13F-HR 1 form13fdec3102copy1.txt FORM 13F-HR DECEM 31, 2002 ---------------------------- 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, 2002 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 February 13, 2002 ------------------------------------------ (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: 725 Form 13F Information Table Value Total: $16,196,843 (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 3M COMPANY COMMSTCK 88579Y101 18641 151184 SH SOLE 151184 0 0 D AAR CORP COMMSTCK 000361105 964 187200 SH SOLE 187200 0 0 D ABBOTT LABORATORIES COMMSTCK 002824100 76136 1903392 SH SOLE 1903392 0 0 D ABERCROMBIE & FITCH CO COMMSTCK 002896207 2044 99900 SH SOLE 99900 0 0 D ADOBE SYSTEMS INC COMMSTCK 00724F101 28546 1145971 SH SOLE 1145971 0 0 D ADVANCED ENERGY IND 5%, 0 CNVRTBND 007973AC4 3801 4600000 PRN SOLE 4600000 0 0 D ADVANCED ENERGY IND 5.25%, CNVRTBND 007973AA8 37224 47877000 PRN SOLE 47877000 0 0 D ADVANCED ENERGY INDUSTRIES COMMSTCK 007973100 865 68018 SH SOLE 68018 0 0 D ADVANCED MARKETING SERVICE COMMSTCK 00753T105 1790 121765 SH SOLE 121765 0 0 D ADVANTA CORP CL A COMMSTCK 007942105 1362 151600 SH SOLE 151600 0 0 D ADVANTA CORP CL B NON VTG COMMSTCK 007942204 3260 347231 SH SOLE 347231 0 0 D ADVSEMICONDUCTOR ENGINEERI DEPRECPT 00756M404 446 152812 SH SOLE 152812 0 0 D AEROFLEX INC COMMSTCK 007768104 716 103700 SH SOLE 103700 0 0 D AFC ENTERPRISES COMMSTCK 00104Q107 2817 134100 SH SOLE 134100 0 0 D AFFILIATED COMPUTER SVCS-A COMMSTCK 008190100 4642 88159 SH SOLE 88159 0 0 D AFFYMETRIX INC 4.75% 02/15 CNVRTBND 00826TAD0 78589 92051000 PRN SOLE 92051000 0 0 D AFFYMETRIX INC 5.00% 10/01 CNVRTBND 00826TAB4 81010 86991000 PRN SOLE 86991000 0 0 D AG EDWARDS INC COMMSTCK 281760108 25217 765075 SH SOLE 765075 0 0 D AGL RESOURCES INC COMMSTCK 001204106 2417 99450 SH SOLE 99450 0 0 D AGNICO EAGLE MINES LTD COMMFORN 008474108 3091 208000 SH SOLE 208000 0 0 D AIR PRODS & CHEMS INC COMMSTCK 009158106 73514 1719632 SH SOLE 1719632 0 0 D AIRBORNE INC 5.75% DUE: 04 CNVRTBND 009269AB7 23787 22900000 PRN SOLE 22900000 0 0 D AIRGAS INC COMMSTCK 009363102 2865 166100 SH SOLE 166100 0 0 D ALBERTSON'S INC COMMSTCK 013104104 6531 293395 SH SOLE 293395 0 0 D ALCOA INC COMMSTCK 013817101 63809 2801099 SH SOLE 2801099 0 0 D ALEXANDRIA REAL ESTATE EQU COMMSTCK 015271109 1517 35600 SH SOLE 35600 0 0 D ALLERGAN INC COMMSTCK 018490102 3227 56000 SH SOLE 56000 0 0 D ALLIANCE ATLANTIS COMMUNIC COMMSTCK 