Pioneer International Equity Fund

Top 10 Portfolio Holdings as of 12/31/2015
Default: sorted by market value

Security Name Par / Shares Market Value
ABB, Ltd. 128,200 $2,274,420
Alps Electric Co, Ltd. 78,700 $2,128,348
Amcor, Ltd./Australia 223,600 $2,175,117
Aon Plc 18,900 $1,742,769
Astellas Pharma, Inc. 168,900 $2,398,991
AXA SA 127,300 $3,477,006
Banco Bilbao Vizcaya Argentaria SA 292,223 $2,129,100
Barclays Plc 680,500 $2,201,663
BNP Paribas SA 46,300 $2,618,354
Bridgestone Corp. 73,200 $2,506,401
Britvic Plc 164,100 $1,756,089
Cairn Homes Plc 1,009,127 $1,309,138
Carnival Plc 52,400 $2,973,932
Croda International Plc 56,600 $2,521,746
Daikin Industries, Ltd. 35,400 $2,576,222
Danone SA 40,600 $2,737,467
Distribuidora Internacional de Alimentacion SA 291,200 $1,709,242
Domino's Pizza Group Plc 63,720 $986,421
Electrolux AB 43,300 $1,037,534
Encana Corp. 230,000 $1,169,717
Euskaltel SA 149,341 $1,874,478
Fresenius SE & Co KGaA 31,200 $2,229,024
Fujitec Co, Ltd. 133,400 $1,366,147
Gas Natural SDG SA 59,000 $1,197,455
Gerresheimer AG 28,700 $2,242,676
Goodman Group 560,600 $2,537,732
Henkel AG & Co KGaA 27,300 $2,617,356
Hennes & Mauritz AB 61,100 $2,171,988
Hibernia Real Estate Investment Trust plc 1,665,215 $2,551,348
Hibernia Real Estate Investment Trust plc 507,700 $776,511
Hitachi, Ltd. 506,100 $2,863,229
Hoya Corp. 67,600 $2,755,849
Incitec Pivot, Ltd. 755,300 $2,159,370
Japan Post Holdings Co, Ltd. 21,200 $328,935
KDDI Corp. 91,800 $2,376,325
Kerry Group Plc 32,800 $2,731,462
Keyence Corp. 5,700 $3,128,289
Kingspan Group Plc 100,800 $2,721,726
Klepierre 38,600 $1,710,189
Kubota Corp. 121,000 $1,865,147
Kuraray Co, Ltd. 265,000 $3,204,283
Merlin Properties Socimi SA 132,500 $1,652,001
Mitsubishi Electric Corp. 248,000 $2,600,053
Mitsui Fudosan Co, Ltd. 91,000 $2,280,135
Murata Manufacturing Co, Ltd. 12,000 $1,722,249
NGK Spark Plug Co, Ltd. 91,700 $2,415,520
Nippon Telegraph & Telephone Corp. 46,500 $1,846,058
Nordea Bank AB 144,400 $1,572,931
Novartis AG 39,700 $3,391,728
Orange SA 86,400 $1,448,142
Panasonic Corp. 137,900 $1,399,475
PAX Global Technology, Ltd. 681,000 $696,700
Persimmon Plc 79,200 $2,364,258
Poste Italiane S.p.A. 214,650 $1,640,082
Publicis Groupe SA 35,100 $2,325,845
Red Electrica Corp SA 8,000 $666,189
Roche Holding AG 10,306 $2,838,794
Schlumberger, Ltd. 26,200 $1,827,450
Schneider Electric SE 41,200 $2,343,600
Shire Plc 38,100 $2,610,076
Siemens AG 27,900 $2,704,398
SSE Plc 112,600 $2,520,378
Sumitomo Mitsui Financial Group, Inc. 47,100 $1,776,646
Sundrug Co, Ltd. 46,400 $2,984,054
Suntory Beverage & Food, Ltd. 46,000 $2,016,786
Swedbank AB 101,700 $2,229,714
Syngenta AG 6,700 $2,628,465
Taiwan Semiconductor Manufacturing Co, Ltd. 417,000 $1,795,615
TOTAL SA 35,000 $1,557,320
UBS Group AG 130,000 $2,500,459
Unilever NV 50,500 $2,185,930
Vodafone Group Plc 265,818 $859,445
Vonovia SE 108,399 $3,354,538
Wasion Group Holdings, Ltd. 512,000 $529,733
Wereldhave NV 29,972 $1,679,110
Whitbread Plc 40,300 $2,603,299
Yaskawa Electric Corp. 210,600 $2,866,285
Zurich Insurance Group AG 11,500 $2,932,869

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.

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