Pioneer Floating
Rate Fund, Inc.
Schedule of Investments  |  August 31, 2024 
 
Ticker Symbol: PHD

Schedule of Investments  |  8/31/24
(unaudited) 
Principal
Amount
USD ($)
          Value
  UNAFFILIATED ISSUERS — 147.8%  
  Senior Secured Floating Rate Loan
Interests — 128.2% of Net Assets*(a)
 
  Advanced Materials — 1.7%  
851,557 Gemini HDPE LLC, 2027 Advance, 8.514% (Term SOFR + 300 bps), 12/31/27 $    855,389
1,339,098 Groupe Solmax, Inc., Initial Term Loan, 10.346% (Term SOFR + 475 bps), 5/29/28   1,271,864
  Total Advanced Materials   $2,127,253
  Advertising Sales — 0.4%  
522,568 Clear Channel Outdoor Holdings, Inc., 2024 Refinancing Term Loan, 9.361% (Term SOFR + 400 bps), 8/21/28 $    521,479
  Total Advertising Sales     $521,479
  Advertising Services — 1.5%  
982,423 Dotdash Meredith, Inc., Term B Loan, 9.442% (Term SOFR + 400 bps), 12/1/28 $    984,061
972,613 Summer (BC) Bidco B LLC, Extended Facility B, 10.595% (Term SOFR + 500 bps), 2/15/29     975,652
  Total Advertising Services   $1,959,713
  Airlines — 1.1%  
770,833 AAdvantage Loyality IP, Ltd. (American Airlines, Inc.), Initial Term Loan, 10.294% (Term SOFR + 475 bps), 4/20/28 $    798,645
494,950 American Airlines, Inc., Seventh Amendment Extended Term Loan, 8.201% (Term SOFR + 275 bps), 2/15/28      494,924
135,528 SkyMiles IP, Ltd. (Delta Air Lines, Inc.), Initial Term Loan, 9.032% (Term SOFR + 375 bps), 10/20/27     138,697
  Total Airlines   $1,432,266
  Apparel Manufacturers — 0.8%  
954,128 Hanesbrands Inc., Initial Tranche B Term Loan, 8.997% (Term SOFR + 375 bps), 3/8/30 $    956,961
  Total Apparel Manufacturers     $956,961
  Appliances — 0.9%  
1,147,146 Osmosis Buyer Ltd., 2024 Refinancing Term B Loan, 8.843% (Term SOFR + 350 bps), 7/31/28 $  1,149,557
  Total Appliances   $1,149,557
  Applications Software — 2.3%  
353,737 Central Parent LLC, First Lien 2024 Refinancing Term Loan, 8.585% (Term SOFR + 325 bps), 7/6/29 $    350,576
1Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Applications Software — (continued)  
540,587 EP Purchaser LLC, First Lien Closing Date Term Loan, 9.096% (Term SOFR + 350 bps), 11/6/28 $    543,740
872,276(b) Loyalty Ventures, Inc., Term B Loan, 11.778% (LIBOR + 650 bps), 11/3/27        8,723
1,452,373 RealPage, Inc., First Lien Initial Term Loan, 8.361% (Term SOFR + 300 bps), 4/24/28   1,396,093
634,689 SS&C Technologies Holdings, Inc., Term B-8 Loan, 7.247% (Term SOFR + 200 bps), 5/9/31     637,069
  Total Applications Software   $2,936,201
  Athletic Equipment — 0.5%  
249,375 Amer Sports Co., Initial USD Term Loan, 8.346% (Term SOFR + 325 bps), 2/17/31 $    250,622
403,988 Recess Holdings, Inc., First Lien Amendment No. 3 Term Loan, 9.752% (Term SOFR + 450 bps), 2/20/30     405,628
  Total Athletic Equipment     $656,250
  Auction House & Art Dealer — 0.4%  
485,000 Sotheby's, 2021 Second Refinancing Term Loan, 10.063% (Term SOFR + 450 bps), 1/15/27 $    473,885
  Total Auction House & Art Dealer     $473,885
  Auto Parts & Equipment — 3.8%  
411,718 Adient US LLC, Term B-2 Loan, 7.997% (Term SOFR + 275 bps), 1/31/31 $    413,336
636,734 American Axle & Manufacturing, Inc., New Tranche B Term Loan, 8.327% (Term SOFR + 300 bps), 12/13/29      639,719
1,824,728 First Brands Group LLC, First Lien 2021 Term Loan, 10.514% (Term SOFR + 500 bps), 3/30/27   1,805,720
1,989,291 IXS Holdings, Inc., Initial Term Loan, 9.597% (Term SOFR + 425 bps), 3/5/27   1,940,802
  Total Auto Parts & Equipment   $4,799,577
  Auto Repair Centers — 1.0%  
1,265,000 Champions Holdco, Inc., Intial Term Loan, 9.852% (Term SOFR + 475 bps), 2/23/29 $  1,239,172
  Total Auto Repair Centers   $1,239,172
  Auto-Truck Trailers — 0.8%  
977,500 Novae LLC, Tranche B Term Loan, 10.497% (Term SOFR + 500 bps), 12/22/28 $    957,950
  Total Auto-Truck Trailers     $957,950
Pioneer Floating Rate Fund, Inc. | 8/31/242

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Beverages — 1.1%  
163,333 Naked Juice LLC, First Lien Initial Term Loan, 8.685% (Term SOFR + 325 bps), 1/24/29 $    143,484
492,525 Pegasus BidCo B.V., 2024-1 Term Dollar Loan, 8.868% (Term SOFR + 375 bps), 7/12/29      494,372
772,372 Triton Water Holdings, Inc., 2024 First Lien Incremental Term Loan, 9.335% (Term SOFR + 400 bps), 3/31/28     776,474
  Total Beverages   $1,414,330
  Broadcast Service & Programing — 0.4%  
468,473 Univision Communications, Inc., First Lien Initial Term Loan, 8.611% (Term SOFR + 325 bps), 1/31/29 $    455,590
  Total Broadcast Service & Programing     $455,590
  Building & Construction — 1.1%  
500,000 DG Investment Intermediate Holdings 2, Inc., Second Lien Initial Term Loan, 12.111% (Term SOFR + 675 bps), 3/30/29 $    481,041
968,930 Service Logic Acquisition, Inc., First Lien Closing Date Initial Term Loan, 9.514% (Term SOFR + 400 bps), 10/29/27     971,352
  Total Building & Construction   $1,452,393
  Building & Construction Products — 1.6%  
1,432,833 Cornerstone Building Brands, Inc., Tranche B Term Loan, 8.687% (Term SOFR + 325 bps), 4/12/28 $  1,397,012
488,650 LHS Borrower LLC, Initial Term Loan, 10.097% (Term SOFR + 475 bps), 2/16/29      460,553
150,000 MI Windows and Doors LLC, 2024 Incremental Term Loan, 8.747% (Term SOFR + 350 bps), 3/28/31     150,914
  Total Building & Construction Products   $2,008,479
  Building Production — 1.5%  
487,500 Chariot Buyer LLC, First Lien Initial Term Loan, 8.597% (Term SOFR + 325 bps), 11/3/28 $    487,500
318,608 Jeld-Wen, Inc., Replacement 2023 Term B Loan, 7.361% (Term SOFR + 200 bps), 7/28/28      319,239
742,524 Koppers Inc., Incremental Term B-1 Loan, 8.34% (Term SOFR + 300 bps), 4/10/30      747,164
249,375 Potters Industries, LLC, 2024 Incremental Term Loan, 9.085% (Term SOFR + 375 bps), 12/14/27      251,128
131,670 Summit Materials LLC, Term B-2 Loan, 7.054% (Term SOFR + 175 bps), 1/12/29     132,658
  Total Building Production   $1,937,689
3Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Building-Air & Heating — 0.5%  
221,903 EMRLD Borrower LP, Initial Term B Loan, 7.557% (Term SOFR + 250 bps), 5/31/30 $    222,104
350,000 EMRLD Borrower LP, Term Loan B, 7.557% (Term SOFR + 250 bps), 8/4/31     350,481
  Total Building-Air & Heating     $572,585
  Building-Heavy Construction — 0.6%  
734,887 Osmose Utilities Services, Inc., First Lien Initial Term Loan, 8.611% (Term SOFR + 325 bps), 6/23/28 $    732,787
  Total Building-Heavy Construction     $732,787
  Building-Maintenance & Service — 0.7%  
927,844 ArchKey Holdings, Inc., First Lien Initial Term Loan, 10.611% (Term SOFR + 525 bps), 6/29/28 $    931,711
  Total Building-Maintenance & Service     $931,711
  Cable & Satellite Television — 3.7%  
1,907,654 Altice France S.A., USD TLB-[14] Loan, 10.801% (Term SOFR + 550 bps), 8/15/28 $  1,440,279
964,335 CSC Holdings LLC, 2022 Refinancing Term Loan, 9.837% (Term SOFR + 450 bps), 1/18/28      924,154
989,911 DIRECTV Financing LLC, 2024 Refinancing Term B Loan, 10.611% (Term SOFR + 525 bps), 8/2/29      988,055
1,023,872 Radiate Holdco LLC, Amendment No. 6 Term B Loan, 8.611% (Term SOFR + 325 bps), 9/25/26      825,070
500,000 Virgin Media Bristol LLC, Facility Q, 8.701% (Term SOFR + 325 bps), 1/31/29     482,625
  Total Cable & Satellite Television   $4,660,183
  Casino Hotels — 1.7%  
1,483,603 Century Casinos, Inc., Term B Facility Loan, 11.442% (Term SOFR + 600 bps), 4/2/29 $  1,433,531
776,994 Fertitta Entertainment LLC, Initial B Term Loan, 9.087% (Term SOFR + 375 bps), 1/27/29     776,792
  Total Casino Hotels   $2,210,323
  Casino Services — 0.9%  
265,335 Caesars Entertainment, Inc., Incremental Term B1 Loan, 7.997% (Term SOFR + 275 bps), 2/6/31 $    265,749
730,318 Everi Holdings, Inc., Term B Loan, 7.861% (Term SOFR + 250 bps), 8/3/28      733,969
Pioneer Floating Rate Fund, Inc. | 8/31/244