01853E204 2553 238600 SH SOLE 238600 0 0 D ALLIANCE CAPITAL MGMT HOLD COMMSTCK 01855A101 9728 313800 SH SOLE 313800 0 0 D ALLSTATE CORP COMMSTCK 020002101 72490 1959715 SH SOLE 1959715 0 0 D ALLTEL CORP COMMSTCK 020039103 128011 2510019 SH SOLE 2510019 0 0 D ALPHARMA INC 3.00% 06/01/0 CNVRTBND 020813AD3 58126 69198000 PRN SOLE 69198000 0 0 D ALPHARMA INC 5.75% DUE 4/1 CNVRTBND 020813AB7 22659 26580000 PRN SOLE 26580000 0 0 D Alpharma, Inc. (Class A) COMMSTCK 020813101 1721 144500 SH SOLE 144500 0 0 D ALTERA CORPORATION COMMSTCK 021441100 22856 1852193 SH SOLE 1852193 0 0 D ALTRIA GROUP INC COMMSTCK 02209S103 6371 157936 SH SOLE 157936 0 0 D AMB PROPERTY CORP COMMSTCK 00163T109 3294 120400 SH SOLE 120400 0 0 D AMBAC FINANCIAL GROUP INC COMMSTCK 023139108 37381 664665 SH SOLE 664665 0 0 D AMERIGROUP CORP COMMSTCK 03073T102 2374 78310 SH SOLE 78310 0 0 D AMERICA MOVIL ADR SERIES L COMMSTCK 02364W105 10253 714000 SH SOLE 714000 0 0 D AMERICAN CAPITAL STRATEGIE COMMSTCK 024937104 5669 262587 SH SOLE 262587 0 0 D AMERICAN ELECTRIC POWER CO COMMSTCK 025537101 30039 1099126 SH SOLE 1099126 0 0 D AMERICAN EXPRESS CO COMMSTCK 025816109 103792 2936123 SH SOLE 2936123 0 0 D AMERICAN INTL GROUP INC COMMSTCK 026874107 181561 3138486 SH SOLE 3138486 0 0 D American Management System COMMSTCK 027352103 1243 103700 SH SOLE 103700 0 0 D AMERICAN POWER CONVERSION COMMSTCK 029066107 8154 538200 SH SOLE 538200 0 0 D AMERICAN STANDARD COMPANIE COMMSTCK 029712106 23583 331496 SH SOLE 331496 0 0 D AMERICAN WATER WORKS INC COMMSTCK 030411102 37080 815310 SH SOLE 815310 0 0 D AMERISOURCEBERG CORP COMMSTCK 03073E105 9360 172350 SH SOLE 172350 0 0 D AMGEN INC COMMSTCK 031162100 22431 464021 SH SOLE 464021 0 0 D AMN HEALTHCARE SERVICES IN COMMSTCK 001744101 2220 131300 SH SOLE 131300 0 0 D ANADARKO PETROLEUM CORP COMMSTCK 032511107 8548 178461 SH SOLE 178461 0 0 D ANALOG DEVICES INC COMMSTCK 032654105 3410 142839 SH SOLE 142839 0 0 D ANGLOGOLD LIMITED SPON ADR DEPRECPT 035128206 9189 268200 SH SOLE 268200 0 0 D ANHEUSER-BUSCH COMPANIES I COMMSTCK 035229103 18764 387676 SH SOLE 387676 0 0 D ANTHEM INC COMMSTCK 03674B104 9496 150964 SH SOLE 150964 0 0 D AOL TIME WARNER COMMSTCK 00184A105 50249 3835766 SH SOLE 3835766 0 0 D APARTMENT INVT & MGNT CO C COMMSTCK 03748R101 5375 143400 SH SOLE 143400 0 0 D APOGENT TECHNOLOGIES INC COMMSTCK 03760A101 14663 704950 SH SOLE 704950 0 0 D APOLLO GROUP INC CL A COMMSTCK 037604105 2366 53779 