0001752724-22-091955.txt : 20220425 0001752724-22-091955.hdr.sgml : 20220425 20220425162942 ACCESSION NUMBER: 0001752724-22-091955 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220228 FILED AS OF DATE: 20220425 PERIOD START: 20221130 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Pioneer Floating Rate Fund, Inc. CENTRAL INDEX KEY: 0001305767 IRS NUMBER: 582683903 STATE OF INCORPORATION: MD FISCAL YEAR END: 1130 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-21654 FILM NUMBER: 22850038 BUSINESS ADDRESS: STREET 1: 60 STATE STREET STREET 2: 5TH FLOOR CITY: BOSTON STATE: MA ZIP: 02109 BUSINESS PHONE: 617-742-7825 MAIL ADDRESS: STREET 1: 60 STATE STREET STREET 2: 5TH FLOOR CITY: BOSTON STATE: MA ZIP: 02109 FORMER COMPANY: FORMER CONFORMED NAME: Pioneer Floating Rate Trust DATE OF NAME CHANGE: 20041013 NPORT-P 1 primary_doc.xml NPORT-P false 0001305767 XXXXXXXX Pioneer Floating Rate Fund, Inc. 811-21654 0001305767 14KCTV0UEB8JC8MU2I61 60 State Street Boston 02109 617-422-4947 Pioneer Floating Rate Fund, Inc. 14KCTV0UEB8JC8MU2I61 2022-11-30 2022-02-28 N 221161498.26 80876433.67 140285064.59 0.00000000 0.00000000 69450000.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 1003200.00000000 0.00000000 0.00000000 0.00000000 USD N NOURYON USA 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CORP US N 2 2027-01-15 Floating 5.00000000 N N N N N N 2022-04-20 Pioneer Floating Rate Fund, Inc. Anthony J. Koenig, Jr Anthony J. Koenig, Jr Managing Director, Chief Operations Officer & Treasurer of the Funds XXXX NPORT-EX 2 AAPI280AMU022822.htm
Pioneer Floating
Rate Fund, Inc.
Schedule of Investments  |  February 28, 2022
 
Ticker Symbol: PHD

Schedule of Investments  |  2/28/22
(unaudited) 
Principal
Amount
USD ($)
          Value
  UNAFFILIATED ISSUERS — 154.1%  
  Senior Secured Floating Rate Loan
Interests — 124.0% of Net Assets*(a)
 
  Advanced Materials — 1.7%  
957,062 Gemini HDPE LLC, 2027 Advance, 3.50% (LIBOR + 300 bps), 12/31/27 $    951,230
1,393,998(b) Groupe Solmax, Inc., Initial Term Loan, 5.50% (LIBOR + 475 bps), 5/29/28   1,391,384
  Total Advanced Materials   $2,342,614
  Advertising Sales — 1.5%  
2,080,853 Clear Channel Outdoor Holdings, Inc., Term B Loan, 3.799% (LIBOR + 350 bps), 8/21/26 $  2,047,328
  Total Advertising Sales   $2,047,328
  Advertising Services — 2.5%  
1,963,216 CB Poly Investments LLC, First Lien Closing Date Term Loan, 5.50% (LIBOR + 450 bps), 8/16/23 $  1,952,173
500,000 Dotdash Meredith, Inc., Term Loan B, 4.05% (SOFR + 400 bps), 12/1/28      498,334
997,500 Summer BC Holdco B S.a r.l. USD Additional Facility B2, 5.25% (LIBOR + 450 bps), 12/4/26     993,759
  Total Advertising Services   $3,444,266
  Aerospace & Defense — 2.2%  
914,375 ADS Tactical, Inc., Initial Term Loan, 6.75% (LIBOR + 575 bps), 3/19/26 $    893,801
693,013 Spirit AeroSystems, Inc., (fka Mid-Western Aircraft Systems, Inc. and Onex Wind Finance LP.), 2021 Refinancing Term Loan, 4.25% (LIBOR + 375 bps), 1/15/25      691,642
1,541,582 WP CPP Holdings, LLC, First Lien Initial Term Loan, 4.75% (LIBOR + 375 bps), 4/30/25   1,482,809
  Total Aerospace & Defense   $3,068,252
  Airlines — 3.3%  
500,000 AAdvantage Loyalty IP, Ltd. (American Airlines, Inc.), Initial Term Loan, 5.50% (LIBOR + 475 bps), 4/20/28 $    510,375
1,270,841 Allegiant Travel Co., Replacement Term Loan, 3.469% (LIBOR + 300 bps), 2/5/24   1,262,104
1,170,000^ Grupo Aeromexico SAB de CV, DIP Tranche 1 Facility, 9.00% (LIBOR + 800 bps), 3/31/22   1,178,775
1Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Airlines — (continued)  
1,250,000 Mileage Plus Holdings LLC (Mileage Plus Intellectual Property Assets, Ltd.), Initial Term Loan, 6.25% (LIBOR + 525 bps), 6/21/27 $  1,311,329
340,000 SkyMiles IP, Ltd. (Delta Air Lines, Inc.), Initial Term Loan, 4.75% (LIBOR + 375 bps), 10/20/27     356,268
  Total Airlines   $4,618,851
  Airport Development & Maintenance — 0.2%  
250,000 KKR Apple Bidco LLC, Second Lien Initial Term Loan, 6.25% (LIBOR + 575 bps), 9/21/29 $    251,875
  Total Airport Development & Maintenance     $251,875
  Apparel Manufacturers — 0.2%  
346,507 Canada Goose, Inc., 2021 Refinancing Term Loan, 4.25% (LIBOR + 350 bps), 10/7/27 $    345,568
  Total Apparel Manufacturers     $345,568
  Appliances — 0.3%  
406,960 Weber-Stephen Products LLC, Initial Term B Loan, 4.00% (LIBOR + 325 bps), 10/30/27 $    396,481
  Total Appliances     $396,481
  Applications Software — 0.9%  
250,000 EP Purchaser LLC, First Lien Closing Date Term Loan, 4.00% (LIBOR + 350 bps), 11/6/28 $    248,973
1,000,000 Loyalty Ventures, Inc., Term B Loan, 5.00% (LIBOR + 450 bps), 11/3/27     990,833
  Total Applications Software   $1,239,806
  Auction House & Art Dealer — 0.4%  
497,500 Sotheby's, 2021 Second Refinancing Term Loan, 5.00% (LIBOR + 450 bps), 1/15/27 $    497,189
  Total Auction House & Art Dealer     $497,189
  Auto Parts & Equipment — 3.5%  
646,750 Adient US LLC, Term B-1 Loan, 3.459% (LIBOR + 350 bps), 4/10/28 $    644,845
597,000 Autokiniton US Holdings, Inc., (aka L&W, Inc.) Closing Date Term B Loan, 5.00% (LIBOR + 450 bps), 4/6/28      594,761
1,468,945 First Brands Group LLC, First Lien 2021 Term Loan, 6.00% (LIBOR + 500 bps), 3/30/27   1,463,895
Pioneer Floating Rate Fund, Inc. |  | 2/28/222

