-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, RvLDHI6miFlYSdmYc3GityQ6X5dwstwGj0PlezLtyKKldZ1jFNhh5xc2NaN9JR6Z qV2uWBnU/rowOi7eQ1kKLQ== 0001102598-10-000001.txt : 20100212 0001102598-10-000001.hdr.sgml : 20100212 20100212170442 ACCESSION NUMBER: 0001102598-10-000001 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20091231 FILED AS OF DATE: 20100212 DATE AS OF CHANGE: 20100212 EFFECTIVENESS DATE: 20100212 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PIONEER INVESTMENT MANAGEMENT INC CENTRAL INDEX KEY: 0001102598 IRS NUMBER: 135657669 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-04037 FILM NUMBER: 10600720 BUSINESS ADDRESS: STREET 1: 60 STATE STREET STREET 2: 13TH FLOOR CITY: BOSTON STATE: MA ZIP: 02109 BUSINESS PHONE: 6174224947 MAIL ADDRESS: STREET 1: 60 STATE STREET STREET 2: 13TH FLOOR CITY: BOSTON STATE: MA ZIP: 02109 13F-HR 1 final.txt FORM 13F 4TH QTR 2009 ---------------------------- OMB APPROVAL ---------------------------- OMB Number: Expires: Estimated average burden hours per response..... ---------------------------- SEC USE ONLY ---------------------------- ---------------------------- UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F Cover Page Report for the Calendar Year or Quarter Ended December 31, 2009 If amended report check here: | | Amendment Number: This Amendment (Check only one): | | is a restatement | | adds new holding entries. Pioneer Investment Management, Inc. - -------------------------------------------------------------------------------- Name of Institutional Investment Manager 60 State Street Boston MA 02109 - -------------------------------------------------------------------------------- Business Address (Street) (City) (State) (Zip) 13F File Number: 028-04037 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Jean Bradley Director of Compliance 617-422-4524 - -------------------------------------------------------------------------------- Name (Title) (Phone) /s/ Jean Bradley ------------------------------------------ (Manual Signature of Person Duly Authorized to Submit This Report) Boston, MA February 12, 2010 ------------------------------------------ (Place and Date of Signing) Report Type: [ ] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [X] 13F COMBINATION REPORT. List of Other Managers Reporting for this Manager: Form 13F File Number: Name: - ----------------------------------------------------------------------------- 28-6668 OakRidge Investments, LLC 28-11905 Cullen Capital Management, LLC Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 4 Form 13F Information Table Entry Total: 1258 Form 13F Information Table Value Total: $38,484,881 (thousands) List of Other Included Managers: No. 13F File Number: Name - ---- ---------------- ---- 01 28-05167 MetLife Advisers, LLC 02 28-06538 AEW Capital Management LP 03 28-13329 Pioneer Institutional Asset Management, Inc. 04 28-04547 ING Investments LLC
