Pioneer Investments: Pioneer Disciplined Growth Fund


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Pioneer Disciplined Growth Fund

Monthly Portfolio Holdings as of 6/30/2015

Security Name Par / Shares Market Value($)
Facebook, Inc. 327,909 28,123,115
eBay, Inc. 261,302 15,740,832
Campbell Soup Co. 238,404 11,359,951
Nu Skin Enterprises, Inc. 22,907 1,079,607
Molson Coors Brewing Co. (Class B) 240,399 16,782,254
Google, Inc. 47,965 24,966,262
Walgreens Boots Alliance, Inc. 259,004 21,870,298
Taiwan Semiconductor Manufacturing Co, Ltd. (A.D.R.) 463,248 10,520,362
Yahoo!, Inc. 360,098 14,148,250
Southwestern Energy Co. 497,410 11,306,129
Keurig Green Mountain, Inc. 195,431 14,975,878
Coty, Inc. 349,694 11,179,717
Discover Financial Services 271,250 15,629,425
Humana, Inc. 50,634 9,685,272
The Walt Disney Co. 292,595 33,396,793
Visa, Inc. 591,520 39,720,568
Broadcom Corp. 424,375 21,851,069
O'Reilly Automotive, Inc. 82,744 18,698,489
Intercontinental Exchange, Inc. 70,577 15,781,723
Starbucks Corp. 438,276 23,498,168
Time Warner, Inc. 228,500 19,973,185
American Airlines Group, Inc. 586,908 23,438,171
Cabot Oil & Gas Corp. 298,716 9,421,503
F5 Networks, Inc. 114,000 13,719,900
Time Warner Cable, Inc. 72,845 12,978,794
Johnson & Johnson 246,442 24,018,237
Union Pacific Corp. 182,354 17,391,101
Cardinal Health, Inc. 293,650 24,563,823
Target Corp. 202,549 16,534,075
Aetna, Inc. 222,169 28,317,661
Apple, Inc. 503,510 63,152,742
Eaton Corp Plc 321,982 21,730,565
Google, Inc. 47,834 25,832,273
CBS Corp. (Class B) 164,138 9,109,659
Microsoft Corp. 1,094,088 48,303,985
Gilead Sciences, Inc. 333,716 39,071,469
Celgene Corp. 295,532 34,203,396
LyondellBasell Industries NV 90,554 9,374,150
Reynolds American, Inc. 226,668 16,923,033
Medtronic Plc 145,337 10,769,472
Express Scripts Holding Co. 224,183 19,938,836
EMC Corp./MA 807,946 21,321,695
Cummins, Inc. 102,566 13,455,634
Ingersoll-Rand Plc 354,354 23,890,547
Ecolab, Inc. 104,211 11,783,138
The Home Depot, Inc. 362,919 40,331,188
CVS Health Corp. 210,040 22,028,995
Morgan Stanley 436,029 16,913,565
EOG Resources, Inc. 151,067 13,225,916
Verizon Communications, Inc. 623,684 29,069,911
Analog Devices, Inc. 195,888 12,573,071
AbbVie, Inc. 235,549 15,826,537

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

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