD XXXX N N N BANK OF AMERICA CORP 9DJT3UXIJIZJI4WXO774 CONVERTIBLE PREF 060505682 4445 NS USD 6576599.75 0.64418951032 Long EP CORP US N 2 N N ESSENTIAL UTILITIES INC 549300ILTEOF3E3QY357 CONVERTIBLE PREF 29670G201 70705 NS USD 4265632.65 0.41782621909 Long EP CORP US N 2 N N N NEXTERA ENERGY INC N/A CONVERTIBLE PREF 65339F796 373252 NS USD 21812846.88 2.136606709313 Long 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901376202 4080 NS USD 7657588.8 0.750074288663 Long EP CORP US N 2 N N N KKR AND CO INC 549300JOHU21WRN2Z451 CONVERTIBLE PREF 48251W401 100338 NS USD 8210658.54 0.804248442257 Long EP CORP US N 2 N N SABRE CORP 529900VKCYZW8GZ4WW58 CONVERTIBLE PREF 78573M203 32525 NS USD 4962014 0.486037996894 Long EP CORP US N 1 N N N APTIV PLC N/A CONVERTIBLE PREF G6095L117 61560 NS USD 11533266 1.129703685697 Long EP CORP IE N 2 N N N AES CORP/THE 2NUNNB7D43COUIRE5295 CONVERTIBLE PREF 00130H204 62660 NS USD 6352470.8 0.622235685542 Long EP CORP US N 1 N N CLARIVATE PLC 549300WDHIIODXFO0R55 CONVERTIBLE PREF G21810208 45144 NS USD 4103589.6 0.401953817393 Long EP CORP GB N 1 N N N DRAFTKINGS INC 5493008P45UYYL683Z97 CONVERTIBLE ZERO 26142RAA2 9612000 PA USD 8424918 0.825235533135 Long DBT CORP US N 2 2028-03-15 Fixed 0 N N N N N DRAFTKINGS INC COMMON STOCK USD XXXX N N N AIRBNB INC 549300HMUDNO0RY56D37 CONVERTIBLE ZERO 009066AA9 9497000 PA USD 8898689 0.871642235701 Long DBT CORP US N 2 2026-03-15 Fixed 0 N N N N N AIRBNB INC COMMON STOCK USD XXXX N N N ON SEMICONDUCTOR CORP ZV20P4CNJVT8V1ZGJ064 CONVERTIBLE ZERO 682189AR6 7349000 PA USD 7794349.4 0.763470229924 Long DBT CORP US N 2 2027-05-01 Fixed 0 N N N N N ON SEMICONDUCTOR CORP COMMON STOCK USD XXXX N N N FORD MOTOR CO 20S05OYHG0MQM4VUIC57 CONVERTIBLE ZERO 345370CY4 10685000 PA USD 11432950 1.119877557094 Long DBT CORP US N 2 2026-03-15 Fixed 0 N N N N N FORD MOTOR CO COMMON STOCK USD XXXX N N N RH 5493008MTS3OGGMHGK69 CONVERTIBLE ZERO 74967XAD5 2636000 PA USD 8252640.95 0.808360693142 Long DBT CORP US N 2 2024-09-15 Fixed 0 N N N N N RH COMMON STOCK USD XXXX N N N CYBERARK SOFTWARE LTD 529900YEXNDM894PWS93 CONVERTIBLE ZERO 23248VAB1 4795000 PA USD 5457189.5 0.534541307874 Long DBT CORP IL N 2 2024-11-15 Fixed 0 N N N N N CYBERARK SOFTWARE LTD ORDINARY SHARES ILS XXXX N N N RINGCENTRAL INC 549300C8EH0H1614VE84 CONVERTIBLE ZERO 76680RAF4 12866000 PA USD 13573630 1.329560927433 Long DBT CORP US N 2 2025-03-01 Fixed 0 N N N N N RINGCENTRAL INC COMMON STOCK USD XXXX N N N CHEGG INC 549300AKX7O8JG0O3G77 CONVERTIBLE ZERO 163092AF6 6583000 PA USD 7106348.5 0.696079331934 Long DBT CORP US N 2 2026-09-01 Fixed 0 N N N N N CHEGG