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Auto Parts & Equipment — (continued)  
1,581,776(b) IXS Holdings, Inc., Initial Term Loan, 5.00% (LIBOR + 425 bps), 3/5/27 $  1,502,687
748,125 Wheel Pros, Inc., First Lien Initial Term Loan, 5.25% (LIBOR + 450 bps), 5/11/28     740,644
  Total Auto Parts & Equipment   $4,946,832
  Auto-Truck Trailers — 1.6%  
1,495,000 American Trailer World Corp., First Lien Initial Term Loan, 4.60% (SOFR + 375 bps), 3/3/28 $  1,472,109
777,778 Novae LLC, Tranche B Term Loan, 5.75% (SOFR + 500 bps), 12/22/28     771,944
  Total Auto-Truck Trailers   $2,244,053
  Beverages — 0.7%  
27,273 Naked Juice LLC, First Lien Delayed Draw Term Loan, 3.75% (SOFR + 325 bps), 1/24/29 $     27,079
472,727 Naked Juice LLC, First Lien Initial Term Loan, 3.75% (SOFR + 325 bps), 1/24/29      469,367
497,500 Triton Water Holdings, Inc., First Lien Initial Term Loan, 4.00% (LIBOR + 350 bps), 3/31/28     486,866
  Total Beverages     $983,312
  Broadcast Service & Programing — 0.5%  
750,000 Univision Communications, Inc., First Lien Initial Term Loan, 4.00% (LIBOR + 325 bps), 1/31/29 $    744,766
  Total Broadcast Service & Programing     $744,766
  Building & Construction — 1.3%  
447,765 DG Investment Intermediate Holdings 2, Inc., First Lien Closing Date Initial Term Loan, 4.25% (LIBOR + 375 bps), 3/31/28 $    450,004
500,000 DG Investment Intermediate Holdings 2, Inc., Second Lien Initial Term Loan, 7.50% (LIBOR + 675 bps), 3/30/29      502,500
917,508 Service Logic Acquisition, Inc., First Lien Closing Date Initial Term Loan, 4.75% (LIBOR + 400 bps), 10/29/27     912,920
  Total Building & Construction   $1,865,424
  Building & Construction Products — 1.7%  
1,469,857 Cornerstone Building Brands, Inc., Tranche B Term Loan, 3.75% (LIBOR + 325 bps), 4/12/28 $  1,442,910
3Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Building & Construction Products — (continued)  
992,566 CP Atlas Buyer, Inc., Term B Loan, 4.25% (LIBOR + 375 bps), 11/23/27 $    976,127
5,554 Thor Industries, Inc., Term B-1 USD Loan, 3.25% (LIBOR + 300 bps), 2/1/26       5,544
  Total Building & Construction Products   $2,424,581
  Building Production — 1.7%  
500,000 Chariot Buyer LLC., First Lien Initial Term Loan, 4.00% (LIBOR + 350 bps), 11/3/28 $    496,172
1,000,000(b) Pelican Products, Inc., First Lien Initial Term Loan, 12/29/28      987,500
850,000 Vector WP HoldCo., Inc. (Vector Canada Acquisition ULC), Initial Term B Loan, 5.75% (LIBOR + 500 bps), 10/12/28     837,250
  Total Building Production   $2,320,922
  Building-Heavy Construction — 0.5%  
498,750 Aegion Corp., Initial Term Loan, 5.50% (LIBOR + 475 bps), 5/17/28 $    496,880
250,000 Artera Services LLC, First Lien Tranche B Term Loan, 4.50% (LIBOR + 350 bps), 3/6/25     241,875
  Total Building-Heavy Construction     $738,755
  Building-Maintenance & Service — 0.5%  
748,125 ArchKey Holdings, Inc., First Lien Initial Term Loan, 6.00% (LIBOR + 525 bps), 6/29/28 $    745,787
  Total Building-Maintenance & Service     $745,787
  Cable & Satellite Television — 1.5%  
586,500 DIRECTV Financing LLC, Closing Date Term Loan, 5.75% (LIBOR + 500 bps), 8/2/27 $    585,553
1,000,000 Radiate Holdco LLC, Amendment No. 6 Term Loan, 4.00% (LIBOR + 325 bps), 9/25/26      991,001
500,000 Virgin Media Bristol LLC, Facility Q, 3.441% (LIBOR + 325 bps), 1/31/29     497,143
  Total Cable & Satellite Television   $2,073,697
  Casino Hotels — 0.8%  
1,086,250 Caesars Resort Collection LLC, Term B-1 Loan, 3.709% (LIBOR + 350 bps), 7/21/25 $  1,083,534
  Total Casino Hotels   $1,083,534
  Casino Services — 1.5%  
546,761 Everi Holdings, Inc., Term B Loan, 3.00% (LIBOR + 250 bps), 8/3/28 $    543,192
Pioneer Floating Rate Fund, Inc. |  | 2/28/224

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Casino Services — (continued)  
498,750 J&J Ventures Gaming LLC, Initial Term Loan, 4.75% (LIBOR + 400 bps), 4/26/28 $    497,659
1,100,000 Lucky Bucks LLC, Initial Term Loan, 6.25% (LIBOR + 550 bps), 7/30/27   1,081,437
  Total Casino Services   $2,122,288
  Cellular Telecom — 2.9%  
1,951,977 Altice France SA, USD TLB-13 Incremental Term Loan, 4.506% (LIBOR + 400 bps), 8/14/26 $  1,938,354
550,000(b) CCI Buyer, Inc., First Lien Initial Term Loan, 12/17/27      546,047
497,500 Gogo Intermediate Holdings LLC, Initial Term Loan, 4.50% (LIBOR + 375 bps), 4/30/28      494,080
748,125 Xplornet Communications, Inc., First Lien Refinancing Term Loan, 4.50% (LIBOR + 400 bps), 10/2/28      742,233
350,000 Xplornet Communications, Inc., Second Lien Initial Term Loan, 7.50% (LIBOR + 700 bps), 10/1/29     353,500
  Total Cellular Telecom   $4,074,214
  Chemicals-Diversified — 1.2%  
1,000,000 ARC Falcon I, Inc., Second Lien Initial Term Loan, 7.50% (LIBOR + 700 bps), 9/30/29 $    982,500
748,125 Geon Performance Solutions LLC (Fka. Echo US Holdings, LLC), Initial Term Loan, 5.50% (LIBOR + 475 bps), 8/18/28     746,255
  Total Chemicals-Diversified   $1,728,755
  Chemicals-Plastics — 0.4%  
600,000(b) Bakelite UK Intermediate Ltd., Term Loan, 2/2/29 $    594,750
  Total Chemicals-Plastics     $594,750
  Chemicals-Specialty — 1.7%  
1,091,750 Cpc Acquisition Corp., First Lien Initial Term Loan, 4.50% (LIBOR + 375 bps), 12/29/27 $  1,067,186
597,000 Herens US Holdco Corp., USD Facility B, 4.75% (LIBOR + 400 bps), 7/3/28      593,866
719,576 LSF11 Skyscraper Holdco S.a r.l. USD Facility B3, 4.25% (LIBOR + 350 bps), 9/29/27      715,978
18,914 Nouryon USA LLC, Initial Dollar Term Loan, 3.209% (LIBOR + 300 bps), 10/1/25      18,708
  Total Chemicals-Specialty   $2,395,738
  Commercial Services — 2.8%  
748,125 CoreLogic, Inc. (fka First American Corporation), First Lien Initial Term Loan, 4.00% (LIBOR + 350 bps), 6/2/28 $    737,371
5Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Commercial Services — (continued)  
595,508 Indy US Bidco LLC, 2021 Refinancing Dollar Term Loan, 3.959% (LIBOR + 375 bps), 3/6/28 $    592,158
643,500 TruGreen LP, First Lien Second Refinancing Term Loan, 4.75% (LIBOR + 400 bps), 11/2/27      643,902
1,905,819 Verscend Holding Corp., Term B-1 Loan, 4.209% (LIBOR + 400 bps), 8/27/25   1,905,024
  Total Commercial Services   $3,878,455
  Communications Software — 0.4%  
500,000 Mavenir Systems, Inc., Initial Term Loan, 5.25% (LIBOR + 475 bps), 8/18/28 $    496,250
  Total Communications Software     $496,250
  Computer Data Security — 1.4%  
1,147,125 Magenta Buyer, LLC, First Lien Initial Term Loan, 5.75% (LIBOR + 500 bps), 7/27/28 $  1,139,238
898,500 Vision Solutions, Inc. (Precisely Software Incorporated), First Lien Third Amendment Term Loan, 4.75% (LIBOR + 400 bps), 4/24/28     891,200
  Total Computer Data Security   $2,030,438
  Computer Services — 1.9%  
1,129,325 Ahead DB Holdings LLC, First Lien Term B Loan, 4.50% (LIBOR + 375 bps), 10/18/27 $  1,126,678
992,500 Peraton Corp., First Lien Term B Loan, 4.50% (LIBOR + 375 bps), 2/1/28      989,916
598,500 Sitel Group, Initial Dollar Term Loan, 4.25% (LIBOR + 375 bps), 8/28/28     596,442
  Total Computer Services   $2,713,036
  Computer Software — 2.9%  
1,250,000 Cornerstone OnDemand, Inc., First Lien Initial Term Loan, 4.25% (LIBOR + 375 bps), 10/16/28 $  1,241,406
500,000(b) Help/Systems Holdings, Inc., First Lien Seventh Amendment Refinancing Loan, 11/19/26      496,719
498,744 Idera, Inc., First Lien Term B-1 Loan, 4.50% (LIBOR + 375 bps), 3/2/28      495,253
900,000(b) McAfee Corp., Tranche B-1 Term Loan, 3/1/29      889,875
1,042,125 Rackspace Technology Global, Inc., First Lien 2021 Term B Loan, 3.50% (LIBOR + 275 bps), 2/15/28   1,011,839
  Total Computer Software   $4,135,092
Pioneer Floating Rate Fund, Inc. |  | 2/28/226

