0000869392-24-000650.txt : 20240327 0000869392-24-000650.hdr.sgml : 20240327 20240327144326 ACCESSION NUMBER: 0000869392-24-000650 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240131 FILED AS OF DATE: 20240327 DATE AS OF CHANGE: 20240327 PERIOD START: 20241031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PUTNAM CONVERTIBLE SECURITIES FUND CENTRAL INDEX KEY: 0000081247 ORGANIZATION NAME: 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: 24789277 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 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 C000153039 C000015007 C000015005 C000015003 C000015004 C000015008 Putnam Convertible Securities Fund 811-02280 0000081247 MFUGQW3FOQNH8167YS65 100 FEDERAL STREET BOSTON 02110 1-800-225-1581 Putnam Convertible Securities Fund S000005511 MFUGQW3FOQNH8167YS65 2024-10-31 2024-01-31 N 558344810.18 1980233.39 556364576.79 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 0 EUR USD N PALO ALTO NETWORKS INC 549300QXR2YVZV231H43 COMMON STOCK 697435105 6395 NS USD 2164771.45 0.389092249994 Long EC CORP US N 1 N N N BROADCOM INC 549300WV6GIDOZJTV909 COMMON STOCK 11135F101 1110 NS USD 1309800 0.235421170693 Long EC CORP US N 1 N N N NVIDIA CORP 549300S4KLFTLO7GSQ80 COMMON STOCK 67066G104 2775 NS USD 1707374.25 0.306880473924 Long EC CORP US N 1 N N N ATI INC ZW1LRE7C3H17O2ZN9B45 COMMON STOCK 01741R102 45115 NS USD 1843850.05 0.331410396513 Long EC CORP US N 1 N N N EXXON MOBIL CORP J3WHBG0MTS7O8ZVMDC91 COMMON STOCK 30231G102 74485 NS USD 7657802.85 1.376400146498 Long EC CORP US N 1 N N N CHINA MEDICAL TECHNOLOGIES INC N/A CONV. 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NOTE 30050BAG6 3225000 PA USD 3521700 0.632984224179 Long DBT CORP US N 2 2029-12-01 Fixed 3.5 N N N N N EVOLENT HEALTH INC COMMON STOCK USD XXXX N N N NRG ENERGY INC 5E2UPK5SW04M13XY7I38 CONVERTIBLE BONDS 629377CG5 7975000 PA USD 10507062.5 1.888521113372 Long DBT CORP US N 2 2048-06-01 Fixed 2.75 N N N N N NRG ENERGY INC COMMON STOCK USD XXXX N N N CHINA MEDICAL TECHNOLOGIES INC N/A CONVERTIBLE BONDS 169483AC8 3213000 PA USD 0 0.000000000000 Long DBT CORP CN N 3 2024-08-15 Fixed 4 Y Y N N N CHINA MEDICAL TECHNOLOGIES INC COMMON STOCK - ADR CNY XXXX N N N POWERWAVE TECHNOLOGIES INC N/A CONVERTIBLE BONDS 739363AF6 5121000 PA USD 512.1 0.000092043962 Long DBT CORP US N 3 2027-10-01 Fixed 3.875 Y Y N N N POWERWAVE TECHNOLOGIES INC COMMON STOCK USD XXXX N N N LIBERTY BROADBAND CORP 549300MIX43II8JLN536 CONVERTIBLE BONDS 530307AE7 7395000 PA USD 7265587.5 1.305904042619 Long DBT CORP US N 2 2053-03-31 Fixed 3.125 N N N N N CHARTER COMMUNICATIONS INC COMMON STOCK USD XXXX N N N MATCH GROUP FINANCECO 3 INC 5493003IEL8HSZKWUI17 CONVERTIBLE BONDS 44932KAA4 6480000 PA USD 5754888 1.034373545707 Long DBT CORP US N 2 2030-01-15 Fixed 2 N N N N N MATCH GROUP INC COMMON STOCK USD XXXX N N N BANK OF AMERICA CORP 9DJT3UXIJIZJI4WXO774 CONVERTIBLE PREF 060505682 11045 NS USD 13451153.25 2.417686856990 Long EP CORP US N 2 N N N APOLLO GLOBAL MANAGEMENT INC N/A CONVERTIBLE PREF 03769M304 289789 NS USD 16935269.16 3.043915782293 Long EP CORP US N 1 N N N CHART INDUSTRIES INC EM7QGKC1GYOF3LSZSL80 CONVERTIBLE PREF 16115Q407 86700 NS USD 4335000 0.779165349637 Long EP CORP US N 1 N N NEXTERA ENERGY INC 254900RHL9MEUS5NKX63 CONVERTIBLE PREF 65339F713 187150 NS USD 6932036 1.245952076963 Long EP CORP US N 2 N N RBC BEARINGS INC N/A CONVERTIBLE PREF 75524B203 47808 NS USD 5874647.04 1.055898826970 Long EP CORP US N 2 N N N DISH NETWORK CORP 529900U350CWHH15G169 CONVERTIBLE ZERO 25470MAF6 4410000 PA USD 3137715 0.563967429074 Long DBT CORP US N 2 2025-12-15 Fixed 0 N N N N N DISH NETWORK CORP COMMON STOCK USD ECHOSTAR CORP COMMON STOCK USD XXXX N N N PRYSMIAN SPA 529900X0H1IO3RS1A464 CONVERTIBLE ZERO T7S317CA7 3000000 PA 3576682.33 0.642866652409 Long