VALUE SHARES/ SH/ PUT/ INVSTMT --------VOTING AUTHORITY----- NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (x$1000) PRN AMT PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE D 3M COMPANY COMMSTCK 88579Y101 785 9498 SH DEFINED 4 9498 0 0 D 3M COMPANY COMMSTCK 88579Y101 6517 78827 SH DEFINED 1 78827 0 0 D 3M COMPANY COMMSTCK 88579Y101 14108 170653 SH DEFINED 3 170653 0 0 D 3M COMPANY COMMSTCK 88579Y101 204445 2473027 SH SOLE 2473027 0 0 D 7 Days Group Holding DEPRECPT 81783J101 1213 97200 SH SOLE 97200 0 0 D ABB LTD-SPON ADR DEPRECPT 000375204 23325 1221200 SH SOLE 1221200 0 0 D ABBOTT LABORATORIES COMMSTCK 002824100 3514 65077 SH DEFINED 4 65077 0 0 D ABBOTT LABORATORIES COMMSTCK 002824100 8821 163383 SH DEFINED 3 163383 0 0 D ABBOTT LABORATORIES COMMSTCK 002824100 10563 195649 SH DEFINED 1 195649 0 0 D ABBOTT LABORATORIES COMMSTCK 002824100 180505 3343296 SH SOLE 3343296 0 0 D ABIOMED INC COMMSTCK 003654100 7373 843583 SH SOLE 843583 0 0 D ACE LTD COMMSTCK H0023R105 20976 416200 SH SOLE 416200 0 0 D ACTIVISION INC COMMSTCK 00507V109 2277 204957 SH SOLE 204957 0 0 D ADOBE SYSTEMS INC COMMSTCK 00724F101 669 18178 SH DEFINED 4 18178 0 0 D ADOBE SYSTEMS INC COMMSTCK 00724F101 5573 151521 SH DEFINED 1 151521 0 0 D ADOBE SYSTEMS INC COMMSTCK 00724F101 6590 179183 SH DEFINED 3 179183 0 0 D ADOBE SYSTEMS INC COMMSTCK 00724F101 65558 1782445 SH SOLE 1782445 0 0 D ADVANCE AUTO PARTS I COMMSTCK 00751Y106 2465 60900 SH SOLE 60900 0 0 D AES CORPORATION COMMSTCK 00130H105 2323 174500 SH SOLE 174500 0 0 D AETNA INC COMMSTCK 00817Y108 584 18410 SH DEFINED 3 18410 0 0 D AETNA INC COMMSTCK 00817Y108 10816 341210 SH DEFINED 4 341210 0 0 D AETNA INC COMMSTCK 00817Y108 66056 2083789 SH SOLE 2083789 0 0 D AFLAC INC COMMSTCK 001055102 132 2846 SH DEFINED 3 2846 0 0 D AFLAC INC COMMSTCK 001055102 1545 33398 SH DEFINED 4 33398 0 0 D AFLAC INC COMMSTCK 001055102 12275 265403 SH SOLE 265403 0 0 D AGL RESOURCES INC COMMSTCK 001204106 171 4682 SH DEFINED 3 4682 0 0 D AGL RESOURCES INC COMMSTCK 001204106 2015 55252 SH DEFINED 4 55252 0 0 D AGL RESOURCES INC COMMSTCK 001204106 16582 454681 SH SOLE 454681 0 0 D AGRIUM INC COMMSTCK 008916108 2278 37042 SH SOLE 37042 0 0 D AIR PRODS & CHEMS INC COMMSTCK 009158106 590 7283 SH DEFINED 4 7283 0 0 D AIR PRODS & CHEMS INC COMMSTCK 009158106 4406 54358 SH DEFINED 3 54358 0 0 D AIR PRODS & CHEMS INC COMMSTCK 009158106 5095 62858 SH DEFINED 1 62858 0 0 D AIR PRODS & CHEMS INC COMMSTCK 009158106 78164 964274 SH SOLE 964274 0 0 D AIRGAS INC COMMSTCK 009363102 444 9334 SH DEFINED 3 9334 0 0 D AIRGAS INC COMMSTCK 009363102 8011 168300 SH DEFINED 4 168300 0 0 D AIRGAS INC COMMSTCK 009363102 25470 535074 SH SOLE 535074 0 0 D AKAMAI TECHNOLOGIES COMMSTCK 00971T101 3296 130114 SH SOLE 130114 0 0 D ALBERTO-CULVER CO CL B COMMSTCK 013078100 8835 301647 SH SOLE 301647 0 0 D ALCOA INC COMMSTCK 013817101 711 44088 SH DEFINED 4 44088 0 0 D ALCOA INC COMMSTCK 013817101 4504 279410 SH DEFINED 3 279410 0 0 D ALCOA INC COMMSTCK 013817101 6365 394856 SH DEFINED 1 394856 0 0 D ALCOA INC COMMSTCK 013817101 70216 4355809 SH SOLE 4355809 0 0 D ALCON INC. COMMSTCK H01301102 1230 7485 SH DEFINED 3 7485 0 0 D ALCON INC. COMMSTCK H01301102 957 5824 SH DEFINED 4 5824 0 0 D ALCON INC. COMMSTCK H01301102 7443 45289 SH DEFINED 1 45289 0 0 D ALCON INC. COMMSTCK H01301102 92634 