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Computers-Integrated Systems — 0.5%  
558,111 Atlas CC Acquisition Corp., First Lien Term B Loan, 5.00% (LIBOR + 425 bps), 5/25/28 $    556,890
113,514 Atlas CC Acquisition Corp., First Lien Term C Loan, 5.00% (LIBOR + 425 bps), 5/25/28     113,265
  Total Computers-Integrated Systems     $670,155
  Consulting Services — 1.2%  
1,044,750 Ankura Consulting Group LLC, First Lien Closing Date Term Loan, 5.25% (SOFR + 450 bps), 3/17/28 $  1,041,812
738,653 MAG DS Corp., Initial Term Loan, 6.50% (LIBOR + 550 bps), 4/1/27     688,794
  Total Consulting Services   $1,730,606
  Consumer Products — 0.9%  
1,381,188 Instant Brands Holdings, Inc., Initial Loan, 5.75% (LIBOR + 500 bps), 4/12/28 $  1,298,316
  Total Consumer Products   $1,298,316
  Containers-Metal & Glass — 0.7%  
987,525 Plaze, Inc., 2021-1 Term Loan, 4.50% (LIBOR + 375 bps), 8/3/26 $    967,775
  Total Containers-Metal & Glass     $967,775
  Containers-Paper & Plastic — 2.8%  
496,241 Charter Next Generation, Inc., First Lien 2021 Initial Term Loan, 4.50% (LIBOR + 375 bps), 12/1/27 $    494,768
704,927 Graham Packaging Co., Inc., 2021 Initial Term Loan, 3.75% (LIBOR + 300 bps), 8/4/27      698,955
787,307 Pregis TopCo, LLC, First Lien Initial Term Loan, 4.209% (LIBOR + 400 bps), 7/31/26      785,339
1,301,000 ProAmpac PG Borrower LLC, First Lien 2020-1 Term Loan, 4.50% (LIBOR + 375 bps), 11/3/25   1,296,771
611,511 Trident TPI Holdings, Inc., Tranche B-3 Initial Term Loan, 4.50% (LIBOR + 400 bps), 9/15/28      609,382
54,521 Trident TPI Holdings, Inc., Tranche B-3 Term Loan, 4.50% (LIBOR + 400 bps), 9/15/28      54,331
  Total Containers-Paper & Plastic   $3,939,546
  Cosmetics & Toiletries — 0.6%  
778,210 Sunshine Luxembourg VII S.a r.l. Facility B3, 4.50% (LIBOR + 375 bps), 10/1/26 $    777,584
  Total Cosmetics & Toiletries     $777,584
7Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Cruise Lines — 1.1%  
1,625,250 Carnival Corp., Initial Advance, 3.75% (LIBOR + 300 bps), 6/30/25 $  1,610,216
  Total Cruise Lines   $1,610,216
  Data Processing & Management — 1.7%  
2,237,815 DTI Holdco, Inc., Replacement B-1 Term Loan, 5.75% (LIBOR + 475 bps), 9/29/23 $  2,213,199
166,667(b) Dun & Bradstreet Corp., 2022 Incremental Term B-2 Loan, 1/18/29     164,948
  Total Data Processing & Management   $2,378,147
  Dialysis Centers — 1.4%  
2,054,421 US Renal Care, Inc., Initial Term Loan, 5.209% (LIBOR + 500 bps), 6/26/26 $  1,984,351
  Total Dialysis Centers   $1,984,351
  Distribution & Wholesale — 1.2%  
600,000 AIP RD Buyer Corp., First Lien Term Loan B, 4.75% (SOFR + 425 bps), 12/22/28 $    597,750
1,103,661 Patriot Container Corp. (aka Wastequip), First Lien Closing Date Term Loan, 4.75% (LIBOR + 375 bps), 3/20/25   1,062,274
  Total Distribution & Wholesale   $1,660,024
  E-Commerce — 0.7%  
496,250 CNT Holdings I Corp., First Lien Initial Term Loan, 4.25% (LIBOR + 375 bps), 11/8/27 $    494,522
454,779 Trader Corp., First Lien 2017 Refinancing Term Loan, 4.00% (LIBOR + 300 bps), 9/28/23     451,937
  Total E-Commerce     $946,459
  Electric-Generation — 1.4%  
1,589,066 Eastern Power, LLC (Eastern Covert Midco, LLC), Term Loan, 4.75% (LIBOR + 375 bps), 10/2/25 $  1,047,989
985,000 Hamilton Projects Acquiror LLC, Term Loan, 5.25% (LIBOR + 450 bps), 6/17/27     979,583
  Total Electric-Generation   $2,027,572
  Electric-Integrated — 2.2%  
1,221,870 Constellation Renewables, LLC, Loan, 3.50% (LIBOR + 250 bps), 12/15/27 $  1,218,816
Pioneer Floating Rate Fund, Inc. |  | 2/28/228