INC COMMON STOCK USD XXXX N N N SOLAREDGE TECHNOLOGIES INC 5493000K6Y58XXPDF853 CONVERTIBLE ZERO 83417MAC8 5614000 PA USD 6708730 0.657131900656 Long DBT CORP IL N 2 2025-09-15 Fixed 0 N N N N N SOLAREDGE TECHNOLOGIES INC ORDINARY SHARES ILS XXXX N N N FIVERR INTERNATIONAL LTD 549300Z8OREY6THCPF67 CONVERTIBLE ZERO 33835LAB1 7993000 PA USD 10846501 1.062433846286 Long DBT CORP IL N 2 2025-11-01 Fixed 0 N N N N N FIVERR INTERNATIONAL LTD ORDINARY SHARES ILS XXXX N N N REDFIN CORP 549300HXWD3JEMZU3O57 CONVERTIBLE ZERO 75737FAB4 4850000 PA USD 5233150 0.51259624488 Long DBT CORP US N 2 2025-10-15 Fixed 0 N N N N N REDFIN CORP COMMON STOCK USD XXXX N N N NOVOCURE LTD 213800YPP55UMHWA4826 CONVERTIBLE ZERO 67011XAA1 4176000 PA USD 4953780 0.485231462114 Long DBT CORP JE N 2 2025-11-01 Fixed 0 N N N N N NOVOCURE LTD ORDINARY SHARES GBP XXXX N N N BILL.COM HOLDINGS INC 549300IBF9VZZIGOZW63 CONVERTIBLE ZERO 090043AA8 6270000 PA USD 9099337.5 0.891296109112 Long DBT CORP US N 2 2025-12-01 Fixed 0 N N N N N BILL.COM HOLDINGS INC COMMON STOCK USD XXXX N N N GUARDANT HEALTH INC 254900M8C3E5VC8BR186 CONVERTIBLE ZERO 40131MAA7 6390000 PA USD 6877237.5 0.673637506597 Long DBT CORP US N 2 2027-11-15 Fixed 0 N N N N N GUARDANT HEALTH INC COMMON STOCK USD XXXX N N N LIVEPERSON INC 549300IN2P1JZ20G7N40 CONVERTIBLE ZERO 538146AC5 4990000 PA USD 5392194 0.528174884356 Long DBT CORP US N 2 2026-12-15 Fixed 0 N N N N N LIVEPERSON INC COMMON STOCK USD XXXX N N N SHIFT4 PAYMENTS INC N/A CONVERTIBLE ZERO 82452JAA7 7103000 PA USD 9216142.5 0.902737364261 Long DBT CORP US N 2 2025-12-15 Fixed 0 N N N N N SHIFT4 PAYMENTS INC COMMON STOCK USD XXXX N N N UBER TECHNOLOGIES INC 549300B2FTG34FILDR98 CONVERTIBLE ZERO 90353TAH3 9251000 PA USD 9024350.5 0.883951000599 Long DBT CORP US N 2 2025-12-15 Fixed 0 N N N N N UBER TECHNOLOGIES INC COMMON STOCK USD XXXX N N N ZYNGA INC 549300XNQ0U2EL088Z74 CONVERTIBLE ZERO 98986TAC2 5115000 PA USD 5348371.88 0.523882430642 Long DBT CORP US N 2 2026-12-15 Fixed 0 N N N N N ZYNGA INC COMMON STOCK USD XXXX N N N VAIL RESORTS INC 529900PSZHRNU9HKH870 CONVERTIBLE ZERO 91879QAM1 5870000 PA USD 5892012.5 0.577132985351 Long DBT CORP US N 2 2026-01-01 Fixed 0 N N N N N VAIL RESORTS INC COMMON STOCK USD XXXX N N N NEXTERA ENERGY PARTNERS LP 5493008F4ZOQFNG3WN54 CONVERTIBLE ZERO 65341BAD8 6070000 PA USD 6585950 0.64510538375 Long DBT CORP US N 2 2025-11-15 Fixed 0 N N N N N NEXTERA ENERGY PARTNERS LP COMMON STOCK USD XXXX N N N DISH NETWORK CORP 529900U350CWHH15G169 CONVERTIBLE ZERO 25470MAE9 4410000 PA USD 5157495 0.505185704593 Long DBT CORP US N 2 2025-12-15 Fixed 0 N N N N N DISH NETWORK