Mutual Funds

Quarterly Performance

 

 


Guide to Tickers & Cusips
Quarterly Performance Update
Share Class Guide
Guide to Tickers and CUSIPS
Quarterly Performance Update (And Expense Ratio Information)
Share Class Guide (including Sales Charges, CDSC and more

Current performance may be lower or higher than the performance data quoted. The performance data quoted represents past performance, which is no guarantee of future results. Investment return and principal value will fluctuate, and shares, when redeemed, may be worth more or less than their original cost. All results are historical and assume the reinvestment of dividends and capital gains. Other share classes are available for which performance and expenses will differ. For fund descriptions, historical and current performance, standardized returns as of the most recent quarter-end, risk disclosure or a prospectus, please click fund names in the tables below. NAV results represent the percent change in net asset value per share. POP returns reflect maximum 5.75% sales charge for all equity funds, asset allocation funds, and international funds; balanced, flexible and all income funds have a maximum 4.50% sales charge, except Pioneer Short-Term Income Fund and Pioneer Multi-Asset Ultrashort Income Fund, which have no sales charge. Pioneer US Government Money Market Fund is sold at NAV. Class C (% if redeemed) shares held for less than one year are also subject to a 1% contingent deferred sales charge (CDSC).

Quarterly Fund Performance

Fund Name Sales Charge/ CDSC¹ Share class Gross Expense Ratio Performance as of Date YTD² 1 Year
3 Years 5 Years 10 Years/ Life³ Inception Date
Pioneer AMT - Free Municipal Fund - A
Ticker: PBMFX
Without Sales Charge 0.79% 6/30/22 -15.04% -14.42% -1.65% 0.61% 2.40% 9/30/96
Pioneer AMT - Free Municipal Fund - A
Ticker: PBMFX
With Sales Charge 0.79% 6/30/22 -18.88% -18.28% -3.15% -0.31% 1.94% 9/30/96
Pioneer AMT - Free Municipal Fund - C
Ticker: MNBCX
Without Sales Charge 1.53% 6/30/22 -15.38% -15.08% -2.40% -0.16% 1.63% 10/1/03
Pioneer AMT - Free Municipal Fund - Y
Ticker: PBYMX
Without Sales Charge 0.59% 6/30/22 -14.98% -14.25% -1.46% 0.83% 2.65% 12/13/04
Pioneer Balanced ESG Fund - A
Ticker: AOBLX
Without Sales Charge 1.00% 6/30/22 -15.81% -10.91% 5.16% 6.47% 7.75% 12/19/91
Pioneer Balanced ESG Fund - A
Ticker: AOBLX
With Sales Charge 1.00% 6/30/22 -19.63% -14.94% 3.57% 5.49% 7.25% 12/19/91
Pioneer Balanced ESG Fund - C
Ticker: PCBCX
Without Sales Charge 1.73% 6/30/22 -16.05% -11.52% 4.37% 5.68% 6.93% 9/3/97
Pioneer Balanced ESG Fund - K
Ticker: PCBKX
Without Sales Charge 0.70% 6/30/22 -15.68% -10.62% 5.47% 6.78% 7.94% 9/26/05
Pioneer Balanced ESG Fund - R
Ticker: CBPRX
Without Sales Charge 1.45% 6/30/22 -15.88% -11.11% 4.86% 6.20% 7.58% 9/26/05
Pioneer Balanced ESG Fund - Y
Ticker: AYBLX
Without Sales Charge 0.77% 6/30/22 -15.71% -10.70% 5.48% 6.78% 8.05% 12/19/91
Pioneer Bond Fund - A
Ticker: PIOBX
