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Top 10 Portfolio Holdings as of 3/28/2013 Default: sorted by market value
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Security Name
|
Par / Shares |
Market Value |
|
ABERCROMBIE & FITCH
|
95,100 |
$4,393,620 |
|
ABIOMED INC
|
360,953 |
$6,738,993 |
|
ACTAVIS INC
|
52,700 |
$4,854,197 |
|
ACUITY BRANDS INC
|
30,500 |
$2,115,175 |
|
AFFILIATED MANAGERS
|
20,500 |
$3,148,185 |
|
AIRGAS INC
|
29,700 |
$2,945,052 |
|
AKORN INC
|
378,900 |
$5,240,187 |
|
ALASKA AIR GROUP INC
|
104,200 |
$6,664,632 |
|
ALIGN TECHNOLOGY INC
|
153,700 |
$5,150,487 |
|
ALKERMES PLC
|
281,549 |
$6,675,527 |
|
ALLEGIANT TRAVEL CO
|
28,320 |
$2,514,250 |
|
AMERICAN EAGLE OUTFI
|
135,400 |
$2,531,980 |
|
AMERICAN PUBLIC EDUC
|
49,600 |
$1,730,544 |
|
ARES CAPITAL CORP
|
167,800 |
$3,037,180 |
|
ARUBA NETWORKS INC
|
196,400 |
$4,858,936 |
|
ASPEN TECHNOLOGY INC
|
136,033 |
$4,392,506 |
|
AVIS BUDGET GROUP IN
|
152,600 |
$4,246,858 |
|
B&G FOODS INC
|
140,700 |
$4,289,943 |
|
BASIC ENERGY SERVICE
|
381,084 |
$5,209,418 |
|
BONANZA CREEK ENERGY
|
107,200 |
$4,145,424 |
|
BROOKDALE SENIOR LIV
|
207,400 |
$5,782,312 |
|
BUFFALO WILD WINGS I
|
36,200 |
$3,168,586 |
|
CABOT OIL & GAS CORP
|
208,043 |
$14,065,787 |
|
CANADIAN DOLLARS
|
0 |
$0 |
|
CARTER'S INC
|
58,301 |
$3,338,898 |
|
CHART INDUSTRIES INC
|
106,500 |
$8,521,065 |
|
CINEMARK HOLDINGS IN
|
273,219 |
$8,043,567 |
|
COMMVAULT SYSTEMS IN
|
29,300 |
$2,402,014 |
|
COMSTOCK RESOURCES I
|
261,370 |
$4,247,263 |
|
CONCEPTUS INC
|
232,025 |
$5,603,404 |
|
COSTAR GROUP INC
|
42,611 |
$4,664,200 |
|
CROCS INC
|
421,056 |
$6,240,050 |
|
CUBIST PHARMACEUTICA
|
132,300 |
$6,194,286 |
|
DIANA SHIPPING INC
|
271,776 |
$2,897,132 |
|
DRESSER-RAND GROUP I
|
85,600 |
$5,278,096 |
|
E*TRADE FINANCIAL CO
|
531,425 |
$5,691,562 |
|
EAGLE MATERIALS INC
|
87,400 |
$5,823,462 |
|
ENDOLOGIX INC
|
232,700 |
$3,758,105 |
|
ETHAN ALLEN INTERIOR
|
85,200 |
$2,804,784 |
|
EVERCORE PARTNERS IN
|
102,300 |
$4,255,680 |
|
EXACTTARGET INC
|
245,425 |
$5,711,040 |
|
FINANCIAL ENGINES IN
|
72,000 |
$2,607,840 |
|
FINISAR CORP
|
179,545 |
$2,368,199 |
|
FIRST CASH FINANCIAL
|
77,500 |
$4,521,350 |
|
FIVE BELOW INC
|
98,908 |
$3,747,624 |
|
FLOTEK INDUSTRIES IN
|
420,600 |
$6,876,810 |
|
FLOWERS FOODS INC
|
129,400 |
$4,262,436 |
|
FRANCESCA'S HOLDINGS
|
133,000 |
$3,811,780 |
|
GARTNER INC
|
169,000 |
$9,195,290 |
|
GENESEE & WYOMING IN
|
46,000 |
$4,283,060 |
|
G-III APPAREL GROUP
|
168,700 |
$6,766,557 |
|
GRAND CANYON EDUCATI
|
171,863 |
$4,363,602 |
|
GREAT LAKES DREDGE &
|
593,600 |
$3,994,928 |
|
GREEN MOUNTAIN COFFE
|
152,500 |
$8,655,900 |
|
GUIDEWIRE SOFTWARE I
|
104,100 |
$4,001,604 |
|
GULFPORT ENERGY CORP
|
89,500 |
$4,101,785 |