CORP COMMON STOCK USD XXXX N N N BOX INC 549300KQUCPD8687YS68 CONVERTIBLE ZERO 10316TAA2 5882000 PA USD 6731360.8 0.659348627311 Long DBT CORP US N 2 2026-01-15 Fixed 0 N N N N N BOX INC COMMON STOCK USD XXXX N N N SUNRUN INC 54930007SJ77CI66U531 CONVERTIBLE ZERO 86771WAA3 5291000 PA USD 4649730.8 0.45544930831 Long DBT CORP US N 2 2026-02-01 Fixed 0 N N N N N SUNRUN INC COMMON STOCK USD XXXX N N N EXPEDIA GROUP INC CI7MUJI4USF3V0NJ1H64 CONVERTIBLE ZERO 30212PBD6 7128000 PA USD 7605576 0.74497954344 Long DBT CORP US N 2 2026-02-15 Fixed 0 N N N N N EXPEDIA GROUP INC COMMON STOCK USD XXXX N N N MICROSTRATEGY INC 549300WQTWEJUEHXQX21 CONVERTIBLE ZERO 594972AD3 3840000 PA USD 2845440 0.278715851644 Long DBT CORP US N 2 2027-02-15 Fixed 0 N N N N N MICROSTRATEGY INC COMMON STOCK USD XXXX N N N ENPHASE ENERGY INC 5493008U7KIGMI59Z314 CONVERTIBLE ZERO 29355AAJ6 4890000 PA USD 4943790 0.484252924047 Long DBT CORP US N 2 2028-03-01 Fixed 0 N N N N N ENPHASE ENERGY INC COMMON STOCK USD XXXX N N N TWITTER INC 549300I8RX485XMK6836 CONVERTIBLE ZERO 90184LAM4 7102000 PA USD 6822358.75 0.668262036532 Long DBT CORP US N 2 2026-03-15 Fixed 0 N N N N N TWITTER INC COMMON STOCK USD XXXX N N N SHAKE SHACK INC 529900J74GJAHYP80N79 CONVERTIBLE ZERO 819047AA9 6230000 PA USD 5778325 0.565997094809 Long DBT CORP US N 2 2028-03-01 Fixed 0 N N N N N SHAKE SHACK INC COMMON STOCK USD XXXX N N N EVERBRIDGE INC 549300WCY0UMR64ATW81 CONVERTIBLE ZERO 29978AAD6 5451000 PA USD 5665633.13 0.554958727976 Long DBT CORP US N 2 2026-03-15 Fixed 0 N N N N N EVERBRIDGE INC COMMON STOCK USD XXXX N N N DOMINION ENERGY INC ILUL7B6Z54MRYCF6H308 CUMULATIVE CONV PREF 25746U133 63345 NS USD 6317396.85 0.618800130462 Long EP CORP US N 1 N N N AVANTOR INC 5493003VM0XB4U8YD238 CUMULATIVE CONV PREF 05352A209 94070 NS USD 10846271 1.062411317382 Long EP CORP US N 2 N N N CINCINNATI BELL INC 549300JYVZOCUJOHL272 CUMULATIVE CONV PREF 171871403 190 NS USD 9494.3 0.000929983381 Long EP CORP US N 2 N N N BUNGE LTD 5493007M0RIN8HY3MM77 CUMULATIVE CONV PREF N/A 61911 NS USD 7307974.44 0.715828947312 Long EP CORP US N 1 N N N PUTNAM CASH COLLATERAL POOL LLC 5493005HRIV7IFMKD774 SHORT TERM INV FUND N/A 42009825 NS USD 42009825 4.114936232113 Long STIV PF US N 2 N N PUTNAM SHORT TERM INVESTMENT FUND 5493003MK0Q7JP8CPP42 SHORT TERM INV FUND 74676P664 28916826 NS USD 28916826 2.832453956309 Long STIV PF US N 2 N N N 2021-09-24 Putnam Investments Inc Janet C. Smith NPORT Principal Financial Officer XXXX NPORT-EX 2 b_008nport073121.htm QUARTERLY PORTFOLIO HOLDINGS
Putnam Convertible Securities Fund
The fund's portfolio
7/31/21 (Unaudited)