Without Sales Charge 0.82% 6/30/22 -10.75% -10.66% -0.11% 1.32% 2.36% 10/31/78
Pioneer Bond Fund - A
Ticker: PIOBX
With Sales Charge 0.82% 6/30/22 -14.79% -14.69% -1.62% 0.38% 1.89% 10/31/78
Pioneer Bond Fund - C
Ticker: PCYBX
Without Sales Charge 1.43% 6/30/22 -11.07% -11.26% -0.77% 0.64% 1.60% 1/31/96
Pioneer Bond Fund - K
Ticker: PBFKX
Without Sales Charge 0.34% 6/30/22 -10.54% -10.12% 0.38% 1.78% 2.75% 10/31/78
Pioneer Bond Fund - R
Ticker: PBFRX
Without Sales Charge 1.08% 6/30/22 -10.87% -10.88% -0.36% 1.06% 2.07% 10/31/78
Pioneer Bond Fund - Y
Ticker: PICYX
Without Sales Charge 0.45% 6/30/22 -10.50% -10.23% 0.28% 1.68% 2.66% 10/31/78
Pioneer Core Equity Fund - A
Ticker: PIOTX
Without Sales Charge 0.88% 6/30/22 -20.14% -12.65% 10.26% 10.33% 11.40% 11/18/99
Pioneer Core Equity Fund - A
Ticker: PIOTX
With Sales Charge 0.88% 6/30/22 -24.74% -17.68% 8.12% 9.03% 10.74% 11/18/99
Pioneer Core Equity Fund - C
Ticker: PCOTX
Without Sales Charge 1.81% 6/30/22 -20.31% -13.23% 9.40% 9.46% 10.47% 11/19/99
Pioneer Core Equity Fund - K
Ticker: PCEKX
Without Sales Charge 0.56% 6/30/22 -19.97% -12.36% 10.63% 10.65% 11.55% 11/18/99
Pioneer Core Equity Fund - R
Ticker: CERPX
Without Sales Charge 1.16% 6/30/22 -20.21% -12.85% 9.93% 10.08% 11.27% 11/18/99
Pioneer Core Equity Fund - Y
Ticker: PVFYX
Without Sales Charge 0.65% 6/30/22 -20.01% -12.42% 10.52% 10.60% 11.69% 11/18/99
Pioneer Corporate High Yield Fund - A
Ticker: RCRAX
Without Sales Charge 1.40% 6/30/22 -13.36% -12.03% -0.12% 1.78% 2.40% 1/3/17
Pioneer Corporate High Yield Fund - A
Ticker: RCRAX
With Sales Charge 1.40% 6/30/22 -17.24% -15.95% -1.65% 0.85% 1.55% 1/3/17
Pioneer Corporate High Yield Fund - C
Ticker: RCRCX
Without Sales Charge 2.14% 6/30/22 -13.80% -12.80% -0.67% 1.14% 1.74% 1/3/17
Pioneer Corporate High Yield Fund - Y
Ticker: RCRYX
Without Sales Charge 1.12% 6/30/22 -13.16% -11.69% 0.17% 2.06% 2.68% 1/3/17
Pioneer Disciplined Growth Fund - A
Ticker: PINDX
Without Sales Charge 1.02% 6/30/22 -23.41% -14.69% 12.59% 12.88% 13.41% 12/15/05
Pioneer Disciplined Growth Fund - A
Ticker: PINDX
With Sales Charge 1.02% 6/30/22 -27.83% -19.60% 10.38% 11.55% 12.74% 12/15/05
Pioneer Disciplined Growth Fund - C
Ticker: INDCX
Without Sales Charge 1.84% 6/30/22 -23.60% -15.29% 11.71% 12.00% 12.49% 7/16/08
Pioneer Disciplined Growth Fund - Y
Ticker: INYDX
Without Sales Charge 0.82% 6/30/22 -23.37% -14.61% 12.81% 13.10% 13.69% 12/15/05
Pioneer Disciplined Value Fund - A
Ticker: CVFCX
Without Sales Charge 0.91% 6/30/22 -11.91% -2.93% 9.46% 7.99% 10.10% 12/15/05
Pioneer Disciplined Value Fund - A
Ticker: CVFCX
With Sales Charge 0.91% 6/30/22 -16.98% -8.52% 7.32% 6.71% 9.45% 12/15/05
Pioneer Disciplined Value Fund - C
Ticker: CVCFX
Without Sales Charge 1.69% 6/30/22 -12.17% -3.61% 8.63% 7.17% 9.27% 7/16/08
Pioneer Disciplined Value Fund - R
Ticker: CVRFX
Without Sales Charge 1.28% 6/30/22 -12.09% -3.32% 9.04% 7.60% 9.80% 12/15/05
Pioneer Disciplined Value Fund - Y
Ticker: CVFYX