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Electric-Integrated — (continued)  
1,433,175 PG&E Corp., Term Loan, 3.50% (LIBOR + 300 bps), 6/23/25 $  1,410,483
479,452 Pike Corp., 2028 Initial Term Loan, 3.21% (LIBOR + 300 bps), 1/21/28     475,899
  Total Electric-Integrated   $3,105,198
  Electronic Composition — 3.5%  
1,088,812 Compass Power Generation LLC, Tranche B-1 Term Loan, 4.50% (LIBOR + 350 bps), 12/20/24 $  1,078,378
1,709,789 Energy Acquisition Co., Inc., First Lien Initial Term Loan, 4.459% (LIBOR + 425 bps), 6/26/25   1,691,978
2,227,969 Natel Engineering Co., Inc., Initial Term Loan, 7.25% (LIBOR + 625 bps), 4/30/26   2,181,554
  Total Electronic Composition   $4,951,910
  E-Marketing & Information — 0.2%  
331,220 Trader Interactive LLC (fka Dominion Web Solutions LLC), Initial Term Loan, 4.50% (LIBOR + 400 bps), 7/28/28 $    329,563
  Total E-Marketing & Information     $329,563
  Engines — 0.9%  
1,300,000 Arcline FM Holdings LLC, Second Lien Term Loan, 9.00% (LIBOR + 825 bps), 6/25/29 $  1,290,250
  Total Engines   $1,290,250
  Enterprise Software & Services — 0.3%  
498,750 Skopima Consilio Parent LLC, First Lien Initial Term Loan, 4.50% (LIBOR + 400 bps), 5/12/28 $    493,918
  Total Enterprise Software & Services     $493,918
  Finance-Leasing Company — 1.0%  
1,366,705 Fly Willow Funding Ltd., Term Loan B, 7.00% (LIBOR + 600 bps), 10/8/25 $  1,370,976
  Total Finance-Leasing Company   $1,370,976
  Food-Dairy Products — 1.2%  
1,728,125 Chobani LLC., 2020 New Term Loan, 4.50% (LIBOR + 350 bps), 10/25/27 $  1,725,244
  Total Food-Dairy Products   $1,725,244
  Footwear & Related Apparel — 0.5%  
750,000 Crocs, Inc., Term B Loan, 4.00% (SOFR + 350 bps), 2/20/29 $    742,835
  Total Footwear & Related Apparel     $742,835
9Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Gambling (Non-Hotel) — 1.9%  
635,250 Enterprise Development Authority, Term B Loan, 5.00% (LIBOR + 425 bps), 2/28/28 $    634,654
2,000,497 Scientific Games International, Inc., Initial Term B-5 Loan, 2.96% (LIBOR + 275 bps), 8/14/24   1,990,381
  Total Gambling (Non-Hotel)   $2,625,035
  Housewares — 0.3%  
483,750 Ozark Holdings LLC, 2020 Refinancing Term Loan, 4.25% (LIBOR + 375 bps), 12/16/27 $    482,440
  Total Housewares     $482,440
  Human Resources — 3.4%  
992,500 CCRR Parent, Inc., First Lien Initial Term Loan, 4.50% (LIBOR + 375 bps), 3/6/28 $    997,153
3,904,271 Team Health Holdings, Inc., Initial Term Loan, 3.75% (LIBOR + 275 bps), 2/6/24   3,723,698
  Total Human Resources   $4,720,851
  Independ Power Producer — 1.0%  
1,462,400 EFS Cogen Holdings I LLC, Term B Advance, 4.50% (LIBOR + 350 bps), 10/1/27 $  1,427,059
  Total Independ Power Producer   $1,427,059
  Internet Content — 0.3%  
410,719 Hunter US Bidco, Inc., First Lien Initial Dollar Term Loan, 4.75% (LIBOR + 425 bps), 8/19/28 $    409,692
  Total Internet Content     $409,692
  Internet Gambling — 0.0%  
18,875 Golden Nugget Online Gaming LLC, 2020 Initial Term Loan, 13.00% (LIBOR + 1,200 bps), 10/4/23 $     20,291
  Total Internet Gambling      $20,291
  Investment Management & Advisory Services — 1.1%  
497,500 Edelman Financial Engines Center LLC, First Lien 2021 Initial Term Loan, 4.25% (LIBOR + 350 bps), 4/7/28 $    494,321
1,000,000(b) LHS Borrower LLC, Term Loan B, 2/25/29     990,000
  Total Investment Management & Advisory Services   $1,484,321
  Lottery Services — 0.6%  
800,000(b) Scientific Games Corp., Term Loan, 2/4/29 $    795,666
  Total Lottery Services     $795,666
  Machinery — 1.6%  
785,714 East West Manufacturing LLC, Initial Term Loan, 6.50% (SOFR + 575 bps), 12/22/28 $    779,822
Pioneer Floating Rate Fund, Inc. |  | 2/28/2210

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Machinery — (continued)  
1,155,963 Engineered Components & Systems LLC, First Lien Initial Term Loan, 6.50% (LIBOR + 600 bps), 8/2/28 $  1,140,069
344,037 Engineered Components and Systems LLC, First Lien Delayed Draw Term Loan, 6.50% (LIBOR + 600 bps), 8/2/28     340,166
  Total Machinery   $2,260,057
  Machinery-Pumps — 0.7%  
987,972 Circor International, Inc., Initial Term Loan, 5.00% (LIBOR + 450 bps), 12/20/28 $    983,032
  Total Machinery-Pumps     $983,032
  Medical Diagnostic Imaging — 0.6%  
844,375 US Radiology Specialists, Inc. (US Outpatient Imaging Services, Inc.), Closing Date Term Loan, 5.75% (LIBOR + 550 bps), 12/15/27 $    841,209
  Total Medical Diagnostic Imaging     $841,209
  Medical Information Systems — 0.9%  
769,565 athenahealth, Inc., Initial Term Loan, 4.00% (SOFR + 350 bps), 2/15/29 $    763,794
496,257 Azalea TopCo, Inc., First Lien 2021 Term Loan, 4.50% (LIBOR + 375 bps), 7/24/26     494,395
  Total Medical Information Systems   $1,258,189
  Medical Labs & Testing Services — 2.4%  
1,168,235 Envision Healthcare Corp., Initial Term Loan, 3.959% (LIBOR + 375 bps), 10/10/25 $    857,923
496,222 eResearchTechnology, Inc., First Lien Initial Term Loan, 5.50% (LIBOR + 450 bps), 2/4/27      496,648
1,470,150 FC Compassus LLC, Term B-1 Loan, 5.00% (LIBOR + 425 bps), 12/31/26   1,457,286
497,500 Sound Inpatient Physicians Holdings LLC, First Lien 2021 Incremental Term Loan, 3.50% (LIBOR + 300 bps), 6/27/25     494,546
  Total Medical Labs & Testing Services   $3,306,403
  Medical Products — 1.0%  
1,250,567 NMN Holdings III Corp., First Lien Closing Date Term Loan, 3.959% (LIBOR + 375 bps), 11/13/25 $  1,219,303
216,038 NMN Holdings III Corp., First Lien Delayed Draw Term Loan, 3.959% (LIBOR + 375 bps), 11/13/25     210,637
  Total Medical Products   $1,429,940
11Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Medical-Biomedical & Generation — 1.0%  
1,400,000 ANI Pharmaceuticals, Inc., Initial Term Loan, 6.75% (LIBOR + 600 bps), 11/19/27 $  1,403,500
  Total Medical-Biomedical & Generation   $1,403,500
  Medical-Drugs — 1.9%  
1,485,475 Endo Luxembourg Finance Company I S.a r.l., 2021 Term Loan, 5.75% (LIBOR + 500 bps), 3/27/28 $  1,440,354
497,500 Jazz Financing Lux S.a r.l. Initial Dollar Term Loan, 4.00% (LIBOR + 350 bps), 5/5/28      496,443
705,882 Padagis LLC, Term B Loan, 5.25% (LIBOR + 475 bps), 7/6/28     702,794
  Total Medical-Drugs   $2,639,591
  Medical-HMO — 0.7%  
995,000 One Call Corp., First Lien Term B Loan, 6.25% (LIBOR + 550 bps), 4/22/27 $    990,025
  Total Medical-HMO     $990,025
  Medical-Hospitals — 1.1%  
1,508,209 Quorum Health Corp., Exit Term Loan, 8.75% (LIBOR + 775 bps), 4/29/25 $  1,349,847
208,425 Surgery Center Holdings, Inc., 2021 New Term Loan, 4.50% (LIBOR + 375 bps), 8/31/26     206,905
  Total Medical-Hospitals   $1,556,752
  Medical-Outpatient & Home Medicine — 0.3%  
420,000 Medical Solutions Holdings, Inc., First Lien Initial Term Loan, 4.00% (LIBOR + 350 bps), 11/1/28 $    417,178
  Total Medical-Outpatient & Home Medicine     $417,178
  Medical-Wholesale Drug Distribution — 0.6%  
870,947 Gainwell Acquisition Corp., First Lien Term B Loan, 4.75% (LIBOR + 400 bps), 10/1/27 $    868,225
  Total Medical-Wholesale Drug Distribution     $868,225
  Metal Processors & Fabrication — 1.5%  
498,750 Grinding Media, Inc. (Molycop Ltd.), First Lien Initial Term Loan, 4.75% (LIBOR + 400 bps), 10/12/28 $    495,945
746,250 Tiger Acquisition LLC, First Lien Initial Term Loan, 3.758% (LIBOR + 325 bps), 6/1/28      728,410
835,000 WireCo WorldGroup, Inc., Initial Term Loan, 4.75% (LIBOR + 425 bps), 11/13/28     829,259
  Total Metal Processors & Fabrication   $2,053,614
Pioneer Floating Rate Fund, Inc. |  | 2/28/2212

