|
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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