DBT CORP IT N 2 2026-02-02 Fixed 0 N N N N N PRYSMIAN SPA ORDINARY SHARES EUR XXXX N N N FIVERR INTERNATIONAL LTD 549300Z8OREY6THCPF67 CONVERTIBLE ZERO 33835LAA3 4733000 PA USD 4218522.9 0.758229958553 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 GUARDANT HEALTH INC 254900M8C3E5VC8BR186 CONVERTIBLE ZERO 40131MAB5 2825000 PA USD 1938797.5 0.348476085804 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 VAIL RESORTS INC 529900PSZHRNU9HKH870 CONVERTIBLE ZERO 91879QAN9 2505000 PA USD 2256065.63 0.405501306898 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 SHAKE SHACK INC 529900J74GJAHYP80N79 CONVERTIBLE ZERO 819047AB7 5060000 PA USD 4142875 0.744633136765 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 AIRBNB INC 549300HMUDNO0RY56D37 CONVERTIBLE ZERO 009066AB7 2477000 PA USD 2247877.5 0.404029586673 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 EVERBRIDGE INC 549300WCY0UMR64ATW81 CONVERTIBLE ZERO 29978AAE4 3366000 PA USD 2949289.2 0.530100103967 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 DRAFTKINGS HOLDINGS INC 5493008P45UYYL683Z97 CONVERTIBLE ZERO 26142RAB0 6192000 PA USD 5170320 0.929304311542 Long DBT CORP US N 2 2028-03-15 Fixed 0 N N N N N DRAFTKINGS HOLDINGS INC COMMON STOCK USD XXXX N N N DROPBOX INC 549300JCDF7UAR6TJR51 CONVERTIBLE ZERO 26210CAD6 6060000 PA USD 6332700 1.138228468199 Long DBT CORP US N 2 2028-03-01 Fixed 0 N N N N N DROPBOX INC COMMON STOCK USD XXXX N N N SNAP INC 549300JNC0L6VP8A2Q35 CONVERTIBLE ZERO 83304AAF3 9431000 PA USD 7586296.4 1.363547701719 Long DBT CORP US N 2 2027-05-01 Fixed 0 N N N N N SNAP INC COMMON STOCK USD XXXX N N N ON SEMICONDUCTOR CORP ZV20P4CNJVT8V1ZGJ064 CONVERTIBLE ZERO 682189AS4 924000 PA USD 1334256 0.239816849537 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 CLOUDFLARE INC 5493007DY18BGNLDWU14 CONVERTIBLE ZERO 18915MAC1 2866000 PA USD 2555039 0.459238259693 Long DBT CORP US N 2 2026-08-15 Fixed 0 N N N N N CLOUDFLARE INC COMMON STOCK USD XXXX N N N SOFI TECHNOLOGIES INC 549300SW81JCMVZDDY09 CONVERTIBLE ZERO 83406FAA0 210 PA USD 174.3 0.000031328378 Long DBT CORP US N 2 2026-10-15 Fixed 0 N N N N N SOFI TECHNOLOGIES INC COMMON STOCK USD XXXX N N N DIGITALOCEAN HOLDINGS INC 549300EPISPY3RE3DL21 CONVERTIBLE ZERO 25402DAB8 3036000 PA USD 2487698.4 0.447134577538 Long DBT CORP US N 2 2026-12-01 Fixed 0 N N N N N DIGITALOCEAN HOLDINGS INC COMMON STOCK USD XXXX N N N UNITY SOFTWARE INC 549300D1ESJMGNQNG432 CONVERTIBLE ZERO 91332UAB7 5865000 PA USD 4873815 0.876011019271 Long DBT CORP US N 2 2026-11-15 Fixed 0 N N N N N UNITY SOFTWARE INC COMMON STOCK USD XXXX N N N CONFLUENT INC 254900MRZ83YWUV7SN74 CONVERTIBLE ZERO 20717MAB9 2755000 PA USD 2288303 0.411295595633 Long DBT CORP US N 2 2027-01-15 Fixed 0 N N N N N CONFLUENT INC COMMON STOCK USD XXXX N N N SPOTIFY USA INC N/A CONVERTIBLE ZERO 84921RAB6 4190000 PA USD 3744812.5 0.673086076329 Long DBT CORP US N 2 2026-03-15 Fixed 0 N N N N N SPOTIFY TECHNOLOGY SA ORDINARY SHARES SEK XXXX N N N CLOUD SOFTWARE GROUP INC 04EEB871XLHVNY4RZJ65 CORP. NOTE 18912UAA0 1925000 PA USD 1814312.5 0.326101368723 Long DBT CORP US N 2 2029-09-30 Fixed 9 N N N N N N RINGCENTRAL INC 549300C8EH0H1614VE84 CORP. NOTE 76680RAJ6 1846000 PA USD 1892150 0.340091745401 Long DBT CORP US N 2 2030-08-15 Fixed 8.5 N N N N N N PUTNAM CASH COLLATERAL POOL LLC 5493005HRIV7IFMKD774 SHORT TERM INV FUND N/A 3804650 NS USD 3804650 0.683841164359 Long STIV PF US N 2 N N PUTNAM SHORT TERM INVESTMENT FUND 5493003MK0Q7JP8CPP42 SHORT TERM INV FUND 74676P664 29321965 NS USD 29321965 5.270278918398 Long STIV PF US N 2 N N N 2024-03-27 Putnam Convertible Securities Fund Janet C. Smith Janet C. Smith Principal Financial Officer XXXX NPORT-EX 2 b_008nport013124.htm QUARTERLY PORTFOLIO HOLDINGS
Putnam Convertible Securities Fund
The fund's portfolio
1/31/24 (Unaudited)