Without Sales Charge 0.64% 6/30/22 -11.69% -2.54% 9.84% 8.34% 10.46% 12/15/05
Pioneer Emerging Markets Equity Fund - A
Ticker: PEMEX
Without Sales Charge 3.60% 6/30/22 -18.00% -25.01% n/a n/a 3.30% 10/1/19
Pioneer Emerging Markets Equity Fund - A
Ticker: PEMEX
With Sales Charge 3.60% 6/30/22 -22.69% -29.33% n/a n/a 1.10% 10/1/19
Pioneer Emerging Markets Equity Fund - C
Ticker: PEMNX
Without Sales Charge 4.30% 6/30/22 -18.33% -25.50% n/a n/a 2.57% 10/1/19
Pioneer Emerging Markets Equity Fund - Y
Ticker: PEMSX
Without Sales Charge 3.29% 6/30/22 -17.90% -24.72% n/a n/a 3.62% 10/1/19
Pioneer Equity Income Fund - A
Ticker: PEQIX
Without Sales Charge 1.02% 6/30/22 -13.30% -5.31% 6.04% 6.50% 10.04% 7/25/90
Pioneer Equity Income Fund - A
Ticker: PEQIX
With Sales Charge 1.02% 6/30/22 -18.30% -10.76% 3.97% 5.25% 9.39% 7/25/90
Pioneer Equity Income Fund - C
Ticker: PCEQX
Without Sales Charge 1.75% 6/30/22 -13.64% -6.01% 5.26% 5.73% 9.24% 1/31/96
Pioneer Equity Income Fund - K
Ticker: PEQKX
Without Sales Charge 0.66% 6/30/22 -13.17% -5.00% 6.42% 6.88% 10.43% 7/25/90
Pioneer Equity Income Fund - R
Ticker: PQIRX
Without Sales Charge 1.37% 6/30/22 -13.46% -5.67% 5.66% 6.10% 9.64% 7/25/90
Pioneer Equity Income Fund - Y
Ticker: PYEQX
Without Sales Charge 0.78% 6/30/22 -13.23% -5.12% 6.29% 6.76% 10.33% 7/25/90
Pioneer Flexible Opportunities Fund - A
Ticker: PMARX
Without Sales Charge 1.28% 6/30/22 -18.84% -19.36% -0.07% 2.24% 4.60% 5/3/10
Pioneer Flexible Opportunities Fund - A
Ticker: PMARX
With Sales Charge 1.28% 6/30/22 -22.47% -23.00% -1.60% 1.30% 4.12% 5/3/10
Pioneer Flexible Opportunities Fund - C
Ticker: PRRCX
Without Sales Charge 2.02% 6/30/22 -19.06% -19.93% -0.83% 1.46% 3.80% 5/3/10
Pioneer Flexible Opportunities Fund - K
Ticker: FLEKX
Without Sales Charge 0.93% 6/30/22 -18.63% -19.04% 0.26% 2.51% 4.73% 5/3/10
Pioneer Flexible Opportunities Fund - R
Ticker: MUARX
Without Sales Charge 1.96% 6/30/22 -18.93% -19.79% -1.17% 1.35% 3.92% 5/3/10
Pioneer Flexible Opportunities Fund - Y
Ticker: PMYRX
Without Sales Charge 1.02% 6/30/22 -18.70% -19.10% 0.22% 2.53% 4.90% 5/3/10
Pioneer Floating Rate Fund - A
Ticker: FLARX
Without Sales Charge 1.26% 6/30/22 -5.52% -4.29% 0.44% 1.53% 2.55% 2/14/07
Pioneer Floating Rate Fund - A
Ticker: FLARX
With Sales Charge 1.26% 6/30/22 -9.82% -8.64% -1.07% 0.60% 2.08% 2/14/07
Pioneer Floating Rate Fund - C
Ticker: FLRCX
Without Sales Charge 1.86% 6/30/22 -5.82% -4.96% -0.06% 0.90% 1.86% 2/14/07
Pioneer Floating Rate Fund - Y
Ticker: FLYRX
Without Sales Charge 0.81% 6/30/22 -5.46% -4.07% 0.95% 1.97% 2.95% 2/14/07
Pioneer Fund - A
Ticker: PIODX
Without Sales Charge 1.06% 6/30/22 -19.98% -12.95% 11.76% 12.71% 12.86% 2/13/28
Pioneer Fund - A
Ticker: PIODX
With Sales Charge 1.06% 6/30/22 -24.59% -17.94% 9.58% 11.38% 12.19% 2/13/28
Pioneer Fund - C
Ticker: PCODX
Without Sales Charge 1.83% 6/30/22 -20.30% -13.66% 10.89% 11.81% 11.97% 7/1/96
Pioneer Fund - K
Ticker: PIOKX
Without Sales Charge 0.73% 6/30/22 -19.85% -12.68% 12.07% 12.89% 12.95% 2/13/28