CONVERTIBLE BONDS AND NOTES (78.1%)(a)
        Principal amount Value
Airlines (2.3%)
JetBlue Airways Corp. 144A cv. sr. unsec. notes 0.50%, 4/1/26 $7,215,000 $7,077,915
Southwest Airlines Co. cv. sr. unsec. notes 1.25%, 5/1/25 10,718,000 15,708,569

22,786,484
Automotive (1.9%)
Ford Motor Co. 144A cv. sr. unsec. notes zero %, 3/15/26 10,685,000 11,432,950
Tesla, Inc. cv. sr. unsec. notes 2.00%, 5/15/24 722,000 7,981,710

19,414,660
Biotechnology (4.3%)
Exact Sciences Corp. cv. sr. unsec. sub. notes 0.375%, 3/1/28 13,185,000 15,047,381
Guardant Health, Inc. 144A cv. sr. unsec. sub. notes zero %, 11/15/27 6,390,000 6,877,238
Halozyme Therapeutics, Inc. 144A cv. sr. unsec. notes 0.25%, 3/1/27 5,380,000 4,902,525
Insmed, Inc. cv. sr. unsec. sub. notes 0.75%, 6/1/28 3,330,000 3,379,950
Ironwood Pharmaceuticals, Inc. cv. sr. unsec. notes 1.50%, 6/15/26 5,830,000 7,053,162
NeoGenomics, Inc. cv. sr. unsec. notes 0.25%, 1/15/28 6,845,000 6,720,934

43,981,190
Cable television (3.4%)
Cable One, Inc. 144A company guaranty cv. sr. unsec. notes 1.125%, 3/15/28 6,710,000 6,794,683
DISH Network Corp. cv. sr. unsec. notes 3.375%, 8/15/26 5,277,000 5,408,925
DISH Network Corp. 144A cv. sr. unsec. notes zero %, 12/15/25 4,410,000 5,157,495
Liberty Media Corp. cv. sr. unsec. bonds 1.375%, 10/15/23 3,306,000 4,391,937
Liberty Media Corp. cv. sr. unsec. unsub. bonds 0.50%, 12/1/50 5,116,000 5,614,810
Liberty Media Corp. 144A cv. sr. unsec. unsub. bonds 2.75%, 12/1/49 6,873,000 7,185,722

34,553,572
Commercial and consumer services (4.5%)
Booking Holdings, Inc. cv. sr. unsec. notes 0.75%, 5/1/25 7,190,000 10,152,965
Expedia Group, Inc. 144A company guaranty cv. sr. unsec. unsub. notes zero %, 2/15/26 7,128,000 7,605,576
Shift4 Payments, Inc. 144A cv. sr. unsec. sub. notes zero %, 12/15/25 7,103,000 9,216,143
Square, Inc. cv. sr. unsec. notes 0.125%, 3/1/25 5,180,000 10,819,725
Square, Inc. 144A cv. sr. unsec. sub. notes 0.25%, 11/1/27 6,876,000 8,096,490

45,890,899
Computers (10.0%)
Akamai Technologies, Inc. cv. sr. unsec. notes 0.375%, 9/1/27 10,321,000 12,146,527
Atlassian, Inc. cv. company guaranty sr. unsec. notes 0.625%, 5/1/23 1,460,000 5,816,177
Bentley Systems, Inc. 144A cv. sr. unsec. sub. notes 0.375%, 7/1/27 6,679,000 6,685,679
Box, Inc. 144A cv. sr. unsec. notes zero %, 1/15/26 5,882,000 6,731,361
Cloudflare, Inc. cv. sr. unsec. notes 0.75%, 5/15/25 2,707,000 8,604,876
CyberArk Software, Ltd. cv. sr. unsec. notes zero %, 11/15/24, (Israel) 4,795,000 5,457,190
Datadog, Inc. cv. sr. unsec. notes 0.125%, 6/15/25 4,015,000 5,560,775
Envestnet, Inc. 144A cv. company guaranty sr. unsec. notes 0.75%, 8/15/25 5,289,000 5,236,110
Five9, Inc. cv. sr. unsec. notes 0.50%, 6/1/25 5,907,000 9,513,814
Lumentum Holdings, Inc. cv. sr. unsec. notes 0.50%, 12/15/26 6,030,000 6,617,925
RingCentral, Inc. cv. sr. unsec. notes zero %, 3/1/25 12,866,000 13,573,630
Splunk, Inc. cv. sr. unsec. notes 1.125%, 6/15/27 8,550,000 8,314,875
Zscaler, Inc. cv. sr. unsec. notes 0.125%, 7/1/25 4,560,000 7,606,080