CONVERTIBLE BONDS AND NOTES (82.6%)(a)
        Principal amount Value
Aerospace and defense (1.3%)
Axon Enterprise, Inc. company guaranty cv. sr. unsec. notes 0.50%, 12/15/27 $6,190,000 $7,585,845

7,585,845
Automotive (1.0%)
Rivian Automotive, Inc. 144A cv. sr. unsec. sub. notes 4.625%, 3/15/29 5,180,000 5,515,502

5,515,502
Basic materials (0.5%)
MP Materials Corp. 144A cv. sr. unsec. notes 0.25%, 4/1/26 3,190,000 2,737,339

2,737,339
Biotechnology (5.7%)
Alnylam Pharmaceuticals, Inc. cv. sr. unsec. unsub. notes 1.00%, 9/15/27 4,903,000 4,713,254
BioMarin Pharmaceutical, Inc. cv. sr. unsec. sub. notes 1.25%, 5/15/27 2,990,000 2,976,844
BridgeBio Pharma, Inc. cv. sr. unsec. notes 2.50%, 3/15/27 2,345,000 2,613,588
Cytokinetics, Inc. cv. sr. unsec. unsub. notes 3.50%, 7/1/27 2,260,000 3,873,188
Guardant Health, Inc. cv. sr. unsec. sub. notes zero %, 11/15/27 2,825,000 1,938,798
Halozyme Therapeutics, Inc. cv. sr. unsec. notes 1.00%, 8/15/28 1,982,000 1,792,521
Halozyme Therapeutics, Inc. cv. sr. unsec. notes 0.25%, 3/1/27 3,005,000 2,569,275
Innoviva, Inc. cv. sr. unsec. notes 2.50%, 8/15/25 3,850,000 4,186,875
Insmed, Inc. cv. sr. unsec. sub. notes 0.75%, 6/1/28 3,330,000 3,611,385
Sarepta Therapeutics, Inc. cv. sr. unsec. unsub. notes 1.25%, 9/15/27 3,058,000 3,440,250

