Pioneer Disciplined Growth Fund

Top 10 Portfolio Holdings as of 2/28/2014
Default: sorted by market value

Security Name Par / Shares Market Value
Aetna, Inc. 243,080 $17,674,347
Amazon.com, Inc. 65,164 $23,595,884
Analog Devices, Inc. 154,200 $7,836,444
Apple, Inc. 80,410 $42,314,958
Cabot Oil & Gas Corp. 298,716 $10,455,060
Campbell Soup Co. 498,910 $21,607,792
Cardinal Health, Inc. 297,909 $21,309,431
Celgene Corp. 191,060 $30,712,895
Citigroup, Inc. 320,017 $15,562,427
Colgate-Palmolive Co. 310,040 $19,479,813
Comcast Corp. 402,860 $20,823,833
Covidien Plc 226,930 $16,327,614
Cummins, Inc. 75,177 $10,969,828
CVS Caremark Corp. 160,848 $11,764,423
Eaton Corp Plc 243,542 $18,195,023
Ecolab, Inc. 167,510 $18,049,203
EMC Corp./MA 988,259 $26,060,390
EOG Resources, Inc. 56,700 $10,740,114
Express Scripts Holding Co. 274,655 $20,684,268
F5 Networks, Inc. 114,000 $12,806,760
Facebook, Inc. 224,149 $15,345,241
Gilead Sciences, Inc. 310,280 $25,688,081
Google, Inc. 47,834 $58,149,402
Green Mountain Coffee Roasters, Inc. 131,805 $14,469,553
Halliburton Co. 224,010 $12,768,570
Honeywell International, Inc. 168,574 $15,920,129
Ingersoll-Rand Plc 214,820 $13,134,095
Johnson & Johnson 285,543 $26,304,221
Lowe's Companies, Inc. 342,530 $17,136,776
LyondellBasell Industries NV 258,950 $22,808,316
Microsoft Corp. 1,244,201 $47,665,340
Morgan Stanley 551,100 $16,973,880
Occidental Petroleum Corp. 102,630 $9,905,848
Parker Hannifin Corp. 132,044 $15,917,904
PepsiCo, Inc. 235,825 $18,882,508
QUALCOMM, Inc. 173,812 $13,086,305
Ross Stores, Inc. 200,330 $14,584,024
Southwestern Energy Co. 262,530 $10,852,990
Starbucks Corp. 345,260 $24,499,650
The Estee Lauder Companies, Inc. 204,431 $14,073,030
The Home Depot, Inc. 394,830 $32,387,905
The Walt Disney Co. 337,640 $27,284,688
Time Warner, Inc. 425,413 $28,557,975
Union Pacific Corp. 104,963 $18,933,226
United Technologies Corp. 306,259 $35,838,428
Verizon Communications, Inc. 103,359 $4,917,821
Vertex Pharmaceuticals, Inc. 134,080 $10,841,709
Visa, Inc. 128,270 $28,981,324
Vodafone Group Plc (A.D.R.) 214,363 $8,911,070
Xilinx, Inc. 229,770 $11,993,994
Yahoo!, Inc. 302,332 $11,691,178

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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