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Why choose our balanced fund?

Backed by +85 years of experience in balanced investing, this fund offers a compelling combination of growth potential and downside protection.

A diversified, actively managed approach

  • Target allocation of 60% stocks / 40% bonds
  • Invests in US large-cap stocks and high-quality US bonds
  • Combines Putnam’s best equity ideas with the expertise of Franklin Templeton Fixed Income

Performance you can trust

  • The strategy behind the fund is one of the longest-running US balanced strategies, dating back to 1937
  • Management aims for similar performance to the market, with potential outperformance and reduced volatility
  • Consistent and proven long-term performance track record1

Powered by deep investment expertise

  • Backed by extensive resources from Putnam Investments and Franklin Templeton Fixed Income
  • Equity sleeve: Managed by tenured sector analysts and overseen by Putnam's Director of Research
  • Fixed income sleeve: Managed by Franklin Templeton Fixed Income, with support from 70+ research professionals across corporate credit, multi-sector, and securitised

Inside the balanced portfolio

FTGF Putnam Balanced Fund asset allocation

 

* Target asset allocation shown is an internal guideline not a prospectus limit. Allocations will vary. Subject to change.

Consistency through market cycles

We have refined this strategy over the past decades to pursue returns across changing market environments. See how it compares to its benchmark over time2.
 

Past performance is not a guarantee of future results.

Past performance is not a guarantee of future results.
Information is based on the George Putnam Balanced Composite. Composite inception date 31 July 1993. An investment in this strategy can lose value. All returns include the reinvestment of dividends and interest. This material is for informational purposes only, is not definitive investment advice and should not be relied on as such. It does not take into account any investor’s particular investment objective, strategies, tax status or investment horizon. No recommendation or advise is being given as to whether any investment or strategy is suitable for a particular investor. It is not intended as an offer or solicitation for the purchase or sale of any financial instrument, or any Putnam product or strategy. Unless otherwise noted, Putnam is the source of all data. This material or any portion hereof may not be reprinted, sold, or redistributed in whole or in part without the express written consent of Putnam Investments. The information provided relates to Putnam Investments and its affiliates, which include The Putnam Advisory Company, LLC and Putnam Investments Limited®. Putnam Investments is a Franklin Templeton company. George Putnam Blended Index is an unmanaged index administered by Putnam Management, 60% of which is the S&P 500 Index and 40% of which is the Bloomberg U.S. Aggregate Bond Index.

How the fund works

Watch our video to explore how we manage the fund, how we adjust allocations, and how it can fit into your clients’ portfolios.

Meet the team

Meet the experienced managers behind the strategy - experts in both equity and fixed income investing.

Kate Lakin

Director of Research, Portfolio Manager
Putnam Investments

Andrew C. Benson

Portfolio Manager
Franklin Templeton Fixed Income

Jyotsana Wadera

Senior Client Portfolio Manager
Putnam Investments

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