Pioneer Equity Income Fund

Top 10 Portfolio Holdings as of 3/28/2013
Default: sorted by market value

Security Name Par / Shares Market Value
ABBOTT LABORATORIES 313,900 $11,086,948
ABBVIE INC 313,900 $12,800,842
AFLAC INC 122,000 $6,346,440
AGL RESOURCES INC 370,500 $15,542,475
ALEXANDRIA REAL ESTA 105,171 $7,465,038
ALLIANT ENERGY CORP 90,000 $4,516,200
ALLSTATE CORP/THE 145,300 $7,129,871
AMEREN CORP 468,500 $16,406,870
AMERICAN ELECTRIC PO 287,150 $13,964,105
ANALOG DEVICES INC 449,700 $20,906,553
ANIXTER INTERNATIONA 96,000 $6,712,320
ARES CAPITAL CORP 400,000 $7,240,000
ARES COMMERCIAL REAL 264,300 $4,471,956
ASTRAZENECA PLC 100,000 $4,998,000
AT&T INC 140,600 $5,158,614
AUTOMATIC DATA PROCE 79,600 $5,175,592
BANK OF AMERICA CORP 727,800 $8,864,604
BANK OF MONTREAL 219,400 $13,811,230
BECTON DICKINSON AND 244,100 $23,338,401
BOISE INC 650,000 $5,629,000
CABOT MICROELECTRONI 86,033 $2,989,647
CAMPBELL SOUP CO 443,300 $20,108,088
CANADIAN IMPERIAL BA 267,000 $20,928,198
CEDAR FAIR LP 607,087 $24,143,850
CHEVRON CORP 49,500 $5,881,590
CHUBB CORP/THE 185,587 $16,244,430
CISCO SYSTEMS INC 90,000 $1,881,900
CITIGROUP INC 113,000 $4,999,120
CLOROX CO/THE 222,400 $19,689,072
COACH INC 30,000 $1,499,700
COMPASS MINERALS INT 255,100 $20,127,390
CONOCOPHILLIPS 139,160 $8,363,516
CONSOLIDATED EDISON 324,372 $19,796,423
DE MASTER BLENDERS 1 2,289,000 $35,364,837
DR PEPPER SNAPPLE GR 353,400 $16,592,130
DUKE ENERGY CORP 182,600 $13,254,934
ELECTROLUX AB 400,000 $10,188,891
ELI LILLY & CO 259,300 $14,725,647
EXXON MOBIL CORP 12,800 $1,153,408
FEDERATED INVESTORS 405,100 $9,588,717
FORD MOTOR CO 837,700 $11,015,755
G&K SERVICES INC 300,000 $13,653,000
GENERAL ELECTRIC CO 959,984 $22,194,830
GENUINE PARTS CO 188,800 $14,726,400
GIVAUDAN SA 5,000 $6,143,956
GORMAN-RUPP CO/THE 1,146,943 $34,465,637
HERSHEY CO/THE 352,400 $30,845,572
HILLSHIRE BRANDS 457,800 $16,091,670
HJ HEINZ CO 400,550 $28,947,749
HOME DEPOT INC/THE 144,000 $10,048,320
INTEL CORP 280,000 $6,118,000
INTERNATIONAL PAPER 233,100 $10,857,798
JOHNSON & JOHNSON 251,700 $20,521,101
JOHNSON CONTROLS INC 99,100 $3,475,437
JOHNSON MATTHEY 200,454 $7,002,570
JOHN WILEY & SONS IN 114,100 $4,445,336
JOY GLOBAL INC 100,000 $5,952,000
J SAINSBURY PLC 1,000,000 $5,748,847
KAYDON CORP 400,000 $10,232,000
KELLOGG CO 210,000 $13,530,300
KIMBERLY-CLARK CORP 238,500 $23,368,230
KRAFT FOODS GROUP IN 320,600 $16,520,518
LINEAR TECHNOLOGY CO 303,300 $11,637,621
LYONDELLBASELL INDUS 171,000 $10,822,590
MARATHON OIL CORP 426,800 $14,391,696
MARATHON PETROLEUM C 245,900 $22,032,640
MCCORMICK & CO INC/M 100,000 $7,355,000
MEDTRONIC INC 284,700 $13,369,512
MERCK & CO INC 353,405 $15,631,103
MICROCHIP TECHNOLOGY 550,500 $20,236,380
MICROSOFT CORP 400,000 $11,444,000
MINE SAFETY APPLIANC 202,600 $10,053,012
MOLEX INC 419,300 $10,113,516
MONDELEZ INTERNATION 769,000 $23,539,090
NATIONAL FUEL GAS CO 265,700 $16,300,695
NEW YORK COMMUNITY B 1,028,800 $14,763,280
NEXTERA ENERGY INC 69,900 $5,429,832
NOVARTIS AG 75,000 $5,343,000
OWENS & MINOR INC 509,300 $16,582,808
PEPSICO INC 90,700 $7,175,277
PFIZER INC 562,500 $16,233,750
PNC FINANCIAL SERVIC 220,800 $14,683,200
PROCTER & GAMBLE CO/ 50,000 $3,853,000
QEP RESOURCES INC 248,000 $7,896,320
QUESTAR CORP 655,000 $15,936,150
REGAL ENTERTAINMENT 450,000 $7,501,500
SINGAPORE TELECOMMUN 2,400,000 $6,948,948
SMITH & NEPHEW PLC 1,079,500 $12,460,949
SONOCO PRODUCTS CO 227,500 $7,960,225
SPECTRA ENERGY CORP 483,800 $14,876,850
SWEDBANK AB 1,000,000 $22,768,300
SWEDISH KRONE 0 $0
TRAVELERS COS INC/TH 218,500 $18,395,515
T ROWE PRICE GROUP I 117,000 $8,759,790
UNILEVER NV 323,000 $13,243,000
US BANCORP 761,700 $25,844,481
VALSPAR CORP 771,300 $48,013,425
VERIZON COMMUNICATIO 541,584 $26,618,854
WAL-MART STORES INC 218,800 $16,372,804
WELLS FARGO & CO 622,400 $23,022,576
XILINX INC 354,200 $13,519,814
ZOETIS INC 14,800 $494,320

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.