101,865,019
Consumer services (8.7%)
Airbnb, Inc. 144A cv. sr. unsec. sub. notes zero %, 3/15/26 9,497,000 8,898,689
Etsy, Inc. 144A cv. sr. unsec. notes 0.25%, 6/15/28 10,065,000 10,512,893
Fiverr International, Ltd. 144A cv. sr. unsec. notes zero %, 11/1/25, (Israel) 7,993,000 10,846,501
IAC Financeco 2, Inc. 144A cv. company guaranty sr. unsec. notes 0.875%, 6/15/26 6,138,000 11,654,528
IAC FinanceCo, Inc. 144A cv. company guaranty sr. unsec. notes 0.875%, 10/1/22 434,000 1,570,472
Lyft, Inc. cv. sr. unsec. notes 1.50%, 5/15/25 3,010,000 4,803,960
Sea, Ltd. cv. sr. unsec. notes 2.375%, 12/1/25, (Thailand) 2,665,000 8,286,018
Uber Technologies, Inc. 144A cv. sr. unsec. notes zero %, 12/15/25 9,251,000 9,024,351
Wayfair, Inc. 144A cv. sr. unsec. notes 0.625%, 10/1/25 9,550,000 9,263,500
Zillow Group, Inc. cv. sr. unsec. notes 2.75%, 5/15/25 7,887,000 14,062,521

88,923,433
Electronics (1.9%)
Microchip Technology, Inc. cv. sr. unsec. sub. notes 1.625%, 2/15/27 5,247,000 11,199,197
ON Semiconductor Corp. 144A cv. sr. unsec. notes zero %, 5/1/27 7,349,000 7,794,349

18,993,546
Energy (other) (1.6%)
Enphase Energy, Inc. 144A cv. sr. unsec. notes zero %, 3/1/28 4,890,000 4,943,790
SolarEdge Technologies, Inc. 144A cv. sr. unsec. notes zero %, 9/15/25, (Israel) 5,614,000 6,708,730
Sunrun, Inc. 144A cv. sr. unsec. notes zero %, 2/1/26 5,291,000 4,649,731

16,302,251
Entertainment (2.4%)
IMAX Corp. 144A cv. sr. unsec. unsub. notes 0.50%, 4/1/26, (Canada) 5,311,000 4,919,579
NCL Corp, Ltd. cv. company guaranty sr. unsec. notes 5.375%, 8/1/25 3,104,000 4,916,736
Royal Caribbean Cruises, Ltd. 144A cv. sr. unsec. notes 2.875%, 11/15/23 7,776,000 9,251,046
Vail Resorts, Inc. 144A cv. sr. unsec. sub. notes zero %, 1/1/26 5,870,000 5,892,013

24,979,374
Gaming and lottery (1.0%)
DraftKings, Inc. 144A cv. sr. unsec. unsub. notes zero %, 3/15/28 9,612,000 8,424,918
Penn National Gaming, Inc. cv. sr. unsec. notes 2.75%, 5/15/26 680,000 2,056,116

10,481,034
Health-care services (1.5%)
1Life Healthcare, Inc. cv. sr. unsec. notes 3.00%, 6/15/25 4,652,000 4,753,879
Teladoc Health, Inc. cv. sr. unsec. sub. notes 1.25%, 6/1/27 9,605,000 10,241,812

14,995,691
Homebuilding (0.6%)
Winnebago Industries, Inc. cv. sr. unsec. notes 1.50%, 4/1/25 4,800,000 6,357,000

6,357,000
Leisure (0.5%)
Callaway Golf Co. cv. sr. unsec. sub. notes 2.75%, 5/1/26 2,391,000 4,643,023

4,643,023
Machinery (0.8%)
Middleby Corp. (The) 144A cv. sr. unsec. unsub. notes 1.00%, 9/1/25 5,336,000 8,321,492