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Metal-Iron — 0.7%  
10,056 TMS International Corp., Term B-2 Loan, 3.75% (LIBOR + 275 bps), 8/14/24 $      9,994
990,000 TMS International Corp., Term B-3 Loan, 3.75% (LIBOR + 275 bps), 8/14/24     983,812
  Total Metal-Iron     $993,806
  Multimedia — 0.3%  
416,875 EW Scripps Co., The Tranche B-3 Term Loan, 3.75% (LIBOR + 300 bps), 1/7/28 $    415,051
  Total Multimedia     $415,051
  Networking Products — 1.0%  
1,432,501 GoTo Group, Inc., First Lien Initial Term Loan, 4.887% (LIBOR + 475 bps), 8/31/27 $  1,411,573
  Total Networking Products   $1,411,573
  Office Automation & Equipment — 0.6%  
893,250 Pitney Bowes, Inc., Refinancing Tranche B Term Loan, 4.21% (LIBOR + 400 bps), 3/17/28 $    885,992
  Total Office Automation & Equipment     $885,992
  Paper & Related Products — 1.1%  
995,000 Schweitzer-Mauduit International, Inc., Term B Loan, 4.50% (LIBOR + 375 bps), 4/20/28 $    975,100
512,500 Sylvamo Corp., Term Loan B, 5.00% (LIBOR + 450 bps), 8/18/28     510,017
  Total Paper & Related Products   $1,485,117
  Pastoral & Agricultural — 0.5%  
650,000 Alltech, Inc., Term B Loan, 4.50% (LIBOR + 400 bps), 10/13/28 $    650,406
  Total Pastoral & Agricultural     $650,406
  Pharmacy Services — 0.2%  
350,000 Option Care Health, Inc., First Lien 2021 Refinancing Term Loan, 3.25% (LIBOR + 275 bps), 10/27/28 $    347,725
  Total Pharmacy Services     $347,725
  Physical Therapy & Rehabilitation Centers — 2.2%  
933,333 Summit Behavioral Healthcare LLC, First Lien Initial Term Loan, 5.50% (LIBOR + 475 bps), 11/24/28 $    915,833
2,212,688 Upstream Newco, Inc., First Lien August 2021 Incremental Term Loan, 4.46% (LIBOR + 425 bps), 11/20/26   2,201,624
  Total Physical Therapy & Rehabilitation Centers   $3,117,457
13Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Pipelines — 2.4%  
3,441,413 Traverse Midstream Partners LLC, Advance, 5.25% (SOFR + 425 bps), 9/27/24 $  3,434,244
  Total Pipelines   $3,434,244
  Property & Casualty Insurance — 1.5%  
250,000(b) Asurion LLC, New B-7 Term Loan, 11/3/24 $    247,156
496,250 Asurion LLC, New B-9 Term Loan, 3.459% (LIBOR + 325 bps), 7/31/27      488,124
1,250,000 Asurion LLC, Second Lien New B-4 Term Loan, 5.459% (LIBOR + 525 bps), 1/20/29   1,237,500
121,875 Sedgwick Claims Management Services, Inc. (Lightning Cayman Merger Sub, Ltd.), 2020 Term Loan, 5.25% (LIBOR + 425 bps), 9/3/26     122,047
  Total Property & Casualty Insurance   $2,094,827
  Protection-Safety — 1.1%  
1,496,250 APX Group, Inc., Initial Term Loan, 4.00% (LIBOR + 350 bps), 7/10/28 $  1,489,393
  Total Protection-Safety   $1,489,393
  Publishing — 0.8%  
349,125 Cengage Learning, Inc., First Lien Term B Loan, 5.75% (LIBOR + 475 bps), 7/14/26 $    348,841
748,125 McGraw-Hill Education, Inc., Initial Term Loan, 5.554% (LIBOR + 475 bps), 7/28/28     742,982
  Total Publishing   $1,091,823
  Publishing-Periodicals — 0.3%  
375,000(b) MJH Healthcare Holdings LLC, Initial Term B Loan, 1/28/29 $    375,000
  Total Publishing-Periodicals     $375,000
  Recycling — 0.6%  
846,500 LTR Intermediate Holdings, Inc., Initial Term Loan, 5.50% (LIBOR + 450 bps), 5/5/28 $    841,209
  Total Recycling     $841,209
  Rental Auto & Equipment — 0.7%  
955,000(b) PECF USS Intermediate Holding III Corp., Term Loan B, 12/15/28 $    951,760
  Total Rental Auto & Equipment     $951,760
  Retail — 6.7%  
498,750 At Home Group, Inc., Initial Term Loan, 4.75% (LIBOR + 425 bps), 7/24/28 $    485,658
Pioneer Floating Rate Fund, Inc. |  | 2/28/2214

