Company: PPT
Filing Date: 2025-09-26
Form Type: N-CSR
Source: 0001133228-25-010195
Chunk: 139

Company: PUTNAM PREMIER INCOME TRUST
Filing Date: 2025-09-26
Form: N-CSR
Chunk 139
---
WS

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

7,379

(7,379)

—

—

—

CITI

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

806,764

(806,764)

—

—

—

GSCO

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

88,961

(88,961)

—

—

—

HSBK

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

15,375

(15,375)

—

—

—

JPHQ

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

766,305

(766,305)

—

—

—

MCM

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

160,898

(59,269)

—

—

101,629

MLCO

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

134,532

(134,532)

—

—

—

MSCO

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

310,058

(310,058)

—

—

—

NATW

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

1,466

—

—

—

1,466

SSBT

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

—

—

—

—

—

TDOM

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

250

(250)

—

—

—

UBSW

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

245,226

(245,226)

—

—

—

WPAC

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

—

—

—

—

—

Total

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

$3,231,107

$(2,584,135)

$(367,268)

$—

$279,704

a

See

the

accompanying

Schedule

of

Investments

for

securities

pledged

as

collateral

for

derivatives.

b

In

some

instances,

the

collateral

amounts

disclosed

in

the

table

above

were

adjusted

due

to

the

requirement

to

limit

the

collateral

amounts

to

avoid

the

effect

of

overcollateralization.

Actual

collateral

received

and/or

pledged

may

be

more

than

the

amounts

disclosed

herein.

#### 9.

#### Other

#### Derivative

#### Information
(continued)

Putnam

Premier

Income

Trust

Notes

to

### Financial
Statements

55

franklintempleton.com

Annual

Report

#### 10.

#### Fair

#### Value

#### Measurements
The

Fund

follows

a

fair

value

hierarchy

that

distinguishes

between

market

data

obtained

from

independent

sources

(observable

inputs)

and

the Fund's

own

market

assumptions

(unobservable

inputs).

These

inputs

are

used

in

determining

the