Putnam
Premier
Income
Trust
Assets:
Investments
in
securities:
Cost
-
Unaffiliated
issuers
...................................................................
$466,298,664
Cost
-
Non-controlled
affiliates
(Note
3
e
)
........................................................
30,896,325
Value
-
Unaffiliated
issuers
..................................................................
$471,983,398
Value
-
Non-controlled
affiliates
(Note
3
e
)
.......................................................
30,977,624
Cash
....................................................................................
2,366,185
Receivables:
Investment
securities
sold
...................................................................
1,830,718
Receivable
for
sales
of
TBA
securities
(Note
1
d
)
..................................................
52,546,211
Dividends
and
interest
.....................................................................
3,377,388
Deposits
with
brokers
for:
Futures
contracts
........................................................................
363,033
Centrally
cleared
swap
contracts
............................................................
4,232,473
Variation
margin
on
centrally
cleared
swap
contracts
...............................................
8,701
OTC
swap
contracts
(upfront
payments
)
..........................................................
2,788,805
Unrealized
appreciation
on
OTC
forward
exchange
contracts
..........................................
93,078
Unrealized
appreciation
on
forward
premium
swap
option
contracts
.....................................
2,240,277
Unrealized
appreciation
on
OTC
swap
contracts
....................................................
874,495
Unrealized
appreciation
on
unfunded
loan
commitments
(Note
8
)
.......................................
177
Prepaid
expenses
..........................................................................
118,942
Total
assets
..........................................................................
573,801,505
Liabilities:
Payables:
Investment
securities
purchased
..............................................................
2,958,864
Payable
for
purchases
of
TBA
securities
(Note
1
d
)
................................................
150,748,828
Management
fees
.........................................................................
222,301
Administrative
fees
........................................................................
2,510
Transfer
agent
fees
........................................................................
17,214
Trustees'
fees
and
expenses
.................................................................
167,280
Variation
margin
on
futures
contracts
...........................................................
9,461
Deposits
from
brokers
for:
OTC
derivative
contracts
..................................................................
2,264,000
OTC
swap
contracts
(upfront
receipts
)
...........................................................
800,735
Unrealized
depreciation
on
OTC
swap
contracts
....................................................
478,952
Unrealized
depreciation
on
OTC
forward
exchange
contracts
..........................................
569,577
Unrealized
depreciation
on
forward
premium
swap
option
contracts
.....................................
1,790,514
TBA
sale
commitments,
at
value
(proceeds
$52,546,211)
(Note
1d)
......................................
52,418,405
Unrealized
depreciation
on
unfunded
loan
commitments
(Note
8
)
.......................................
42
Collateral
on
certain
derivative
contracts,
at
value
(Note
1
e
)
...........................................
141,607
Accrued
expenses
and
other
liabilities
...........................................................
657,347
Total
liabilities
.........................................................................
213,247,637
Net
assets,
at
value
.................................................................
$360,553,868
Net
assets
consist
of:
Paid-in
capital
.............................................................................
$600,996,062
Total
distributable
earnings
(losses)
.............................................................
(240,442,194)
Net
assets,
at
value
.................................................................
$360,553,868
Shares
outstanding
.........................................................................
95,567,537
Net
asset
value
per
share
a
....................................................................
$3.77