Pioneer Fund - R
Ticker: PIORX
Without Sales Charge 1.45% 6/30/22 -20.18% -13.35% 11.28% 12.23% 12.41% 2/13/28
Pioneer Fund - Y
Ticker: PYODX
Without Sales Charge 0.81% 6/30/22 -19.88% -12.68% 12.09% 13.01% 13.17% 2/13/28
Pioneer Fundamental Growth Fund - A
Ticker: PIGFX
Without Sales Charge 1.04% 6/30/22 -24.59% -17.07% 9.76% 11.23% 12.73% 8/22/02
Pioneer Fundamental Growth Fund - A
Ticker: PIGFX
With Sales Charge 1.04% 6/30/22 -28.92% -21.83% 7.62% 9.92% 12.06% 8/22/02
Pioneer Fundamental Growth Fund - C
Ticker: FUNCX
Without Sales Charge 1.72% 6/30/22 -24.85% -17.64% 8.99% 10.49% 11.96% 12/15/05
Pioneer Fundamental Growth Fund - K
Ticker: PFGKX
Without Sales Charge 0.65% 6/30/22 -24.47% -16.79% 10.16% 11.67% 13.17% 8/22/02
Pioneer Fundamental Growth Fund - R
Ticker: PFGRX
Without Sales Charge 1.39% 6/30/22 -24.76% -17.42% 9.34% 10.85% 12.37% 8/22/02
Pioneer Fundamental Growth Fund - Y
Ticker: FUNYX
Without Sales Charge 0.76% 6/30/22 -24.52% -16.88% 10.03% 11.55% 13.06% 8/22/02
Pioneer Global High Yield Fund - A
Ticker: PGHYX
Without Sales Charge 0.84% 6/30/22 -15.09% -9.71% 11.40% 8.18% 10.23% 8/27/01
Pioneer Global High Yield Fund - A
Ticker: PGHYX
With Sales Charge 0.84% 6/30/22 -15.09% -9.71% 11.40% 8.18% 10.23% 8/27/01
Pioneer Global High Yield Fund - C
Ticker: PGYCX
Without Sales Charge 1.68% 6/30/22 -15.42% -10.44% 10.50% 7.32% 9.61% 11/21/03
Pioneer Global High Yield Fund - Y
Ticker: GHYYX
Without Sales Charge 0.97% 6/30/22 -15.09% -9.71% 11.41% 8.18% 10.36% 8/27/01
Pioneer Global Sustainable Equity Fund - A
Ticker: GLOSX
Without Sales Charge 1.27% 6/30/22 -15.50% -15.30% -1.77% 0.36% 2.60% 12/15/05
Pioneer Global Sustainable Equity Fund - A
Ticker: GLOSX
With Sales Charge 1.27% 6/30/22 -19.27% -19.10% -3.27% -0.55% 2.12% 12/15/05
Pioneer Global Sustainable Equity Fund - C
Ticker: GCSLX
Without Sales Charge 2.01% 6/30/22 -15.79% -15.98% -2.58% -0.41% 1.84% 12/15/05
Pioneer Global Sustainable Equity Fund - K
Ticker: PGEKX
Without Sales Charge 1.01% 6/30/22 -15.39% -15.11% -1.58% 0.58% 2.85% 12/15/05
Pioneer Global Sustainable Equity Fund - R
Ticker: PRGEX
Without Sales Charge 1.32% 6/30/22 -15.24% -10.08% 10.93% 7.71% 9.85% 12/15/05
Pioneer Global Sustainable Equity Fund - Y
Ticker: PGSYX
Without Sales Charge 2.06% 6/30/22 -15.57% -10.76% 10.06% 6.87% 8.99% 12/15/05
Pioneer Global Sustainable Growth Fund - A
Ticker: GHYYX
Without Sales Charge 12.69% 6/30/22 -19.17% -15.98% n/a n/a -13.02% 5/7/21
Pioneer Global Sustainable Growth Fund - A
Ticker: SUGAX
With Sales Charge 12.69% 6/30/22 -23.79% -20.82% n/a n/a -17.40% 5/7/21
Pioneer Global Sustainable Growth Fund - C
Ticker: SUGCX
Without Sales Charge 13.63% 6/30/22 -19.48% -16.78% n/a n/a -13.82% 5/7/21
Pioneer Global Sustainable Growth Fund - Y
Ticker: SUGYX
Without Sales Charge 12.64% 6/30/22 -18.99% -15.82% n/a n/a -12.88% 5/7/21
Pioneer Global Sustainable Value Fund - A
Ticker: PGSVX
Without Sales Charge 13.75% 6/30/22 -10.08% -6.70% n/a n/a -8.49% 5/7/21
