13F-HR 1 form13630a.txt FORM 13F JUNE 30, 2003 ---------------------------- 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 June 30, 2003 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: 28-58 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, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Matin J. Wolin Asst. Vice President 617-422-4962 -------------------------------------------------------------------------------- Name (Title) (Phone) /s/ Martin J. Wolin ------------------------------------------ (Manual Signature of Person Duly Authorized to Submit This Report) Boston, MA August 14, 2003 ------------------------------------------ (Place and Date of Signing) Report Type: [X] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: None Form 13F Information Table Entry Total: 697 Form 13F Information Table Value Total: $19,530,426 (thousands) List of Other Included Managers:
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 TAIWAN SEMI MFG CO SPON A DEPRECPT 874039100 535710 SH SOLE 535710 0 0 D AAR CORP COMMSTCK 000361105 187650 SH SOLE 187650 0 0 D ABBOTT LABORATORIES COMMSTCK 002824100 1958436 SH SOLE 1958436 0 0 D ABERCROMBIE & FITCH CO COMMSTCK 002896207 52200 SH SOLE 52200 0 0 D ADAPTEC CONB 3% 03/05/07 CNVRTBND 00651FAE8 49416000 PRN SOLE 49416000 0 0 D ADOBE SYSTEMS INC COMMSTCK 00724F101 1182180 SH SOLE 1182180 0 0 D ADVANCED ENERGY IND 5%, 0 CNVRTBND 007973AC4 25080000 PRN SOLE 25080000 0 0 D ADVANCED ENERGY IND 5.25%, CNVRTBND 007973AA8 55592000 PRN SOLE 55592000 0 0 D ADVANCED ENERGY INDUSTRIES COMMSTCK 007973100 70093 SH SOLE 70093 0 0 D ADVANCED MARKETING SERVICE COMMSTCK 00753T105 143090 SH SOLE 143090 0 0 D ADVANTA CORP CL A COMMSTCK 007942105 156425 SH SOLE 156425 0 0 D ADVANTA CORP CL B NON VTG COMMSTCK 007942204 379331 SH SOLE 379331 0 0 D AEROFLEX INC COMMSTCK 007768104 161150 SH SOLE 161150 0 0 D AFFILIATED COMPUTER SVCS-A COMMSTCK 008190100 93159 SH SOLE 93159 0 0 D AFFYMETRIX INC 4.75% 02/15 CNVRTBND 00826TAD0 73366000 PRN SOLE 73366000 0 0 D AFFYMETRIX INC 5.00% 10/01 CNVRTBND 00826TAB4 59786000 PRN SOLE 59786000 0 0 D AG EDWARDS INC COMMSTCK 281760108 706964 SH SOLE 706964 0 0 D AGL RESOURCES INC COMMSTCK 001204106 102625 SH SOLE 102625 0 0 D AGNICO EAGLE MINES LTD COMMFORN 008474108 229550 SH SOLE 229550 0 0 D AIR PRODS & CHEMS INC COMMSTCK 009158106 1977556 SH SOLE 1977556 0 0 D AIRBORNE INC 5.75% DUE: 04 CNVRTBND 009269AB7 27900000 PRN SOLE 27900000 0 0 D AIRGAS INC COMMSTCK 009363102 109200 SH SOLE 109200 0 0 D ALBERTSON'S INC COMMSTCK 013104104 488593 SH SOLE 488593 0 0 D ALCOA INC COMMSTCK 013817101 2743897 SH