SH SOLE 53779 0 0 D APPLE COMPUTER INC COMMSTCK 037833100 4098 285963 SH SOLE 285963 0 0 D APPLEBEE'S INTL INC COMMSTCK 037899101 1341 57831 SH SOLE 57831 0 0 D APPLIED INDUSTRIAL TECHNOL COMMSTCK 03820C105 2750 145503 SH SOLE 145503 0 0 D APPLIED MATERIALS INC COMMSTCK 038222105 58900 4520344 SH SOLE 4520344 0 0 D APPLIED MICRO CIRCUITS COR COMMSTCK 03822W109 16088 4359900 SH SOLE 4359900 0 0 D APRIA HEALTHCARE GROUP INC COMMSTCK 037933108 2146 96500 SH SOLE 96500 0 0 D ARACRUZ CELLULOSE SA SPON DEPRECPT 038496204 2298 123800 SH SOLE 123800 0 0 D ARCHSTONE- SMITH TRUST COMMSTCK 039583109 5450 231502 SH SOLE 231502 0 0 D ARDEN REALTY GROUP INC COMMSTCK 039793104 3717 167800 SH SOLE 167800 0 0 D ARROW ELECTRONICS INC COMMSTCK 042735100 18168 1420465 SH SOLE 1420465 0 0 D ASPEN TECHONOLOGY 5.25%, 6 CNVRTBND 045327AB9 22850 45929000 PRN SOLE 45929000 0 0 D ASTORIA FINANCIAL CORP COMMSTCK 046265104 11152 410740 SH SOLE 410740 0 0 D AT&T CORP COMMSTCK 001957505 16719 640322 SH SOLE 640322 0 0 D AT&T WIRELESS SERVICES INC COMMSTCK 00209A106 21758 3850922 SH SOLE 3850922 0 0 D ATMEL CORP 0% 05/21/06 CNVRTBND 049513AE4 17803 67500000 PRN SOLE 67500000 0 0 D ATMI INC COMMSTCK 00207R101 2595 140104 SH SOLE 140104 0 0 D AUTODESK, INC. COMMSTCK 052769106 10069 704110 SH SOLE 704110 0 0 D AUTOMATIC DATA PROCESSING, COMMSTCK 053015103 58123 1480834 SH SOLE 1480834 0 0 D AVALONBAY COMMUNITIES INC COMMSTCK 053484101 2806 71700 SH SOLE 71700 0 0 D AVENTIS ADR DEPRECPT 053561106 553 10200 SH SOLE 10200 0 0 D AVOCENT CORP COMMSTCK 053893103 931 41907 SH SOLE 41907 0 0 D AXCELIS TECH 4.25%, 01/15/ CNVRTBND 054540AB5 50362 63850000 PRN SOLE 63850000 0 0 D AXT INC. COMMSTCK 00246W103 406 225812 SH SOLE 225812 0 0 D BALLY TOTAL FITNESS HOLDIN COMMSTCK 05873K108 1922 271105 SH SOLE 271105 0 0 D BANCO BRADESCO SPON ADR DEPRECPT 059460204 8778 589132 SH SOLE 589132 0 0 D BANCO ITAU S.A. Spon. ADR DEPRECPT 059602201 8275 347700 SH SOLE 347700 0 0 D BANCO SANTANDER CHILE SPON DEPRECPT 05965X109 3265 175240 SH SOLE 175240 0 0 D BANK NEW YORK INC COMMSTCK 064057102 88043 3674603 SH SOLE 3674603 0 0 D BANK OF AMERICA CORP COMMSTCK 060505104 150010 2156248 SH SOLE 2156248 0 0 D BANKATLANTIC BANCORP INC-A COMMSTCK 065908501 2319 245380 SH SOLE 245380 0 0 D BANNER CORP COMMSTCK 06652V109 1885 100556 SH SOLE 100556 0 0 D BARNES & NOBLE INC COMMSTCK 067774109 6210 343652 SH SOLE 343652 0 0 D BARR LABORATORIES INC COMMSTCK 068306109 6210 