563639 SH SOLE 563639 0 0 D ALEXANDRIA REAL ESTATE EQU COMMSTCK 015271109 444 6903 SH DEFINED 3 6903 0 0 D ALEXANDRIA REAL ESTATE EQU COMMSTCK 015271109 990 15400 SH DEFINED 2 15400 0 0 D ALEXANDRIA REAL ESTATE EQU COMMSTCK 015271109 6785 105540 SH DEFINED 4 105540 0 0 D ALEXANDRIA REAL ESTATE EQU COMMSTCK 015271109 25879 402530 SH SOLE 402530 0 0 D ALEXION PHARMACEUTICALS IN COMMSTCK 015351109 20867 427421 SH SOLE 427421 0 0 D Allegiant Travel Co COMMSTCK 01748X102 6557 139000 SH SOLE 139000 0 0 D ALLERGAN INC COMMSTCK 018490102 27901 442800 SH SOLE 442800 0 0 D ALLIANCE DATA SYSTEM CORP COMMSTCK 018581108 8054 124700 SH SOLE 124700 0 0 D Alliance One Interna INTER COMMSTCK 018772103 212 43400 SH DEFINED 4 43400 0 0 D Alliance One Interna INTER COMMSTCK 018772103 7588 1554900 SH SOLE 1554900 0 0 D ALLSTATE CORP COMMSTCK 020002101 10324 343689 SH SOLE 343689 0 0 D ALPHA NATURAL RESOURCES IN COMMSTCK 02076X102 7958 183455 SH SOLE 183455 0 0 D ALTRA HOLDINGS INC. COMMSTCK 02208R106 7913 640700 SH SOLE 640700 0 0 D ALTRIA GROUP INC COMMSTCK 02209S103 3750 191018 SH SOLE 191018 0 0 D AMAG PHARMACEUTICALS INC COMMSTCK 00163U106 12713 334296 SH SOLE 334296 0 0 D AMAZON.COM, INC COMMSTCK 023135106 29904 222300 SH SOLE 222300 0 0 D AMB PROPERTY CORP COMMSTCK 00163T109 3597 140800 SH DEFINED 2 140800 0 0 D AMDOCS LTD COMMSTCK G02602103 2807 98400 SH SOLE 98400 0 0 D AMERICA MOVIL ADR SERIES L DEPRECPT 02364W105 15532 330617 SH SOLE 330617 0 0 D AMERICAN EXPRESS CO COMMSTCK 025816109 19125 472000 SH SOLE 472000 0 0 D AMERICAN ITALIAN PASTA CO- COMMSTCK 027070101 16951 487250 SH SOLE 487250 0 0 D AMERICAN PUBLIC EDUCATION, COMMSTCK 02913V103 5061 147300 SH SOLE 147300 0 0 D AMETEK, INC. COMMSTCK 031100100 282 7385 SH SOLE 7385 0 0 D AMGEN INC COMMSTCK 031162100 30780 544108 SH SOLE 544108 0 0 D ANADARKO PETRO CORP COMMSTCK 032511107 51047 817803 SH SOLE 817803 0 0 D ANADIGICS INC COMMSTCK 032515108 7384 1749700 SH SOLE 1749700 0 0 D ANALOG DEVICES INC COMMSTCK 032654105 6950 220090 SH DEFINED 1 220090 0 0 D ANALOG DEVICES INC COMMSTCK 032654105 7698 243760 SH DEFINED 3 243760 0 0 D ANALOG DEVICES INC COMMSTCK 032654105 10819 342578 SH DEFINED 4 342578 0 0 D ANALOG DEVICES INC COMMSTCK 032654105 128836 4079686 SH SOLE 4079686 0 0 D ANGLO AMERICAN PLC-U DEPRECPT 03485P201 21246 980000 SH SOLE 980000 0 0 D Anheuser-Busch InBev DEPRECPT 03524A108 1528 29375 SH DEFINED 3 29375 0 0 D Anheuser-Busch InBev DEPRECPT 03524A108 4131 79405 SH SOLE 79405 0 0 D ANIXTER INTL INC 1.0%, 2/ CNVRTBND 035290AJ4 48125 500000 PRN DEFINED 4 500000 0 0 D ANIXTER INTL INC 1.0%, 2/ CNVRTBND 035290AJ4 135712 1410000 PRN DEFINED 1 1410000 0 0 D ANIXTER INTL INC 1.0%, 2/ CNVRTBND 035290AJ4 478728 22180000 PRN SOLE 22180000 0 0 D ANIXTER INTL INC 1.0%, 2/ CNVRTBND 035290AH8 100100 5000000 PRN SOLE 5000000 0 0 D ANNALY CAPITAL MANAGEMENT COMMSTCK 035710409 482 27753 SH DEFINED 3 27753 0 0 D ANNALY CAPITAL MANAGEMENT COMMSTCK 035710409 8968 516872 SH DEFINED 4 516872 0 0 D ANNALY CAPITAL MANAGEMENT COMMSTCK 035710409 36178 2085167 SH SOLE 2085167 0 0 D ANSYS INC COMMSTCK 03662Q105 3816 87800 SH SOLE 87800 0 0 D AOL