8,321,492
Manufacturing (0.9%)
John Bean Technologies Corp. 144A cv. sr. unsec. notes 0.25%, 5/15/26 8,322,000 8,917,023

8,917,023
Media (0.7%)
Liberty Interactive, LLC 144A cv. sr. unsec. bonds 1.75%, 9/30/46 3,170,000 6,924,865

6,924,865
Medical technology (5.5%)
China Medical Technologies, Inc. cv. sr. unsec. bonds Ser. CMT, 4.00%, 8/15/21, (China) (In default)(NON)(F) 3,213,000 205,632
China Medical Technologies, Inc. 144A cv. sr. unsec. notes 6.25%, 12/17/21, (China) (In default)(NON)(F) 3,544,000 198,464
CONMED Corp. cv. sr. unsec. notes 2.625%, 2/1/24 4,035,000 6,498,872
Envista Holdings Corp. cv. sr. unsec. notes 2.375%, 6/1/25 3,643,000 7,739,189
Insulet Corp. cv. sr. unsec. notes 0.375%, 9/1/26 5,479,000 7,564,444
Integra LifeSciences Holdings Corp. cv. sr. unsec. notes 0.50%, 8/15/25 4,696,000 5,336,065
Natera, Inc. cv. sr. unsec. notes 2.25%, 5/1/27 2,246,000 6,844,685
Novocure, Ltd. 144A cv. sr. unsec. notes zero %, 11/1/25, (Jersey) 4,176,000 4,953,780
Omnicell, Inc. 144A cv. sr. unsec. notes 0.25%, 9/15/25 4,319,000 6,797,026
Repligen Corp. cv. sr. unsec. notes 0.375%, 7/15/24 2,010,000 4,337,781
Tandem Diabetes Care, Inc. 144A cv. sr. unsec. notes 1.50%, 5/1/25 4,947,000 5,955,199

56,431,137
Oil and gas (1.7%)
EQT Corp. cv. sr. unsec. notes 1.75%, 5/1/26 3,995,000 5,900,216
Pioneer Natural Resources Co. cv. sr. unsec. notes 0.25%, 5/15/25 8,065,000 11,847,485

17,747,701
Pharmaceuticals (2.1%)
DexCom, Inc. cv. sr. unsec. unsub. notes 0.25%, 11/15/25 6,725,000 7,624,469
Pacira Pharmaceuticals, Inc. cv. sr. unsec. sub. notes 0.75%, 8/1/25 5,855,000 6,396,588
Revance Therapeutics, Inc. cv. sr. unsec. notes 1.75%, 2/15/27 6,386,000 7,373,102

21,394,159
Real estate (0.5%)
Redfin Corp. 144A cv. sr. unsec. notes zero %, 10/15/25 4,850,000 5,233,150

5,233,150
Restaurants (1.4%)
Bloomin' Brands, Inc. cv. sr. unsec. notes 5.00%, 5/1/25, (acquired 5/6/20, cost $626,000)(RES) 626,000 1,419,455
Cheesecake Factory, Inc. (The) cv. sr. unsec. sub. notes 0.375%, 6/15/26 7,326,000 6,840,653
Shake Shack, Inc. 144A cv. sr. unsec. notes zero %, 3/1/28 6,230,000 5,778,325

14,038,433
Retail (3.9%)
American Eagle Outfitters, Inc. cv. sr. unsec. unsub. notes 3.75%, 4/15/25 1,300,000 5,253,430
Burlington Stores, Inc. cv. sr. unsec. notes 2.25%, 4/15/25 6,834,000 11,165,048
Dick's Sporting Goods, Inc. cv. sr. unsec. notes 3.25%, 4/15/25 1,935,000 5,941,659
Guess?, Inc. cv. sr. unsec. sub. notes 2.00%, 4/15/24 2,271,000 2,574,746
National Vision Holdings, Inc. cv. sr. unsec. sub. notes 2.50%, 5/15/25 3,680,000 6,755,100
RH cv. sr. unsec. notes zero %, 9/15/24 2,636,000 8,252,641

39,942,624
Schools (0.7%)
Chegg, Inc. 144A cv. sr. unsec. notes zero %, 9/1/26 6,583,000 7,106,349

