Pioneer Investments: Pioneer Select Mid Cap Growth Fund


Mutual Funds
Funds Directory
Balanced / Flexible Funds
Equity Funds
International Equity Funds
Fixed Income Funds
Asset Allocation Series
Alternatives
Daily Pricing
Performance
Distributions
Historical Distributions
Morningstar Ratings
Historical Pricing
Holdings
Home Funds & Products Mutual Funds Printable Version
Pioneer Select Mid Cap Growth Fund

Monthly Portfolio Holdings as of 1/30/2015

Security Name Par / Shares Market Value($)
Pandora Media, Inc. 186,626 3,097,992
Cadence Design Systems, Inc. 454,429 8,175,178
National Fuel Gas Co. 8,213 520,951
The Sherwin-Williams Co. 26,771 7,262,169
Hanesbrands, Inc. 83,802 9,333,867
Macquarie Infrastructure Co LLC 88,357 6,313,991
LinkedIn Corp. 44,161 9,924,743
Bruker Corp. 117,126 2,208,996
Salix Pharmaceuticals, Ltd. 61,531 8,286,380
Cimarex Energy Co. 59,745 6,165,684
Old Dominion Freight Line, Inc. 85,571 6,000,239
Berry Plastics Group, Inc. 183,158 6,194,404
HD Supply Holdings, Inc. 283,316 8,168,000
Netflix, Inc. 21,961 9,702,370
BankUnited, Inc. 106,814 2,954,475
SemGroup Corp. 78,991 5,318,464
Endo International Plc 200,082 15,928,528
Cardinal Health, Inc. 167,509 13,935,074
CVS Health Corp. 105,864 10,391,610
Palo Alto Networks, Inc. 35,483 4,484,696
Facebook, Inc. 146,062 11,087,566
Omnicare, Inc. 158,798 11,906,674
Autodesk, Inc. 151,251 8,168,310
Covanta Holding Corp. 265,092 5,418,480
Western Digital Corp. 65,870 6,404,540
Discover Financial Services 244,451 13,293,245
Mobile Mini, Inc. 141,577 5,139,245
Edwards Lifesciences Corp. 102,589 12,859,531
Mead Johnson Nutrition Co. 41,676 4,104,669
Alliance Data Systems Corp. 20,243 5,846,786
HomeAway, Inc. 439,597 11,205,328
Gartner, Inc. 67,963 5,723,844
Devon Energy Corp. 78,562 4,734,932
Packaging Corp of America 43,580 3,305,543
Molson Coors Brewing Co. (Class B) 116,053 8,811,904
ITC Holdings Corp. 31,725 1,349,582
Google, Inc. 9,418 5,062,646
BorgWarner, Inc. 43,242 2,335,500
Towers Watson & Co. 115,250 13,657,125
Wabtec Corp./DE 65,838 5,494,181
Tesoro Corp. 26,726 2,184,316
Alkermes Plc 240,753 17,394,404
Qlik Technologies, Inc. 254,428 7,225,755
UTi Worldwide, Inc. 201,954 2,397,194
SBA Communications Corp. 119,054 13,893,602
United Continental Holdings, Inc. 234,136 16,242,014
ManpowerGroup, Inc. 112,814 8,221,884
Diamond Foods, Inc. 15,910 391,068
Akamai Technologies, Inc. 277,448 16,134,988
Ross Stores, Inc. 70,934 6,505,357
MasterCard, Inc. 77,609 6,366,266
Vertex Pharmaceuticals, Inc. 64,142 7,064,600
Cabot Oil & Gas Corp. 379,413 10,054,445
Jack in the Box, Inc. 111,908 9,488,679
Spirit Airlines, Inc. 42,359 3,140,496
Google, Inc. 9,458 5,055,490
WageWorks, Inc. 106,210 5,845,798
Jazz Pharmaceuticals Plc 95,080 16,100,847
Southwest Airlines Co. 68,316 3,086,517
WellCare Health Plans, Inc. 78,255 5,700,877
Advance Auto Parts, Inc. 106,869 16,992,171
SS&C Technologies Holdings, Inc. 94,154 5,209,541
Keurig Green Mountain, Inc. 150,939 18,499,084
American Airlines Group, Inc. 470,303 23,082,471
Roper Industries, Inc. 48,221 7,442,429
The Kroger Co. 217,140 14,993,517
WR Grace & Co. 62,685 5,433,536
Align Technology, Inc. 269,134 14,277,559
American Energy - Utica LLC, 3.5%, 3/1/21 (144A) (PIK) 3,716,000 2,469,592
Michael Kors Holdings, Ltd. 66,636 4,717,162
G-III Apparel Group, Ltd. 88,176 8,570,707
Rice Energy, Inc. 138,009 2,357,194
Sonic Corp. 242,016 7,325,824
Hilton Worldwide Holdings, Inc. 230,905 5,996,603
salesforce.com inc 113,331 6,397,535
Charles River Laboratories International, Inc. 219,560 15,226,486
