Pioneer Investments: Pioneer Disciplined Growth Fund


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Pioneer Disciplined Growth Fund

Monthly Portfolio Holdings as of 2/28/2014

Security Name Par / Shares Market Value($)
Comcast Corp. 402,860 20,823,833
Aetna, Inc. 243,080 17,674,347
Johnson & Johnson 285,543 26,304,221
EOG Resources, Inc. 56,700 10,740,114
Occidental Petroleum Corp. 102,630 9,905,848
Halliburton Co. 224,010 12,768,570
Amazon.com, Inc. 65,164 23,595,884
The Walt Disney Co. 337,640 27,284,688
Campbell Soup Co. 498,910 21,607,792
Yahoo!, Inc. 302,332 11,691,178
PepsiCo, Inc. 235,825 18,882,508
Express Scripts Holding Co. 274,655 20,684,268
Gilead Sciences, Inc. 310,280 25,688,081
Covidien Plc 226,930 16,327,614
Lowe's Companies, Inc. 342,530 17,136,776
QUALCOMM, Inc. 173,812 13,086,305
Southwestern Energy Co. 262,530 10,852,990
EMC Corp./MA 988,259 26,060,390
Facebook, Inc. 224,149 15,345,241
Citigroup, Inc. 320,017 15,562,427
Apple, Inc. 80,410 42,314,958
Verizon Communications, Inc. 103,359 4,917,821
Green Mountain Coffee Roasters, Inc. 131,805 14,469,553
Eaton Corp Plc 243,542 18,195,023
Morgan Stanley 551,100 16,973,880
The Home Depot, Inc. 394,830 32,387,905
Ecolab, Inc. 167,510 18,049,203
CVS Caremark Corp. 160,848 11,764,423
Parker Hannifin Corp. 132,044 15,917,904
Honeywell International, Inc. 168,574 15,920,129
Vertex Pharmaceuticals, Inc. 134,080 10,841,709
The Estee Lauder Companies, Inc. 204,431 14,073,030
Cabot Oil & Gas Corp. 298,716 10,455,060
Microsoft Corp. 1,244,201 47,665,340
Cardinal Health, Inc. 297,909 21,309,431
Celgene Corp. 191,060 30,712,895
LyondellBasell Industries NV 258,950 22,808,316
Starbucks Corp. 345,260 24,499,650
Visa, Inc. 128,270 28,981,324
Union Pacific Corp. 104,963 18,933,226
Xilinx, Inc. 229,770 11,993,994
F5 Networks, Inc. 114,000 12,806,760
Time Warner, Inc. 425,413 28,557,975
Ingersoll-Rand Plc 214,820 13,134,095
Cummins, Inc. 75,177 10,969,828
Colgate-Palmolive Co. 310,040 19,479,813
Analog Devices, Inc. 154,200 7,836,444
Google, Inc. 47,834 58,149,402
Vodafone Group Plc (A.D.R.) 214,363 8,911,070
United Technologies Corp. 306,259 35,838,428
Ross Stores, Inc. 200,330 14,584,024

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

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