SOLE 2743897 0 0 D ALEXANDRIA REAL ESTATE EQU COMMSTCK 015271109 34800 SH SOLE 34800 0 0 D ALLERGAN INC COMMSTCK 018490102 66700 SH SOLE 66700 0 0 D ALLIANCE ATLANTIS COMMUNIC COMMSTCK 01853E204 197800 SH SOLE 197800 0 0 D ALLIANCE CAPITAL MGMT HOLD COMMSTCK 01855A101 316400 SH SOLE 316400 0 0 D ALLSTATE CORP COMMSTCK 020002101 1808224 SH SOLE 1808224 0 0 D ALLTEL CORP COMMSTCK 020039103 2261405 SH SOLE 2261405 0 0 D ALPHARMA INC 3.00% 06/01/0 CNVRTBND 020813AD3 73598000 PRN SOLE 73598000 0 0 D ALPHARMA INC 5.75% DUE 4/1 CNVRTBND 020813AB7 26580000 PRN SOLE 26580000 0 0 D Alpharma, Inc. (Class A) COMMSTCK 020813101 88800 SH SOLE 88800 0 0 D ALTERA CORPORATION COMMSTCK 021441100 1901391 SH SOLE 1901391 0 0 D ALTRIA GROUP INC COMMSTCK 02209S103 185946 SH SOLE 185946 0 0 D AMB PROPERTY CORP COMMSTCK 00163T109 92500 SH SOLE 92500 0 0 D AMBAC FINANCIAL GROUP INC COMMSTCK 023139108 682655 SH SOLE 682655 0 0 D AMERICA MOVIL ADR SERIES L COMMSTCK 02364W105 330400 SH SOLE 330400 0 0 D AMERICAN CAPITAL STRATEGIE COMMSTCK 024937104 283287 SH SOLE 283287 0 0 D AMERICAN ELECTRIC POWER CO COMMSTCK 025537101 1132042 SH SOLE 1132042 0 0 D AMERICAN EXPRESS CO COMMSTCK 025816109 2271758 SH SOLE 2271758 0 0 D AMERICAN FINANCIAL REALTY COMMSTCK 02607P305 100000 SH SOLE 100000 0 0 D AMERICAN INTL GROUP INC COMMSTCK 026874107 3421444 SH SOLE 3421444 0 0 D American Management System COMMSTCK 027352103 104050 SH SOLE 104050 0 0 D AMERICAN POWER CONVERSION COMMSTCK 029066107 916572 SH SOLE 916572 0 0 D AMERICAN STANDARD COMPANIE COMMSTCK 029712106 382762 SH SOLE 382762 0 0 D AMGEN INC COMMSTCK 031162100 413442 SH SOLE 413442 0 0 D AMN HEALTHCARE SERVICES IN COMMSTCK 001744101 178650 SH SOLE 178650 0 0 D ANALOG DEVICES INC COMMSTCK 032654105 127239 SH SOLE 127239 0 0 D ANGLOGOLD LIMITED SPON ADR DEPRECPT 035128206 348000 SH SOLE 348000 0 0 D ANHEUSER-BUSCH COMPANIES I COMMSTCK 035229103 374367 SH SOLE 374367 0 0 D ANTHEM INC COMMSTCK 03674B104 160983 SH SOLE 160983 0 0 D AOL TIME WARNER COMMSTCK 00184A105 3510296 SH SOLE 3510296 0 0 D APARTMENT INVT & MGNT CO C COMMSTCK 03748R101 152000 SH SOLE 152000 0 0 D APOGENT TECHNOLOGIES INC COMMSTCK 03760A101 977425 SH SOLE 977425 0 0 D APOLLO GROUP INC CL A COMMSTCK 037604105 53779 SH SOLE 53779 0 0 D APPLE COMPUTER INC COMMSTCK 037833100 251363 SH SOLE 251363 0 0 D APPLEBEE'S INTL INC COMMSTCK 037899101 26831 SH SOLE 26831 0 0 D APPLIED INDUSTRIAL TECHNOL COMMSTCK 03820C105 150253 SH SOLE 150253 0 0 D APPLIED MATERIALS INC COMMSTCK 038222105 4033814 SH SOLE 4033814 0 0 D APPLIED MICRO CIRCUITS COR COMMSTCK 03822W109 2133057 SH SOLE 2133057 0 0 D APRIA