Pioneer Global Sustainable Value Fund - A
Ticker: PGSVX
With Sales Charge 13.75% 6/30/22 -15.29% -12.06% n/a n/a -13.09% 5/7/21
Pioneer Global Sustainable Value Fund - C
Ticker: GBVCX
Without Sales Charge 14.52% 6/30/22 -10.40% -7.50% n/a n/a -9.26% 5/7/21
Pioneer Global Sustainable Value Fund - Y
Ticker: PSUYX
Without Sales Charge 13.51% 6/30/22 -9.99% -6.47% n/a n/a -8.30% 5/7/21
Pioneer High Income Municipal Fund - A
Ticker: PIMAX
Without Sales Charge 0.82% 6/30/22 -11.06% -9.61% -0.23% 2.32% 3.32% 10/17/06
Pioneer High Income Municipal Fund - A
Ticker: PIMAX
With Sales Charge 0.82% 6/30/22 -15.11% -13.72% -1.75% 1.38% 2.85% 10/17/06
Pioneer High Income Municipal Fund - C
Ticker: HICMX
Without Sales Charge 1.59% 6/30/22 -11.39% -10.29% -0.94% 1.57% 2.54% 10/17/06
Pioneer High Income Municipal Fund - Y
Ticker: HIMYX
Without Sales Charge 0.67% 6/30/22 -10.98% -9.41% 0.02% 2.56% 3.51% 10/17/06
Pioneer High Yield Fund - A
Ticker: TAHYX
Without Sales Charge 1.20% 6/30/22 -12.89% -11.64% -0.14% 1.46% 4.02% 2/12/98
Pioneer High Yield Fund - A
Ticker: TAHYX
With Sales Charge 1.20% 6/30/22 -16.77% -15.64% -1.66% 0.53% 3.54% 2/12/98
Pioneer High Yield Fund - C
Ticker: PYICX
Without Sales Charge 1.98% 6/30/22 -13.26% -12.40% -0.96% 0.66% 3.26% 2/12/98
Pioneer High Yield Fund - R
Ticker: TYHRX
Without Sales Charge 1.59% 6/30/22 -13.10% -12.09% -0.59% 1.03% 3.62% 2/12/98
Pioneer High Yield Fund - Y
Ticker: TYHYX
Without Sales Charge 0.90% 6/30/22 -12.65% -11.30% 0.16% 1.76% 4.35% 2/12/98
Pioneer International Equity Fund - A
Ticker: PIIFX
Without Sales Charge 1.40% 6/30/22 -19.56% -17.52% 3.63% 2.38% 5.28% 3/25/93
Pioneer International Equity Fund - A
Ticker: PIIFX
With Sales Charge 1.40% 6/30/22 -24.18% -22.26% 1.59% 1.18% 4.66% 3/25/93
Pioneer International Equity Fund - C
Ticker: PCITX
Without Sales Charge 2.15% 6/30/22 -19.84% -18.11% 2.82% 1.56% 4.37% 1/31/96
Pioneer International Equity Fund - K
Ticker: PIEKX
Without Sales Charge 0.91% 6/30/22 -19.55% -17.51% 3.63% 2.38% 5.28% 3/25/93
Pioneer International Equity Fund - Y
Ticker: INVYX
Without Sales Charge 0.92% 6/30/22 -19.37% -17.13% 4.10% 2.83% 5.70% 3/25/93
Pioneer Intrinsic Value Fund - A
Ticker: PISVX
Without Sales Charge 23.11% 6/30/22 -10.94% -2.89% n/a n/a -5.24% 5/7/21
Pioneer Intrinsic Value Fund - A
Ticker: PISVX
With Sales Charge 23.11% 6/30/22 -16.09% -8.47% n/a n/a -10.01% 5/7/21
Pioneer Intrinsic Value Fund - C
Ticker: PVCCX
Without Sales Charge 23.98% 6/30/22 -11.25% -3.72% n/a n/a -6.04% 5/7/21
Pioneer Intrinsic Value Fund - Y
Ticker: PISYX
Without Sales Charge 22.87% 6/30/22 -10.86% -2.80% n/a n/a -5.08% 5/7/21
Pioneer Mid Cap Value Fund - A
Ticker: PCGRX
Without Sales Charge 1.05% 6/30/22 -14.32% -6.68% 6.59% 5.03% 8.70% 7/25/90
Pioneer Mid Cap Value Fund - A
Ticker: PCGRX
With Sales Charge 1.05% 6/30/22 -19.26% -12.05% 4.51% 3.80% 8.05% 7/25/90
Pioneer Mid Cap Value Fund - C
Ticker: PCCGX
Without Sales Charge 1.94% 6/30/22 -14.74% -7.50% 5.67% 4.13% 7.77% 1/31/96
