Pioneer Investments: Pioneer Select Mid Cap Growth Fund


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Pioneer Select Mid Cap Growth Fund

Monthly Portfolio Holdings as of 2/28/2014

Security Name Par / Shares Market Value($)
WR Grace & Co. 109,786 11,125,713
Cubist Pharmaceuticals, Inc. 116,267 9,245,552
The TJX Companies, Inc. 134,367 8,258,196
Green Mountain Coffee Roasters, Inc. 181,853 19,963,822
Splunk, Inc. 75,876 7,037,499
Penn Virginia Corp. 582,110 8,818,967
Tractor Supply Co. 147,358 10,397,580
Gartner, Inc. 73,966 5,145,075
Bruker Corp. 272,536 6,197,469
Stericycle, Inc. 51,112 5,826,768
Blackstone Group LP 266,649 8,892,744
SBA Communications Corp. 94,971 9,038,390
Google, Inc. 10,207 12,408,140
Endologix, Inc. 401,419 5,419,157
Cimarex Energy Co. 51,008 5,902,136
LKQ Corp. 187,715 5,235,371
WellCare Health Plans, Inc. 110,293 6,818,313
Melco Crown Entertainment, Ltd. (A.D.R.) 190,606 8,180,810
Towers Watson & Co. 136,892 14,934,917
Align Technology, Inc. 169,057 8,846,753
Airgas, Inc. 36,814 3,968,549
G-III Apparel Group, Ltd. 110,905 7,706,788
Mistras Group, Inc. 144,633 3,187,711
Basic Energy Services, Inc. 218,193 5,203,903
Mohawk Industries, Inc. 52,429 7,420,276
VMware, Inc. 79,479 7,633,958
Whirlpool Corp. 35,729 5,167,485
Neurocrine Biosciences, Inc. 391,536 6,902,780
AutoZone, Inc. 7,894 4,250,445
Chart Industries, Inc. 54,506 4,554,521
Monster Beverage Corp. 152,115 11,256,510
Flotek Industries, Inc. 305,228 7,768,053
BankUnited, Inc. 173,490 5,808,445
Furmanite Corp. 293,186 3,471,322
LifeLock, Inc. 249,924 4,975,987
Vantiv, Inc. 233,473 7,431,446
Delek US Holdings, Inc. 142,620 3,959,131
Illumina, Inc. 42,952 7,365,838
National Fuel Gas Co. 39,489 2,966,414
Qlik Technologies, Inc. 122,624 3,740,032
EQT Corp. 24,647 2,521,142
Pandora Media, Inc. 133,454 4,993,849
Dollar General Corp. 97,527 5,841,867
Salix Pharmaceuticals, Ltd. 126,768 13,680,803
Morgan Stanley 194,947 6,004,368
Diana Shipping, Inc. 789,838 10,283,691
Healthcare Services Group, Inc. 113,727 3,062,668
ServiceNow, Inc. 114,237 7,774,970
Shire Plc (A.D.R.) 71,486 11,805,913
Ross Stores, Inc. 136,664 9,949,139
WW Grainger, Inc. 22,311 5,689,751
Weyerhaeuser Co. 356,630 10,524,151
Roper Industries, Inc. 38,019 5,156,137
Signature Bank/New York NY 70,913 9,284,639
Eagle Materials, Inc. 105,091 9,290,044
Tesla Motors, Inc. 4,851 1,187,573
Rock-Tenn Co. 63,472 7,084,745
PVH Corp. 33,843 4,278,770
American Airlines Group, Inc. 519,959 19,202,086
Catamaran Corp. 351,655 15,852,607
Dick's Sporting Goods, Inc. 101,663 5,456,253
Liberty Global Plc 103,391 8,948,491
Laredo Petroleum, Inc. 111,730 2,915,036
Delta Air Lines, Inc. 376,807 12,513,760
Safe Bulkers, Inc. 238,363 2,440,837
Xilinx, Inc. 187,149 9,769,178
Hanesbrands, Inc. 159,700 11,702,816
Actavis plc 92,456 20,416,134
Michael Kors Holdings, Ltd. 65,261 6,397,536
Westlake Chemical Corp. 58,763 7,834,871
Rice Energy, Inc. 195,419 4,690,056
Cadence Design Systems, Inc. 494,566 7,581,697
Salesforce.com, Inc. 131,402 8,195,543
Alliance Data Systems Corp. 28,767 8,201,759
Kate Spade & Co. 161,853 5,538,610
Affiliated Managers Group, Inc. 49,902 9,384,071
CoStar Group, Inc. 66,539 13,377,001
