497 1 multifund040117pro497e.txt PROSPECTUS SUPPLEMENT FOR ILS INTERVAL Filed Pursuant to Rule 497(e) of the Securities Act of 1933 April 1, 2017 Pioneer Funds Supplement to the Prospectus and Summary Prospectus, as in effect and as may be amended from time to time, for: Fund Date of Prospectus ---- ------------------ Pioneer AMT-Free Municipal Fund May 1, 2016 Pioneer Bond Fund April 1, 2017 Pioneer Classic Balanced Fund December 1, 2016 Pioneer Core Equity Fund May 1, 2016 Pioneer Disciplined Growth Fund December 31, 2016 Pioneer Disciplined Value Fund December 31, 2016 Pioneer Dynamic Credit Fund August 1, 2016 Pioneer Emerging Markets Fund April 1, 2017 Pioneer Equity Income Fund March 1, 2017 Pioneer Flexible Opportunities Fund March 1, 2017 Pioneer Floating Rate Fund March 1, 2017 Pioneer Fund May 1, 2016 Pioneer Fundamental Growth Fund February 3, 2017 Pioneer Global Equity Fund April 1, 2017 Pioneer Global High Yield Fund March 1, 2017 Pioneer Global Multisector Income Fund March 1, 2017 Pioneer High Income Municipal Fund December 31, 2016 Pioneer High Yield Fund March 1, 2017 Pioneer ILS Interval Fund March 1, 2017 Pioneer International Equity Fund April 1, 2017 Pioneer Mid Cap Value Fund March 1, 2017 Pioneer Multi-Asset Income Fund April 1, 2017 Pioneer Multi-Asset Ultrashort Income Fund August 1, 2016 Pioneer Real Estate Shares May 1, 2016 Pioneer Select Mid Cap Growth Fund April 1, 2017 Pioneer Short Term Income Fund December 31, 2016 Pioneer Solutions - Balanced Fund December 1, 2016 Pioneer Solutions - Conservative Fund December 1, 2016 Pioneer Solutions - Growth Fund December 1, 2016 Pioneer Strategic Income Fund April 1, 2017 Pioneer U.S. Government Money Market Fund May 1, 2016 Pioneer Investment Management, Inc. (the "Adviser"), each fund's investment adviser, is currently an indirect, wholly owned subsidiary of UniCredit S.p.A. ("UniCredit"). On December 12, 2016, UniCredit announced that it has entered into a binding agreement for the sale of its Pioneer Investments business, which includes the Adviser, to Amundi (the "Transaction"). Amundi is headquartered in Paris, France, and, as of December 31, 2016, had more than $1.1 trillion in assets under management worldwide. The closing of the Transaction is expected to happen in 2017, subject to certain regulatory and antitrust approvals, and other conditions. Under the Investment Company Act of 1940, the closing of the Transaction will cause each fund's current investment advisory agreement with the Adviser to terminate. Accordingly, each fund's Board of Trustees has approved a new investment advisory agreement for the fund, which will be submitted to the shareholders of the fund for their approval. 30106-00-0417 (C) 2017 Pioneer Funds Distributor, Inc. Underwriter of Pioneer mutual funds Member SIPC