95400 SH SOLE 95400 0 0 D BAXTER INTL INC COMMSTCK 071813109 779 27805 SH SOLE 27805 0 0 D BEA SYSTEMS INC 4% 12/15/0 CNVRTBND 073325AD4 41268 45600000 PRN SOLE 45600000 0 0 D BEA SYSTEMS, INC COMMSTCK 073325102 633 55200 SH SOLE 55200 0 0 D BECTON DICKINSON & CO COMMSTCK 075887109 72009 2346332 SH SOLE 2346332 0 0 D BED BATH& BEYOND INC. COMMSTCK 075896100 7592 219853 SH SOLE 219853 0 0 D BEDFORD PROPERTY INVESTORS COMMSTCK 076446301 3090 120285 SH SOLE 120285 0 0 D BELLSOUTH CORP COMMSTCK 079860102 176706 6830547 SH SOLE 6830547 0 0 D BENCHMARK ELECTR CNV 6.00% CNVRTBND 08160HAC5 28615 28868000 PRN SOLE 28868000 0 0 D BERKSHIRE HATHAWAY INC -CL COMMSTCK 084670207 24911 10281 SH SOLE 10281 0 0 D BERKSHIRE HATHAWAY INC. CL COMMSTCK 084670108 47942 659 SH SOLE 659 0 0 D BEST BUY CO INC COMMSTCK 086516101 11886 492181 SH SOLE 492181 0 0 D BIOVAIL CORP INTL COMMSTCK 09067J109 19959 755741 SH SOLE 755741 0 0 D BJ SERVICES CO COMMSTCK 055482103 2426 75100 SH SOLE 75100 0 0 D BJ'S WHOLESALE CLUB INC COMMSTCK 05548J106 18755 1024880 SH SOLE 1024880 0 0 D BLYTH INDUSTRIES INC COMMSTCK 09643P108 2063 77090 SH SOLE 77090 0 0 D BMC SOFTWARE, INC COMMSTCK 055921100 17839 1042578 SH SOLE 1042578 0 0 D BOB EVANS FARMS COMMSTCK 096761101 1528 65442 SH SOLE 65442 0 0 D BOEING CO COMMSTCK 097023105 31311 949106 SH SOLE 949106 0 0 D BORG-WARNER AUTOMOTIVE INC COMMSTCK 099724106 3066 60800 SH SOLE 60800 0 0 D BORLAND SOFTWARE CORP COMMSTCK 099849101 2691 218800 SH SOLE 218800 0 0 D BOSTON COMM GROUP COMMSTCK 100582105 3765 296253 SH SOLE 296253 0 0 D BOSTON PRIVATE FINL HOLDIN COMMSTCK 101119105 9323 469420 SH SOLE 469420 0 0 D BOSTON PROPERTIES, INC. COMMSTCK 101121101 4243 115100 SH SOLE 115100 0 0 D BOWATER INC COMMSTCK 102183100 43905 1046600 SH SOLE 1046600 0 0 D BP PLC ADR DEPRECPT 055622104 89487 2201390 SH SOLE 2201390 0 0 D BRANDYWINE REALTY TRUST COMMSTCK 105368203 2109 96700 SH SOLE 96700 0 0 D BRASIL DISTR PAO ACU-SP AD DEPRECPT 20440T201 3996 261200 SH SOLE 261200 0 0 D BRASIL TELECOM PARTICIPACO DEPRECPT 105530109 3995 158200 SH SOLE 158200 0 0 D BRINKER INTERNATIONAL INC COMMSTCK 109641100 4432 137440 SH SOLE 137440 0 0 D BRISTOL MYERS SQUIBB CO COMMSTCK 110122108 69275 2992454 SH SOLE 2992454 0 0 D BROOKS AUTOMATION 4.75% 06 CNVRTBND 11434AAB6 62399 85187000 PRN SOLE 85187000 0 0 D BROOKS-PRI AUTOMATION INC COMMSTCK 11442E102 5440 474695 SH SOLE 474695 0 0 D BURLINGTON NORTHERN SANTA COMMSTCK 12189T104 