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Casino Services — (continued)  
33,703 Lucky Bucks LLC, Priority First Out Exit Term Loan, 12.94% (Term SOFR + 750 bps), 10/2/28 $     30,923
67,607 Lucky Bucks LLC, Priority Second Out Term Loan, 12.94% (Term SOFR + 750 bps), 10/2/29      55,100
  Total Casino Services   $1,085,741
  Cellular Telecom — 0.4%  
536,146 CCI Buyer, Inc., First Lien Initial Term Loan, 9.335% (Term SOFR + 400 bps), 12/17/27 $    537,989
  Total Cellular Telecom     $537,989
  Chemicals-Diversified — 3.0%  
1,000,000 ARC Falcon I, Inc., Second Lien Initial Term Loan, 12.347% (Term SOFR + 700 bps), 9/30/29 $    937,500
194,537 Geon Performance Solutions, LLC (Fka. Echo US Holdings, LLC), 2024 Refinancing Term Loan, 9.846% (Term SOFR + 425 bps), 8/18/28      195,996
448,875 Ineos Quattro Holdings UK Ltd., 2029 Tranche B Dollar Term Loan, 9.597% (Term SOFR + 425 bps), 4/2/29      450,558
297,000 Ineos Quattro Holdings UK Ltd., 2030 Tranche B Dollar Term Loan, 9.097% (Term SOFR + 375 bps), 3/14/30      297,867
687,750 Ineos US Finance LLC, 2030 Dollar Term Loan, 8.497% (Term SOFR + 325 bps), 2/18/30      686,783
1,298,405 LSF11 A5 Holdco LLC, 2024 Refinancing Term Loan, 8.861% (Term SOFR + 350 bps), 10/15/28   1,298,405
  Total Chemicals-Diversified   $3,867,109
  Chemicals-Plastics — 0.3%  
398,985 Bakelite US Holdco, Inc., New Term Loan, 8.835% (Term SOFR + 350 bps), 5/29/29 $    401,645
  Total Chemicals-Plastics     $401,645
  Chemicals-Specialty — 3.7%  
348,383 Avient Corporation, Term B-8 Loan, 7.307% (Term SOFR + 200 bps), 8/29/29 $    350,032
733,135 Axalta Coating Systems Dutch Holding B B.V. (Axalta Coating Systems U.S. Holdings, Inc.), Term B-6 Dollar Facility, 7.335% (Term SOFR + 200 bps), 12/20/29      736,388
748,120 Element Solutions Inc. (Macdermid, Inc.), Tranche B-2 Term Loan, 7.247% (Term SOFR + 200 bps), 12/18/30      751,527
247,505 H.B. Fuller Company, 2024 Amendment Refinancing Term B Loan, 7.247% (Term SOFR + 200 bps), 2/15/30      248,433
770,015 Mativ Holdings, Inc., Term B Loan, 9.111% (Term SOFR + 375 bps), 4/20/28      770,496
5Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Chemicals-Specialty — (continued)  
446,625 Nouryon Finance B.V., 2024 B-1 Dollar Term Loan, 8.628% (Term SOFR + 350 bps), 4/3/28 $    448,486
397,000 Nouryon Finance B.V., 2024 B-2 Dollar Term Loan, 8.821% (Term SOFR + 350 bps), 4/3/28      398,427
964,859 Olympus Water US Holding Corp., Term B-5 Dollar Loan, 8.847% (Term SOFR + 350 bps), 6/20/31     969,080
  Total Chemicals-Specialty   $4,672,869
  Commercial Services — 2.1%  
494,975 AEA International Holdings (Luxembourg) S.a.r.l, First Lien New Term Loan, 8.033% (Term SOFR + 275 bps), 9/7/28 $    495,593
1,000,000 DS Parent, Inc., Term Loan B, 10.835% (Term SOFR + 550 bps), 1/31/31      991,250
600,000 PG Polaris Bidco S.a.r.l., Initial Term Loan, 8.835% (Term SOFR + 350 bps), 3/26/31      602,550
225,499 Pre-Paid Legal Services, Inc., First Lien Initial Term Loan, 9.111% (Term SOFR + 375 bps), 12/15/28      225,875
332,500 Vestis Corp., Term B-1 Loan, 7.371% (Term SOFR + 225 bps), 2/22/31     331,513
  Total Commercial Services   $2,646,781
  Computer Data Security — 0.6%  
804,646 Precisely Software, Inc., First Lien Third Amendment Term Loan, 9.514% (Term SOFR + 400 bps), 4/24/28 $    789,810
  Total Computer Data Security     $789,810
  Computer Services — 3.3%  
1,381,028 Ahead DB Holdings LLC, First Lien Term B-3 Loan, 8.798% (Term SOFR + 350 bps), 2/1/31 $  1,385,776
353,000(c) Amazon Holdco, Inc., Seven-Year Term Loan, 7/30/31      352,779
889,000 Fortress Intermediate 3, Inc., Initial Term Loan, 9.002% (Term SOFR + 375 bps), 6/27/31      891,223
705,948 MAG DS Corp., Initial Term Loan, 10.935% (Term SOFR + 550 bps), 4/1/27      649,472
946,845 Peraton Corp., First Lien Term B Loan, 9.097% (Term SOFR + 375 bps), 2/1/28     928,697
  Total Computer Services   $4,207,947
  Computer Software — 2.2%  
1,221,875 Cornerstone OnDemand, Inc., First Lien Initial Term Loan, 9.111% (Term SOFR + 375 bps), 10/16/28 $  1,157,727
Pioneer Floating Rate Fund, Inc. | 8/31/246