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Retail — (continued)  
398,000 Foundation Building Materials, Inc., First Lien Initial Term Loan, 3.75% (LIBOR + 325 bps), 1/31/28 $    391,097
1,089,021 Great Outdoors Group LLC, Term B-2 Loan, 4.50% (LIBOR + 375 bps), 3/6/28   1,086,185
1,025,583 Highline Aftermarket Acquisition LLC, First Lien Initial Term Loan, 5.25% (LIBOR + 450 bps), 11/9/27   1,011,481
1,044,750 Michaels Cos, Inc., The Term B Loan, 5.00% (LIBOR + 425 bps), 4/15/28      974,229
496,250 Petco Health & Wellness Co., Inc., First Lien Initial Term Loan, 4.00% (LIBOR + 325 bps), 3/3/28      493,459
1,044,750 PetSmart LLC, Initial Term Loan, 4.50% (LIBOR + 375 bps), 2/11/28   1,040,941
744,375 RVR Dealership Holdings, LLC, Term Loan, 4.50% (SOFR + 375 bps), 2/8/28      739,723
696,500 SRS Distribution, Inc., 2021 Refinancing Term Loan, 4.25% (LIBOR + 375 bps), 6/2/28      690,013
2,110,796 Staples, Inc., 2019 Refinancing New Term B-2 Loan, 4.817% (LIBOR + 450 bps), 9/12/24   2,052,749
493,750 Torrid LLC, Closing Date Term Loan, 6.25% (LIBOR + 550 bps), 6/14/28     486,344
  Total Retail   $9,451,879
  Rubber & Plastic Products — 0.8%  
1,141,584 Gates Global LLC, Initial B-3 Dollar Term Loan, 3.25% (LIBOR + 250 bps), 3/31/27 $  1,128,741
  Total Rubber & Plastic Products   $1,128,741
  Satellite Telecom — 0.5%  
750,000 Intelsat Jackson Holdings SA, Term B Loan, 5.022% (SOFR + 425 bps), 2/1/29 $    740,156
  Total Satellite Telecom     $740,156
  Schools — 0.8%  
1,080,532 KUEHG Corp. (fka MergerSub, Inc.), Term B-3 Loan, 4.75% (LIBOR + 375 bps), 2/21/25 $  1,056,026
  Total Schools   $1,056,026
  Security Services — 1.4%  
1,964,719 Garda World Security Corp., Term B-2 Loan, 4.43% (LIBOR + 425 bps), 10/30/26 $  1,949,371
  Total Security Services   $1,949,371
15Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Semiconductor Equipment — 0.9%  
1,278,854 Ultra Clean Holdings, Inc., Second Amendment Term B Loan, 3.959% (LIBOR + 375 bps), 8/27/25 $  1,279,853
  Total Semiconductor Equipment   $1,279,853
  Shipbuilding — 0.9%  
1,224,993 MHI Holdings LLC, Initial Term Loan, 5.209% (LIBOR + 500 bps), 9/21/26 $  1,222,442
  Total Shipbuilding   $1,222,442
  Soap & Cleaning Preparation — 0.9%  
1,000,000 Knight Health Holdings LLC, Term B Loan, (LIBOR + 525 bps), 12/23/28 $    918,750
306,136 Kronos Acquisition Holdings, Inc., Tranche B-1 Term Loan, 4.25% (LIBOR + 375 bps), 12/22/26     283,814
  Total Soap & Cleaning Preparation   $1,202,564
  Steel Producers — 1.1%  
1,502,232 Phoenix Services International LLC, Term B Loan, (LIBOR + 375 bps), 3/1/25 $  1,479,230
  Total Steel Producers   $1,479,230
  Telecom Services — 0.7%  
1,035,379 Windstream Services II, LLC, Initial Term Loan, 7.25% (LIBOR + 625 bps), 9/21/27 $  1,035,056
  Total Telecom Services   $1,035,056
  Textile-Home Furnishings — 0.7%  
1,000,000 Runner Buyer, Inc., Initial Term Loan, 6.25% (LIBOR + 550 bps), 10/20/28 $    977,500
  Total Textile-Home Furnishings     $977,500
  Theaters — 0.7%  
1,058,107 AMC Entertainment Holdings, Inc. (fka AMC Entertainment, Inc.), Term B-1 Loan, 3.125% (LIBOR + 300 bps), 4/22/26 $    961,555
  Total Theaters     $961,555
  Transportation - Trucks — 0.4%  
498,750 Carriage Purchaser, Inc., Term B Loan, 5.00% (LIBOR + 425 bps), 9/30/28 $    498,230
  Total Transportation - Trucks     $498,230
  Transportation Services — 2.0%  
1,197,000 AIT Worldwide Logistics Holdings, Inc., First Lien Initial Term Loan, 5.50% (LIBOR + 475 bps), 4/6/28 $  1,189,519
Pioneer Floating Rate Fund, Inc. |  | 2/28/2216

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Transportation Services — (continued)  
500,000 Echo Global Logistics, Inc., Term Loan, 4.25% (LIBOR + 375 bps), 11/23/28 $    496,458
547,794 First Student Bidco, Inc., Initial Term B Loan, 3.50% (LIBOR + 300 bps), 7/21/28      541,403
202,206 First Student Bidco, Inc., Initial Term C Loan, 3.50% (LIBOR + 300 bps), 7/21/28      199,847
349,125 LaserShip, Inc., First Lien Initial Term Loan, 5.25% (LIBOR + 450 bps), 5/7/28     348,961
  Total Transportation Services   $2,776,188
  Total Senior Secured Floating Rate Loan Interests
(Cost $173,375,344)
$173,910,798
Shares            
  Common Stocks — 0.4% of Net Assets  
  Oil, Gas & Consumable Fuels — 0.3%  
23,920(c) Summit Midstream Partners LP $    375,066
  Total Oil, Gas & Consumable Fuels     $375,066
  Specialty Retail — 0.1%  
91,346(c)+^ Targus Cayman SubCo., Ltd. $    139,759
  Total Specialty Retail     $139,759
  Total Common Stocks
(Cost $503,696)
    $514,825
Principal
Amount
USD ($)
           
  Asset Backed Securities — 3.4% of Net Assets  
1,000,000(a) 522 Funding CLO, Ltd., Series 2019-4A, Class E, 7.254% (3 Month USD LIBOR + 700 bps), 4/20/30 (144A) $    975,276
1,000,000(a) Goldentree Loan Management US CLO 2, Ltd., Series 2017-2A, Class E, 4.954% (3 Month USD LIBOR + 470 bps), 11/28/30 (144A)      932,348
1,000,000 JPMorgan Chase Bank NA - CACLN, Series 2021-3, Class G, 9.812%, 2/26/29 (144A)      970,692
17Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Asset Backed Securities — (continued)  
1,000,000(a) Madison Park Funding XXII, Ltd., Series 2016-22A, Class ER, 6.941% (3 Month USD LIBOR + 670 bps), 1/15/33 (144A) $    982,226
1,000,000(a) Octagon Investment Partners XXI, Ltd., Series 2014-1A, Class DRR, 7.395% (3 Month USD LIBOR + 700 bps), 2/14/31 (144A)     973,179
  Total Asset Backed Securities
(Cost $4,946,389)
  $4,833,721
  Collateralized Mortgage
Obligations—2.0% of Net Assets
 
370,000(a) Connecticut Avenue Securities Trust, Series 2021-R01, Class 1B2, 6.049% (SOFR30A + 600 bps), 10/25/41 (144A) $    341,067
230,000(a) Freddie Mac STACR Trust, Series 2021-DNA7, Class B2, 7.849% (SOFR30A + 780 bps), 11/25/41 (144A)      225,189
750,000(a) Freddie Mac STACR REMIC Trust, Series 2021-DNA5, Class B2, 5.549% (SOFR30A + 550 bps), 1/25/34 (144A)      678,825
240,000(a) Freddie Mac STACR REMIC Trust, Series 2021-HQA3, Class B2, 6.299% (SOFR30A + 625 bps), 9/25/41 (144A)      212,674
250,000(a) Freddie Mac STACR REMIC Trust, Series 2022-DNA1, Class B2, 7.149% (SOFR30A + 710 bps), 1/25/42 (144A)      231,882
320,000(a) Freddie Mac STACR Trust, Series 2022-DNA2, Class B2, 8.549% (SOFR30A + 850 bps), 2/25/42 (144A)      313,592
710,000(a) STACR Trust, Series 2018-HRP2, Class B2, 10.687% (1 Month USD LIBOR + 1,050 bps), 2/25/47 (144A)     777,186
  Total Collateralized Mortgage Obligations
(Cost $2,978,719)
  $2,780,415
  Commercial Mortgage-Backed
Securities—1.3% of Net Assets
 
315,000(a) Capital Funding Mortgage Trust, Series 2021-8, Class B, 14.35% (1 Month USD LIBOR + 1,310 bps), 6/22/23 (144A) $    315,000
189,611(a) FREMF Mortgage Trust, Series 2020-KF74, Class C, 6.357% (1 Month USD LIBOR + 625 bps), 1/25/27 (144A)      189,503
Pioneer Floating Rate Fund, Inc. |  | 2/28/2218

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Commercial Mortgage-Backed
Securities—(continued)
 