HEALTHCARE GROUP INC COMMSTCK 037933108 112500 SH SOLE 112500 0 0 D ARACRUZ CELLULOSE SA SPON DEPRECPT 038496204 242870 SH SOLE 242870 0 0 D ARCHSTONE- SMITH TRUST COMMSTCK 039583109 153657 SH SOLE 153657 0 0 D ARDEN REALTY GROUP INC COMMSTCK 039793104 138000 SH SOLE 138000 0 0 D ARROW ELECTRONICS INC COMMSTCK 042735100 1171908 SH SOLE 1171908 0 0 D AT&T CORP COMMSTCK 001957505 1172027 SH SOLE 1172027 0 0 D AT&T WIRELESS SERVICES INC COMMSTCK 00209A106 5614515 SH SOLE 5614515 0 0 D ATMEL CORP 0% 05/21/06 CNVRTBND 049513AE4 44554000 PRN SOLE 44554000 0 0 D ATMI INC COMMSTCK 00207R101 72854 SH SOLE 72854 0 0 D AUTODESK, INC. COMMSTCK 052769106 826849 SH SOLE 826849 0 0 D AUTOMATIC DATA PROCESSING, COMMSTCK 053015103 1523597 SH SOLE 1523597 0 0 D AVALONBAY COMMUNITIES INC COMMSTCK 053484101 80500 SH SOLE 80500 0 0 D AVOCENT CORP COMMSTCK 053893103 42107 SH SOLE 42107 0 0 D AXCELIS TECH 4.25%, 01/15/ CNVRTBND 054540AB5 68150000 PRN SOLE 68150000 0 0 D BALLY TOTAL FITNESS HOLDIN COMMSTCK 05873K108 232155 SH SOLE 232155 0 0 D BANCO SANTANDER CHILE SPON DEPRECPT 05965X109 147504 SH SOLE 147504 0 0 D BANK NEW YORK INC COMMSTCK 064057102 4011429 SH SOLE 4011429 0 0 D BANK OF AMERICA CORP COMMSTCK 060505104 2118570 SH SOLE 2118570 0 0 D BANKATLANTIC BANCORP INC-A COMMSTCK 065908501 129380 SH SOLE 129380 0 0 D BANNER CORP COMMSTCK 06652V109 80156 SH SOLE 80156 0 0 D BARNES & NOBLE INC COMMSTCK 067774109 356863 SH SOLE 356863 0 0 D BARR LABORATORIE INC COMMSTCK 068306109 81200 SH SOLE 81200 0 0 D BAXTER INTL INC COMMSTCK 071813109 141887 SH SOLE 141887 0 0 D BEA SYSTEMS INC 4% 12/15/0 CNVRTBND 073325AD4 40600000 PRN SOLE 40600000 0 0 D BECTON DICKINSON & CO COMMSTCK 075887109 2552757 SH SOLE 2552757 0 0 D BED BATH& BEYOND INC. COMMSTCK 075896100 97150 SH SOLE 97150 0 0 D BEDFORD PROPERTY INVESTORS COMMSTCK 076446301 124110 SH SOLE 124110 0 0 D BELLSOUTH CORP COMMSTCK 079860102 7212698 SH SOLE 7212698 0 0 D BERKSHIRE HATHAWAY INC -CL COMMSTCK 084670207 10301 SH SOLE 10301 0 0 D BERKSHIRE HATHAWAY INC. CL COMMSTCK 084670108 972 SH SOLE 972 0 0 D BIOGEN INC COMMSTCK 090597105 58700 SH SOLE 58700 0 0 D BIOVAIL CORP INTL COMMSTCK 09067J109 935183 SH SOLE 935183 0 0 D BJ SERVICES CO COMMSTCK 055482103 75100 SH SOLE 75100 0 0 D BJ'S WHOLESALE CLUB INC COMMSTCK 05548J106 1088828 SH SOLE 1088828 0 0 D BLOCKBUSTER INC CLASS A COMMSTCK 093679108 948000 SH SOLE 948000 0 0 D BLYTH INDUSTRIES INC COMMSTCK 09643P108 79565 SH SOLE 79565 0 0 D BMC SOFTWARE, INC COMMSTCK 055921100 1085468 SH SOLE 1085468 0 0 D BOB EVANS FARMS COMMSTCK 096761101 65442 SH SOLE 65442 0 0 D BOEING CO COMMSTCK 