Mise en page 1 - UniCredit Bank Slovakia as
Mise en page 1 - UniCredit Bank Slovakia as Mise en page 1 - UniCredit Bank Slovakia as
Statement of Unit Statistics as at 31 December 2012 (continued) Net Asset Value per Unit Class C 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 Pioneer Funds - Global Ecology EUR - - - - - - - Pioneer Funds - Gold and Mining EUR - - - - - - - Pioneer Funds - Japanese Equity (9) EUR - - - - - - - Pioneer Funds - Emerging Markets Equity EUR - - - - - - - Net Asset Value per Unit Class C Non - Distributing 31 December 2010 31 December 2010 in USD 31 December 2011 31 December 2011 in USD 31 December 2011 in HUF 31 December 2012 31 December 2012 in USD 31 December 2012 in HUF Units Outstanding at 31 December 2012 36.95 $ 49.57 32.13 $ 41.71 - 37.25 $ 49.12 - 130,353.09 - - - - - - - - - 1.95 $ 2.59 1.62 $ 2.11 - 1.68 $ 2.22 - 1,430,141.09 7.87 $ 10.56 6.16 $ 7.99 - 6.53 $ 8.61 - 1,790,756.55 Net Asset Value per Unit Class C Hedge Non - Distributing 31 December 2010 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - Net Asset Value per Unit Class E Distributing Annually 31 December 2010 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - Net Asset Value per Unit Class E Distributing Semi - Annually 31 December 2010 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - Net Asset Value per Unit Class E Distributing Quarterly 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - - - - - Net Asset Value per Unit Class E 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 4.095 - 3.596 - 4.210 - 17,692,027.29 5.790 - 4.651 - 4.562 - 3,382,958.05 2.162 - 1.820 - 1.906 - 64,246,437.92 8.942 - 7.066 - 7.571 - 30,024,680.97 Footnotes available at the end of this section. The accompanying notes form an integral part of these financial statements. 166 Pioneer Funds - Annual Report
Statement of Unit Statistics as at 31 December 2012 (continued) Net Asset Value per Unit Class E Hedge Distributing Annually 31 December 2010 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 Pioneer Funds - Global Ecology EUR - - - - Pioneer Funds - Gold and Mining EUR - - - - Pioneer Funds - Japanese Equity (9) EUR - - - - Pioneer Funds - Emerging Markets Equity EUR - - - - Net Asset Value per Unit Class E 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 - - - - - - - - - - - - - 4.758 - 5.595 - 81,574.13 - - - - - - Net Asset Value per Unit Class F Distributing Annually 31 December 2010 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - Net Asset Value per Unit Class F Distributing Quarterly 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - Net Asset Value per Unit Class F Non - Distributing 31 December 2010 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 3.969 3.459 4.020 6,361,147.34 5.628 4.487 4.367 2,464,174.13 1.998 1.670 1.736 6,680,527.46 8.039 6.306 6.706 20,588,127.93 Net Asset Value per Unit Class F Hedge Distributing Annually 31 December 2010 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - Net Asset Value per Unit Class F Hedge Non - Distributing 31 December 2010 31 December 2011 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - Net Asset Value per Unit Class H Distributing Annually 31 December 2010 31 December 2010 in USD 31 December 2011 31 December 2011 in USD 31 December 2012 Units Outstanding at 31 December 2012 - - - - - - - - - - - - - - - - - - - - - - - - Net Asset Value per Unit Class H Distributing Quarterly 31 December 2012 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. Pioneer Funds - Annual Report 167
- Page 117 and 118: Statement of Unit Statistics as at
- Page 119 and 120: Statement of Unit Statistics as at
- Page 121 and 122: Statement of Unit Statistics as at
- Page 123 and 124: Statement of Unit Statistics as at
- Page 125 and 126: Statement of Unit Statistics as at
- Page 127 and 128: Statement of Unit Statistics as at
- Page 129 and 130: Statement of Unit Statistics as at
- Page 131 and 132: Statement of Unit Statistics as at
- Page 133 and 134: Statement of Unit Statistics as at
- Page 135 and 136: Statement of Unit Statistics as at
- Page 137 and 138: Statement of Unit Statistics as at
- Page 139 and 140: Statement of Unit Statistics as at
- Page 141 and 142: Statement of Unit Statistics as at
- Page 143 and 144: Statement of Unit Statistics as at
- Page 145 and 146: Statement of Unit Statistics as at
- Page 147 and 148: Statement of Unit Statistics as at