625,000(a) Morgan Stanley Capital I Trust, Series 2019-BPR, Class D, 4.191% (1 Month USD LIBOR + 400 bps), 5/15/36 (144A) $    535,825
1,000,000 Wells Fargo Commercial Mortgage Trust, Series 2015-C28, Class E, 3.00% , 5/15/48 (144A)     726,695
  Total Commercial Mortgage-Backed Securities
(Cost $1,911,715)
  $1,767,023
  Corporate Bonds — 15.7% of Net Assets  
  Advertising — 0.2%  
255,000 Clear Channel Outdoor Holdings, Inc., 7.50%, 6/1/29 (144A) $    264,443
  Total Advertising     $264,443
  Aerospace & Defense — 0.4%  
500,000 Bombardier, Inc., 7.125%, 6/15/26 (144A) $    499,375
  Total Aerospace & Defense     $499,375
  Banks — 1.0%  
1,000,000(d)(e) Citigroup, Inc., 4.70% (SOFR + 323 bps) $    978,800
391,000 Freedom Mortgage Corp., 8.25%, 4/15/25 (144A)     390,022
  Total Banks   $1,368,822
  Building Materials — 1.8%  
500,000 CP Atlas Buyer, Inc., 7.00%, 12/1/28 (144A) $    450,625
1,000,000 Koppers, Inc., 6.00%, 2/15/25 (144A)   1,003,640
996,000 Patrick Industries, Inc., 7.50%, 10/15/27 (144A)   1,036,751
  Total Building Materials   $2,491,016
  Chemicals — 0.7%  
1,000,000 Hexion, Inc., 7.875%, 7/15/27 (144A) $  1,053,000
  Total Chemicals   $1,053,000
  Commercial Services — 0.6%  
205,000 Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 S.a.r.l., 4.625%, 6/1/28 (144A) $    194,688
200,000 Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 S.a.r.l., 4.625%, 6/1/28 (144A)      187,146
500,000 Garda World Security Corp., 6.00%, 6/1/29 (144A)     453,750
  Total Commercial Services     $835,584
19Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Computers — 0.1%  
100,000 Diebold Nixdorf, Inc., 9.375%, 7/15/25 (144A) $    104,127
  Total Computers     $104,127
  Diversified Financial Services — 1.1%  
200,000 Jefferies Finance LLC/JFIN Co.-Issuer Corp., 5.00%, 8/15/28 (144A) $    192,500
1,500,000 VistaJet Malta Finance PLC/XO Management Holding, Inc., 6.375%, 2/1/30 (144A)   1,427,310
  Total Diversified Financial Services   $1,619,810
  Engineering & Construction — 0.7%  
1,000,000 Artera Services LLC, 9.033%, 12/4/25 (144A) $  1,002,700
  Total Engineering & Construction   $1,002,700
  Entertainment — 0.7%  
1,005,000 Mohegan Gaming & Entertainment, 8.00%, 2/1/26 (144A) $  1,015,050
  Total Entertainment   $1,015,050
  Healthcare-Products — 0.3%  
342,000 Varex Imaging Corp., 7.875%, 10/15/27 (144A) $    367,650
  Total Healthcare-Products     $367,650
  Healthcare-Services — 0.7%  
1,000,000 RegionalCare Hospital Partners Holdings Inc / LifePoint Health, Inc., 9.75%, 12/1/26 (144A) $  1,048,890
  Total Healthcare-Services   $1,048,890
  Iron & Steel — 1.2%  
1,087,000 Cleveland-Cliffs, Inc., 9.875%, 10/17/25 (144A) $  1,206,570
500,000 Metinvest BV, 7.75%, 10/17/29 (144A)      161,000
265,000 TMS International Corp., 6.25%, 4/15/29 (144A)     254,813
  Total Iron & Steel   $1,622,383
  Leisure Time — 0.4%  
105,000 Royal Caribbean Cruises, Ltd., 9.125%, 6/15/23 (144A) $    109,594
500,000 Viking Cruises, Ltd., 5.875%, 9/15/27 (144A)     466,245
  Total Leisure Time     $575,839
  Lodging — 0.7%  
1,000,000 Station Casinos LLC, 4.50%, 2/15/28 (144A) $    961,250
  Total Lodging     $961,250
Pioneer Floating Rate Fund, Inc. |  | 2/28/2220

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Media — 0.9%  
510,000 McGraw-Hill Education, Inc., 8.00%, 8/1/29 (144A) $    457,725
1,000,000 Sinclair Television Group, Inc., 5.50%, 3/1/30 (144A)     877,500
  Total Media   $1,335,225
  Mining — 0.5%  
500,000 Coeur Mining, Inc., 5.125%, 2/15/29 (144A) $    441,100
219,000 Joseph T Ryerson & Son, Inc., 8.50%, 8/1/28 (144A)     236,908
  Total Mining     $678,008
  Oil & Gas — 1.1%  
1,500,000 MEG Energy Corp., 7.125%, 2/1/27 (144A) $  1,567,530
  Total Oil & Gas   $1,567,530
  REITs — 1.5%  
1,000,000 iStar, Inc., 4.75%, 10/1/24 $  1,006,250
1,065,000 Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC, 7.875%, 2/15/25 (144A)   1,108,388
  Total REITs   $2,114,638
  Retail — 0.5%  
500,000 LBM Acquisition LLC, 6.25%, 1/15/29 (144A) $    463,750
221,000 Party City Holdings, Inc., 8.75%, 2/15/26 (144A)     221,132
  Total Retail     $684,882
  Telecommunications — 0.6%  
500,000 Altice France Holding SA, 6.00%, 2/15/28 (144A) $    441,250
500,000 Lumen Technologies, Inc., 4.50%, 1/15/29 (144A)     417,500
  Total Telecommunications     $858,750
  Total Corporate Bonds
(Cost $21,965,703)
$22,068,972
  Insurance-Linked Securities — 1.1% of Net
Assets#
 
  Event Linked Bonds — 0.7%  
  Multiperil - Japan — 0.2%  
250,000(a) Akibare Re, 2.134%, (3 Month USD LIBOR + 193 bps), 4/7/22 (144A) $    249,475
  Multiperil - Texas — 0.2%  
250,000(a) Alamo Re, 5.349%, (1 Month U.S. Treasury Bill + 504 bps), 6/8/22 (144A) $    251,073
  Multiperil – U.S. — 0.1%  
250,000(a) Residential Reinsurance 2021, 5.809%, (3 Month U.S. Treasury Bill + 550 bps), 12/6/25 (144A) $    249,150
21Pioneer Floating Rate Fund, Inc. |  | 2/28/22

Principal
Amount
USD ($)
          Value
  Multiperil – U.S. Regional — 0.2%  
250,000(a) Long Point Re III 2018, 3.059%, (3 Month U.S. Treasury Bill + 275 bps), 6/1/22 (144A) $    250,250
  Total Event Linked Bonds     $999,948
Face
Amount
USD ($)
           
  Collateralized Reinsurance — 0.0%  
  Multiperil – Worldwide — 0.0%  
27,000(c)(f)+ Limestone Re, 3/1/23 (144A) $      3,496
  Windstorm – Florida — 0.0%  
250,000(c)(f)+ Formby Re 2018, 2/28/23 $     30,700
  Total Collateralized Reinsurance      $34,196
  Reinsurance Sidecars — 0.4%  
  Multiperil – U.S. — 0.0%  
250,000(c)(g)+ Harambee Re 2018, 12/31/22 $        200
250,000(g)+ Harambee Re 2019, 12/31/22         150
                    $350
  Multiperil – Worldwide — 0.4%  
3,037(g)+ Alturas Re 2019-2, 3/10/23 $      4,276
29,558(c)(g)+ Alturas Re 2020-2, 3/10/23       24,705
250,000(c)(f)+ Bantry Re 2016, 3/31/23       20,150
1,270,809(c)(f)+ Berwick Re 2018-1, 12/31/22       98,233
907,913(c)(f)+ Berwick Re 2019-1, 12/31/22      108,496
20,000(f)+ Eden Re II, 3/22/22 (144A)        5,984
3,800(f)+ Eden Re II, 3/22/23 (144A)        7,477
300,000(c)(g)+ Lorenz Re 2018, 7/1/22           —
199,590(c)(g)+ Lorenz Re 2019, 6/30/22        6,547
300,000(c)(f)+ Merion Re 2018-2, 12/31/22       49,650
400,000(c)(f)+ Pangaea Re 2018-1, 12/31/22        8,422
400,000(c)(f)+ Pangaea Re 2018-3, 7/1/22        8,297
327,699(c)(f)+ Pangaea Re 2019-1, 2/1/23        6,828
294,125(c)(f)+ Pangaea Re 2019-3, 7/1/23       10,580
324,259(f)+ Pangaea Re 2020-1, 2/1/24        6,881
150,000(f)+ Sector Re V, 12/1/23 (144A)       18,247
10,000(c)(f)+ Sector Re V, 12/1/24 (144A)       29,102
Pioneer Floating Rate Fund, Inc. |  | 2/28/2222

