Mise en page 1 - UniCredit Bank Slovakia as

Mise en page 1 - UniCredit Bank Slovakia as Mise en page 1 - UniCredit Bank Slovakia as

pioneerinvestments.cz
from pioneerinvestments.cz More from this publisher
03.01.2015 Views

Statement of Unit Statistics as at 31 December 2012 (continued) Net Asset Value per Unit Class A Non - Distributing 31 December 2010 31 December 2010 in CHF 31 December 2010 in CZK 31 December 2010 in USD 31 December 2011 31 December 2011 in CHF 31 December 2011 in CZK 31 December 2011 in USD 31 December 2011 in HUF 31 December 2012 31 December 2012 in CHF 31 December 2012 in CZK 31 December 2012 in USD 31 December 2012 in JPY 31 December 2012 in HUF Units Outstanding at 31 December 2012 Pioneer Funds - Euro High Yield EUR 69.13 - - - 66.51 - - - - 82.53 - - - - - 1,064,418.25 Pioneer Funds - Emerging Markets Corporate High Yield Bond (2) EUR - - - - - - - - - 50.40 - - $ 66.44 - - 200,796.03 Pioneer Funds - Emerging Markets Bond Local Currencies EUR 62.04 - - $ 83.23 60.82 - - $ 78.96 - 67.77 - - $ 89.35 - - 227,794.27 Pioneer Funds - Emerging Markets Bond EUR 9.33 - - $ 12.52 9.82 - - $ 12.75 - 11.62 - - $ 15.32 - - 5,243,149.50 Net Asset Value per Unit Class A Hedge Distributing Annually 31 December 2010 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - - - - - 41.08 39.62 44.07 400,139.69 Net Asset Value per Unit Class A Hedge Distributing Ex-Dividend 31 December 2010 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - Net Asset Value per Unit Class A Hedge Non - Distributing 31 December 2010 31 December 2011 31 December 2011 in USD 31 December 2012 31 December 2012 in USD Units Outstanding at 31 December 2012 - - - 50.62 $ 66.74 210,535.80 - - - - - - - - - - - - - - - - - - Net Asset Value per Unit Class A Hedge Non - Distributing (in CHF) 31 December 2010 31 December 2010 in CHF 31 December 2011 31 December 2011 in CHF 31 December 2012 31 December 2012 in CHF Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - - - - - - - - - - - - - Footnotes available at the end of this section. The accompanying notes form an integral part of these financial statements. 108 Pioneer Funds - Annual Report

Statement of Unit Statistics as at 31 December 2012 (continued) Net Asset Value per Unit Class A Hedge Non - Distributing (in CZK) 31 December 2010 31 December 2010 in CZK 31 December 2011 31 December 2011 in CZK 31 December 2012 31 December 2012 in CZK Units Outstanding at 31 December 2012 Pioneer Funds - Euro High Yield EUR - - - - - - - Pioneer Funds - Emerging Markets Corporate High Yield Bond (2) EUR - - - - - - - Pioneer Funds - Emerging Markets Bond Local Currencies EUR - - - - - - - Pioneer Funds - Emerging Markets Bond EUR - - - - - - - Net Asset Value per Unit Class B Distributing 31 December 2010 31 December 2010 in USD 31 December 2011 31 December 2011 in USD 31 December 2012 31 December 2012 in USD Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - - - - - - 4.73 $ 6.35 4.61 $ 5.99 5.18 $ 6.83 60,785.50 Net Asset Value per Unit Class B Distributing Annually 31 December 2010 31 December 2010 in USD 31 December 2011 31 December 2011 in USD 31 December 2012 31 December 2012 in USD Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - 60.88 $ 81.67 58.90 $ 76.46 64.74 $ 85.36 102.05 - - - - - - - Net Asset Value per Unit Class B Distributing Ex-Dividend 31 December 2010 31 December 2010 in USD 31 December 2011 31 December 2011 in USD 31 December 2012 31 December 2012 in USD Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - - - - - - - - - - 52.25 $ 68.89 132,559.78 Net Asset Value per Unit Class B Non - Distributing 31 December 2010 31 December 2010 in USD 31 December 2011 31 December 2011 in USD 31 December 2012 31 December 2012 in USD Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - 60.88 $ 81.67 58.93 $ 76.49 - - - 8.29 $ 11.12 8.60 $ 11.16 10.09 $ 13.30 61,139.45 Net Asset Value per Unit Class C Distributing 31 December 2010 31 December 2010 in USD 31 December 2011 31 December 2011 in USD 31 December 2012 31 December 2012 in USD Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - 49.59 $ 66.53 46.72 $ 60.65 - - - 4.75 $ 6.37 4.63 $ 6.01 5.20 $ 6.85 2,136,455.28 Footnotes available at the end of this section. The accompanying notes form an integral part of these financial statements. Pioneer Funds - Annual Report 109