31,715,978
Broadcasting (1.3%)
Liberty Media Corp.-Liberty Formula One cv. sr. unsec. notes 2.25%, 8/15/27 6,865,000 7,222,616

7,222,616
Cable television (2.7%)
Cable One, Inc. company guaranty cv. sr. unsec. notes 1.125%, 3/15/28 6,050,000 4,613,125
DISH Network Corp. cv. sr. unsec. notes zero %, 12/15/25 4,410,000 3,137,715
Liberty Broadband Corp. 144A cv. sr. unsec. notes 3.125%, 3/31/53 7,395,000 7,265,588

15,016,428
Commercial and consumer services (3.8%)
Block, Inc. cv. sr. unsec. sub. notes 0.25%, 11/1/27 5,786,000 4,724,269
Booking Holdings, Inc. cv. sr. unsec. notes 0.75%, 5/1/25 4,580,000 8,567,348
Shift4 Payments, Inc. cv. sr. unsec. sub. notes 0.50%, 8/1/27 8,350,000 7,739,615

21,031,232
Computers (13.3%)
Akamai Technologies, Inc. cv. sr. unsec. notes 0.375%, 9/1/27 10,586,000 12,083,919
Altair Engineering, Inc. cv. sr. unsec. sub. notes 1.75%, 6/15/27 5,390,000 6,980,050
Bentley Systems, Inc. cv. sr. unsec. sub. notes 0.375%, 7/1/27 7,339,000 6,480,337
Cloudflare, Inc. cv. sr. unsec. notes zero %, 8/15/26 2,866,000 2,555,039
Confluent, Inc. cv. sr. unsec. unsub. notes zero %, 1/15/27 2,755,000 2,288,303
Datadog, Inc. cv. sr. unsec. notes 0.125%, 6/15/25 3,265,000 4,621,608
DigitalOcean Holdings, Inc. cv. sr. unsec. notes zero %, 12/1/26 3,036,000 2,487,698
Dropbox, Inc. cv. sr. unsec. sub. notes zero %, 3/1/28 6,060,000 6,332,700
Envestnet, Inc. company guaranty cv. sr. unsec. notes 2.625%, 12/1/27 3,775,000 3,737,250
Lumentum Holdings, Inc. cv. sr. unsec. notes 0.50%, 12/15/26 3,015,000 2,716,515
Lumentum Holdings, Inc. 144A cv. sr. unsec. notes 1.50%, 12/15/29 1,820,000 1,854,580
MongoDB, Inc. cv. sr. unsec. notes 0.25%, 1/15/26 2,835,000 5,475,803
Seagate HDD Cayman 144A company guaranty cv. sr. unsec. notes 3.50%, 6/1/28 (Cayman Islands) 8,849,000 10,636,498
Zscaler, Inc. cv. sr. unsec. notes 0.125%, 7/1/25 3,455,000 5,522,818

73,773,118
Consumer cyclicals (0.9%)
Patrick Industries, Inc. company guaranty cv. sr. unsec. notes 1.75%, 12/1/28 4,285,000 4,855,334

4,855,334
Consumer finance (—%)
SoFi Technologies, Inc. 144A cv. sr. unsec. notes zero %, 10/15/26 210 174