Pioneer Mid Cap Value Fund - K
Ticker: PMCKX
Without Sales Charge 0.71% 6/30/22 -14.21% -6.34% 6.94% 5.39% 8.98% 7/25/90
Pioneer Mid Cap Value Fund - R
Ticker: PCMRX
Without Sales Charge 1.51% 6/30/22 -14.52% -7.07% 6.16% 4.60% 8.27% 7/25/90
Pioneer Mid Cap Value Fund - Y
Ticker: PYCGX
Without Sales Charge 0.79% 6/30/22 -14.21% -6.43% 6.86% 5.31% 9.01% 7/25/90
Pioneer Multi-Asset Income Fund - A
Ticker: PMAIX
Without Sales Charge 0.90% 6/30/22 -6.18% -5.24% 5.04% 4.15% 6.27% 12/22/11
Pioneer Multi-Asset Income Fund - A
Ticker: PMAIX
With Sales Charge 0.90% 6/30/22 -10.41% -9.50% 3.45% 3.19% 5.79% 12/22/11
Pioneer Multi-Asset Income Fund - C
Ticker: PMACX
Without Sales Charge 1.66% 6/30/22 -6.57% -6.00% 4.19% 3.32% 5.41% 12/22/11
Pioneer Multi-Asset Income Fund - K
Ticker: PMFKX
Without Sales Charge 0.59% 6/30/22 -6.30% -5.27% 5.22% 4.70% 6.77% 12/22/11
Pioneer Multi-Asset Income Fund - R
Ticker: PMFRX
Without Sales Charge 1.82% 6/30/22 -6.29% -5.78% 4.26% 3.43% 5.83% 12/22/11
Pioneer Multi-Asset Income Fund - Y
Ticker: PMFYX
Without Sales Charge 0.69% 6/30/22 -6.11% -5.09% 5.19% 4.32% 6.45% 12/22/11
Pioneer Multi-Asset Ultrashort Income Fund - A
Ticker: MAFRX
Without Sales Charge 0.60% 6/30/22 -1.08% -0.80% 0.26% 1.01% 1.15% 4/29/11
Pioneer Multi-Asset Ultrashort Income Fund - A
Ticker: MAFRX
With Sales Charge 0.60% 6/30/22 -1.08% -0.80% 0.26% 1.01% 1.15% 4/29/11
Pioneer Multi-Asset Ultrashort Income Fund - C
Ticker: MCFRX
Without Sales Charge 0.91% 6/30/22 -1.24% -1.22% -0.02% 0.70% 0.84% 4/29/11
Pioneer Multi-Asset Ultrashort Income Fund - K
Ticker: MAUKX
Without Sales Charge 0.37% 6/30/22 -0.96% -0.56% 0.56% 1.27% 1.39% 4/29/11
Pioneer Multi-Asset Ultrashort Income Fund - Y
Ticker: MYFRX
Without Sales Charge 0.45% 6/30/22 -1.10% -0.75% 0.41% 1.15% 1.30% 4/29/11
Pioneer Real Estate Shares - A
Ticker: PWREX
Without Sales Charge 1.60% 6/30/22 -25.23% -10.19% 1.87% 3.42% 5.91% 10/25/93
Pioneer Real Estate Shares - A
Ticker: PWREX
With Sales Charge 1.60% 6/30/22 -29.51% -15.38% -0.12% 2.20% 5.28% 10/25/93
Pioneer Real Estate Shares - C
Ticker: PCREX
Without Sales Charge 2.46% 6/30/22 -25.51% -10.94% 0.95% 2.57% 5.03% 1/31/96
Pioneer Real Estate Shares - Y
Ticker: PYREX
Without Sales Charge 1.29% 6/30/22 -25.15% -9.92% 2.19% 3.78% 6.31% 10/25/93
Pioneer Securitized Income Fund - A
Ticker: SIFFX
Without Sales Charge 2.28% 6/30/22 -3.93% n/a n/a n/a -2.13% 7/2/21
Pioneer Securitized Income Fund - A
Ticker: SIFFX
With Sales Charge A 2.28% 6/30/22 -8.26% n/a n/a n/a -6.56% 7/2/21
Pioneer Securitized Income Fund - Y
Ticker: SYFFX
Without Sales Charge 1.77% 6/30/22 -3.71% -1.76% n/a n/a 3.52% 12/9/19
Pioneer Select Mid Cap Growth Fund - A
Ticker: PGOFX
Without Sales Charge 0.99% 6/30/22 -32.96% -34.52% 1.79% 7.66% 10.17% 6/30/93
Pioneer Select Mid Cap Growth Fund - A
Ticker: PGOFX
With Sales Charge 0.99% 6/30/22 -36.81% -38.28% -0.19% 6.39% 9.52% 6/30/93
Pioneer Select Mid Cap Growth Fund - C
Ticker: GOFCX
