OMB APPROVAL OMB Number: 3235-0578 Expires: April 30, 2010 Estimated average burden hours per response..... 10.5 UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM N-Q CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT INVESTMENT COMPANIES Investment Company Act file number 811-21654 Pioneer Floating Rate Trust (Exact name of registrant as specified in charter) 60 State Street, Boston, MA 02109 (Address of principal executive offices) (ZIP code) Dorothy E. Bourassa, Pioneer Investment Management, Inc., 60 State Street, Boston, MA 02109 (Name and address of agent for service) Registrant's telephone number, including area code: (617) 742-7825 Date of fiscal year end: November 30 Date of reporting period: February 28, 2010 Form N-Q is to be used by management investment companies, other than small business investment companies registered on Form N-5 (239.24 and 274.5 of this chapter), to file reports with the Commission, not later than 60 days after close of the first and third fiscal quarters, pursuant to Rule 30b1-5under the Investment Company Act of 1940 (17 CFR 270.30b-5). The Commission may use the information provided on Form N-Q in its regulatory, disclosure review, inspection, and policymaking roles. A registrant is required to disclose the information specified by Form N-Q, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-Q unless the Form displays a currently valid Office of Management and Budget ("OMB") control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 450 Fifth Street, NW, Washington, DC 20549-0609. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. ss. 3507. ITEM 1. Schedule of Investments. Pioneer Floating Rate Trust SCHEDULE OF INVESTMENTS 2/28/10 (unaudited) Principal Amount USD ($) Value ($) COLLATERALIZED LOAN OBLIGATIONS - 1.6% of Net Assets Banks - 1.6% Diversified Banks - 0.5% 1,000,000 (a)(b)(c)Primus, Ltd., 2007-2A D, 2.651%, 7/15/21 (144 147,510 1,000,000 (a)(b) Rampart, Ltd., 2006-1A, 3.801%, 4/18/21 (144A 613,360 951,289 (a)(b) Stanfield McLaren, Ltd., 2007-1A B2L, 4.752%, 662,925 1,423,795 Thrifts & Mortgage Finance - 1.1% 1,000,000 (a)(b) ACA, Ltd. 2007-1A D, 2.601%, 6/15/22 (144A) 561,540 1,000,000 (a)(b) Goldman Sachs Asset Management, Plc, 2007-1A 594,570 1,013,186 (a)(b) Gulf Stream Sextant, Ltd., 2007-1A D, 2.653%, 592,683 1,000,000 (a)(b) Landmark CDO, Ltd., 2007-9A E, 3.751%, 4/15/2 454,430 2,000,000 (a)(b) Stone Tower, Ltd., 2007-6A C, 1.601%, 4/17/21 1,000,000 3,203,223 Total Banks 4,627,018 TOTAL COLLATERALIZED LOAN OBLIGATIONS (Cost $6,285,819) 4,627,018 SENIOR SECURED FLOATING RATE LOAN INTERESTS - 139.9%* Energy - 5.7% Oil & Gas Drilling - 2.2% 2,184,684 Big West Oil LLC, Delayed Advance Term Loan, 2,157,375 1,737,816 Big West Oil LLC, Initial Advance Term Loan, 1,716,094 1,300,000 Big West Oil LLC, Term Loan, 9.5%, 1/30/15 1,261,000 942,442 (a)(d)(e)TARH E&P Holdings, L.P., First Lien Second Ou 942,442 371,360 (a)(d)(e)TARH