174
Consumer services (9.1%)
Airbnb, Inc. cv. sr. unsec. sub. notes zero %, 3/15/26 2,477,000 2,247,878
Etsy, Inc. cv. sr. unsec. notes 0.25%, 6/15/28 10,495,000 8,252,219
Fiverr International, Ltd. cv. sr. unsec. notes zero %, 11/1/25 (Israel) 4,733,000 4,218,523
Match Group Financeco 3, Inc. 144A company guaranty cv. sr. unsec. notes 2.00%, 1/15/30 6,480,000 5,754,888
Uber Technologies, Inc. 144A cv. sr. unsec. notes 0.875%, 12/1/28 10,025,000 11,167,850
Upwork, Inc. cv. sr. unsec. notes 0.25%, 8/15/26 3,715,000 3,144,005
Wayfair, Inc. cv. sr. unsec. unsub. notes 3.25%, 9/15/27 8,880,000 9,718,272
Zillow Group, Inc. cv. sr. unsec. sub. notes 1.375%, 9/1/26 4,625,000 6,291,505

50,795,140
Electric utilities (2.3%)
CMS Energy Corp. 144A cv. sr. unsec. notes 3.375%, 5/1/28 5,570,000 5,455,815
PG&E Corp. 144A cv. sr. notes 4.25%, 12/1/27 4,731,000 4,813,793
Southern Co. (The) 144A cv. sr. unsec. notes 3.875%, 12/15/25 2,615,000 2,603,233

12,872,841
Electrical equipment (0.6%)
Prysmian SpA cv. sr. unsec. unsub. notes zero %, 2/2/26 (Italy) EUR 3,000,000 3,576,682

3,576,682
Electronics (3.1%)
Impinj, Inc. cv. sr. unsec. notes 1.125%, 5/15/27 $2,965,000 3,387,513
ON Semiconductor Corp. cv. sr. unsec. notes zero %, 5/1/27 924,000 1,334,256
ON Semiconductor Corp. 144A company guaranty cv. sr. unsec. notes 0.50%, 3/1/29 8,299,000 8,045,881
Wolfspeed, Inc. cv. sr. unsec. notes 1.875%, 12/1/29 7,515,000 4,321,125

17,088,775
Energy (oil field) (0.3%)
Nabors Industries, Inc. 144A company guaranty cv. sr. unsec. unsub. notes 1.75%, 6/15/29 2,170,000 1,579,977

1,579,977
Engineering and construction (0.6%)
Granite Construction, Inc. 144A cv. sr. unsec. notes 3.75%, 5/15/28 2,855,000 3,355,196

3,355,196
Entertainment (4.3%)
IMAX Corp. cv. sr. unsec. unsub. notes 0.50%, 4/1/26 (Canada) 3,456,000 3,060,634
Live Nation Entertainment, Inc. 144A cv. sr. unsec. notes 3.125%, 1/15/29 8,567,000 9,430,344
NCL Corp., Ltd. company guaranty cv. sr. unsec. notes 5.375%, 8/1/25 1,269,000 1,521,531
NCL Corp., Ltd. company guaranty cv. sr. unsec. unsub. notes 2.50%, 2/15/27 3,620,000 3,314,110
Royal Caribbean Cruises, Ltd. cv. sr. unsec. unsub. notes 6.00%, 8/15/25 1,715,000 4,477,062
Vail Resorts, Inc. cv. sr. unsec. sub. notes zero %, 1/1/26 2,505,000 2,256,066

24,059,747
Environmental (1.2%)
Tetra Tech, Inc. 144A cv. sr. unsec. notes 2.25%, 8/15/28 6,333,000 6,436,228

6,436,228
Gaming and lottery (0.9%)
DraftKings, Inc. cv. sr. unsec. unsub. notes zero %, 3/15/28 6,192,000 5,170,320

5,170,320
Health care services (0.7%)
Teladoc Health, Inc. cv. sr. unsec. sub. notes 1.25%, 6/1/27 4,570,000 3,833,316

3,833,316
Homebuilding (0.4%)
Realogy Group, LLC/Realogy Co-Issuer Corp. company guaranty cv. sr. unsec. notes 0.25%, 6/15/26 2,837,000 2,237,826

2,237,826
Lodging/Tourism (1.0%)
Carnival Corp. company guaranty cv. sr. unsec. unsub. notes 5.75%, 12/1/27 3,620,000 5,500,590

5,500,590
Machinery (1.0%)
Middleby Corp. (The) cv. sr. unsec. notes 1.00%, 9/1/25 4,661,000 5,496,915