INC COMMSTCK 00184X105 1417 60852 SH SOLE 60852 0 0 D AON CORP COMMSTCK 037389103 222 5800 SH SOLE 5800 0 0 D APACHE CORP COMMSTCK 037411105 1624 15738 SH DEFINED 4 15738 0 0 D APACHE CORP COMMSTCK 037411105 1130 109527 SH DEFINED 3 109527 0 0 D APACHE CORP COMMSTCK 037411105 14097 136635 SH DEFINED 1 136635 0 0 D APACHE CORP COMMSTCK 037411105 249521 2418544 SH SOLE 2418544 0 0 D APPLE INC. COMMSTCK 037833100 339 1607 SH DEFINED 4 1607 0 0 D APPLE INC. COMMSTCK 037833100 2974 14104 SH DEFINED 1 14104 0 0 D APPLE INC. COMMSTCK 037833100 17158 81372 SH DEFINED 3 81372 0 0 D APPLE INC. COMMSTCK 037833100 148491 704218 SH SOLE 704218 0 0 D APPLIED MATERIALS INC COMMSTCK 038222105 491 35229 SH DEFINED 4 35229 0 0 D APPLIED MATERIALS INC COMMSTCK 038222105 3131 224601 SH DEFINED 3 224601 0 0 D APPLIED MATERIALS INC COMMSTCK 038222105 4235 303822 SH DEFINED 1 303822 0 0 D APPLIED MATERIALS INC COMMSTCK 038222105 50285 3607212 SH SOLE 3607212 0 0 D ARCHER -DANIELS MIDLAND CO COMMSTCK 039483102 7420 236995 SH SOLE 236995 0 0 D ARROW ELECTRONICS INC COMMSTCK 042735100 8896 300450 SH SOLE 300450 0 0 D ARTHROCARE CORP COMMSTCK 043136100 12689 535400 SH SOLE 535400 0 0 D ASPEN TECHNOLOGY INC COMMSTCK 045327103 5678 579399 SH SOLE 579399 0 0 D ASSURANT, INC. COMMSTCK 04621X108 408 13830 SH DEFINED 3 13830 0 0 D ASSURANT, INC. COMMSTCK 04621X108 7172 243300 SH DEFINED 4 243300 0 0 D ASSURANT, INC. COMMSTCK 04621X108 20350 690300 SH SOLE 690300 0 0 D ASSURED GUARANTY LTD COMMSTCK G0585R106 176 8070 SH DEFINED 3 8070 0 0 D ASSURED GUARANTY LTD COMMSTCK G0585R106 11548 530700 SH DEFINED 4 530700 0 0 D ASSURED GUARANTY LTD COMMSTCK G0585R106 61660 2833656 SH SOLE 2833656 0 0 D AT&T CORP COMMSTCK 00206R102 21791 777400 SH SOLE 777400 0 0 D ATHENAHEALTH INC COMMSTCK 04685W103 905 20000 SH SOLE 20000 0 0 D ATHEROS COMMUNICATIONS COMMSTCK 04743P108 1042 30432 SH SOLE 30432 0 0 D ATMEL CORP COMMSTCK 049513104 12118 2628700 SH SOLE 2628700 0 0 D AUTOMATIC DATA PROCESSING, COMMSTCK 053015103 716 16727 SH DEFINED 4 16727 0 0 D AUTOMATIC DATA PROCESSING, COMMSTCK 053015103 5454 127376 SH DEFINED 3 127376 0 0 D AUTOMATIC DATA PROCESSING, COMMSTCK 053015103 6125 143029 SH DEFINED 1 143029 0 0 D AUTOMATIC DATA PROCESSING, COMMSTCK 053015103 69937 1633287 SH SOLE 1633287 0 0 D AVALONBAY COMMUNITIES INC COMMSTCK 053484101 8228 100202 SH DEFINED 2 100202 0 0 D AVERY DENNISON COMMSTCK 053611109 512 14035 SH DEFINED 3 14035 0 0 D AVERY DENNISON COMMSTCK 053611109 9100 249375 SH DEFINED 4 249375 0 0 D AVERY DENNISON COMMSTCK 053611109 25504 698926 SH SOLE 698926 0 0 D AVNET INC COMMSTCK 053807103 5489 182000 SH SOLE 182000 0 0 D AXIS CAPITAL HOLDINGS LTD COMMSTCK G0692U109 10415 366589 SH SOLE 366589 0 0 D BALL CORP COMMSTCK 058498106 1228 23750 SH DEFINED 3 23750 0 0 D BALL CORP COMMSTCK 058498106 21898 423559 SH DEFINED 4 423559 0 0 D BALL CORP COMMSTCK 058498106 61039 1180647 SH SOLE 1180647 0 0 D BALLY TECHNOLOGI INC COMMSTCK 05874B107 1441 34900 SH SOLE 34900 0 0 D BANCO BRADESCO SPON ADR DEPRECPT 059460303 9122 417108 SH SOLE 417108 0 0 D BANCO ITAU S.A. 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