Cree, Inc. 89,469 5,496,081
The NASDAQ OMX Group, Inc. 325,703 12,503,738
SS&C Technologies Holdings, Inc. 102,469 3,963,501
Lear Corp. 237,367 19,274,200
Avago Technologies, Ltd. 165,333 10,201,046
B/E Aerospace Inc 65,836 5,546,683
Synaptics, Inc. 143,588 9,338,964
Skyworks Solutions, Inc. 255,752 9,068,966
Stratasys, Ltd. 64,447 8,193,147
Quanta Services, Inc. 122,128 4,300,127
Akamai Technologies, Inc. 297,247 18,170,709
Ingersoll-Rand Plc 132,499 8,100,989
Guidewire Software, Inc. 132,604 7,108,900
Dunkin' Brands Group, Inc. 71,266 3,682,314
priceline.com, Inc. 8,470 11,424,675
Verisk Analytics, Inc. 59,667 3,801,683
Netflix, Inc. 15,839 7,058,334
H&R Block, Inc. 302,512 9,571,480
Harley-Davidson, Inc. 136,316 9,005,035
Mobile Mini, Inc. 133,287 5,999,248
Financial Engines, Inc. 94,800 5,357,148
Whole Foods Market, Inc. 133,348 7,207,459
Aspen Technology, Inc. 125,214 5,878,797
Goodrich Petroleum Corp. 278,367 3,791,359
Dollar Tree, Inc. 199,551 10,929,408
Terex Corp. 149,834 6,672,108
Aon Plc 71,727 6,139,831
Natural Grocers by Vitamin Cottage, Inc. 84,443 3,440,208
Gulfport Energy Corp. 217,030 14,345,683
Chipotle Mexican Grill, Inc. 17,189 9,715,395
United Continental Holdings, Inc. 166,369 7,479,950
Masimo Corp. 310,692 7,938,181
Jazz Pharmaceuticals Plc 78,908 11,989,676
Methanex Corp. 99,593 7,004,376
Discovery Communications, Inc. 90,340 7,527,129
Lennar Corp. 114,352 5,017,766
Crown Castle International Corp. 127,147 9,650,457
Chicago Bridge & Iron Co NV 45,104 3,797,306
Las Vegas Sands Corp. 155,482 13,254,841
WEX, Inc. 86,040 8,330,393
LinkedIn Corp. 40,432 8,249,745
Alkermes Plc 151,704 7,383,434
Nu Skin Enterprises, Inc. 43,479 3,729,629
F5 Networks, Inc. 131,324 14,752,938
The Manitowoc Co, Inc. 272,476 8,430,407
eBay, Inc. 128,614 7,558,645
Brookdale Senior Living, Inc. 182,865 6,133,292
Cabot Oil & Gas Corp. 669,407 23,429,245
Constellation Brands, Inc. 120,849 9,792,394
CarMax, Inc. 193,492 9,370,818
Norwegian Cruise Line Holdings, Ltd. 300,926 10,312,734
Vertex Pharmaceuticals, Inc. 104,723 8,467,902
Copa Holdings SA 65,719 8,902,296
Edwards Lifesciences Corp. 210,892 14,711,826
NPS Pharmaceuticals, Inc. 251,939 8,812,826
Lowe's Companies, Inc. 163,657 8,187,760
WageWorks, Inc. 138,935 8,218,005
United Rentals, Inc. 111,578 9,856,801
Finisar Corp. 162,074 3,841,154
MasterCard, Inc. 84,463 6,564,464
Fortune Brands Home & Security, Inc. 88,181 4,121,580
Charles River Laboratories International, Inc. 128,899 7,657,890
American Energy - Utica LLC, 3.5%, 3/1/21 (144A) 2,365,000 2,338,959
Discover Financial Services 146,381 8,399,342
Domtar Corp. 72,009 7,977,157
SemGroup Corp. 87,042 5,859,667
KapStone Paper and Packaging Corp. 211,047 6,709,184
Carter's, Inc. 53,636 4,040,400
The Advisory Board Co. 69,393 4,446,703
Marathon Petroleum Corp. 135,575 11,388,300
Lincoln Electric Holdings, Inc. 105,042 7,874,999
Dominion Resources, Inc./VA 34,589 2,400,477
Martin Marietta Materials, Inc. 27,162 3,313,221
Facebook, Inc. 123,170 8,432,218
Kansas City Southern 48,589 4,563,479
HomeAway, Inc. 246,442 11,304,295

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

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