Company: PPT
Filing Date: 2025-09-26
Form Type: N-CSR
Source: 0001133228-25-010195
Chunk: 14

Company: PUTNAM PREMIER INCOME TRUST
Filing Date: 2025-09-26
Form: N-CSR
Chunk 14
---

is

calculated

assuming

a

purchase

of

common

shares

on

the

opening

of

the

first

### business
day

and

a

sale

on

the

closing

of

the

last

### business
day

of

each

period.

Dividends

and

distributions

are

assumed

for

the

purposes

of

this

calculation

to

be

reinvested

at

prices

obtained

under

the

Fund's

Dividend

Reinvestment

and

Cash

Purchase

Plan.

Net

Asset

Value

Total

Return

is

calculated

on

the

same

basis,

except

that

the

Fund's

net

asset

value

is

used

on

the

purchase,

sale

and

dividend

reinvestment

dates

instead

of

market

value.

Total

return

does

not

reflect

brokerage

commissions

or

sales

charges

in

connection

with

the

purchase

or

sale

of

Fund

shares.

e

Benefit

of

expense

reduction

rounds

to

less

than

0.01%.

f

Benefit

of

waiver

and

payments

by

affiliates

rounds

to

less

than

0.01%.

Putnam

Premier

Income

Trust

Schedule

of

Investments,

July

31,

2025

franklintempleton.com

The

accompanying

notes

are

an

integral

part

of

these

### financial
statements.

Annual

Report

9

a

a

#### Country

#### Shares
a

#### Value
a

a

#### a

#### a
a

#### a

### Management

#### Investment

#### Companies

#### 2.5%

#### Capital

#### Markets

#### 2.5%
a

Franklin

Ultra

Short

Bond

ETF

..........................

United

States

368,080

$

9,211,202

#### Total

### Management

#### Investment

#### Companies
**(Cost

$9,155,669)**

#### ...................

#### 9,211,202

#### Principal

#### Amount
*****

#### Convertible

#### Bonds

#### 3.0%

#### Aerospace
#### &

#### Defense

####