7,106,349
Semiconductor (0.5%)
Teradyne, Inc. cv. sr. unsec. notes 1.25%, 12/15/23 1,380,000 5,502,750

5,502,750
Software (8.6%)
Bill.com Holdings, Inc. 144A cv. sr. unsec. notes zero %, 12/1/25 6,270,000 9,099,338
Ceridian HCM Holding, Inc. 144A cv. sr. unsec. notes 0.25%, 3/15/26 7,851,000 7,982,112
Coupa Software, Inc. cv. sr. unsec. notes 0.375%, 6/15/26 11,144,000 11,907,364
Everbridge, Inc. 144A cv. sr. unsec. notes zero %, 3/15/26 5,451,000 5,665,633
HubSpot, Inc. cv. sr. unsec. notes 0.375%, 6/1/25 3,767,000 8,087,278
LivePerson, Inc. 144A cv. sr. unsec. notes zero %, 12/15/26 4,990,000 5,392,194
MicroStrategy, Inc. 144A cv. sr. unsec. notes zero %, 2/15/27 3,840,000 2,845,440
Okta, Inc. cv. sr. unsec. notes 0.375%, 6/15/26 9,946,000 12,507,095
SailPoint Technologies Holding, Inc. cv. sr. unsec. notes 0.125%, 9/15/24 2,248,000 4,129,576
Shopify, Inc. cv. sr. unsec. notes 0.125%, 11/1/25, (Canada) 5,430,000 7,137,735
Zendesk, Inc. cv. sr. unsec. notes 0.625%, 6/15/25 5,610,000 7,646,991
Zynga, Inc. 144A cv. sr. unsec. unsub. notes zero %, 12/15/26 5,115,000 5,348,372

87,749,128
Technology services (5.6%)
fuboTV, Inc. 144A cv. sr. unsec. notes 3.25%, 2/15/26 4,797,000 4,410,242
Palo Alto Networks, Inc. cv. sr. unsec. notes 0.375%, 6/1/25 13,895,000 19,939,325
Snap, Inc. cv. sr. unsec. sub. notes 0.75%, 8/1/26 3,070,000 10,075,356
Snap, Inc. 144A cv. sr. unsec. notes zero %, 5/1/27 7,816,000 8,972,768
TechTarget, Inc. 144A cv. sr. unsec. sub. notes 0.125%, 12/15/25 5,496,000 6,671,045
Twitter, Inc. 144A cv. sr. unsec. sub. notes zero %, 3/15/26 7,102,000 6,822,359

56,891,095
Telecommunications (—%)
Powerwave Technologies, Inc. cv. unsec. sub. notes 3.875%, 10/1/27, (In default)(NON)(F) 5,121,000 512

512
Utilities and power (0.6%)
NextEra Energy Partners LP 144A company guaranty cv. sr. unsec. notes zero %, 11/15/25 6,070,000 6,585,950

6,585,950

Total convertible bonds and notes (cost $669,972,283) $796,953,544









CONVERTIBLE PREFERRED STOCKS (17.3%)(a)
        Shares Value
Banking (0.6%)
Bank of America Corp. Ser. L, 7.25% cv. pfd.(S) 4,445 $6,576,600

6,576,600
Commercial and consumer services (0.5%)
Sabre Corp. $6.50 cv. pfd. 32,525 4,962,014

4,962,014
Consumer (0.9%)
Stanley Black & Decker, Inc. $5.25 cv. pfd.(S) 75,740 8,890,361

8,890,361
Electric utilities (3.9%)
AES Corp. (The) $6.875 cv. pfd.(S) 62,660 6,352,471
Dominion Energy, Inc. $7.25 cv. pfd. 63,345 6,317,397
NextEra Energy, Inc. $2.436 cv. pfd. 373,252 21,812,847
PG&E Corp. $5.50 cv. pfd. 57,695 5,216,782

39,699,497
Electronics (2.0%)
Broadcom, Inc. 8.00% cv. pfd. 13,297 20,535,089

20,535,089
Financial (1.6%)
2020 Mandatory Exchange 144A 6.50% cv. pfd. 4,080 7,657,589
KKR & Co., Inc. $3.00 cv. pfd.(S) 100,338 8,210,659