Mohawk Industries, Inc. 30,403 5,017,711
Boardwalk Pipeline Partners LP 284,664 4,343,973
SanDisk Corp. 35,142 2,667,629
Neurocrine Biosciences, Inc. 194,144 6,534,887
ServiceNow, Inc. 68,465 4,991,099
Kansas City Southern 69,065 7,603,366
Skyworks Solutions, Inc. 326,161 27,087,671
Signet Jewelers, Ltd. 59,431 7,197,688
CoStar Group, Inc. 76,712 14,154,131
Lowe's Companies, Inc. 150,376 10,189,478
WABCO Holdings, Inc. 48,034 4,571,396
LKQ Corp. 509,086 13,139,510
Monster Beverage Corp. 98,087 11,471,275
Tractor Supply Co. 135,399 10,990,337
Weyerhaeuser Co. 447,768 16,052,483
The Manitowoc Co, Inc. 253,197 4,734,784
Catamaran Corp. 405,242 20,225,628
Lithia Motors, Inc. 79,057 6,696,128
PVH Corp. 46,589 5,136,903
Avago Technologies, Ltd. 151,917 15,629,221
Dollar Tree, Inc. 261,229 18,573,382
Hertz Global Holdings, Inc. 195,781 4,017,426
Endologix, Inc. 621,362 8,655,573
B/E Aerospace Inc 157,583 9,191,816
The TJX Companies, Inc. 123,466 8,141,348
Intercontinental Exchange, Inc. 43,187 8,884,862
Liberty Global Plc 118,966 5,423,660
The NASDAQ OMX Group, Inc. 372,139 16,969,538
H&R Block, Inc. 277,962 9,528,537
United Rentals, Inc. 73,514 6,090,635
Level 3 Communications, Inc. 208,083 10,350,048
RPM International, Inc. 85,750 4,103,995
Ryder System, Inc. 101,298 8,386,461
Hormel Foods Corp. 109,511 5,609,153
Dynegy, Inc. 27,704 756,873
Memorial Resource Development Corp. 681,271 13,046,340
Continental Resources, Inc./OK 58,610 2,660,894
Agrium, Inc. 23,547 2,511,288
Flotek Industries, Inc. 179,812 2,907,560
Tyson Foods, Inc. 207,632 8,105,953
Constellation Brands, Inc. 111,043 12,264,699
Performance Sports Group, Ltd. 200,474 3,708,769
TESARO, Inc. 164,426 6,614,858
Westlake Chemical Corp. 120,833 6,924,939
Lorillard, Inc. 157,641 10,342,826
The Blackstone Group LP 198,312 7,404,970
Signature Bank/New York NY 50,281 5,889,414
TripAdvisor, Inc. 86,600 5,803,066
Liberty Global Plc 95,000 4,438,400
Insulet Corp. 240,021 7,054,217
Panera Bread Co. 39,208 6,738,287
JB Hunt Transport Services, Inc. 40,839 3,251,193
Acuity Brands, Inc. 32,875 4,927,634
Carlisle Companies, Inc. 81,866 7,341,743
Five Below, Inc. 93,778 3,124,683
Lear Corp. 218,104 21,886,736
F5 Networks, Inc. 96,751 10,799,347
Brookdale Senior Living, Inc. 178,865 6,036,694
Cintas Corp. 62,865 4,947,476
Norwegian Cruise Line Holdings, Ltd. 80,418 3,519,092
Twitter, Inc. 139,773 5,245,681
ANSYS, Inc. 70,966 5,724,827
Tableau Software, Inc. 53,747 4,340,608
Chipotle Mexican Grill, Inc. 11,168 7,927,493
Eagle Materials, Inc. 61,893 4,408,019
Martin Marietta Materials, Inc. 33,285 3,586,126
Oceaneering International, Inc. 38,904 2,037,013
Affiliated Managers Group, Inc. 63,971 13,147,320
Whirlpool Corp. 37,479 7,461,319
Avery Dennison Corp. 111,875 5,847,706
comScore, Inc. 121,181 5,036,282
Shire Plc (A.D.R.) 75,836 16,627,801
Intuit, Inc. 97,704 8,482,661

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.

 

Before investing, consider the product's investment objectives, risks, charges and expenses. Contact your advisor or Pioneer Investments for a prospectus or summary prospectus containing this information. Read it carefully. To obtain a free prospectus or summary prospectus and for information on any Pioneer fund, please download it here.

U.S. Home | Global Home | Site Map | Careers | Privacy and Security | Legal | Business Continuity
Securities offered through Pioneer Funds Distributor, Inc., 60 State Street, Boston, MA. 02109. Underwriter of Pioneer mutual funds, Member SIPC © 2015 Pioneer Investments.