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Computer Software — (continued)  
775,000 Flash Charm, Inc., First Lien Incremental Term Loan, 8.748% (Term SOFR + 350 bps), 3/2/28 $    771,402
980,834 Help/Systems Holdings, Inc., Term Loan, 9.347% (Term SOFR + 400 bps), 11/19/26     907,884
  Total Computer Software   $2,837,013
  Computers-Integrated Systems — 1.2%  
667,780 Atlas CC Acquisition Corp., First Lien Term B Loan, 9.569% (Term SOFR + 425 bps), 5/25/28 $    516,277
135,819 Atlas CC Acquisition Corp., First Lien Term C Loan, 9.569% (Term SOFR + 425 bps), 5/25/28      105,005
913,560 NCR Atleos LLC, Term Loan B, 10.097% (Term SOFR + 475 bps), 3/27/29     923,553
  Total Computers-Integrated Systems   $1,544,835
  Consulting Services — 1.4%  
1,021,556 Ankura Consulting Group LLC, 2024 Repricing Term Loan, 9.564% (Term SOFR + 425 bps), 3/17/28 $  1,026,451
740,757 First Advantage Holdings LLC, First Lien Term B-1 Loan, 8.111% (Term SOFR + 275 bps), 1/31/27     744,739
  Total Consulting Services   $1,771,190
  Containers-Paper & Plastic — 1.7%  
767,223 Pregis TopCo LLC, First Lien Initial Term Loan, 9.247% (Term SOFR + 400 bps), 7/31/26 $    770,100
345,000 Ring Container Technologies Group LLC, 2024 Refinancing Term Loan, 7.997% (Term SOFR + 275 bps), 8/12/28      346,581
399,000 SupplyOne, Inc., Term B Loan, 9.497% (Term SOFR + 425 bps), 4/19/31      403,190
682,980 Trident TPI Holdings, Inc., Tranche B-6 Initial Term Loan, 9.332% (Term SOFR + 400 bps), 9/15/28     686,511
  Total Containers-Paper & Plastic   $2,206,382
  Cruise Lines — 0.8%  
622,506 Carnival Corp., 2024 Term Loan Repricing Advance , 7.997% (Term SOFR + 275 bps), 8/8/27 $    625,618
390,000 LC Ahab US Bidco LLC, Initial Term Loan, 8.747% (Term SOFR + 350 bps), 5/1/31     391,950
  Total Cruise Lines   $1,017,568
7Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Diagnostic Equipment — 0.4%  
491,139 Curia Global, Inc., First Lien 2021 Term Loan, 9.102% (Term SOFR + 375 bps), 8/30/26 $    454,918
  Total Diagnostic Equipment     $454,918
  Dialysis Centers — 1.2%  
1,702,258 U.S. Renal Care, Inc., Closing Date Term Loan, 10.361% (Term SOFR + 500 bps), 6/20/28 $  1,480,964
  Total Dialysis Centers   $1,480,964
  Direct Marketing — 0.5%  
668,794 Red Ventures LLC (New Imagitas, Inc.), First Lien Term B-4 Loan, 8.247% (Term SOFR + 300 bps), 3/3/30 $    663,465
  Total Direct Marketing     $663,465
  Disposable Medical Products — 0.6%  
450,851 Medline Borrower LP, Refinancing Term Loan, 7.997% (Term SOFR + 250 bps), 10/23/28 $    452,368
369,471 Sotera Health Holdings LLC, 2024 Refinancing Term Loan, 8.497% (Term SOFR + 325 bps), 5/30/31     369,702
  Total Disposable Medical Products     $822,070
  Distribution & Wholesale — 2.8%  
496,257 AIP RD Buyer Corp., 2023 First Lien Incremental Term Loan, 9.747% (Term SOFR + 450 bps), 12/22/28 $    499,358
586,500 AIP RD Buyer Corp., First Lien Term Loan B, 9.497% (Term SOFR + 425 bps), 12/22/28      590,349
810,000(c) Barentz Midco B.V., USD Facility B2, 3/1/31      816,750
431,922 Gates Corp., Initial B-5 Dollar Term Loan, 7.497% (Term SOFR + 225 bps), 6/4/31      433,643
852,955 Patriot Container Corp. (aka Wastequip), First Lien Closing Date Term Loan, 9.097% (Term SOFR + 375 bps), 3/20/25      838,561
403,208 Windsor Holdings III LLC, 2024 Dollar Refinancing Term B Loan, 9.311% (Term SOFR + 400 bps), 8/1/30     406,124
  Total Distribution & Wholesale   $3,584,785
  E-Commerce — 0.8%  
310,000 Match Group, Inc. (fka The Match Group, Inc.), 2020 Refinancing Term Loan, 7.244% (Term SOFR + 175 bps), 2/13/27 $    310,388
Pioneer Floating Rate Fund, Inc. | 8/31/248

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  E-Commerce — (continued)  
197,039 Stubhub Holdco Sub LLC, Extended USD Term B Loan, 9.997% (Term SOFR + 475 bps), 3/15/30 $    196,916
492,479 TouchTunes Music Group LLC, First Lien Tranche B-1 Term Loan, 10.085% (Term SOFR + 475 bps), 4/2/29     491,555
  Total E-Commerce     $998,859
  Electric-Generation — 3.6%  
408,908 Compass Power Generation LLC, Tranche B-2 Term Loan, 9.611% (Term SOFR + 425 bps), 4/14/29 $    412,805
1,116,521 Eastern Power LLC (Eastern Covert Midco LLC), Term Loan, 10.497% (Term SOFR + 525 bps), 4/3/28   1,119,313
410,000 Edgewater Generation LLC, Refinancing Term Loan, 9.497% (Term SOFR + 425 bps), 8/1/30      414,185
815,059 Generation Bridge Northeast LLC, Term Loan B, 8.747% (Term SOFR + 350 bps), 8/22/29      822,445
387,500 Hamilton Projects Acquiror LLC, Term Loan, 8.997% (Term SOFR + 375 bps), 5/31/31      391,548
498,747 Vistra Operations Company LLC, 2018 Incremental Term Loan, 7.247% (Term SOFR + 200 bps), 12/20/30      500,555
907,725 Vistra Zero Operating Company LLC, Initial Term Loan, 7.997% (Term SOFR + 275 bps), 4/30/31     913,080
  Total Electric-Generation   $4,573,931
  Electric-Integrated — 1.1%  
1,050,244 Constellation Renewables LLC, TLB, 7.307% (Term SOFR + 225 bps), 12/15/27 $  1,053,308
260,464 Talen Energy Supply LLC, Initial Term B Loan, 8.596% (Term SOFR + 350 bps), 5/17/30      262,316
111,905 Talen Energy Supply LLC, Initial Term C Loan, 8.596% (Term SOFR + 350 bps), 5/17/30     112,700
  Total Electric-Integrated   $1,428,324
  Electronic Composition — 1.1%  
1,010,214 Natel Engineering Co., Inc., Initial Term Loan, 11.611% (Term SOFR + 625 bps), 4/30/26 $    873,835
581,953(c) Synaptics, Inc., First Amendment Incremental Term Loan, 7.85% (Term SOFR + 225 bps), 12/2/28     581,044
  Total Electronic Composition   $1,454,879
9Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Engines — 1.1%  
423,721 Arcline FM Holdings LLC, 2024-2 First Lien New Term Loan, 9.742% (Term SOFR + 450 bps), 6/23/28 $    425,840
1,015,895 LSF12 Badger Bidco LLC, Initial Term Loan, 11.247% (Term SOFR + 600 bps), 8/30/30   1,000,656
  Total Engines   $1,426,496
  Enterprise Software & Services — 2.3%  
755,000 Boxer Parent Company, Inc., 2031 New Dollar Term Loan, 9.005% (Term SOFR + 375 bps), 7/30/31 $    754,371
900,000 Cloud Software Group, Inc., First Lien Third Amendment Term Loan, 9.835% (Term SOFR + 450 bps), 3/21/31      905,531
178,093 Open Text Corp., 2023 Replacement Term Loan, 7.497% (Term SOFR + 225 bps), 1/31/30      179,139
633,412 Project Alpha Intermediate Holding, Inc., 2024 Refinancing Term Loan, 9.002% (Term SOFR + 375 bps), 10/28/30      637,328
397,000 Quartz AcquireCo LLC, Additional Term B-1 Loan, 8.085% (Term SOFR + 275 bps), 6/28/30     397,993
  Total Enterprise Software & Services   $2,874,362
  Fiduciary Banks — 0.6%  
730,943(c) Chrysaor Bidco S.a r.l., USD Facility B Loan, 7/17/31 $    733,970
  Total Fiduciary Banks     $733,970
  Finance-Investment Banker — 0.5%  
688,063 Hudson River Trading LLC, Term Loan, 8.319% (Term SOFR + 300 bps), 3/20/28 $    688,432
  Total Finance-Investment Banker     $688,432
  Finance-Leasing Company — 1.0%  
412,055 Castlelake Aviation One Designated Activity Co., 2023 Incremental Term Loan, 8.089% (Term SOFR + 275 bps), 10/22/27 $    413,961
374,976 Castlelake Aviation One Designated Activity Co., Initial Term Loan, 7.839% (Term SOFR + 250 bps), 10/22/26      376,421
483,432 Fly Funding II S.a r.l., Replacement Loan, 7.12% (LIBOR + 175 bps), 8/11/25     471,698
  Total Finance-Leasing Company   $1,262,080
  Food-Confectionery — 0.7%  
900,000(c) Fiesta Purchaser, Inc., Initial Term Loan, 9.247% (Term SOFR + 400 bps), 2/12/31 $    906,610
  Total Food-Confectionery     $906,610
Pioneer Floating Rate Fund, Inc. | 8/31/2410