E&P Holdings, L.P., Second Lien Debt Ter 352,792 6,429,703 Oil & Gas Equipment & Services - 2.3% 2,120,274 Coffeyville Resources LLC, Tranche D Term Loa 2,145,011 4,490,749 (a)(d) Value Creation, Inc., Term Loan, 12.5%, 3/31/ 4,681,606 6,826,617 Oil & Gas Exploration & Production - 0.9% 2,055,208 (a)(c)(e)Crusader Energy Group, Inc., Second Lien Term 0 1,000,000 Targa Resources, Inc., Term Loan, 6.0%, 7/5/1 1,005,000 1,612,942 VenoCo., Inc., Second Lien Term Loan, 4.25%, 1,507,093 2,512,093 Oil & Gas Storage & Transportation - 0.3% 1,023,695 Atlas Pipeline Partners, L.P., Term Loan, 6.7 1,021,775 Total Energy 16,790,188 Materials - 8.4% Commodity Chemicals - 0.5% 1,500,000 Celanese US Holdings LLC, Term Loan, 7.099%, 1,444,087 Diversified Chemicals - 4.0% 383,573 Ashland, Inc., Term B Borrowing, 7.65%, 5/13/ 389,127 250,000 Huntsman International LLC, New Dollar Term L 237,365 10,959,148 Solutia, Inc., Term Loan, 7.25%, 2/28/14 11,135,272 11,761,764 Specialty Chemicals - 1.4% 3,500,000 Chemtura Corp., Facility Term Loan, 6.0%, 2/1 3,521,875 746,250 Nalco Co., Term Loan, 6.5%, 5/13/16 754,459 4,276,334 Construction Materials - 0.5% 1,500,000 Summit Materials, Term Loan, 6.75%, 7/7/14 1,503,750 Paper Packaging - 1.7% 756,195 Graham Packaging Co., L.P., Term Loan B., 2.5 748,841 818,063 Graham Packaging Co., L.P., Term Loan C, 6.75 824,821 1,780,401 Graphic Packaging International, Inc., Increm 1,751,593 1,700,000 Smurfit-Stone Container Enterprises, Inc., Ex 1,692,549 5,017,804 Aluminum - 0.3% 1,000,000 Noranda Aluminum Acquisition Corp., Term Loan 878,333 878,333 Total Materials 24,882,072 Capital Goods - 7.0% Aerospace & Defense - 2.2% 487,429 Aeroflex, Inc., Tranche B-2 Term Loan, 4.0%, 457,372 1,629,714 BE Aerospace, Inc., Tranche B Term Loan, 5.75 1,646,302 757,268 DAE Aviation Holdings, Inc., Tranche B-1 Term 708,046 1,675,790 Hunter Defense Technologies, Inc., Term Loan, 1,554,295 911,148 (d) IAP Worldwide Services, Inc., First Lien Term 815,478 738,952 Standard Aero, Ltd., Tranche B-2 Term Loan, 4 690,920 175,000 TASC, Inc., Tranche A Term Loan, 5.5%, 12/18/ 176,240 325,000 TASC, Inc., Tranche B Term Loan, 5.75%, 12/18 328,114 6,376,767 Building Products - 2.2% 5,691,518 (a)(c)(d)Atrium Companies, Inc., Closing Date Term Loa 5,150,823 1,282,982 Custom Building Products, Inc., First Lien Te 1,242,888 6,393,711 Construction & Engineering - 0.5% 1,505,630 URS Corp., Tranche B Term Loan, 2.479%, 5/15/ 1,501,622 Industrial Conglomerates - 0.3% 989,744 Kansas City Southern Railway Co., Advance Ter 966,650 Construction & Farm Machinery & Heavy Trucks - 1.8% 1,500,000 Bucyrus International, Inc., Tranche C U.S. D 1,511,709 2,955,176 Manitowoc Co., Inc., Term Loan B, 7.5%, 11/6/ 2,951,482 868,601 Oshkosh Truck Corp., Term Loan B, 6.25% - 6.2 871,315 5,334,506 Total Capital Goods 20,573,256 Commercial & Professional Services - 5.3% Commercial Printing - 0.8% 40,205 Cenveo Corp., Delayed Draw Term