Without Sales Charge 1.77% 6/30/22 -33.22% -35.03% 0.99% 6.81% 9.27% 1/7/02
Pioneer Select Mid Cap Growth Fund - K
Ticker: PSMKX
Without Sales Charge 0.65% 6/30/22 -32.83% -34.29% 2.16% 8.04% 10.47% 7/10/00
Pioneer Select Mid Cap Growth Fund - R
Ticker: PGRRX
Without Sales Charge 1.43% 6/30/22 -33.08% -34.80% 1.39% 7.21% 9.77% 7/10/00
Pioneer Select Mid Cap Growth Fund - Y
Ticker: GROYX
Without Sales Charge 0.77% 6/30/22 -32.86% -34.37% 2.03% 7.91% 10.47% 6/23/04
Pioneer Short Term Income Fund - A
Ticker: STABX
Without Sales Charge 0.85% 6/30/22 -3.85% -3.94% -0.02% 0.95% 1.30% 7/8/04
Pioneer Short Term Income Fund - A
Ticker: STABX
With Sales Charge 0.85% 6/30/22 -3.85% -3.94% -0.02% 0.95% 1.30% 7/8/04
Pioneer Short Term Income Fund - C
Ticker: PSHCX
Without Sales Charge 1.07% 6/30/22 -3.84% -4.05% -0.09% 0.79% 1.05% 7/8/04
Pioneer Short Term Income Fund - K
Ticker: STIKX
Without Sales Charge 0.51% 6/30/22 -3.64% -3.57% 0.49% 1.39% 1.62% 7/8/04
Pioneer Short Term Income Fund - Y
Ticker: PSHYX
Without Sales Charge 0.60% 6/30/22 -3.67% -3.60% 0.45% 1.33% 1.62% 7/8/04
Pioneer Solutions - Balanced Fund - A
Ticker: PIALX
Without Sales Charge 1.12% 6/30/22 -12.64% -11.04% 4.61% 3.48% 4.90% 8/9/04
Pioneer Solutions - Balanced Fund - A
Ticker: PIALX
With Sales Charge 1.12% 6/30/22 -17.68% -16.15% 2.57% 2.26% 4.28% 8/9/04
Pioneer Solutions - Balanced Fund - C
Ticker: PIDCX
Without Sales Charge 1.84% 6/30/22 -12.98% -11.72% 3.86% 2.75% 4.16% 8/9/04
Pioneer Solutions - Balanced Fund - R
Ticker: BALRX
Without Sales Charge 1.29% 6/30/22 -12.80% -11.25% 4.42% 3.26% 4.74% 8/9/04
Pioneer Solutions - Balanced Fund - Y
Ticker: IMOYX
Without Sales Charge 0.85% 6/30/22 -12.59% -10.84% 4.88% 3.70% 5.14% 8/9/04
Pioneer Strategic Income Fund - A
Ticker: PSRAX
Without Sales Charge 1.06% 6/30/22 -10.31% -10.00% 0.52% 1.61% 2.92% 4/15/99
Pioneer Strategic Income Fund - A
Ticker: PSRAX
With Sales Charge 1.06% 6/30/22 -14.37% -14.06% -1.01% 0.67% 2.45% 4/15/99
Pioneer Strategic Income Fund - C
Ticker: PSRCX
Without Sales Charge 1.73% 6/30/22 -10.60% -10.54% -0.12% 0.94% 2.24% 4/15/99
Pioneer Strategic Income Fund - K
Ticker: STRKX
Without Sales Charge 0.63% 6/30/22 -10.10% -9.52% 0.96% 2.05% 3.35% 4/15/99
Pioneer Strategic Income Fund - R
Ticker: STIRX
Without Sales Charge 1.37% 6/30/22 -10.44% -10.24% 0.21% 1.29% 2.58% 4/15/99
Pioneer Strategic Income Fund - Y
Ticker: STRYX
Without Sales Charge 0.74% 6/30/22 -10.17% -9.64% 0.88% 1.94% 3.25% 4/15/99
Pioneer US Government Money Market Fund - A
Ticker: PMTXX
Without Sales Charge 0.79% 6/30/22 0.11% 0.12% 0.32% 0.65% 0.34% 6/22/87
Pioneer US Government Money Market Fund - A
Ticker: PMTXX
With Sales Charge 0.79% 6/30/22 0.11% 0.12% 0.32% 0.65% 0.34% 6/22/87
Pioneer US Government Money Market Fund - R
Ticker: PRXXX
Without Sales Charge 1.11% 6/30/22 0.03% 0.05% 0.19% n/a 0.42% 8/1/17
Pioneer US Government Money Market Fund - Y
Ticker: PRYXX
Without Sales Charge 0.51% 6/30/22 0.09% 0.11% 0.35% 0.72% 0.38% 6/22/87