|
HAEMONETICS CORP
|
113,400 |
$4,724,244 |
|
HANESBRANDS INC
|
173,500 |
$7,904,660 |
|
HOLOGIC INC
|
163,000 |
$3,683,800 |
|
HOMEAWAY INC
|
157,775 |
$5,127,688 |
|
IMPERVA INC
|
50,600 |
$1,948,100 |
|
INSULET CORP
|
219,000 |
$5,663,340 |
|
IPG PHOTONICS CORP
|
43,200 |
$2,868,912 |
|
JAZZ PHARMACEUTICALS
|
111,805 |
$6,251,018 |
|
JOY GLOBAL INC
|
81,200 |
$4,833,024 |
|
KBR INC
|
113,500 |
$3,641,080 |
|
KENNAMETAL INC
|
96,880 |
$3,782,195 |
|
LKQ CORP
|
223,500 |
$4,863,360 |
|
LUMBER LIQUIDATORS H
|
42,100 |
$2,956,262 |
|
MANITOWOC CO INC/THE
|
241,300 |
$4,961,128 |
|
MASIMO CORP
|
240,200 |
$4,712,724 |
|
MERU NETWORKS INC
|
298,746 |
$2,016,536 |
|
MOBILE MINI INC
|
194,000 |
$5,709,420 |
|
MONOLITHIC POWER SYS
|
219,500 |
$5,349,215 |
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NATURAL GROCERS BY V
|
79,998 |
$1,803,955 |
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NEUROCRINE BIOSCIENC
|
400,200 |
$4,858,428 |
|
NPS PHARMACEUTICALS
|
613,900 |
$6,255,641 |
|
NUANCE COMMUNICATION
|
182,800 |
$3,688,904 |
|
OASIS PETROLEUM INC
|
60,300 |
$2,295,621 |
|
ON ASSIGNMENT INC
|
229,631 |
$5,811,961 |
|
PERFORMANT FINANCIAL
|
270,500 |
$3,321,740 |
|
QLIK TECHNOLOGIES IN
|
152,900 |
$3,949,407 |
|
QUIDEL CORP
|
270,844 |
$6,432,545 |
|
SABRA HEALTH CARE RE
|
55,014 |
$1,595,956 |
|
SALIX PHARMACEUTICAL 02/18/12 STRIKE 55
|
213,400 |
$10,921,812 |
|
SCIQUEST INC
|
216,800 |
$5,211,872 |
|
SCOTTS MIRACLE-GRO C
|
90,100 |
$3,895,924 |
|
SEMGROUP CORP
|
82,300 |
$4,256,556 |
|
SEMTECH CORP
|
187,500 |
$6,635,625 |
|
SIGNATURE BANK/NEW Y
|
77,400 |
$6,096,024 |
|
SIX FLAGS ENTERTAINM
|
71,400 |
$5,175,072 |
|
SKYWORKS SOLUTIONS I
|
301,200 |
$6,635,436 |
|
SOLERA HOLDINGS INC
|
72,500 |
$4,228,925 |
|
SWIFT TRANSPORTATION
|
311,400 |
$4,415,652 |
|
TANGOE INC
|
378,440 |
$4,688,872 |
|
TRILOGY ENERGY CORP
|
100,900 |
$2,908,239 |
|
TUPPERWARE BRANDS CO
|
45,700 |
$3,735,518 |
|
ULTIMATE SOFTWARE GR
|
27,833 |
$2,899,085 |
|
UNITED RENTALS INC
|
105,500 |
$5,799,335 |
|
US AIRWAYS GROUP
|
351,200 |
$5,959,864 |
|
VANTIV INC
|
218,700 |
$5,191,938 |
|
VIROPHARMA INC
|
250,135 |
$6,293,397 |
|
VITAMIN SHOPPE INC
|
76,500 |
$3,737,025 |
|
VULCAN MATERIALS CO
|
82,100 |
$4,244,570 |
|
WAGEWORKS INC
|
382,100 |
$9,563,963 |
|
WALTER INVESTMENT MA
|
167,900 |
$6,254,275 |
|
WESTERN REFINING INC
|
96,800 |
$3,427,688 |
|
WESTLAKE CHEMICAL CO
|
58,100 |
$5,432,350 |
|
WEX INC
|
80,100 |
$6,287,850 |
|
WISDOMTREE INVESTMEN
|
271,300 |
$2,821,520 |
|
WNS HOLDINGS LTD
|
252,000 |
$3,714,480 |
|
WR GRACE & CO
|
109,500 |
$8,487,345 |
|
XPO LOGISTICS INC
|
227,000 |
$3,822,680 |
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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