The S&P BDC Index is an unmanaged index designed to track leading business development companies that trade on major U.S. exchanges. You cannot invest directly in an index.Consider these risks before investing: Business development companies (BDCs) generally invest in less mature U.S. private companies or thinly traded U.S. public companies, which involves greater risk than well-established publicly traded companies. The fund will be sensitive to, and its performance will depend to a greater extent on, the overall condition of the financials sector. The use of leverage by BDCs magnifies gains and losses on amounts invested and increases the risks associated with investing in BDCs. A BDC may make investments with greater risk of volatility and loss of principal than other investment options and may also be highly speculative and aggressive. Certain BDCs may also be difficult to value since many of the assets of BDCs do not have readily ascertainable market values. As a non-diversified fund, the fund invests in fewer issuers and is more vulnerable than a more broadly diversified fund to fluctuations in the values of the securities it holds. Our investment techniques, analyses, and judgments may not produce the outcome we intend. The investments we select for the fund may not perform as well as other securities that we do not select for the fund. We, or the fund's other service providers, may experience disruptions or operating errors that could have a negative effect on the fund. You can lose money by investing in the fund.
Putnam BDC Income ETF (Class A) (PBDC)
Investing in companies offering attractive income to public investors through private market exposure
What is a BDC (business development company)?
A BDC (Business Development Company) is a company that provides financing to small- and midsize private companies. Formally speaking, most BDCs are closed-end funds that hold a portfolio of loans and trade on the stock market.Read our FAQs
NAV as of 12/06/22
Market data all data below as of 12/06/22
|Closing market price||$27.91|
|30-day median bid-ask spread||0.14%|
|30-day average trading volume||638|
|Net assets and outstanding shares||Download CSV|
How to buy Putnam ETFs
Putnam ETFs can be purchased and sold the same way you would buy or sell a stock — through most self-directed brokers or with the guidance of your advisor. Opening an online, self-directed brokerage account provides investors with:
- Accessibility to a variety of investment products
- Tools to help you build and optimize your portfolio
- Flexibility and freedom of managing your investment portfolio
ETF facts as of 10/31/22
Putnam BDC Income ETF seeks current income.
Strategy and process
- Distinctive high-income opportunitiesA BDC is a company that generates an attractive level of income by providing financing primarily to privately held small and midsize companies and distributing most of the net investment income to investors.
- Attractive portfolio diversificationBDCs historically have had low correlations to other comparable asset classes and are well positioned for varying interest-rate environments.
- A manager with deep BDC experienceThe portfolio manager has 20+ years of experience investing in small-cap value stocks and 15+ years of experience investing in BDCs.
Fees and expenses
|Acquired fund fees and expense||9.86%|
|Total expense ratio||10.61%|
For more information about the fees of PBDC, please see the “Fees and expenses” section of the fund prospectus.
|Fact Sheet (PDF)|
|Summary Prospectus (PDF)|
|Statutory Prospectus (PDF)|
|Statement of Additional Information (SAI) (PDF)|
Total return (%) as of 09/30/22
Cumulative Total return (%) as of 09/30/22
|Cumulative performance||1 yr.||3 yrs.||5 yrs.||Life|
|Net asset value||--||--||--||0.39%|
Shares of any ETF are bought and sold at market price (not NAV), may trade at a discount or premium to NAV, and are not individually redeemed from the fund. Brokerage commissions will reduce returns.
The fund has limited public trading history.
|Net asset value||Market price|
|1 mt. as of 11/30/22||4.58%||4.47%|
|Distribution rate as of 12/06/2022||8.74%|
|30-day SEC yield as of 11/30/2022||0.98%|
|Short-term cap. gain||$0.091|
|Long-term cap. gain||--|
|Number of days at premium||--|
|Number of days at NAV||--|
|Number of days at discount||--|
|Full portfolio holdings||Download XLSX|
Top industry sectors as of 09/30/22
|Cash and net other assets||1.39%|