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Food-Dairy Products — 1.3%  
1,684,375 Chobani LLC, 2020 New Term Loan, 8.611% (Term SOFR + 325 bps), 10/25/27 $  1,693,218
  Total Food-Dairy Products   $1,693,218
  Food-Misc/Diversified — 1.1%  
700,000 B&G Foods, Inc., TLB, 8.557% (Term SOFR + 350 bps), 10/10/29 $    695,813
726,530 Simply Good Foods USA, Inc., Initial Term Loan, 7.852% (Term SOFR + 250 bps), 3/17/27     728,346
  Total Food-Misc/Diversified   $1,424,159
  Footwear & Related Apparel — 0.2%  
230,625 Crocs, Inc., 2024 Refinancing Term Loan, 7.497% (Term SOFR + 225 bps), 2/20/29 $    231,821
  Total Footwear & Related Apparel     $231,821
  Gambling (Non-Hotel) — 0.8%  
1 Bally's Corp., Term B Facility Loan, 8.794% (Term SOFR + 325 bps), 10/2/28 $          1
223,875 Flutter Entertainment Plc, Term B Loan, 7.585% (Term SOFR + 225 bps), 11/29/30      224,434
492,500 Light and Wonder International, Inc., Term B-2 Loan, 7.592% (Term SOFR + 225 bps), 4/15/29      493,462
288,000 PCI Gaming Authority, Term B Facility Loan, 7.342% (Term SOFR + 200 bps), 7/18/31     286,650
  Total Gambling (Non-Hotel)   $1,004,547
  Golf — 0.5%  
663,250 Topgolf Callaway Brands Corp., Intial Term Loan, 8.247% (Term SOFR + 300 bps), 3/15/30 $    658,069
  Total Golf     $658,069
  Hazardous Waste Disposal — 0.6%  
751,312 JFL-Tiger Acquisition Co., Inc., Initial Term Loan, 9.842% (Term SOFR + 450 bps), 10/17/30 $    755,069
  Total Hazardous Waste Disposal     $755,069
  Hotels & Motels — 1.1%  
921,973 Playa Resorts Holding B.V., 2022 Term Loan, 8.028% (Term SOFR + 275 bps), 1/5/29 $    922,089
493,769 Travel + Leisure Co., 2023 Incremental Term Loan, 8.661% (Term SOFR + 325 bps), 12/14/29     495,826
  Total Hotels & Motels   $1,417,915
11Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Human Resources — 0.7%  
967,500 Ingenovis Health, Inc., First Lien Initial Term Loan, 9.611% (Term SOFR + 425 bps), 3/6/28 $    862,688
  Total Human Resources     $862,688
  Independent Power Producer — 0.4%  
457,663 EFS Cogen Holdings I LLC, Term B Advance, 9.096% (Term SOFR + 350 bps), 10/1/27 $    460,492
  Total Independent Power Producer     $460,492
  Insurance Brokers — 0.8%  
635,906 HIG Finance 2 Ltd., 2024 Dollar Term Loan, 8.747% (Term SOFR + 350 bps), 2/15/31 $    638,052
377,155 USI, Inc., 2024 Term Loan, 8.085% (Term SOFR + 275 bps), 9/27/30     377,587
  Total Insurance Brokers   $1,015,639
  Internet Content — 0.7%  
867,056 MH Sub I LLC (Micro Holding Corp.), 2023 May Incremental First Lien Term Loan, 9.497% (Term SOFR + 425 bps), 5/3/28 $    865,702
  Total Internet Content     $865,702
  Internet Financial Svcs — 0.4%  
439,127 ION Trading Finance Ltd., 2024 Dollar Term Loan, 9.346% (Term SOFR + 400 bps), 4/1/28 $    440,820
  Total Internet Financial Svcs     $440,820
  Investment Management & Advisory Services — 1.8%  
644,582 Allspring Buyer LLC, Initial Term Loan, 8.887% (Term SOFR + 325 bps), 11/1/28 $    644,099
584,981 Edelman Financial Engines Center LLC, 2024 Refinancing Term Loan, 8.497% (Term SOFR + 325 bps), 4/7/28      586,261
190,000(c) GTCR Everest Borrower LLC, Term Loan B, 6/3/31      189,189
1,036,470 Russell Investments US Institutional Holdco, Inc., 2027 Term Loan, 10.252% (Term SOFR + 500 bps), 5/30/27     915,548
  Total Investment Management & Advisory Services   $2,335,097
  Lasers-System & Components — 0.6%  
817,485 Coherent Corp., Term B1 Loan, 7.747% (Term SOFR + 250 bps), 7/2/29 $    821,164
  Total Lasers-Syst/Components     $821,164
Pioneer Floating Rate Fund, Inc. | 8/31/2412

