Pioneer Investments: Pioneer Select Mid Cap Growth Fund


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Pioneer Select Mid Cap Growth Fund

Monthly Portfolio Holdings as of 3/28/2013

Security Name Par / Shares Market Value($)
ALKERMES PLC 170,400 4,040,184
AUTODESK INC 90,000 3,711,600
SEMPRA ENERGY 5,900 471,646
DRESSER-RAND GROUP I 29,000 1,788,140
GOOGLE INC 8,100 6,431,643
EAGLE MATERIALS INC 51,000 3,398,130
UNITED RENTALS INC 135,800 7,464,926
NOBLE ENERGY INC 8,200 950,924
CATAMARAN CORP 48,690 2,582,031
COPA HOLDINGS SA 38,400 4,593,024
MONSTER BEVERAGE COR 45,000 2,148,300
URBAN OUTFITTERS INC 55,800 2,161,692
AIRGAS INC 22,600 2,241,016
SALIX PHARMACEUTICAL 02/18/12 STRIKE 55 101,600 5,199,888
BROADCOM CORP 115,000 3,987,050
INSULET CORP 107,900 2,790,294
VERTEX PHARMACEUTICA 48,100 2,644,538
MASTERCARD INC 13,100 7,088,803
VIROPHARMA INC 73,200 1,841,712
SS&C TECHNOLOGIES HO 111,320 3,337,374
AMERICAN CAMPUS COMM 85,000 3,853,900
COSTAR GROUP INC 49,000 5,363,540
FOMENTO ECONOMICO ME 41,700 4,732,950
GREEN MOUNTAIN COFFE 169,000 9,592,440
FORTUNE BRANDS HOME 70,000 2,620,100
INGREDION INC 41,000 2,965,120
CINEMARK HOLDINGS IN 160,000 4,710,400
VERISK ANALYTICS INC 32,000 1,972,160
LKQ CORP 405,600 8,825,856
DELTA AIR LINES INC 158,900 2,623,439
TW TELECOM INC 125,000 3,148,750
WHOLE FOODS MARKET I 427 37,042
ARUBA NETWORKS INC 105,590 2,612,297
IMAX CORP 198,000 5,292,540
TRACTOR SUPPLY CO 37,000 3,852,810
DISCOVERY COMMUNICAT 40,000 3,149,600
BROOKDALE SENIOR LIV 115,000 3,206,200
MICHAEL KORS HOLDING 91,000 5,167,890
CARMAX INC 125,000 5,212,500
EXACTTARGET INC 115,012 2,676,329
JAZZ PHARMACEUTICALS 78,581 4,393,464
BONANZA CREEK ENERGY 36,500 1,411,455
CANADIAN DOLLARS 5,356 5,268
DAVITA HEALTHCARE PA 29,300 3,474,687
LYONDELLBASELL INDUS 23,800 1,506,302
PDC ENERGY INC 32,300 1,601,111
SOUTHWESTERN ENERGY 67,200 2,503,872
GENPACT LTD 220,000 4,001,800
BRINKER INTERNATIONA 75,000 2,823,750
LENNAR CORP 57,000 2,364,360
TEREX CORP 41,600 1,431,872
MAXIM INTEGRATED PRO 115,000 3,754,750
FMC TECHNOLOGIES INC 69,000 3,752,910
ANSYS INC 21,982 1,789,774
HOLOGIC INC 244,600 5,527,960
ARMSTRONG WORLD INDU 16,800 938,952
SCOTTS MIRACLE-GRO C 46,400 2,006,336
LIBERTY GLOBAL INC 40,000 2,936,000
SUPERIOR ENERGY SERV 39,100 1,015,427
SANDISK CORP 84,089 4,624,895
WW GRAINGER INC 12,300 2,767,254
FLOTEK INDUSTRIES IN 200,000 3,270,000
ALLIANCE DATA SYSTEM 31,300 5,067,157
CONCHO RESOURCES INC 22,900 2,231,147
US AIRWAYS GROUP 255,300 4,332,441
AQUA AMERICA INC 31,700 996,648
WEX INC 30,000 2,355,000
SBA COMMUNICATIONS C 35,000 2,520,700
AKORN INC 185,000 2,558,550
HERTZ GLOBAL HOLDING 55,700 1,239,882
