Pioneer Investments: Pioneer Select Mid Cap Growth Fund


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Pioneer Select Mid Cap Growth Fund

Monthly Portfolio Holdings as of 3/31/2015

Security Name Par / Shares Market Value($)
Endo International Plc 176,675 15,847,748
Acuity Brands, Inc. 28,916 4,862,515
WR Grace & Co. 62,685 6,197,666
Avery Dennison Corp. 104,197 5,513,063
Palo Alto Networks, Inc. 35,483 5,183,357
F5 Networks, Inc. 69,218 7,955,917
Boston Scientific Corp. 670,423 11,900,008
Methanex Corp. 50,079 2,683,277
Jack in the Box, Inc. 67,115 6,437,671
Insulet Corp. 256,788 8,563,880
Whirlpool Corp. 37,479 7,573,007
Diamond Foods, Inc. 15,910 518,189
B/E Aerospace Inc 168,226 10,702,538
comScore, Inc. 121,181 6,204,467
Performance Sports Group, Ltd. 200,474 3,909,243
Liberty Global Plc 95,000 4,889,650
Endologix, Inc. 542,931 9,267,832
Tractor Supply Co. 135,399 11,517,039
Google, Inc. 9,458 5,182,984
Avago Technologies, Ltd. 151,917 19,290,421
The Sherwin-Williams Co. 26,771 7,616,350
Cabot Oil & Gas Corp. 379,413 11,204,066
Keurig Green Mountain, Inc. 193,737 21,646,235
Wabtec Corp./DE 58,839 5,590,293
Hertz Global Holdings, Inc. 167,826 3,638,468
National Fuel Gas Co. 8,213 495,490
The TJX Companies, Inc. 108,909 7,629,075
Neurocrine Biosciences, Inc. 175,892 6,984,671
Dollar Tree, Inc. 261,229 21,197,427
Splunk, Inc. 93,292 5,522,886
Towers Watson & Co. 115,250 15,234,321
Shire Plc (A.D.R.) 71,255 17,050,609
WellCare Health Plans, Inc. 84,382 7,717,578
HomeAway, Inc. 439,597 13,262,641
Cadence Design Systems, Inc. 314,813 5,805,152
Ross Stores, Inc. 70,934 7,473,606
BankUnited, Inc. 106,814 3,497,090
Rockwell Collins, Inc. 49,309 4,760,784
MasterCard, Inc. 85,639 7,398,353
H&R Block, Inc. 277,962 8,914,241
Dynegy, Inc. 27,704 870,737
TESARO, Inc. 117,321 6,734,225
Omnicare, Inc. 196,474 15,140,286
Align Technology, Inc. 257,647 13,857,544
Hilton Worldwide Holdings, Inc. 230,905 6,839,406
American Airlines Group, Inc. 458,969 24,224,384
CVS Health Corp. 105,864 10,926,223
ANSYS, Inc. 70,966 6,258,492
United Rentals, Inc. 78,612 7,166,270
Brookdale Senior Living, Inc. 168,426 6,359,766
Southwest Airlines Co. 53,013 2,348,476
RPM International, Inc. 85,750 4,115,143
Michael Kors Holdings, Ltd. 66,636 4,381,317
Tesoro Corp. 26,726 2,439,817
Roper Industries, Inc. 48,221 8,294,012
Akamai Technologies, Inc. 277,448 19,711,293
Alliance Data Systems Corp. 15,981 4,734,371
Macquarie Infrastructure Co LLC 88,357 7,270,898
Cintas Corp. 62,865 5,131,670
Agrium, Inc. 23,547 2,455,246
Ryder System, Inc. 101,298 9,612,167
WABCO Holdings, Inc. 109,046 13,399,572
Criteo SA (A.D.R.) 118,321 4,673,680
United Continental Holdings, Inc. 234,136 15,745,646
Panera Bread Co. 17,723 2,835,591
Lear Corp. 218,104 24,170,285
Sonic Corp. 242,016 7,671,907
Westlake Chemical Corp. 120,833 8,692,726
Eagle Materials, Inc. 61,893 5,171,779
Oasis Petroleum, Inc. 362,094 5,148,977
Mead Johnson Nutrition Co. 41,676 4,189,688
SS&C Technologies Holdings, Inc. 94,154 5,865,794
The Kroger Co. 217,140 16,645,952
Constellation Brands, Inc. 111,043 12,904,307
ServiceNow, Inc. 77,082 6,072,520
LinkedIn Corp. 44,161 11,034,067
Whiting Petroleum Corp. 251,108 7,759,237