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Lottery Services — 0.6%  
788,000 Scientific Games Holdings LP, 2024 Refinancing Dollar Term Loan, 8.318% (Term SOFR + 300 bps), 4/4/29 $    785,866
  Total Lottery Services     $785,866
  Medical Diagnostic Imaging — 0.8%  
1,071,990 US Radiology Specialists, Inc., TLB, 10.585% (Term SOFR + 475 bps), 12/15/27 $  1,075,676
  Total Medical Diagnostic Imaging   $1,075,676
  Medical Information Systems — 2.2%  
786,291 athenahealth Group, Inc., Initial Term Loan, 8.497% (Term SOFR + 325 bps), 2/15/29 $    782,640
932,651 Gainwell Acquisition Corp., First Lien Term B Loan, 9.435% (Term SOFR + 400 bps), 10/1/27      848,713
970,000 One Call Corp., First Lien Term B Loan, 11.046% (Term SOFR + 550 bps), 4/22/27      943,325
254,773 Waystar Technologies, Inc., First Lien Initial Term Loan, 7.997% (Term SOFR + 275 bps), 10/22/29     255,888
  Total Medical Information Systems   $2,830,566
  Medical Labs & Testing Services — 3.6%  
714,375 Charlotte Buyer, Inc., First Lien First Refinancing Term Loan, 10.077% (Term SOFR + 475 bps), 2/11/28 $    719,119
979,751 eResearchTechnology, Inc., First Lien Tranche B-1 Term Loan, 9.247% (Term SOFR + 400 bps), 2/4/27      986,365
1,433,025 FC Compassus LLC, Term B-1 Loan, 9.569% (Term SOFR + 425 bps), 12/31/26   1,413,321
991,128 Phoenix Guarantor Inc., First Lien Tranche B-4 Term Loan, 8.497% (Term SOFR + 325 bps), 2/21/31      993,674
496,173 U.S. Anesthesia Partners, Inc., First Lien Initial Term Loan, 9.707% (Term SOFR + 425 bps), 10/1/28     487,180
  Total Medical Labs & Testing Services   $4,599,659
  Medical-Drugs — 1.7%  
250,000 Endo Finance Holdings, Inc., Initial Term Loan, 9.783% (Term SOFR + 450 bps), 4/23/31 $    249,937
528,675 Financiere Mendel, Additional Term USD Facility 1, 8.354% (Term SOFR + 325 bps), 11/12/30      530,162
716,613 Jazz Pharmaceuticals, Inc., Term Loan B, 7.497% (Term SOFR + 225 bps), 5/5/28      718,056
705,882 Padagis LLC, Term B Loan, 10.326% (Term SOFR + 475 bps), 7/6/28     654,706
  Total Medical-Drugs   $2,152,861
13Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Medical-Generic Drugs — 1.1%  
913,438 Amneal Pharmaceuticals LLC, Initial Term Loan, 10.747% (Term SOFR + 550 bps), 5/4/28 $    928,662
497,468 Perrigo Company Plc, Initial Term B Loan, 7.597% (Term SOFR + 225 bps), 4/20/29     497,157
  Total Medical-Generic Drugs   $1,425,819
  Medical-Hospitals — 1.2%  
261,584 EyeCare Partners LLC, Tranche B Term Loan, 9.989% (Term SOFR + 461 bps), 11/30/28 $    167,414
974,990 Knight Health Holdings LLC, Term B Loan, 10.611% (Term SOFR + 525 bps), 12/23/28      489,932
895,000 LifePoint Health, Inc., First Lien 2024 Incremental Term Loan, 9.342% (Term SOFR + 400 bps), 5/17/31     898,468
  Total Medical-Hospitals   $1,555,814
  Medical-Wholesale Drug Distribution — 0.3%  
444,375 CVET Midco 2 LP, First Lien Initial Term Loan, 10.335% (Term SOFR + 500 bps), 10/13/29 $    430,627
  Total Medical-Wholesale Drug Distribution     $430,627
  Metal Processors & Fabrication — 1.1%  
641,630 Grinding Media, Inc. (Molycop, Ltd.), First Lien Initial Term Loan, 9.569% (Term SOFR + 400 bps), 10/12/28 $    641,630
726,049 WireCo WorldGroup, Inc., 2023 Refinancing Term Loan, 9.032% (Term SOFR + 375 bps), 11/13/28     729,679
  Total Metal Processors & Fabrication   $1,371,309
  Metal-Aluminum — 1.1%  
1,434,432 Arsenal AIC Parent LLC, 2024-A Refinancing Term B Loan, 8.56% (Term SOFR + 325 bps), 8/18/30 $  1,439,363
  Total Metal-Aluminum   $1,439,363
  Mining Services — 0.1%  
176,166 Flame NewCo LLC, First Lien New Money Exit Term Loan, 7.347% (Term SOFR + 200 bps), 6/30/28 $    168,899
  Total Mining Services     $168,899
  Office Automation & Equipment — 0.7%  
870,750 Pitney Bowes, Inc., Refinancing Tranche B Term Loan, 9.361% (Term SOFR + 400 bps), 3/17/28 $    876,192
  Total Office Automation & Equipment     $876,192
Pioneer Floating Rate Fund, Inc. | 8/31/2414

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Oil&Gas Drilling — 0.6%  
700,000 WaterBridge Midstream Operating LLC, Term Loan B, 10.089% (Term SOFR + 475 bps), 6/27/29 $    700,437
  Total Oil&Gas Drilling     $700,437
  Pastoral & Agricultural — 0.5%  
633,750 Alltech, Inc., Term B Loan, 9.361% (Term SOFR + 400 bps), 10/13/28 $    632,363
  Total Pastoral & Agricultural     $632,363
  Pharmacy Services — 0.3%  
341,250 Option Care Health, Inc., 2021 First Lien Refinancing Term Loan, 7.497% (Term SOFR + 225 bps), 10/27/28 $    343,468
  Total Pharmacy Services     $343,468
  Physical Practice Management — 0.3%  
423,531 Sound Inpatient Physicians, Inc., Tranche B Term Loan, 9.096% (Term SOFR + 350 bps), 6/28/28 $    357,884
  Total Physical Practice Management     $357,884
  Physical Therapy & Rehabilitation Centers — 2.2%  
914,667 Summit Behavioral Healthcare LLC, First Lien Tranche B-1 Term Loan, 9.307% (Term SOFR + 425 bps), 11/24/28 $    887,226
2,157,092 Upstream Newco, Inc., First Lien August 2021 Incremental Term Loan, 9.764% (Term SOFR + 425 bps), 11/20/26   1,960,258
  Total Physical Therapy & Rehabilitation Centers   $2,847,484
  Pipelines — 3.9%  
1,059,844 Brazos Delaware II LLC, Refinancing Term Loan, 8.255% (Term SOFR + 350 bps), 2/11/30 $  1,067,793
648,329 Buckeye Partners LP, 2024 Tranche B-4 Term Loan, 7.247% (Term SOFR + 200 bps), 11/22/30      649,849
614,106 GIP III Stetson I LP (GIP III Stetson II LP), 2023 Initial Term Loan, 8.747% (Term SOFR + 350 bps), 10/31/28      617,432
208,947 GIP Pilot Acquisition Partners LP, Amendment No. 1 Refinancing Term Loan, 7.818% (Term SOFR + 250 bps), 10/4/30      209,861
467,431 M6 ETX Holdings II MidCo LLC, Initial Term Loan, 9.847% (Term SOFR + 450 bps), 9/19/29      469,878
15Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Pipelines — (continued)  
922,687 NGL Energy Operating LLC, Initial Term Loan, 8.997% (Term SOFR + 375 bps), 2/3/31 $    922,303
986,782 Traverse Midstream Partners LLC, Advance, 8.752% (Term SOFR + 350 bps), 2/16/28     991,222
  Total Pipelines   $4,928,338
  Printing-Commercial — 0.3%  
384,038 Cimpress Plc, 2024 Refinancing Tranche B-1 Term Loan, 8.247% (Term SOFR + 300 bps), 5/17/28 $    385,238
  Total Printing-Commercial     $385,238
  Professional Sports — 0.4%  
500,000 Formula One Management Ltd., First Lien Facility B Loan, 7.585% (Term SOFR + 225 bps), 1/15/30 $    502,875
  Total Professional Sports     $502,875
  Property & Casualty Insurance — 2.3%  
794,602 Asurion LLC, New B-10 Term Loan, 9.347% (Term SOFR + 400 bps), 8/19/28 $    788,581
244,317 Asurion LLC, New B-11 Term Loan, 9.597% (Term SOFR + 425 bps), 8/19/28      243,309
483,750 Asurion LLC, New B-9 Term Loan, 8.611% (Term SOFR + 325 bps), 7/31/27      479,085
1,348,379 Sedgwick Claims Management Services, Inc. (Lightning Cayman Merger Sub, Ltd.), 2024 Term Loan, 8.252% (Term SOFR + 300 bps), 7/31/31   1,351,076
  Total Property & Casualty Insurance   $2,862,051
  Protection-Safety — 0.5%  
658,350 Prime Security Services Borrower LLC, 2024 First Lien Refinancing Term B-1 Loan, 7.60% (Term SOFR + 225 bps), 10/13/30 $    660,236
  Total Protection-Safety     $660,236
  Publishing — 1.8%  
847,875 Cengage Learning, Inc., First Lien Term B Loan, 9.538% (Term SOFR + 425 bps), 3/24/31 $    851,728
786,000 Houghton Mifflin Harcourt Co., First Lien Term B Loan, 10.597% (Term SOFR + 525 bps), 4/9/29      747,069
677,791 McGraw-Hill Education, Inc., 2024 Term Loan, 9.228% (Term SOFR + 400 bps), 8/6/31     681,180
  Total Publishing   $2,279,977
Pioneer Floating Rate Fund, Inc. | 8/31/2416