097023105 1078543 SH SOLE 1078543 0 0 D BORG-WARNER AUTOMOTIVE INC COMMSTCK 099724106 60800 SH SOLE 60800 0 0 D BORLAND SOFTWARE CORP COMMSTCK 099849101 442000 SH SOLE 442000 0 0 D BOSTON COMM GROUP COMMSTCK 100582105 45928 SH SOLE 45928 0 0 D BOSTON PRIVATE FINL HOLDIN COMMSTCK 101119105 457893 SH SOLE 457893 0 0 D BOSTON PROPERTIES, INC. COMMSTCK 101121101 110000 SH SOLE 110000 0 0 D BOWATER INC COMMSTCK 102183100 854196 SH SOLE 854196 0 0 D BP PLC ADR DEPRECPT 055622104 458572 SH SOLE 458572 0 0 D BRANDYWINE REALTY TRUST COMMSTCK 105368203 91200 SH SOLE 91200 0 0 D BRASIL DISTR PAO ACU-SP AD DEPRECPT 20440T201 494900 SH SOLE 494900 0 0 D BRINKER INTERNATIONAL INC COMMSTCK 109641100 166634 SH SOLE 166634 0 0 D BRISTOL MYERS SQUIBB CO COMMSTCK 110122108 1273811 SH SOLE 1273811 0 0 D BROOKS AUTOMATION 4.75% 06 CNVRTBND 11434AAB6 106787000 PRN SOLE 106787000 0 0 D BROOKS AUTOMATION INC COMMSTCK 114340102 643761 SH SOLE 643761 0 0 D BURLINGTON NORTHERN SANTA COMMSTCK 12189T104 1385757 SH SOLE 1385757 0 0 D CADENCE DESIGN SYS INC COMMSTCK 127387108 564100 SH SOLE 564100 0 0 D CAMDEN PROPERTY TRUST COMMSTCK 133131102 117750 SH SOLE 117750 0 0 D CAMPBELL SOUP CO COMMSTCK 134429109 2667812 SH SOLE 2667812 0 0 D CANADIAN NATIONAL RAILWAY COMMFORN 136375102 1017737 SH SOLE 1017737 0 0 D CARDINAL HEALTH COMMSTCK 14149Y108 165772 SH SOLE 165772 0 0 D CARRAMERICA REALTY CORP COMMSTCK 144418100 97000 SH SOLE 97000 0 0 D CASCADE NATURAL GAS CORP COMMSTCK 147339105 127370 SH SOLE 127370 0 0 D CATELLUS DEVELOPMENT CORP COMMSTCK 149111106 161000 SH SOLE 161000 0 0 D CATERPILLAR INC COMMSTCK 149123101 1060500 SH SOLE 1060500 0 0 D CBL & ASSOCIATES PROPERTIE COMMSTCK 124830100 83800 SH SOLE 83800 0 0 D CEC ENTERTAINMENT INC COMMSTCK 125137109 34800 SH SOLE 34800 0 0 D CEDAR FAIR L P DEP UNIT COMMSTCK 150185106 663600 SH SOLE 663600 0 0 D CELGENE CORP COMMSTCK 151020104 57350 SH SOLE 57350 0 0 D CEMEX SA SPONS ADR CPO DEPRECPT 151290889 40500 SH SOLE 40500 0 0 D CENTRAL PARKING CORP COMMSTCK 154785109 248250 SH SOLE 248250 0 0 D CERTEGY INC COMMSTCK 156880106 55576 SH SOLE 55576 0 0 D CHARMING SHOPPES COMMSTCK 161133103 702668 SH SOLE 702668 0 0 D CHARTER ONE FINL INC COMMSTCK 160903100 2412307 SH SOLE 2412307 0 0 D CHELSEA PROPERTY GROUP INC COMMSTCK 163421100 71300 SH SOLE 71300 0 0 D CHEVRONTEXACO CORP COMMSTCK 166764100 3956588 SH SOLE 3956588 0 0 D CHINA MOBILE (HONG KONG) L DEPRECPT 16941M109 17500 SH SOLE 17500 0 0 D CHUBB CORP COMMSTCK 171232101 1849842 SH SOLE 1849842 0 0 D CIA CERVECERIA UNIDAS-SP A DEPRECPT 204429104 362300 SH SOLE 362300 0 0 D CIA SANEAMENTO BASICO - AD DEPRECPT 