34793 1337694 SH SOLE 1337694 0 0 D CADENCE DESIGN SYS INC COMMSTCK 127387108 7066 599300 SH SOLE 599300 0 0 D CAMDEN PROPERTY TRUST COMMSTCK 133131102 5478 166000 SH SOLE 166000 0 0 D CAMINUS CORP COMMSTCK 133766105 564 241200 SH SOLE 241200 0 0 D CAMPBELL SOUP CO COMMSTCK 134429109 51304 2185944 SH SOLE 2185944 0 0 D CANADIAN NATIONAL RAILWAY COMMFORN 136375102 33665 810027 SH SOLE 810027 0 0 D CANTV -CIA ANONIMA TELEF D DEPRECPT 204421101 2783 220900 SH SOLE 220900 0 0 D CAPSTAR HOTEL 4.75% 10/15/ CNVRTBND 140918AC7 14180 16982000 PRN SOLE 16982000 0 0 D CARDINAL HEALTH COMMSTCK 14149Y108 11409 192757 SH SOLE 192757 0 0 D CARRAMERICA REALTY CORP COMMSTCK 144418100 1626 64900 SH SOLE 64900 0 0 D CASCADE NATURAL GAS CORP COMMSTCK 147339105 2013 100670 SH SOLE 100670 0 0 D CATELLUS DEVELOPMENT CORP COMMSTCK 149111106 3289 165700 SH SOLE 165700 0 0 D CATERPILLAR INC COMMSTCK 149123101 46675 1020891 SH SOLE 1020891 0 0 D CBL & ASSOCIATES PROPERTIE COMMSTCK 124830100 3653 91200 SH SOLE 91200 0 0 D CEC ENTERTAINMENT INC COMMSTCK 125137109 1541 50200 SH SOLE 50200 0 0 D CEDAR FAIR L P DEP UNIT COMMSTCK 150185106 15562 659400 SH SOLE 659400 0 0 D CEMEX SA SPONS ADR CPO DEPRECPT 151290889 462 21500 SH SOLE 21500 0 0 D CENTRAL PARKING CORP COMMSTCK 154785109 3583 190000 SH SOLE 190000 0 0 D CERTEGY INC COMMSTCK 156880106 854 34805 SH SOLE 34805 0 0 D CHARMING SHOPPES COMMSTCK 161133103 4217 1008943 SH SOLE 1008943 0 0 D CHARTER ONE FINL INC COMMSTCK 160903100 43025 1497560 SH SOLE 1497560 0 0 D CHECKFREE HLDGS CORP 6.50% CNVRTBND 162816AC6 85510 92819000 PRN SOLE 92819000 0 0 D CHELSEA PROPERTY GROUP INC COMMSTCK 163421100 2352 70600 SH SOLE 70600 0 0 D CHEMED CORP COMMSTCK 163596109 4160 117678 SH SOLE 117678 0 0 D CHEVRONTEXACO CORP COMMSTCK 166764100 260449 3917703 SH SOLE 3917703 0 0 D CHINA MOBILE (HONG KONG) L DEPRECPT 16941M109 6913 572300 SH SOLE 572300 0 0 D CHUBB CORP COMMSTCK 171232101 83341 1596574 SH SOLE 1596574 0 0 D CIA CERVECERIA UNIDAS-SP A DEPRECPT 204429104 5120 350700 SH SOLE 350700 0 0 D CIA SANEAMENTO BASICO - AD DEPRECPT 20441A102 2241 347400 SH SOLE 347400 0 0 D CIENA CORP COMMSTCK 171779101 1677 326315 SH SOLE 326315 0 0 D CIGNA CORP COMMSTCK 125509109 17371 422450 SH SOLE 422450 0 0 D CINTAS CORP COMMSTCK 172908105 2425 53000 SH SOLE 53000 0 0 D CISCO SYSTEMS INC COMMSTCK 17275R102 18809 1435800 SH SOLE 1435800 0 0 D CITIGROUP INC. 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