Statem<strong>en</strong>t of Unit Statistics<br />

<strong>as</strong> at 31 December 2012 (continued)<br />

Net Asset Value per Unit Cl<strong>as</strong>s A Hedge Non - Distributing (in CZK)<br />

31 December 2010<br />

31 December 2010 in CZK<br />

31 December 2011<br />

31 December 2011 in CZK<br />

31 December 2012<br />

31 December 2012 in CZK<br />

Units Outstanding at 31 December 2012<br />

Pioneer Funds -<br />

Euro High Yield<br />

EUR<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

Pioneer Funds -<br />

Emerging Markets<br />

Corporate High<br />

Yield Bond (2)<br />

EUR<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

Pioneer Funds -<br />

Emerging Markets<br />

Bond Local Curr<strong>en</strong>cies<br />

EUR<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

Pioneer Funds -<br />

Emerging<br />

Markets Bond<br />

EUR<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

Net Asset Value per Unit Cl<strong>as</strong>s B Distributing<br />

31 December 2010<br />

31 December 2010 in USD<br />

31 December 2011<br />

31 December 2011 in USD<br />

31 December 2012<br />

31 December 2012 in USD<br />

Units Outstanding at 31 December 2012<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

4.73<br />

$ 6.35<br />

4.61<br />

$ 5.99<br />

5.18<br />

$ 6.83<br />

60,785.50<br />

Net Asset Value per Unit Cl<strong>as</strong>s B Distributing Annually<br />

31 December 2010<br />

31 December 2010 in USD<br />

31 December 2011<br />

31 December 2011 in USD<br />

31 December 2012<br />

31 December 2012 in USD<br />

Units Outstanding at 31 December 2012<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

60.88<br />

$ 81.67<br />

58.90<br />

$ 76.46<br />

64.74<br />

$ 85.36<br />

102.05<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

Net Asset Value per Unit Cl<strong>as</strong>s B Distributing Ex-Divid<strong>en</strong>d<br />

31 December 2010<br />

31 December 2010 in USD<br />

31 December 2011<br />

31 December 2011 in USD<br />

31 December 2012<br />

31 December 2012 in USD<br />

Units Outstanding at 31 December 2012<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

52.25<br />

$ 68.89<br />

132,559.78<br />

Net Asset Value per Unit Cl<strong>as</strong>s B Non - Distributing<br />

31 December 2010<br />

31 December 2010 in USD<br />

31 December 2011<br />

31 December 2011 in USD<br />

31 December 2012<br />

31 December 2012 in USD<br />

Units Outstanding at 31 December 2012<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

60.88<br />

$ 81.67<br />

58.93<br />

$ 76.49<br />

-<br />

-<br />

-<br />

8.29<br />

$ 11.12<br />

8.60<br />

$ 11.16<br />

10.09<br />

$ 13.30<br />

61,139.45<br />

Net Asset Value per Unit Cl<strong>as</strong>s C Distributing<br />

31 December 2010<br />

31 December 2010 in USD<br />

31 December 2011<br />

31 December 2011 in USD<br />

31 December 2012<br />

31 December 2012 in USD<br />

Units Outstanding at 31 December 2012<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

-<br />

49.59<br />

$ 66.53<br />

46.72<br />

$ 60.65<br />

-<br />

-<br />

-<br />

4.75<br />

$ 6.37<br />

4.63<br />

$ 6.01<br />

5.20<br />

$ 6.85<br />

2,136,455.28<br />

Footnotes available at the <strong>en</strong>d of this section.<br />

The accompanying notes form an integral part of these financial statem<strong>en</strong>ts.<br />

Pioneer Funds - Annual Report 109

Hooray! Your file is uploaded and ready to be published.

Saved successfully!

Ooh no, something went wrong!