Packaging Corp of America 43,580 3,407,520
Tableau Software, Inc. 53,747 4,972,672
Chipotle Mexican Grill, Inc. 11,168 7,265,231
Signet Jewelers, Ltd. 59,431 8,248,428
Lorillard, Inc. 81,418 5,320,666
Autodesk, Inc. 151,251 8,869,359
Memorial Resource Development Corp. 678,067 12,028,909
Charles River Laboratories International, Inc. 183,365 14,539,011
Molson Coors Brewing Co. (Class B) 116,053 8,640,146
PDC Energy, Inc. 50,879 2,749,501
Intuit, Inc. 97,704 9,473,380
Hormel Foods Corp. 109,511 6,225,700
Broadcom Corp. 131,072 5,674,762
The Manitowoc Co, Inc. 253,197 5,458,927
Lithia Motors, Inc. 79,057 7,859,056
Devon Energy Corp. 21,899 1,320,729
Level 3 Communications, Inc. 208,083 11,203,189
SBA Communications Corp. 119,054 13,941,223
TripAdvisor, Inc. 112,849 9,385,651
Martin Marietta Materials, Inc. 33,285 4,653,243
Norwegian Cruise Line Holdings, Ltd. 111,447 6,019,252
Five Below, Inc. 93,778 3,335,683
American Energy - Utica LLC, 3.5%, 3/1/21 (144A) (PIK) 3,716,000 1,831,678
Mohawk Industries, Inc. 30,403 5,647,357
MRC Global, Inc. 356,538 4,224,975
Edwards Lifesciences Corp. 91,185 12,990,215
Alkermes Plc 228,581 13,936,584
Google, Inc. 9,418 5,224,165
Carlisle Companies, Inc. 81,866 7,583,248
UTi Worldwide, Inc. 303,000 3,726,900
Catamaran Corp. 387,623 23,079,073
CoStar Group, Inc. 76,712 15,175,935
Qlik Technologies, Inc. 254,428 7,920,344
Weyerhaeuser Co. 407,069 13,494,337
Skyworks Solutions, Inc. 297,512 29,242,454
Old Dominion Freight Line, Inc. 73,469 5,679,154
ITC Holdings Corp. 31,725 1,187,467
Signature Bank/New York NY 52,338 6,781,958
Twitter, Inc. 190,234 9,526,919
Vertex Pharmaceuticals, Inc. 107,456 12,676,584
SemGroup Corp. 78,991 6,425,128
Sabre Corp. 263,711 6,408,177
The NASDAQ OMX Group, Inc. 331,465 16,884,827
Monster Beverage Corp. 98,087 13,574,750
Ulta Salon Cosmetics & Fragrance, Inc. 37,317 5,629,269
Hub Group, Inc. 163,897 6,439,513
Netflix, Inc. 21,961 9,150,929
ManpowerGroup, Inc. 121,221 10,443,189
Affiliated Managers Group, Inc. 63,971 13,739,691
Mobile Mini, Inc. 141,577 6,036,843
Berry Plastics Group, Inc. 183,158 6,628,488
BorgWarner, Inc. 110,344 6,673,605
Lowe's Companies, Inc. 150,376 11,186,471
WageWorks, Inc. 106,210 5,664,179
Advance Auto Parts, Inc. 106,869 15,997,221
Kansas City Southern 63,662 6,498,617
Cimarex Energy Co. 65,316 7,517,218
Liberty Global Plc 118,966 5,925,696
Cardinal Health, Inc. 164,159 14,818,633
Regal-Beloit Corp. 76,373 6,103,730
Dave & Buster's Entertainment, Inc. 217,109 6,613,140
Hanesbrands, Inc. 294,799 9,878,714
Gartner, Inc. 67,963 5,698,698
Facebook, Inc. 146,062 12,008,487
Cameron International Corp. 52,968 2,389,916
Flotek Industries, Inc. 200,985 2,962,519
The Blackstone Group LP 198,312 7,712,354
Boardwalk Pipeline Partners LP 284,664 4,583,090
Intercontinental Exchange, Inc. 57,670 13,452,681
salesforce.com inc 113,331 7,571,644
Synaptics, Inc. 56,888 4,625,279
Tyson Foods, Inc. 207,632 7,952,306
Discover Financial Services 293,139 16,518,383
G-III Apparel Group, Ltd. 88,176 9,933,026
Jazz Pharmaceuticals Plc 106,165 18,344,250

The portfolio is actively managed, and current holdings may be different.

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