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Face
Amount
USD ($)
          Value
  Multiperil – Worldwide — (continued)  
253,645(c)(f)+ Woburn Re 2018, 12/31/22 $     16,844
244,914(c)(f)+ Woburn Re 2019, 12/31/22      62,299
                $493,018
  Total Reinsurance Sidecars     $493,368
  Total Insurance-Linked Securities
(Cost $1,861,390)
  $1,527,512
Shares            
  SHORT TERM INVESTMENTS — 6.2% of Net
Assets
 
  Open-End Fund — 6.2%  
8,751,996(h) Dreyfus Government Cash Management,
  Institutional Shares, 0.03%
$  8,751,996
              $8,751,996
  TOTAL SHORT TERM INVESTMENTS
(Cost $8,751,996)
  $8,751,996
  TOTAL INVESTMENTS IN UNAFFILIATED ISSUERS — 154.1%
(Cost $216,294,952)
$216,155,262
  OTHER ASSETS AND LIABILITIES — (54.1)% $(75,870,198)
  net assets — 100.0% $140,285,064
bps Basis Points.
FREMF Freddie Mac Multifamily Fixed-Rate Mortgage Loans.
LIBOR London Interbank Offered Rate.
SOFR Secured Overnight Financing Rate.
SOFR30A Secured Overnight Financing Rate 30 Day Average.
(144A) Security is exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold normally to qualified institutional buyers in a transaction exempt from registration. At February 28, 2022, the value of these securities amounted to $30,529,335, or 21.8% of net assets.
(a) Floating rate note. Coupon rate, reference index and spread shown at February 28, 2022.
(b) This term loan will settle after February 28, 2022, at which time the interest rate will be determined.
(c) Non-income producing security.
(d) Security is perpetual in nature and has no stated maturity date.
(e) The interest rate is subject to change periodically. The interest rate and/or reference index and spread shown at February 28, 2022.
23Pioneer Floating Rate Fund, Inc. |  | 2/28/22

(f) Issued as participation notes.
(g) Issued as preference shares.
(h) Rate periodically changes. Rate disclosed is the 7-day yield at February 28, 2022.
* Senior secured floating rate loan interests in which the Fund invests generally pay interest at rates that are periodically re-determined by reference to a base lending rate plus a premium. These base lending rates are generally (i) the lending rate offered by one or more major European banks, such as LIBOR, (ii) the prime rate offered by one or more major United States banks, (iii) the rate of a certificate of deposit or (iv) other base lending rates used by commercial lenders. The interest rate shown is the rate accruing at February 28, 2022.
^ Security is valued using fair value methods (other than prices supplied by independent pricing services or broker dealers).
Amount rounds to less than 0.1%.
+ Security that used significant unobservable inputs to determine its value.
# Securities are restricted as to resale.
Restricted Securities Acquisition date Cost Value
Akibare Re 1/24/2022 $249,740 $249,475
Alamo Re 1/24/2022 252,725 251,073
Alturas Re 2019-2 12/19/2018 3,037 4,276
Alturas Re 2020-2 1/1/2020 29,558 24,705
Bantry Re 2016 2/6/2019 20,150 20,150
Berwick Re 2018-1 1/10/2018 185,623 98,233
Berwick Re 2019-1 12/31/2018 108,488 108,496
Eden Re II 12/15/2017 1,195 5,984
Eden Re II 1/22/2019 446 7,477
Formby Re 2018 7/9/2018 23,470 30,700
Harambee Re 2018 12/19/2017 5,311 200
Harambee Re 2019 12/20/2019 150
Limestone Re 6/20/2018 230 3,496
Long Point Re III 2018 1/24/2022 250,500 250,250
Lorenz Re 2018 6/26/2018 57,291
Lorenz Re 2019 6/26/2019 62,773 6,547
Merion Re 2018-2 12/28/2017 12,346 49,650
Pangaea Re 2018-1 1/11/2018 57,203 8,422
Pangaea Re 2018-3 5/31/2018 96,345 8,297
Pangaea Re 2019-1 1/9/2019 3,440 6,828
Pangaea Re 2019-3 7/25/2019 8,824 10,580
Pangaea Re 2020-1 1/21/2020 6,881
Residential Reinsurance 2021 10/28/2021 250,000 249,150
Sector Re V 12/4/2018 30,884 18,247
Sector Re V 1/1/2020 10,000 29,102
Pioneer Floating Rate Fund, Inc. |  | 2/28/2224

Schedule of Investments  |  2/28/22
(unaudited) (continued)
Restricted Securities Acquisition date Cost Value
Woburn Re 2018 10/19/2018 $87,980 $16,844
Woburn Re 2019 2/14/2019 53,831 62,299
Total Restricted Securities     $1,527,512
% of Net assets     1.1%
Various inputs are used in determining the value of the Fund's investments. These inputs are summarized in the three broad levels below.
Level 1 unadjusted quoted prices in active markets for identical securities.
Level 2 other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risks, etc.).
Level 3 significant unobservable inputs (including the Fund's own assumptions in determining fair value of investments).
The following is a summary of the inputs used as of February 28, 2022, in valuing the Fund's investments:
  Level 1 Level 2 Level 3 Total
Senior Secured Floating Rate Loan Interests $$173,910,798 $$173,910,798
Common Stocks        
Oil, Gas & Consumable Fuels 375,066 375,066
Specialty Retail 139,759 139,759
Asset Backed Securities 4,833,721 4,833,721
Collateralized Mortgage Obligations 2,780,415 2,780,415
Commercial Mortgage-Backed Securities 1,767,023 1,767,023
Corporate Bonds 22,068,972 22,068,972
Insurance-Linked Securities        
Collateralized Reinsurance        
Multiperil – Worldwide 3,496 3,496
Windstorm – Florida 30,700 30,700
Reinsurance Sidecars        
Multiperil – U.S. 350 350
Multiperil – Worldwide 493,018 493,018
All Other Insurance-Linked Securities 999,948 999,948
Open-End Fund 8,751,996 8,751,996
Total Investments in Securities $9,127,062 $206,360,877 $667,323 $216,155,262
25Pioneer Floating Rate Fund, Inc. |  | 2/28/22

The following is a reconciliation of assets valued using significant unobservable inputs (Level 3):
  Common
Stocks
Insurance-
Linked
Securities
Total
Balance as of 11/30/21 $139,759 $595,777 $735,536
Realized gain (loss) (59,439) (59,439)
Changed in unrealized appreciation (depreciation) 18,360 18,360
Accrued discounts/premiums (27,134) (27,134)
Purchases
Sales
Transfers in to Level 3*
Transfers out of Level 3*
Balance as of 2/28/22 $139,759 $527,564 $667,323
* Transfers are calculated on the beginning of period value. For the three months ended February 28, 2022, there were no transfers in and out of Level 3.
Net change in unrealized appreciation (depreciation) of Level 3 investments still held and considered Level 3 at February 28, 2022: $(8,129)
Pioneer Floating Rate Fund, Inc. |  | 2/28/2226