Pioneer Investments: Pioneer Core Equity Fund


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Pioneer Core Equity Fund

Monthly Portfolio Holdings as of 2/28/2014

Security Name Par / Shares Market Value($)
Actavis plc 130,306 28,774,171
LyondellBasell Industries NV 278,091 24,494,255
Visa, Inc. 123,790 27,969,113
Green Mountain Coffee Roasters, Inc. 183,180 20,109,500
Vertex Pharmaceuticals, Inc. 149,140 12,059,460
Cabot Oil & Gas Corp. 377,558 13,214,530
Pfizer, Inc. 968,660 31,103,673
Whole Foods Market, Inc. 330,664 17,872,389
EOG Resources, Inc. 102,445 19,405,132
Halliburton Co. 336,736 19,193,952
Humana, Inc. 109,661 12,332,476
Nu Skin Enterprises, Inc. 105,926 8,992,146
The Carlyle Group LP 306,992 11,134,600
EMC Corp./MA 1,166,641 30,764,323
Marathon Petroleum Corp. 269,186 22,611,624
Discover Financial Services 245,288 14,074,625
The Walt Disney Co. 417,799 33,762,337
eBay, Inc. 271,260 15,941,950
Colgate-Palmolive Co. 272,486 17,120,295
Ameren Corp. 486,952 19,677,730
ACE, Ltd. 154,339 15,105,158
Cummins, Inc. 97,172 14,179,338
The Hershey Co. 152,173 16,102,947
Lowe's Companies, Inc. 542,690 27,150,781
Celgene Corp. 106,095 17,054,771
Dick's Sporting Goods, Inc. 157,707 8,464,135
CBS Corp. (Class B) 211,464 14,185,005
Ecolab, Inc. 147,980 15,944,845
Walter Investment Management Corp. 246,949 6,309,547
Express Scripts Holding Co. 245,514 18,489,659
Microsoft Corp. 1,252,759 47,993,197
Morgan Stanley 843,085 25,967,018
United Technologies Corp. 174,014 20,363,118
Apple, Inc. 108,882 57,298,064
FedEx Corp. 91,090 12,145,030
Gilead Sciences, Inc. 343,909 28,472,226
Marriott International, Inc./DE 261,584 14,185,700
The PNC Financial Services Group, Inc. 438,037 35,822,666
Starbucks Corp. 183,789 13,041,667
Ingersoll-Rand Plc 420,171 25,689,255
Affiliated Managers Group, Inc. 61,875 11,635,594
Exxon Mobil Corp. 568,682 54,747,016
Regions Financial Corp. 1,784,267 18,984,601
Time Warner, Inc. 219,673 14,746,648
Union Pacific Corp. 124,049 22,375,959
AstraZeneca Plc (A.D.R.) 119,642 8,106,942
PepsiCo, Inc. 251,723 20,155,461
Johnson & Johnson 430,173 39,627,537
Ross Stores, Inc. 258,380 18,810,064
Aflac, Inc. 240,153 15,389,004
Cardinal Health, Inc. 174,590 12,488,423
Macy's, Inc. 220,263 12,744,417
Apache Corp. 149,787 11,876,611
Aetna, Inc. 180,071 13,092,962
CVS Caremark Corp. 318,194 23,272,709
Comcast Corp. 441,773 22,835,246
Covidien Plc 164,583 11,841,747
Yahoo!, Inc. 686,994 26,566,058
DaVita HealthCare Partners, Inc. 140,543 9,659,520
Occidental Petroleum Corp. 169,434 16,353,770
The Allstate Corp. 218,853 11,874,964
Bank of America Corp. 1,733,100 28,648,143
Xilinx, Inc. 277,555 14,488,371
F5 Networks, Inc. 228,689 25,690,922
The Estee Lauder Companies, Inc. 280,935 19,339,565
Citigroup, Inc. 769,659 37,428,517
Amazon.com, Inc. 58,416 21,152,434
Monsanto Co. 174,557 19,204,761
Campbell Soup Co. 427,171 18,500,776
NextEra Energy, Inc. 144,906 13,242,959
Verizon Communications, Inc. 599,991 28,547,572
The NASDAQ OMX Group, Inc. 242,649 9,315,295
Google, Inc. 47,546 57,799,295
Parker Hannifin Corp. 156,420 18,856,431
Vodafone Group Plc (A.D.R.) 199,583 8,296,665
Analog Devices, Inc. 184,540 9,378,323
Eaton Corp Plc 393,413 29,391,885
BB&T Corp. 494,311 18,684,956
American Electric Power Co, Inc. 259,409 13,022,332
Honeywell International, Inc. 365,238 34,493,077

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

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