- Page 149 and 150: Statement of Unit Statistics as at
- Page 151 and 152: Statement of Unit Statistics as at
- Page 153 and 154: Statement of Unit Statistics as at
- Page 155 and 156: Statement of Unit Statistics as at
- Page 157 and 158: Statement of Unit Statistics as at
- Page 159 and 160: Statement of Unit Statistics as at
- Page 161 and 162: Statement of Unit Statistics as at
- Page 163 and 164: Statement of Unit Statistics as at
- Page 165 and 166: Statement of Unit Statistics as at
- Page 167: Statement of Unit Statistics as at
- Page 171 and 172: Statement of Unit Statistics as at
- Page 173 and 174: Statement of Unit Statistics as at
- Page 175 and 176: Statement of Unit Statistics as at
- Page 177 and 178: Statement of Unit Statistics as at
- Page 179 and 180: Statement of Unit Statistics as at
- Page 181 and 182: Statement of Unit Statistics as at
- Page 183 and 184: Statement of Unit Statistics as at
- Page 185 and 186: Statement of Unit Statistics as at
- Page 187 and 188: Pioneer Funds - Euro Short-Term Sch
- Page 189 and 190: Pioneer Funds - Euro Cash Plus Sche
- Page 191 and 192: Pioneer Funds - Euro Cash Plus Sche
- Page 193 and 194: Pioneer Funds - Euro Corporate Shor
- Page 195 and 196: Pioneer Funds - Euro Corporate Shor
- Page 197 and 198: Pioneer Funds - U.S. Dollar Short-T
- Page 199 and 200: Pioneer Funds - U.S. Dollar Short-T
- Page 201 and 202: Pioneer Funds - U.S. Dollar Short-T
- Page 203 and 204: Pioneer Funds - U.S. Dollar Short-T
- Page 205 and 206: Pioneer Funds - Euro Bond Schedule
- Page 207 and 208: Pioneer Funds - Euro Bond Schedule
- Page 209 and 210: Pioneer Funds - Euro Aggregate Bond
- Page 211 and 212: Pioneer Funds - Euro Aggregate Bond
- Page 213 and 214: Pioneer Funds - Euro Aggregate Bond
- Page 215 and 216: Pioneer Funds - Euro Aggregate Bond
- Page 217 and 218: Pioneer Funds - Euro Corporate Bond
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 E Hedge Distributing Annually<br />
31 December 2010<br />
31 December 2011<br />
31 December 2012<br />
Units Outstanding at 31 December 2012<br />
Pioneer Funds -<br />
Global Ecology<br />
EUR<br />
-<br />
-<br />
-<br />
-<br />
Pioneer Funds -<br />
Gold and Mining<br />
EUR<br />
-<br />
-<br />
-<br />
-<br />
Pioneer Funds -<br />
Japanese Equity (9)<br />
EUR<br />
-<br />
-<br />
-<br />
-<br />
Pioneer Funds -<br />
Emerging<br />
Markets Equity<br />
EUR<br />
-<br />
-<br />
-<br />
-<br />
Net Asset Value per Unit Cl<strong>as</strong>s E Hedge Non - Distributing<br />
31 December 2010<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 />
4.758<br />
-<br />
5.595<br />
-<br />
81,574.13<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
Net Asset Value per Unit Cl<strong>as</strong>s F Distributing Annually<br />
31 December 2010<br />
31 December 2011<br />
31 December 2012<br />
Units Outstanding at 31 December 2012<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
Net Asset Value per Unit Cl<strong>as</strong>s F Distributing Quarterly<br />
31 December 2012<br />
Units Outstanding at 31 December 2012<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
Net Asset Value per Unit Cl<strong>as</strong>s F Non - Distributing<br />
31 December 2010<br />
31 December 2011<br />
31 December 2012<br />
Units Outstanding at 31 December 2012<br />
3.969<br />
3.459<br />
4.020<br />
6,361,147.34<br />
5.628<br />
4.487<br />
4.367<br />
2,464,174.13<br />
1.998<br />
1.670<br />
1.736<br />
6,680,527.46<br />
8.039<br />
6.306<br />
6.706<br />
20,588,127.93<br />
Net Asset Value per Unit Cl<strong>as</strong>s F Hedge Distributing Annually<br />
31 December 2010<br />
31 December 2011<br />
31 December 2012<br />
Units Outstanding at 31 December 2012<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
Net Asset Value per Unit Cl<strong>as</strong>s F Hedge Non - Distributing<br />
31 December 2010<br />
31 December 2011<br />
31 December 2012<br />
Units Outstanding at 31 December 2012<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
Net Asset Value per Unit Cl<strong>as</strong>s H 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 />
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 />
Net Asset Value per Unit Cl<strong>as</strong>s H Distributing Quarterly<br />
31 December 2012<br />
Units Outstanding at 31 December 2012<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<br />
-<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 167