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Publishing-Periodicals — 0.3%  
366,563 MJH Healthcare Holdings LLC, 2024 Refinancing Term B Loan, 8.597% (Term SOFR + 325 bps), 1/28/29 $    366,677
  Total Publishing-Periodicals     $366,677
  Recreational Centers — 1.7%  
920,000 Bulldog Purchaser Inc., First Lien Term Loan, 9.585% (Term SOFR + 425 bps), 6/30/31 $    924,313
1,246,875 Fitness International LLC, Term B Loan, 10.505% (Term SOFR + 525 bps), 2/12/29   1,245,316
  Total Recreational Centers   $2,169,629
  Recycling — 0.6%  
825,231 LTR Intermediate Holdings, Inc., Initial Term Loan, 9.861% (Term SOFR + 450 bps), 5/5/28 $    800,474
  Total Recycling     $800,474
  REITS-Storage — 0.2%  
189,050 Iron Mountain Information Management LLC, Amendment No.1 Incremental Term B Loan, 7.247% (Term SOFR + 200 bps), 1/31/31 $    188,991
  Total REITS-Storage     $188,991
  Rental Auto & Equipment — 1.2%  
690,000 Albion Financing 3 S.a r.l. (Albion Financing LLC), 2024 Amended U.S. Dollar Term Loan, 9.826% (Term SOFR + 425 bps), 8/16/29 $    696,900
398,997 Avis Budget Car Rental LLC, New Tranche C Term Loan, 8.347% (Term SOFR + 300 bps), 3/16/29      399,995
416,859 Hertz Corp., Initial Term B Loan, 8.861% (Term SOFR + 350 bps), 6/30/28      376,606
80,991 Hertz Corp., Initial Term C Loan, 8.861% (Term SOFR + 350 bps), 6/30/28      73,170
  Total Rental Auto & Equipment   $1,546,671
  Retail — 5.7%  
530,863 Great Outdoors Group LLC, Term B-2 Loan, 9.111% (Term SOFR + 375 bps), 3/6/28 $    531,693
672,413 Harbor Freight Tools USA, Inc., Replacement Term Loan, 7.747% (Term SOFR + 250 bps), 6/11/31      664,218
999,750 Highline Aftermarket Acquisition LLC, 2024-1 First Lien Refinancing Term Loan, 9.247% (Term SOFR + 400 bps), 11/9/27   1,008,498
725,183 Kodiak BP LLC, 2024-1 Term Loan, 9.085% (Term SOFR + 375 bps), 3/12/28      729,035
17Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Retail — (continued)  
1,018,500 Michaels Cos, Inc., Term Loan B, 9.846% (Term SOFR + 425 bps), 4/15/28 $    838,989
969,191 Petco Health & Wellness Co., Inc., First Lien Initial Term Loan, 8.846% (Term SOFR + 325 bps), 3/3/28      900,015
1,018,500 PetSmart LLC, Initial Term Loan, 9.097% (Term SOFR + 375 bps), 2/11/28   1,014,998
1,221,949 RVR Dealership Holdings LLC, Term Loan, 9.097% (Term SOFR + 375 bps), 2/8/28   1,101,587
431,250 Torrid LLC, Closing Date Term Loan, 10.933% (Term SOFR + 550 bps), 6/14/28     398,906
  Total Retail   $7,187,939
  Retail-Catalog Shopping — 0.3%  
489,162 Medical Solutions Holdings, Inc., First Lien Initial Term Loan, 8.602% (Term SOFR + 325 bps), 11/1/28 $    374,821
  Total Retail-Catalog Shopping     $374,821
  Retail-Misc/Diversified — 0.6%  
399,000 Peer Holding III B.V., Facility B4, 8.585% (Term SOFR + 325 bps), 10/28/30 $    400,828
360,000 Peer Holding III B.V., Term Loan B5, 8.332% (Term SOFR + 300 bps), 7/1/31     361,650
  Total Retail-Misc/Diversified     $762,478
  Retail-Restaurants — 0.3%  
384,000 1011778 B.C. Unlimited Liability Co., Term B-6 Loan, 6.997% (Term SOFR + 175 bps), 9/20/30 $    381,680
  Total Retail-Restaurants     $381,680
  Schools — 0.3%  
422,647 Fugue Finance LLC, Existing Term Loan, 9.057% (Term SOFR + 400 bps), 1/31/28 $    426,345
  Total Schools     $426,345
  Security Services — 2.6%  
1,390,030 Allied Universal Holdco LLC (f/k/a USAGM Holdco LLC), Initial U.S. Dollar Term Loan, 9.097% (Term SOFR + 375 bps), 5/12/28 $  1,383,340
1,954,746 Garda World Security Corp., Tenth Additional Term Loan, 8.832% (Term SOFR + 350 bps), 2/1/29   1,959,633
  Total Security Services   $3,342,973
Pioneer Floating Rate Fund, Inc. | 8/31/2418