 

¹With Sales Charge = POP; Without Sales Charge = NAV

²Cumulative total return.

³Total return since inception is quoted for funds with less than 10 years of operation.


About Barron's Best Fund Families Rank
The 2021 Barron’s Best Fund Families List ranks the active management ability of qualifying companies. Rankings are based on the asset-weighted one-year returns as of 12/31/21, excluding 12b-1 fees and sales loads, of a company’s actively managed fund line up in five asset class categories: US Equity, World Equity, Mixed Asset, Taxable Bond, and Tax-Exempt Bond as determined by Barron’s. Overall ranking based on aggregate, weighted score across the five asset categories. To be included, firms must offer at least three actively managed mutual funds or active exchange-traded funds in Lipper’s general US stock category, plus one in world equity and one mixed-asset—such as balanced, or allocation fund. They also need to offer at least two taxable bond funds and one national tax-exempt bond fund. Performance data from Refinitiv Lipper. Past performance does not guarantee future results.

Pioneer Global Sustainable Equity Fund: Effective February 15, 2022, Pioneer Global Equity Fund changed its name to Pioneer Global Sustainable Equity Fund.

Pioneer Securitized Income Fund: Effective June 30, 2021, Pioneer Securitized Income Fund converted from an interval fund into an open-end fund.

Effective September 25, 2020, Pioneer Corporate High Yield Fund reorganized with Pioneer Dynamic Credit Fund. The combined fund is named Pioneer Corporate High Yield Fund. The fund is managed by Pioneer Corporate High Yield Fund’s investment team in accordance with that fund’s investment objectives, investment policies and investment strategies. The historical performance of Pioneer Corporate High Yield Fund is the combined fund’s historical performance.

Pioneer Global Multisector Income Fund: Effective August 28, 2020, Pioneer Global Multisector Income Fund has been liquidated. Click here for most recent shareholder report.

Pioneer Balanced ESG Fund: On 9/1/2019, Pioneer Classic Balanced Fund was renamed Pioneer Balanced ESG Fund.

Pioneer Fund: Investor Class shares of the Fund converted to Class A shares of the Fund on December 10, 2006.

Pioneer Solutions - Balanced Fund: Return is based on inception NAV.

Pioneer US Government Money Market Fund: You could lose money by investing in the Fund. Although the Fund seeks to preserve the value of your investment at $1.00 per share, it cannot guarantee it will do so. The Fund may impose a fee upon the sale of your shares or may temporarily suspend your ability to sell shares if the Fund's liquidity falls below required minimums because of market conditions or other factors. An investment in the fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The Fund's sponsor has no legal obligation to provide financial support to the fund, and you should not expect that the sponsor will provide financial support to the fund at any time.

Past performance is no guarantee of future results. Share price, yield and return will vary and you may have a gain or loss when you sell your shares.

Average annual total returns assume reinvestment of all distributions at net asset value.

Performance results reflect any applicable expense waivers in effect during the periods shown. Without such waivers fund performance would be lower. Waivers may not be in effect for all funds. Certain fee waivers are contractual through a specified period. Otherwise, fee waivers can be rescinded at any time. See the prospectus and financial statements for more information.

As of close of business November 10, 2014, all outstanding Class B shares of the Pioneer funds were converted to Class A shares. Effective December 1, 2020, Class C shares of Pioneer mutual funds will automatically convert to Class A shares after 8 years.

The performance of Class K shares for the period prior to the commencement of operations of Class K shares may reflect the net asset value performance of the Fund’s Class A shares, which has not been restated to reflect any differences in expenses, including 12b-1 fees applicable to Class A shares. Since fees for Class A shares generally are higher than those of Class K shares, the performance of Class K shares prior to their inception would have been higher than the performance shown. Class K shares are not subject to sales and are available for limited groups of eligible investors, including institutional investors.

Except for Pioneer US Government Money Market Fund, the performance of Class R shares for the period prior to the commencement of operations of Class R shares is based on the performance of Class A shares, reduced to reflect the higher distribution and service fees of Class R shares. For the period after the inception, the actual performance of Class R shares is reflected, which performance may be influenced by the smaller asset size of Class R shares compared to Class A shares. The performance of Class R shares does not reflect the 1% CDSC that was in effect prior to 7/1/04, if applicable. Class R shares are not subject to sales charge and are available for certain tax-deferred retirement plans.

Performance for periods prior to the inception of Class Y shares may reflect the NAV performance of the Fund’s Class A shares. The performance does not reflect differences in expenses, including the 12b-1 fees applicable to Class A shares. Since fees for Class A shares are generally higher than those of Class Y shares, the performance shown for Class Y shares prior to their inception would have been higher. Class Y shares are not subject to sales charges and are available for limited groups of eligible investors, including institutional investors.

NAV returns do not reflect the deduction of sales charges which would lower returns.

Important Legal Information
These materials are not an offer to sell or a solicitation of an offer to buy any security in any jurisdiction in which such an offer, solicitation, purchase or sale would be unlawful under the laws of the jurisdiction.

For information on Pioneer Short Term Income Fund Class C2 please visit: https://www.sec.gov/cgi-bin/browse-edgar?action=getcompany&CIK=STIIX

For information on Pioneer Multi-Asset Ultrashort Income Fund Class C2 please visit: https://www.sec.gov/cgi-bin/browse-edgar?action=getcompany&CIK=MAUCX

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 .

For more information about our funds, please call 1-800-225-6292 or visit our Order Literature page to request a quarterly fact sheet and prospectus.

For additional important information about these funds, click here .

Before investing, consider the product's investment objectives, risks, charges and expenses. Contact your financial professional or Amundi US for a prospectus or summary prospectus containing this information. Read it carefully. To obtain a free prospectus or summary prospectus and for information on any Pioneer fund, please download it from our literature section.

Securities offered through Amundi Distributor US, Inc.
(Formerly Amundi Pioneer Distributor, Inc.)
60 State Street, Boston, MA 02109
Underwriter of Pioneer mutual funds, Member SIPC.

Not FDIC insured | May lose value | No bank guarantee