20441A102 235000 SH SOLE 235000 0 0 D CIENA CORP COMMSTCK 171779101 304815 SH SOLE 304815 0 0 D CIGNA CORP COMMSTCK 125509109 279392 SH SOLE 279392 0 0 D CINTAS CORP COMMSTCK 172908105 57120 SH SOLE 57120 0 0 D CISCO SYSTEMS INC COMMSTCK 17275R102 2279884 SH SOLE 2279884 0 0 D CITIGROUP INC. COMMSTCK 172967101 4709603 SH SOLE 4709603 0 0 D CLEAR CHANNEL COMMUNICATIO COMMSTCK 184502102 1294928 SH SOLE 1294928 0 0 D COACH INC COMMSTCK 189754104 29970 SH SOLE 29970 0 0 D COCA-COLA COMPANY COMMSTCK 191216100 440844 SH SOLE 440844 0 0 D COGNIZANT TECH SOLUTIONS C COMMSTCK 192446102 80649 SH SOLE 80649 0 0 D COLGATE PALMOLIVE CO. COMMSTCK 194162103 1764793 SH SOLE 1764793 0 0 D COLONIAL PROPERTIES TRUST COMMSTCK 195872106 46800 SH SOLE 46800 0 0 D COMCAST CORP - SPECIAL CL COMMSTCK 20030N200 503810 SH SOLE 503810 0 0 D COMCAST CORP CL A COMMSTCK 20030N101 1019241 SH SOLE 1019241 0 0 D COMMERCIAL FEDERAL CORP COMMSTCK 201647104 114500 SH SOLE 114500 0 0 D COMMSCOPE INC. CONV 4.00% CNVRTBND 203372AB3 43115000 PRN SOLE 43115000 0 0 D COMMUNITY HEALTH 144A 4.2 CNVRTBND 203668AA6 56780000 PRN SOLE 56780000 0 0 D COMPANIA DE TELECOM. SPONS DEPRECPT 204449300 405932 SH SOLE 405932 0 0 D COMPUTER NETWORK TECHNOLOG COMMSTCK 204925101 248240 SH SOLE 248240 0 0 D COMPUTER SCIENCES CORP COMMSTCK 205363104 1395759 SH SOLE 1395759 0 0 D CONAGRA INC. COMMSTCK 205887102 914065 SH SOLE 914065 0 0 D CONEXANT SYSTEMS INC 4%, D CNVRTBND 207142AF7 203565000 PRN SOLE 203565000 0 0 D CONEXANT SYSTEMS INC 4.25% CNVRTBND 207142AB6 2000000 PRN SOLE 2000000 0 0 D CONOCOPHILLIPS COMMSTCK 20825C104 2473449 SH SOLE 2473449 0 0 D CONSOL ENERGY INC. COMMSTCK 20854P109 125800 SH SOLE 125800 0 0 D CONSOLIDATED EDISON INC COMMSTCK 209115104 769338 SH SOLE 769338 0 0 D CONSTELLATION ENERGY GROUP COMMSTCK 210371100 1201125 SH SOLE 1201125 0 0 D CONVERGYS CORP COMMSTCK 212485106 129600 SH SOLE 129600 0 0 D CORN PRODUCTS INTL INC. COMMSTCK 219023108 76020 SH SOLE 76020 0 0 D CORNELL COMPANIES COMMSTCK 219141108 282860 SH SOLE 282860 0 0 D CORNING INC 3.50%, DUE: 11 CNVRTBND 219350AK1 140010000 PRN SOLE 140010000 0 0 D CORNING INC 6.3% DUE 3/1/0 CORPBOND 219350AG0 500000 SH SOLE 500000 0 0 D COUNTRYWIDE FINANCIAL CORP COMMSTCK 222372104 906840 SH SOLE 906840 0 0 D COX COMMUNIC CLASS A COMMSTCK 224044107 1019047 SH SOLE 1019047 0 0 D CREDENCE SYSTEMS CORP COMMSTCK 225302108 207500 SH SOLE 207500 0 0 D CREO PRODUCTS INC COMMSTCK 225606102 83100 SH SOLE 83100 0 0 D CROSS COUNTRY HEALTHCARES COMMSTCK 227483104 308225 SH SOLE 308225 0 0 D CSG SYSTEMS INTL, INC. 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