Untitled Document

What Differentiates Us from Other Value Strategies

Portfolio Manager John Carey provides a brief overview of Pioneer Equity Income Fund and discusses what he believes differentiates this Fund from other equity strategies.

A Word About Risk:
Investing in foreign and/or emerging market securities involves risks relating to interest rates, currency exchange rates, economic, and political conditions. The portfolio invests in REIT securities, the value of which can fall for a variety of reasons, such as declines in rental income, fluctuating interest rates, poor property management, environmental liabilities, uninsured damage, increased competition, or changes in real estate tax laws. At times, the Fund's investments may represent industries or industry sectors that are interrelated or have common risks, making it more susceptible to any economic, political, or regulatory developments or other risks affecting those industries and sectors. These risks may increase share price volatility.