Pioneer Investments: Pioneer Select Mid Cap Growth Fund (before merge to 060)


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Pioneer Select Mid Cap Growth Fund (before merge to 060)

Monthly Portfolio Holdings as of 5/31/2013

Security Name Par / Shares Market Value($)
Blackstone Group LP 145,000 3,174,050
Bonanza Creek Energy, Inc. 29,800 1,107,070
Airgas, Inc. 22,600 2,325,314
Synaptics, Inc. 52,000 2,145,520
Alaska Air Group, Inc. 45,000 2,556,900
Delta Air Lines, Inc. 175,500 3,160,755
Eaton Corp Plc 37,900 2,503,674
US Airways Group, Inc. 242,600 4,262,482
Verisk Analytics, Inc. 55,400 3,258,628
Monster Beverage Corp. 61,687 3,367,493
Chart Industries, Inc. 43,000 4,183,040
Arch Coal, Inc. 134,000 691,440
CoStar Group, Inc. 49,000 5,478,690
Flotek Industries, Inc. 200,000 3,478,000
United Rentals, Inc. 122,500 6,962,900
Tractor Supply Co. 37,000 4,143,260
Align Technology, Inc. 126,300 4,515,225
LyondellBasell Industries NV 19,300 1,286,345
PDC Energy, Inc. 43,500 2,226,765
ITC Holdings Corp. 15,400 1,333,178
Conn's, Inc. 50,000 2,461,500
Shire Plc (A.D.R.) 50,300 4,953,041
Ingersoll-Rand Plc 70,000 4,027,100
Palo Alto Networks, Inc. 33,000 1,601,160
Southwestern Energy Co. 54,200 2,042,798
Liberty Global, Inc. 56,000 4,127,200
Methanex Corp. 66,300 2,930,460
Onyx Pharmaceuticals, Inc. 34,600 3,302,570
Skyworks Solutions, Inc. 165,000 3,936,900
Hologic, Inc. 205,400 4,262,050
Tronox, Ltd. 34,485 797,390
Ingredion, Inc. 41,000 2,792,920
QLIK Technologies, Inc. 120,000 3,691,200
Cameron International Corp. 20,000 1,217,400
Cabot Oil & Gas Corp. 163,394 11,496,402
Cinemark Holdings, Inc. 98,000 2,875,320
Masimo Corp. 118,100 2,556,865
Mohawk Industries, Inc. 20,000 2,223,400
ANSYS, Inc. 21,982 1,637,659
Walter Investment Management Corp. 47,669 1,735,628
SodaStream International, Ltd. 73,100 4,663,780
Range Resources Corp. 31,000 2,330,580
Autodesk, Inc. 35,000 1,320,550
Genpact, Ltd. 220,000 4,257,000
SanDisk Corp. 84,089 4,962,933
Westlake Chemical Corp. 23,900 2,232,260
Rock Tenn Co. 35,000 3,457,300
Shutterfly, Inc. 52,000 2,534,480
SemGroup Corp. 80,900 4,232,688
Analog Devices, Inc. 106,800 4,905,324
Noble Energy, Inc. 30,200 1,741,030
Jazz Pharmaceuticals Plc 42,802 2,909,252
Citrix Systems, Inc. 50,700 3,262,545
Jones Lang LaSalle, Inc. 58,800 5,399,604
Endologix, Inc. 170,000 2,284,800
Google, Inc. 8,100 7,050,321
Dollar General Corp. 56,000 2,956,800
Urban Outfitters, Inc. 55,800 2,339,694
Alliance Data Systems Corp. 31,300 5,542,917
Insulet Corp. 87,413 2,610,152
Avago Technologies, Ltd. 72,000 2,715,120
Salix Pharmaceuticals, Ltd. 104,900 6,364,283
HomeAway, Inc. 110,000 3,363,800
Imax Corp. 133,000 3,446,030
eBay, Inc. 42,000 2,272,200
Vertex Pharmaceuticals, Inc. 40,800 3,276,648
Wyndham Worldwide Corp. 39,100 2,272,492
Brinker International, Inc. 75,000 2,940,750
Affiliated Managers Group, Inc. 19,900 3,263,600
Gartner, Inc. 37,000 2,094,570
Stericycle, Inc. 22,500 2,469,600
NPS Pharmaceuticals, Inc. 288,600 4,545,450