15,868,248
Food (0.7%)
Bunge, Ltd. $4.88 cv. pfd. 61,911 7,307,974

7,307,974
Medical technology (4.5%)
Avantor, Inc. $3.13 cv. pfd. 94,070 10,846,271
Boston Scientific Corp. $5.50 cv. pfd. 46,943 5,724,699
Danaher Corp. 5.00% cv. pfd.(S) 14,035 22,378,808
Elanco Animal Health, Inc. $2.50 cv. pfd.(S) 130,852 7,170,690

46,120,468
Regional Bells (—%)
Cincinnati Bell, Inc. Ser. B, $3.378 cum. cv. pfd. 190 9,494

9,494
Telecommunications (1.1%)
T-Mobile US, Inc. 144A 5.25% cv. pfd.(NON) 8,895 11,149,349

11,149,349
Trucks and parts (1.1%)
Aptiv PLC $5.50 cv. pfd. 61,560 11,533,266

11,533,266
Water Utilities (0.4%)
Essential Utilities, Inc. $3.00 cv. pfd. 70,705 4,265,633

4,265,633

Total convertible preferred stocks (cost $146,579,289) $176,917,993









COMMON STOCKS (1.4%)(a)
        Shares Value
Bank of America Corp. 126,190 $4,840,648
GT Advanced Technologies, Inc.(NON)(F) 552 29,664
Lam Research Corp. 4,420 2,817,352
ServiceNow, Inc.(NON) 10,460 6,149,322

Total common stocks (cost $9,943,011) $13,836,986









PREFERRED STOCKS (0.4%)(a)
        Shares Value
Clarivate PLC $5.25 cv. pfd. (United Kingdom)(NON) 45,144 $4,103,590

Total preferred stocks (cost $4,514,400) $4,103,590









SHORT-TERM INVESTMENTS (6.9%)(a)
        Shares Value
Putnam Cash Collateral Pool, LLC 0.09%(AFF) 42,009,825 $42,009,825
Putnam Short Term Investment Fund Class P 0.09%(AFF) 28,916,826 28,916,826

Total short-term investments (cost $70,926,651) $70,926,651
TOTAL INVESTMENTS

Total investments (cost $901,935,634) $1,062,738,764













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 November 1, 2020 through July 31, 2021 (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 $1,020,888,171.
(NON) This security is non-income-producing.
(RES) This security is restricted with regard to public resale. The total fair value of this security and any other restricted securities (excluding 144A securities), if any, held at the close of the reporting period was $1,419,455, or 0.1% of net assets.
(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
10/31/20
Purchase
cost
Sale
proceeds
Investment
income
Shares outstanding
and fair
value as  of
7/31/21
Short-term investments
Putnam Cash Collateral Pool, LLC*# $16,242,955 $197,968,468 $172,201,598 $29,424 $42,009,825
Putnam Short Term Investment Fund** 22,121,198 346,173,219 339,377,591 20,609 28,916,826





Total Short-term investments $38,364,153 $544,141,687 $511,579,189 $50,033 $70,926,651
* 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 $42,009,825 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 $41,003,529.
** 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.
(F) This security is valued by Putnam Management at fair value following procedures approved by the Trustees. Securities are classified as Level 3 for ASC 820 based on the securities' valuation inputs.
(S) This security is on loan, in part or in entirety, at the close of the reporting period.
144A after the name of an issuer represents securities exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.
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.
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. Securities quoted in foreign currencies, if any, are translated into U.S. dollars at the current exchange rate. Short-term securities with remaining maturities of 60 days or less are valued using an independent pricing service approved by the Trustees, and are classified as Level 2 securities.
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 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.









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*:
Financials $4,840,648 $— $—
Technology 8,966,674 29,664



Total common stocks 13,807,322 29,664
Convertible bonds and notes 796,548,936 404,608
Convertible preferred stocks 50,691,727 126,226,266
Preferred stocks 4,103,590
Short-term investments 70,926,651



Totals by level $68,602,639 $993,701,853 $434,272
* Common stock classifications are presented at the sector level, which may differ from the fund's portfolio presentation.
At the start and close of the reporting period, Level 3 investments in securities represented less than 1% of the fund's net assets and were not considered a significant portion of the fund's portfolio.
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