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Semiconductor Equipment — 0.9%  
1,088,362 Ultra Clean Holdings, Inc., Sixth Amendment Term Loan, 8.747% (Term SOFR + 350 bps), 2/25/28 $  1,095,164
  Total Semiconductor Equipment   $1,095,164
  Telecom Services — 0.8%  
1,008,660 Windstream Services LLC, Initial Term Loan, 11.597% (Term SOFR + 625 bps), 9/21/27 $  1,015,595
  Total Telecom Services   $1,015,595
  Telephone-Integrated — 0.8%  
500,000 Level 3 Financing, Inc., Term B-1, 11.838% (Term SOFR + 656 bps), 4/15/29 $    504,166
500,000 Level 3 Financing, Inc., Term B-2, 11.838% (Term SOFR + 656 bps), 4/15/30     503,625
  Total Telephone-Integrated   $1,007,791
  Television — 0.2%  
290,000 Gray Television, Inc., Term F Loan, 10.592% (Term SOFR + 525 bps), 6/4/29 $    278,348
  Total Television     $278,348
  Theaters — 1.4%  
592,515 Cinemark USA, Inc., Term Loan, 8.585% (Term SOFR + 325 bps), 5/24/30 $    595,848
1,193,136 Cirque du Soleil Canada, Inc., Refinancing Term Loan, 9.085% (Term SOFR + 375 bps), 3/8/30   1,186,239
  Total Theaters   $1,782,087
  Transportation Services — 2.6%  
1,167,000 AIT Worldwide Logistics Holdings, Inc., First Lien Initial Term Loan, 9.968% (Term SOFR + 475 bps), 4/6/28 $  1,169,918
1,010,666 Carriage Purchaser, Inc., Term B Loan, 9.611% (Term SOFR + 425 bps), 10/2/28   1,015,404
368,322 First Student Bidco Inc., TLB-2 Loan, 8.435% (Term SOFR + 300 bps), 7/21/28      369,732
533,578 First Student Bidco, Inc., Initial Term B Loan, 8.596% (Term SOFR + 300 bps), 7/21/28      535,722
162,725 First Student Bidco, Inc., Initial Term C Loan, 8.596% (Term SOFR + 300 bps), 7/21/28     163,378
  Total Transportation Services   $3,254,154
19Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Transport-Rail — 0.3%  
332,000 Genesee & Wyoming Inc., Initial Term Loan, 7.335% (Term SOFR + 200 bps), 4/10/31 $    332,302
  Total Transport-Rail     $332,302
  Veterinary Diagnostics — 0.8%  
366,560 Elanco Animal Health Inc., Term Loan, 7.192% (Term SOFR + 175 bps), 8/1/27 $    366,527
703,270 Southern Veterinary Partners LLC, First Lien 2024-2 New Term Loan, 8.997% (Term SOFR + 375 bps), 10/5/27     708,251
  Total Veterinary Diagnostics   $1,074,778
  Total Senior Secured Floating Rate Loan Interests
(Cost $165,556,524)
$163,115,657
Shares            
  Common Stocks — 0.8% of Net Assets  
  Construction & Engineering — 0.0%  
9,729(d) LB New Holdco $     43,780
  Total Construction & Engineering      $43,780
  Metals & Mining — 0.0%  
2,625(d) Flame Co. $     13,125
  Total Metals & Mining      $13,125
  Passenger Airlines — 0.6%  
40,684(d) Grupo Aeromexico SAB de CV $    803,934
  Total Passenger Airlines     $803,934
  Pharmaceuticals — 0.2%  
7,594(d) Endo, Inc. $    205,038
  Total Pharmaceuticals     $205,038
  Total Common Stocks
(Cost $1,047,415)
  $1,065,877
Principal
Amount
USD ($)
           
  Asset Backed Securities — 2.4% of Net Assets  
1,000,000(a) Assurant CLO IV, Ltd., Series 2019-4A, Class E, 12.544% (3 Month Term SOFR + 726 bps), 4/20/30 (144A) $    995,415
Pioneer Floating Rate Fund, Inc. | 8/31/2420

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Asset Backed Securities — (continued)  
1,000,000 JPMorgan Chase Bank NA - CACLN, Series 2021-3, Class G, 9.812%, 2/26/29 (144A) $  1,022,803
1,000,000(a) Octagon Investment Partners XXI, Ltd., Series 2014-1A, Class DRR, 12.378% (3 Month Term SOFR + 726 bps), 2/14/31 (144A)     992,496
  Total Asset Backed Securities
(Cost $2,998,741)
  $3,010,714
  Collateralized Mortgage
Obligations—2.1% of Net Assets
 
370,000(a) Connecticut Avenue Securities Trust, Series 2021-R01, Class 1B2, 11.349% (SOFR30A + 600 bps), 10/25/41 (144A) $    390,350
230,000(a) Federal Home Loan Mortgage Corp. STACR REMIC Trust, Series 2021-DNA7, Class B2, 13.149% (SOFR30A + 780 bps), 11/25/41 (144A)      248,668
490,000(a) Federal Home Loan Mortgage Corp. STACR REMIC Trust, Series 2021-HQA3, Class B2, 11.599% (SOFR30A + 625 bps), 9/25/41 (144A)      510,777
250,000(a) Federal Home Loan Mortgage Corp. STACR REMIC Trust, Series 2022-DNA1, Class B2, 12.449% (SOFR30A + 710 bps), 1/25/42 (144A)      267,813
320,000(a) Federal Home Loan Mortgage Corp. STACR REMIC Trust, Series 2022-DNA2, Class B2, 13.849% (SOFR30A + 850 bps), 2/25/42 (144A)      353,200
710,000(a) STACR Trust, Series 2018-HRP2, Class B2, 15.963% (SOFR30A + 1,061 bps), 2/25/47 (144A)     878,625
  Total Collateralized Mortgage Obligations
(Cost $2,453,965)
  $2,649,433
  Commercial Mortgage-Backed
Securities—1.0% of Net Assets
 
478,794(a) BX Trust, Series 2022-PSB, Class F, 12.67% (1 Month Term SOFR + 733 bps), 8/15/39 (144A) $    474,022
37,119(a) FREMF Mortgage Trust, Series 2020-KF74, Class C, 11.716% (SOFR30A + 636 bps), 1/25/27 (144A)       34,113
1,000,000 Wells Fargo Commercial Mortgage Trust, Series 2015-C28, Class E, 3.00%, 5/15/48 (144A)     767,699
  Total Commercial Mortgage-Backed Securities
(Cost $1,318,534)
  $1,275,834
21Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Corporate Bonds — 8.3% of Net Assets  
  Airlines — 1.2%  
940,000 Grupo Aeromexico SAB de CV, 8.50%, 3/17/27 (144A) $    946,355
729,000 VistaJet Malta Finance Plc/Vista Management Holding, Inc., 6.375%, 2/1/30 (144A)     597,789
  Total Airlines   $1,544,144
  Banks — 0.9%  
1,000,000(e)(f) Citigroup, Inc., 4.70% (SOFR + 323 bps) $    992,844
255,000(e)(f) ING Groep NV, 4.25% (5 Year CMT Index + 286 bps)     204,120
  Total Banks   $1,196,964
  Chemicals — 0.7%  
250,000 Element Solutions, Inc., 3.875%, 9/1/28 (144A) $    236,379
300,000 SCIL IV LLC/SCIL USA Holdings LLC, 5.375%, 11/1/26 (144A)      295,602
390,000 Tronox, Inc., 4.625%, 3/15/29 (144A)     355,418
  Total Chemicals     $887,399
  Commercial Services — 0.4%  
500,000 Garda World Security Corp., 6.00%, 6/1/29 (144A) $    471,810
  Total Commercial Services     $471,810
  Electric — 0.2%  
300,000 Vistra Operations Co. LLC, 4.375%, 5/1/29 (144A) $    287,207
  Total Electric     $287,207
  Iron & Steel — 0.3%  
500,000 Metinvest BV, 7.75%, 10/17/29 (144A) $    328,965
  Total Iron & Steel     $328,965
  Lodging — 0.4%  
500,000 Station Casinos LLC, 4.50%, 2/15/28 (144A) $    479,885
  Total Lodging     $479,885
  Media — 1.2%  
300,000 Charter Communications Operating LLC/Charter Communications Operating Capital, 2.25%, 1/15/29 $    265,106
200,000 CSC Holdings LLC, 11.75%, 1/31/29 (144A)      176,601
510,000 McGraw-Hill Education, Inc., 8.00%, 8/1/29 (144A)      507,878
1,000,000 Sinclair Television Group, Inc., 5.50%, 3/1/30 (144A)     597,560
  Total Media   $1,547,145
Pioneer Floating Rate Fund, Inc. | 8/31/2422