CITRIX SYSTEMS INC 50,700 3,658,512
REGENERON PHARMACEUT 13,900 2,451,960
JONES LANG LASALLE I 58,800 5,845,308
INGERSOLL-RAND PLC 81,300 4,472,313
WR GRACE & CO 47,000 3,642,970
BILL BARRETT CORP 90,800 1,840,516
AMERICAN EAGLE OUTFI 92,000 1,720,400
PRICELINE.COM INC 4,000 2,751,720
VALSPAR CORP 27,100 1,686,975
TJX COS INC 146,000 6,825,500
DOLLAR TREE INC 50,962 2,468,090
CABOT OIL & GAS CORP 163,394 11,047,068
AKAMAI TECHNOLOGIES 151,933 5,361,716
KANSAS CITY SOUTHERN 25,500 2,827,950
COBALT INTERNATIONAL 60,000 1,692,000
ROCK TENN CO 35,000 3,247,650
PIONEER NATURAL RESO 18,100 2,248,925
ALASKA AIR GROUP INC 45,000 2,878,200
MASCO CORP 134,000 2,713,500
STEEL DYNAMICS INC 121,700 1,931,379
LEAR CORP 119,000 6,529,530
DIANA SHIPPING INC 279,000 2,974,140
LINKEDIN CORP 21,000 3,697,260
NUANCE COMMUNICATION 115,000 2,320,700
CAMERON INTERNATIONA 47,400 3,090,480
WYNDHAM WORLDWIDE CO 76,800 4,952,064
QLIK TECHNOLOGIES IN 140,000 3,616,200
EATON CORP PLC 37,900 2,321,375
ACTAVIS INC 70,200 6,466,122
TANGOE INC 300,000 3,717,000
NIELSEN HOLDINGS NV 176,000 6,304,320
TRUE RELIGION APPARE 90,000 2,349,900
BASIC ENERGY SERVICE 105,200 1,438,084
MANITOWOC CO INC/THE 225,000 4,626,000
TRILOGY ENERGY CORP 44,300 1,276,858
METHANEX CORP 59,800 2,429,674
EVERCORE PARTNERS IN 40,000 1,664,000
XILINX INC 85,000 3,244,450
FIDELITY NATIONAL FI 140,000 3,532,200
CHIPOTLE MEXICAN GRI 9,500 3,095,765
DISCOVER FINANCIAL S 100,000 4,484,000
BUFFALO WILD WINGS I 54,000 4,726,620
LINCOLN ELECTRIC HOL 46,900 2,541,042
ANALOG DEVICES INC 90,000 4,184,100
RANGE RESOURCES CORP 31,000 2,512,240
ILLUMINA INC 46,300 2,500,200
PALO ALTO NETWORKS I 33,000 1,867,800
NATIONAL FUEL GAS CO 25,000 1,533,750
MASIMO CORP 86,700 1,701,054
CUBIST PHARMACEUTICA 76,400 3,577,048
ROSS STORES INC 82,400 4,995,088
HARLEY-DAVIDSON INC 69,000 3,677,700
GARTNER INC 51,000 2,774,910
SEMGROUP CORP 80,900 4,184,148
EBAY INC 42,000 2,277,240
DOLLAR GENERAL CORP 56,000 2,832,480
NPS PHARMACEUTICALS 286,000 2,914,340
ALIGN TECHNOLOGY INC 141,900 4,755,069
HOMEAWAY INC 160,000 5,200,000
SALESFORCE.COM INC 18,000 3,218,940
EASTMAN CHEMICAL CO 20,100 1,404,387
WESTLAKE CHEMICAL CO 18,400 1,720,400
INTERFACE INC 61,800 1,187,796
SKYWORKS SOLUTIONS I 165,000 3,634,950
CHART INDUSTRIES INC 43,000 3,440,430
BLACKSTONE GROUP LP 145,000 2,868,100
ONYX PHARMACEUTICALS 22,100 1,963,806
WALTER INVESTMENT MA 67,669 2,520,670
VULCAN MATERIALS CO 66,000 3,412,200
LOWE'S COS INC 145,000 5,498,400
AGILENT TECHNOLOGIES 52,300 2,195,031
AVAGO TECHNOLOGIES L 50,000 1,796,000

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.

 
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