Nu Skin Enterprises, Inc. 50,000 2,940,000
priceline.com, Inc. 4,000 3,215,720
Harley-Davidson, Inc. 69,000 3,763,260
Maxim Integrated Products, Inc. 115,000 3,391,350
Discovery Communications, Inc. 40,000 3,154,400
Discover Financial Services 100,000 4,741,000
Chicago Bridge & Iron Co NV 12,100 765,930
The Sherwin-Williams Co. 17,300 3,261,569
Diana Shipping, Inc. 329,400 3,336,822
National Fuel Gas Co. 25,000 1,530,000
Mueller Water Products, Inc. 240,200 1,827,922
Bill Barrett Corp. 126,100 2,846,077
Xilinx, Inc. 85,000 3,455,250
WW Grainger, Inc. 16,600 4,273,504
Cubist Pharmaceuticals, Inc. 53,200 2,923,340
Canadian Pacific Railway, Ltd. 21,100 2,784,989
Trilogy Energy Corp. 44,300 1,381,317
Regeneron Pharmaceuticals, Inc. 12,600 3,047,562
Actavis, Inc. 55,800 6,879,582
Aqua America, Inc. 31,700 985,553
Ply Gem Holdings, Inc. 91,500 2,113,650
SS&C Technologies Holdings, Inc. 111,320 3,521,052
Alkermes Plc 86,100 2,690,625
Marriott International, Inc./DE 51,000 2,142,510
Ross Stores, Inc. 82,400 5,298,320
Catamaran Corp. 65,190 3,208,652
Vulcan Materials Co. 40,700 2,180,706
Copa Holdings SA 38,400 5,042,688
Buffalo Wild Wings, Inc. 26,000 2,494,960
Chipotle Mexican Grill, Inc. 9,500 3,429,500
Morgan Stanley 96,200 2,524,430
StealthGas, Inc. 92,900 981,953
Lincoln Electric Holdings, Inc. 52,200 3,121,560
LKQ Corp. 350,600 8,582,688
WR Grace & Co. 43,900 3,709,989
Kansas City Southern 34,700 3,841,290
Green Mountain Coffee Roasters, Inc. 97,700 7,144,801
Taylor Morrison Home Corp. 105,000 2,712,150
DaVita HealthCare Partners, Inc. 19,700 2,444,179
Panera Bread Co. 14,000 2,685,620
Hertz Global Holdings, Inc. 97,400 2,515,842
Illumina, Inc. 39,700 2,791,704
Basic Energy Services, Inc. 144,100 1,923,735
Lennar Corp. 57,000 2,241,240
CarMax, Inc. 125,000 5,846,250
Mastercard, Inc. 13,100 7,470,275
Lowe's Companies, Inc. 70,000 2,947,700
American Eagle Outfitters, Inc. 147,000 2,909,130
Eagle Materials, Inc. 71,200 5,251,000
Brookdale Senior Living, Inc. 138,000 3,912,300
Weyerhaeuser Co. 98,700 2,943,234
The Scotts Miracle-Gro Co. 10,400 491,608
Fomento Economico Mexicano SAB de CV (A.D.R.) 18,700 2,030,633
FMC Technologies, Inc. 73,600 4,096,576
Agilent Technologies, Inc. 62,300 2,831,535
Nielsen Holdings NV 78,700 2,668,717
Air Methods Corp. 60,500 2,265,120
Dollar Tree, Inc. 62,962 3,024,694
Michael Kors Holdings, Ltd. 141,000 8,857,620
Lear Corp. 119,000 7,137,620
The Manitowoc Co, Inc. 252,900 5,313,429
Cobalt International Energy, Inc. 60,000 1,556,400
TJX Companies, Inc. 146,000 7,389,060
Netflix, Inc. 10,300 2,330,375
LinkedIn Corp. 21,000 3,518,130
Akamai Technologies, Inc. 96,933 4,470,550
SBA Communications Corp. 60,100 4,523,727
Wynn Resorts, Ltd. 21,000 2,853,690
Pioneer Natural Resources Co. 24,600 3,411,528
Masco Corp. 146,300 3,075,226
Iron Mountain, Inc. 70,800 2,537,472
Fortune Brands Home & Security, Inc. 70,000 2,959,600
The Valspar Corp. 30,900 2,214,603

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

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