5,496,915
Manufacturing (0.5%)
John Bean Technologies Corp. cv. sr. unsec. notes 0.25%, 5/15/26 3,097,000 2,796,901

2,796,901
Medical technology (6.0%)
China Medical Technologies, Inc. cv. sr. unsec. bonds Ser. CMT, 4.00%, 8/15/24 (China) (In default)(NON)(F) 3,213,000
China Medical Technologies, Inc. 144A cv. sr. unsec. notes 6.25%, 12/16/24 (China) (In default)(NON)(F) 3,544,000
CONMED Corp. cv. sr. unsec. notes 2.25%, 6/15/27 5,128,000 4,871,600
Exact Sciences Corp. cv. sr. unsec. sub. notes 0.375%, 3/1/28 11,440,000 10,053,472
Insulet Corp. cv. sr. unsec. notes 0.375%, 9/1/26 2,244,000 2,389,860
Integer Holdings Corp. 144A cv. sr. unsec. unsub. notes 2.125%, 2/15/28 3,590,000 4,663,410
Lantheus Holdings, Inc. company guaranty cv. sr. unsec. unsub. notes 2.625%, 12/15/27 4,840,000 5,009,400
Shockwave Medical, Inc. 144A cv. sr. unsec. notes 1.00%, 8/15/28 2,999,000 3,142,952
TransMedics Group, Inc. 144A cv. sr. unsec. sub. notes 1.50%, 6/1/28 2,780,000 3,301,250

33,431,944
Oil and gas (0.7%)
Northern Oil and Gas, Inc. cv. sr.unsec. notes 3.625%, 4/15/29 3,420,000 3,785,940

3,785,940
Pharmaceuticals (4.2%)
Ascendis Pharma A/S cv. sr. unsec. notes 2.25%, 4/1/28 (Denmark) 3,349,000 3,566,685
Dexcom, Inc. 144A cv. sr. unsec. unsub. notes 0.375%, 5/15/28 13,220,000 13,279,490
Jazz Investments I, Ltd. company guaranty cv. sr. unsec. notes 2.00%, 6/15/26 (Ireland) 2,275,000 2,284,100
Mirum Pharmaceuticals, Inc. 144A cv. sr. unsec. sub. notes 4.00%, 5/1/29 1,940,000 2,215,480
Revance Therapeutics, Inc. cv. sr. unsec. notes 1.75%, 2/15/27 2,800,000 1,930,250

23,276,005
Power producers (1.9%)
NRG Energy, Inc. company guaranty cv. sr. unsec. bonds 2.75%, 6/1/48 7,975,000 10,507,063

10,507,063
Real estate (1.1%)
Welltower OP, LLC 144A company guaranty cv. sr. unsec. notes 2.75%, 5/15/28(R) 5,505,000 5,934,941

5,934,941
Restaurants (0.7%)
Shake Shack, Inc. cv. sr. unsec. notes zero %, 3/1/28 5,060,000 4,142,875

4,142,875
Software (6.0%)
Ceridian HCM Holding, Inc. cv. sr. unsec. notes 0.25%, 3/15/26 2,806,000 2,537,746
Everbridge, Inc. cv. sr. unsec. notes zero %, 3/15/26 3,366,000 2,949,289
Evolent Health, Inc. 144A cv. sr. unsec. notes 3.50%, 12/1/29 3,225,000 3,521,700
HubSpot, Inc. cv. sr. unsec. notes 0.375%, 6/1/25 1,897,000 4,135,460
Okta, Inc. cv. sr. unsec. notes 0.375%, 6/15/26 7,216,000 6,411,416
Progress Software Corp. cv. sr. unsec. notes 1.00%, 4/15/26 4,295,000 4,647,190
Unity Software, Inc. cv. sr. unsec. notes zero %, 11/15/26 5,865,000 4,873,815
Workiva, Inc. 144A cv. sr. unsec. sub. notes 1.25%, 8/15/28 4,360,000 4,189,960

