|
Monthly Portfolio Holdings as of 2/28/2013
| Security Name |
Par / Shares |
Market Value($) |
| AFFYMAX INC |
4,500
|
11,970
|
| OWENS CORNING |
5,500
|
213,455
|
| WALTER INVESTMENT MA |
4,500
|
206,640
|
| TRUE RELIGION APPARE |
5,200
|
138,788
|
| DISCOVER FINANCIAL S |
6,500
|
250,445
|
| MCCORMICK & CO INC/M |
4,990
|
335,677
|
| VISA INC |
1,900
|
301,416
|
| FREEPORT-MCMORAN COP |
5,500
|
175,560
|
| GREAT LAKES DREDGE & |
35,300
|
344,175
|
| STARBUCKS CORP |
5,140
|
281,775
|
| CROCS INC |
9,200
|
139,472
|
| ASPEN TECHNOLOGY INC |
7,400
|
227,624
|
| VERIZON COMMUNICATIO |
3,200
|
148,896
|
| PHARMACYCLICS INC |
1,400
|
122,892
|
| VERTEX PHARMACEUTICA |
3,700
|
173,234
|
| PLAINS EXPLORATION & |
3,100
|
140,647
|
| PPL CORP |
6,100
|
188,002
|
| AMERICAN CAMPUS COMM |
5,100
|
230,520
|
| AMERICAN EXPRESS CO |
2,800
|
174,020
|
| FIRST CASH FINANCIAL |
4,560
|
241,270
|
| FOMENTO ECONOMICO ME |
5,100
|
569,874
|
| AMARIN CORP PLC |
16,900
|
136,721
|
| CELGENE CORP |
3,600
|
371,448
|
| CROWN HOLDINGS INC |
7,700
|
299,299
|
| NATIONAL OILWELL VAR |
1,600
|
109,008
|
| PFIZER INC |
13,800
|
377,706
|
| SANDISK CORP |
5,700
|
287,223
|
| ABIOMED INC |
17,920
|
287,437
|
| SYNTA PHARMACEUTICAL |
17,900
|
153,761
|
| OCCIDENTAL PETROLEUM |
1,700
|
139,961
|
| EASTMAN CHEMICAL CO |
3,600
|
251,028
|
| INSULET CORP |
11,520
|
260,006
|
| MERCK & CO INC |
4,800
|
205,104
|
| MASTERCARD INC |
700
|
362,474
|
| HUMANA INC |
2,400
|
163,824
|
| SPLUNK INC |
4,136
|
149,434
|
| GREEN MOUNTAIN COFFE |
3,200
|
152,832
|
| EATON CORP PLC |
5,100
|
316,047
|
| PACCAR INC |
3,100
|
147,033
|
| MARATHON OIL CORP |
10,800
|
361,800
|
| LYONDELLBASELL INDUS |
3,900
|
228,618
|
| DANAHER CORP |
4,270
|
263,032
|
| CITRIX SYSTEMS INC |
2,300
|
163,070
|
| WHITING PETROLEUM CO |
2,900
|
141,230
|
| CIT GROUP INC |
6,300
|
263,718
|
| ECOLAB INC |
2,100
|
160,755
|
| JARDEN CORP |
4,700
|
291,917
|
| CABOT OIL & GAS CORP |
6,140
|
380,496
|
| CHIPOTLE MEXICAN GRI |
950
|
300,951
|
| ORACLE CORP |
8,500
|
291,210
|
| SIGNATURE BANK/NEW Y |
2,850
|
211,670
|
| LEXICON PHARMACEUTIC |
45,700
|
90,029
|
| GOOGLE INC |
520
|
416,624
|
| OIL STATES INTERNATI |
2,400
|
182,760
|
| HANESBRANDS INC |
10,250
|
406,310
|
| ACTAVIS INC |
3,100
|
263,996
|
| NPS PHARMACEUTICALS |
26,700
|
213,066
|
| INGREDION INC |
5,300
|
350,860
|
| APPLE INC |
700
|
308,980
|
| NUANCE COMMUNICATION |
10,680
|
196,619
|
| ANHEUSER-BUSCH INBEV |
2,300
|
216,177
|
| HEARTWARE INTERNATIO |
1,400
|
119,588
|
| WISCONSIN ENERGY COR |
7,760
|
320,488
|
| BRUNSWICK CORP/DE |
1,980
|
72,151
|
| ALLEGIANT TRAVEL CO |
5,900
|
473,711
|
| ALEXANDRIA REAL ESTA |
2,190
|
155,797
|
| JOY GLOBAL INC |
4,200
|
266,028
|
| WHOLE FOODS MARKET I |
3,200
|
273,984
|
| CMS ENERGY CORP |
14,570
|
387,708
|
| JAZZ PHARMACEUTICALS |
5,300
|
308,354
|
| AMETEK INC |
2,595
|
108,549
|
| COBALT INTERNATIONAL |
5,100
|
125,817
|
| ANALOG DEVICES INC |
5,220
|
236,048
|
| MICROSOFT CORP |
11,900
|
330,820
|
| ARIAD PHARMACEUTICAL |
2,300
|
48,369
|
| WYNDHAM WORLDWIDE CO |
3,990
|
240,358
|
| ALTRIA GROUP INC |
9,200
|
308,660
|
| SPX CORP |
2,820
|
227,038
|
| SALIX PHARMACEUTICAL 02/18/12 STRIKE 55 |
5,500
|
268,675
|
The portfolio is actively managed, and current holdings may be different.
For fund descriptions, historical and current performance, standardized returns as of the most
recent quarter-end, risk disclosure or a prospectus, please click
here.
Please request a free information kit on any Pioneer fund by
ordering from this web site or by calling 1-800-225-6292. The kit includes a quarterly fact sheet and a prospectus.
You should consider a fund's investment objectives, risks, charges and expenses carefully before investing.
The prospectus contains this and other information about each fund and should be read carefully before you invest or
send money. To obtain a prospectus directly and for other information on any Pioneer fund please visit our
download literature page.
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