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Principal
Amount
USD ($)
          Value
  Mining — 0.7%  
925,000 First Quantum Minerals, Ltd., 8.625%, 6/1/31 (144A) $    924,637
  Total Mining     $924,637
  Oil & Gas — 0.5%  
600,000 Hilcorp Energy I LP/Hilcorp Finance Co., 6.875%, 5/15/34 (144A) $    606,901
  Total Oil & Gas     $606,901
  Pipelines — 0.2%  
300,000 Venture Global Calcasieu Pass LLC, 3.875%, 8/15/29 (144A) $    283,615
  Total Pipelines     $283,615
  Real Estate — 0.3%  
390,000 Kennedy-Wilson, Inc., 5.00%, 3/1/31 $    339,254
  Total Real Estate     $339,254
  REITs — 0.7%  
390,000 Starwood Property Trust, Inc., 7.25%, 4/1/29 (144A) $    405,960
500,000 Uniti Group LP/Uniti Group Finance, Inc./CSL Capital LLC, 10.50%, 2/15/28 (144A)     513,028
  Total REITs     $918,988
  Telecommunications — 0.6%  
275,000 Level 3 Financing, Inc., 10.50%, 5/15/30 (144A) $    294,654
500,000 Windstream Escrow LLC/Windstream Escrow Finance Corp., 7.75%, 8/15/28 (144A)     488,053
  Total Telecommunications     $782,707
  Total Corporate Bonds
(Cost $10,891,471)
$10,599,621
  Insurance-Linked Securities — 1.0% of Net
Assets#
 
  Event Linked Bonds — 1.0%  
  Multiperil – U.S. — 0.6%  
250,000(a) Matterhorn Re, 10.621%, (SOFR + 525 bps), 3/24/25 (144A) $    247,325
250,000(a) Residential Re, 11.162%, (3 Month U.S. Treasury Bill + 605 bps), 12/6/25 (144A)      238,925
250,000(a) Sanders Re III, 8.522%, (3 Month U.S. Treasury Bill + 341 bps), 4/7/26 (144A)     245,725
                $731,975
23Pioneer Floating Rate Fund, Inc. | 8/31/24

Principal
Amount
USD ($)
          Value
  Windstorm – North Carolina — 0.2%  
250,000(a) Cape Lookout Re, 14.702%, (3 Month U.S. Treasury Bill + 959 bps), 3/28/25 (144A) $    249,100
  Windstorm – U.S. Regional — 0.2%  
250,000(a) Commonwealth Re, 8.875%, (3 Month U.S. Treasury Bill + 376 bps), 7/8/25 (144A) $    251,750
  Total Event Linked Bonds   $1,232,825
Face
Amount
USD ($)
           
  Reinsurance Sidecars — 0.0%  
  Multiperil – U.S. — 0.0%  
250,000(d)(g)+ Harambee Re 2018, 12/31/24 $        100
250,000(d)(g)+ Harambee Re 2019, 12/31/24         125
                    $225
  Multiperil – Worldwide — 0.0%  
12,278(g)+ Alturas Re 2022-2, 12/31/27 $      1,016
199,590(d)(g)+ Lorenz Re 2019, 6/30/25        1,637
244,914(d)(h)+ Woburn Re 2019, 12/31/24      33,713
                 $36,366
  Total Reinsurance Sidecars      $36,591
  Total Insurance-Linked Securities
(Cost $1,313,684)
  $1,269,416
Pioneer Floating Rate Fund, Inc. | 8/31/2424

Schedule of Investments  |  8/31/24
(unaudited) (continued)
Shares           Value
  SHORT TERM INVESTMENTS — 4.0% of Net Assets  
  Open-End Fund — 4.0%  
5,063,902(i) Dreyfus Government Cash Management,
Institutional Shares, 5.19%
$  5,063,902
              $5,063,902
  TOTAL SHORT TERM INVESTMENTS
(Cost $5,063,902)
  $5,063,902
  TOTAL INVESTMENTS IN UNAFFILIATED ISSUERS — 147.8%
(Cost $190,644,236)
$188,050,454
  OTHER ASSETS AND LIABILITIES — (47.8)% $(60,833,789)
  net assets — 100.0% $127,216,665
             
bps Basis Points.
CMT Constant Maturity Treasury Index.
FREMF Freddie Mac Multifamily Fixed-Rate Mortgage Loans.
LIBOR London Interbank Offered Rate.
REIT Real Estate Investment Trust.
SOFR Secured Overnight Financing Rate.
SOFR30A Secured Overnight Financing Rate 30 Day Average.
(144A) The resale of such security is exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold normally to qualified institutional buyers. At August 31, 2024, the value of these securities amounted to $16,967,103, or 13.3% of net assets.
(a) Floating rate note. Coupon rate, reference index and spread shown at August 31, 2024.
(b) Security is in default.
(c) All or a portion of this senior loan position has not settled. Rates do not take effect until settlement date. Rates shown, if any, are for the settled portion.
(d) Non-income producing security.
(e) Security is perpetual in nature and has no stated maturity date.
(f) The interest rate is subject to change periodically. The interest rate and/or reference index and spread shown at August 31, 2024.
(g) Issued as preference shares.
(h) Issued as participation notes.
(i) Rate periodically changes. Rate disclosed is the 7-day yield at August 31, 2024.
25Pioneer Floating Rate Fund, Inc. | 8/31/24

* 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 or SOFR, (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 August 31, 2024.
+ Security is valued using significant unobservable inputs (Level 3).
Amount rounds to less than 0.1%.
# Securities are restricted as to resale.
Restricted Securities Acquisition date Cost Value
Alturas Re 2022-2 4/11/2023 $$1,016
Cape Lookout Re 3/16/2022 250,000 249,100
Commonwealth Re 6/15/2022 250,000 251,750
Harambee Re 2018 12/19/2017 5,311 100
Harambee Re 2019 12/20/2018 125
Lorenz Re 2019 6/26/2019 30,352 1,637
Matterhorn Re 3/10/2022 250,000 247,325
Residential Re 10/28/2021 250,000 238,925
Sanders Re III 3/22/2022 250,000 245,725
Woburn Re 2019 1/30/2019 28,021 33,713
Total Restricted Securities     $1,269,416
% of Net assets     1.0%
FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS
Currency
Purchased
In
Exchange for
Currency
Sold
Deliver Counterparty Settlement
Date
Unrealized
Appreciation
USD 498,232 MXN 9,164,481 State Street Bank & Trust Co. 9/27/24 $34,859
TOTAL FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS $34,859
Principal amounts are denominated in U.S. dollars (“USD”) unless otherwise noted.
MXN — Mexican Peso
USD — United States Dollar
Pioneer Floating Rate Fund, Inc. | 8/31/2426

Schedule of Investments  |  8/31/24
(unaudited) (continued)
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 Adviser’s own assumptions in determining fair value of investments).
The following is a summary of the inputs used as of August 31, 2024 in valuing the Fund’s investments:
  Level 1 Level 2 Level 3 Total
Senior Secured Floating Rate Loan Interests $$163,115,657 $$163,115,657
Common Stocks        
Construction & Engineering 43,780 43,780
Metals & Mining 13,125 13,125
Passenger Airlines 803,934 803,934
All Other Common Stocks 205,038 205,038
Asset Backed Securities 3,010,714 3,010,714
Collateralized Mortgage Obligations 2,649,433 2,649,433
Commercial Mortgage-Backed Securities 1,275,834 1,275,834
Corporate Bonds 10,599,621 10,599,621
Insurance-Linked Securities        
Reinsurance Sidecars        
Multiperil – U.S. 225 225
Multiperil – Worldwide 36,366 36,366
All Other Insurance-Linked Securities 1,232,825 1,232,825
Open-End Fund 5,063,902 5,063,902
Total Investments in Securities $5,268,940 $182,744,923 $36,591 $188,050,454
Other Financial Instruments        
Net unrealized appreciation on forward foreign currency exchange contracts $$34,859 $$34,859
Total Other Financial Instruments $$34,859 $$34,859
Transfers are calculated on the beginning of period values. During the period ended August 31, 2024, a security valued at $639,476 was transferred from Level 3 to Level 2, due to valuing the security using observable inputs. There were no other transfers in or out of Level 3 during the period.
27Pioneer Floating Rate Fund, Inc. | 8/31/24

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