33,266,576
Technology services (5.5%)
Palo Alto Networks, Inc. cv. sr. unsec. notes 0.375%, 6/1/25 3,665,000 12,461,258
Snap, Inc. cv. sr. unsec. notes zero %, 5/1/27 9,431,000 7,586,296
Spotify USA, Inc. company guaranty cv. sr. unsec. notes zero %, 3/15/26 4,190,000 3,744,813
Tyler Technologies, Inc. cv. sr. unsec. sub. notes 0.25%, 3/15/26 6,865,000 6,902,758

30,695,125
Telecommunications (—%)
Powerwave Technologies, Inc. cv. unsec. sub. notes 3.875%, 10/1/27 (In default)(NON)(F) 5,121,000 512

512

Total convertible bonds and notes (cost $459,248,049) $459,295,001









CONVERTIBLE PREFERRED STOCKS (8.5%)(a)
        Shares Value
Banking (2.4%)
Bank of America Corp. Ser. L, 7.25% cv. pfd. 11,045 $13,451,153

13,451,153
Electric utilities (1.2%)
NextEra Energy, Inc. $3.46 cv. pfd.(S) 187,150 6,932,036

6,932,036
Investment banking/Brokerage (3.0%)
Apollo Global Management, Inc. $3.38 cv. pfd. 289,789 16,935,269

16,935,269
Machinery (0.8%)
Chart Industries, Inc. $3.375 cv. pfd.(S) 86,700 4,335,000

4,335,000
Metals (1.1%)
RBC Bearings, Inc. $5.00 cv. pfd. 47,808 5,874,647

5,874,647

Total convertible preferred stocks (cost $48,615,683) $47,528,105









COMMON STOCKS (2.6%)(a)
        Shares Value
ATI, Inc.(NON) 45,115 $1,843,850
Broadcom, Inc. 1,110 1,309,800
Exxon Mobil Corp. 74,485 7,657,796
NVIDIA Corp. 2,775 1,707,374
Palo Alto Networks, Inc.(NON) 6,395 2,164,771

Total common stocks (cost $13,762,482) $14,683,591









CORPORATE BONDS AND NOTES (0.7%)(a)
        Principal amount Value
Cloud Software Group, Inc. 144A notes 9.00%, 9/30/29 $1,925,000 $1,814,313
RingCentral, Inc. 144A sr. unsec. notes 8.50%, 8/15/30 1,846,000 1,892,150

Total corporate bonds and notes (cost $3,405,394) $3,706,463









SHORT-TERM INVESTMENTS (6.0%)(a)
        Shares Value
Putnam Cash Collateral Pool, LLC 5.52%(AFF) 3,804,650 $3,804,650
Putnam Short Term Investment Fund Class P 5.47%(AFF) 29,321,965 29,321,965

Total short-term investments (cost $33,126,615) $33,126,615
TOTAL INVESTMENTS

Total investments (cost $558,158,223) $558,339,775













Key to holding's currency abbreviations
EUR Euro
USD/ $ United States Dollar
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, 2023 through January 31, 2024 (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 Franklin Resources, Inc., 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 $556,166,863.
(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
10/31/23
Purchase
cost
Sale
proceeds
Investment
income
Shares outstanding
and fair
value as of
1/31/24
Short-term investments
Putnam Cash Collateral Pool, LLC*# $8,044,470 $22,716,211 $26,956,031 $106,940 $3,804,650
Putnam Short Term Investment Fund Class P† 23,919,703 59,839,703 54,437,441 275,569 29,321,965





Total Short-term investments $31,964,173 $82,555,914 $81,393,472 $382,509 $33,126,615
* 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 $3,804,650 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 $3,645,208.
† Management fees paid by the fund are reduced by an amount equal to the management fees paid by Putnam Government Money Market Fund with respect to assets invested by the fund in Putnam Government Money Market Fund. 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.
(R) Real Estate Investment Trust.
(S) This security is on loan, in part or in entirety, at the close of the reporting period.
Debt obligations are considered secured unless otherwise indicated.
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, which 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.









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*:
Basic materials $1,843,850 $— $—
Energy 7,657,796
Technology 5,181,945



Total common stocks 14,683,591
Convertible bonds and notes 459,294,489 512
Convertible preferred stocks 21,270,269 26,257,836
Corporate bonds and notes 3,706,463
Short-term investments 33,126,615



Totals by level $35,953,860 $522,385,403 $512
* 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