Loan, 4.753%, 40,274 1,408,199 Cenveo Corp., Facility Term Loan C, 4.753%, 6 1,410,620 747,292 World Color Press, Inc. & World Color (USA) C 757,879 2,208,773 Diversified Commercial & Professional Services - 2.1% 970,000 Aramark Canada, Ltd., Canadian Term Loan, 2.1 923,925 5,647,454 Cydcor, Inc., First Lien Tranche B Term Loan, 5,287,429 6,211,354 Environmental & Facilities Services - 1.1% 1,750,000 Advanced Disposal Services, Inc., Term Loan B 1,758,750 1,100,000 Brickman Group Holdings, Inc., Tranche B Term 1,051,875 422,875 Casella Waste Systems, Inc., Term Loan B, 7.0 427,104 3,237,729 Diversified Support Services - 1.0% 890,069 Allied Security Holdings LLC, Term Loan, 6.75 900,639 398,974 Iron Mountain, Inc., Initial Term Loan, 1.5%, 387,005 1,750,000 Language Line LLC, Tranche B Term Loan, 5.5%, 1,760,937 3,048,581 Security & Alarm Services - 0.3% 997,500 Protection One Alarm Monitoring, Inc., Tranch 964,665 Total Commercial & Professional Services 15,671,102 Transportation - 3.2% Airlines - 1.7% 980,000 Delta Airlines, Inc., Credit-Linked Deposit L 922,016 472,727 Delta Airlines, Inc., Second Lien Term Loan, 403,473 897,750 Delta Airlines, Inc., Term Loan, 8.75%, 9/27/ 906,503 3,650,000 US Airways Group, Inc., Term Loan, 2.729%, 3/ 2,788,341 5,020,333 Marine - 0.4% 1,437,500 Horizon Lines LLC, Term Loan, 3.26%, 8/8/12 1,214,688 Trucking - 0.6% 1,067,819 (c)(d) Gainey Corp., Term Loan, 12.5%, 4/20/12 293,650 512,360 SIRVA Worldwide, Inc., Revolving Credit Loan, 283,079 2,463,211 (d) SIRVA Worldwide, Inc., Second Lien Term Loan, 338,692 1,080,571 SIRVA Worldwide, Inc., Term Loan, 10.25% - 13 702,371 1,617,792 Airport Services - 0.5% 1,713,689 AWAS Capital, Inc., First Lien Term Loan, 2.0 1,602,299 Total Transportation 9,455,112 Automobiles & Components - 6.4% Auto Parts & Equipment - 3.3% 2,878,981 Allison Transmission, Inc., Term Loan, 2.98% 2,650,462 37,495 (c) Cooper-Standard Automotive Canada, Ltd., Cana 37,111 32,045 (c) Cooper-Standard Automotive Canada, Ltd., Tran 31,717 97,713 (c) Cooper-Standard Automotive Canada, Ltd., Tran 96,712 40,695 (c) Cooper-Standard Automotive, Inc., Multicurren 40,278 244,083 (c) Cooper-Standard Automotive, Inc., Tranche C T 241,581 271,324 (c) Cooper-Standard Automotive, Inc., Tranche D T 268,543 134,653 (c) Cooper-Standard Automotive, Inc., Tranche E T 133,273 75,733 (c) Cooper-Standard Automotive, Inc., U.S. Revolv 74,957 592,635 Federal-Mogul Corp., Tranche B Term Loan, 2.1 520,408 302,365 Federal-Mogul Corp., Tranche C Term Loan, 2.1 265,514 3,889,710 Key Safety Systems, Inc., First Lien Term Loa 3,080,164 1,687,500 Lear Corp., Delayed Draw Term Loan, 7.5%, 11/ 1,696,148 500,000 TRW Automotive Inc., Tranche B-3 Term Loan, 5 502,292 9,639,160 Automobile Manufacturers - 3.1% 9,687,108 Ford Motor Co., Tranche B-1 Term Loan, 3.24% 9,099,159 Total Automobiles & Components 18,738,319 Consumer Durables & Apparel - 1.0% Homebuilding - 0.5% 2,369,368 (c)(d) Ginn LA Conduit Lender, Inc., First Lien Tran 195,473 5,077,235 (c)(d) Ginn LA Conduit Lender, Inc., First Lien Tran 418,872 1,000,000 (a)(c)(g)WAICCS Las Vegas 3 LLC, First Lien Term Loan, 300,000 4,500,000 (a)(c)(g)WAICCS Las Vegas 3 LLC, Second Lien Term Loan 455,625 1,369,970 Housewares & Specialties - 0.2% 502,009 Jarden Corp., Term Loan B-3, 2.751%, 1/24/12 499,552 Apparel, Accessories & Luxury Goods - 0.3% 1,000,000 Hanesbrands, Inc., New Term Loan, 5.25%, 12/1 1,013,036 Total Consumer Durables & Apparel 2,882,558 Consumer Services - 5.4% Casinos & Gaming - 1.3% 5,000,000 (a)(c) Fontainebleau Florida Hotel LLC, Tranche C Te 1,650,000 563,337 (c) Fontainebleau Las Vegas LLC, Delayed Draw Ter 111,259 1,126,673 (c) Fontainebleau Las Vegas LLC, Initial Term Loa 222,518 1,200,000 Harrah's Operating Co., Inc., Term Loan B-4, 1,202,000 715,085 Penn National Gaming, Inc., Term Loan B, 1.98 702,750 3,888,527 Hotels, Resorts & Cruise Lines - 0.4% 1,190,445 Yellowstone Mountain Club LLC, Senior First L 1,178,540 Leisure Facilities - 1.4% 2,500,000 Cedar Fair, LP Term Loan B, 3.75%, 4/1/16 2,500,390 12,111 (c)(d) Lake at Las Vegas Joint Venture, Mezzanine Lo 424 587,649 (a)(c) Lake at Las Vegas Joint Venture, Revolving Cr 11,263 6,402,380 (a)(c)(d)Lake at Las Vegas Joint Venture, Term Loan, 1 122,714 1,765,105 (d) Lake at Las Vegas Joint Venture, Debtor in Po 617,787 750,000 Universal City Development Partners, Ltd., Te 756,563 4,009,141 Education Services - 0.6% 1,795,443 Bright Horizons Family Solutions, Inc., Tranc 1,804,420 Specialized Consumer Services - 1.7% 1,017,765 Adesa, Inc., Initial Term Loan, 2.98%, 10/21/ 985,960 165,170 Travelport LLC, Incremental Term Loan C, 10.5 166,340 3,910,021 Web Service Co., LLC, Term Loan, 7.0%, 8/28/1 3,912,465 5,064,765 Total Consumer Services 15,945,393 Media - 26.9% Advertising - 0.5% 1,475,380 Lamar Media Corp., Incremental Term Loan Seri 1,471,692 Broadcasting - 9.8% 2,652,051 Discovery Communications Holding, LLC, Term L 2,676,914 AUD 16,466,037 SMG H5 Pty, Ltd., Facility Term Loan A, 5.731 13,363,015 11,115,966 Univision Communications, Inc., Initial Term 9,620,524 3,769,895 (a)(c) Young Broadcasting, Inc., Term Loan, 4.75%, 1 3,107,023 28,767,476 Cable & Satellite - 12.0% 19,591,675(a)(c)(d)Broadstripe LLC, First Lien Term Loan, 9.25%, 9,795,837 1,428,203 (a)(c)(d)Broadstripe LLC, Revolver Credit Loan, 8.87% 714,102 9,731,809 Cequel Communications LLC, Term Loan, 2.249% 9,260,089 4,937,028 Charter Communications Operating LLC, New Ter 4,621,250 6,600,274 Knology, Inc., Term Loan, 2.479%, 6/30/12 6,402,266 4,863,250 WideOpenWest Finance LLC, First Lien Term Loa 4,506,613 35,300,157 Movies & Entertainment - 3.8% 2,380,607 Alpha Topco, Ltd., Facility Term Loan B-1, 2. 2,140,761 1,608,032 Alpha Topco, Ltd., Facility Term Loan B-2, 2. 1,446,023 1,500,000 Carmike Cinemas, Inc., Initial Term Loan, 5.5 1,499,532 1,563,966 Lodgenet Entertainment Corp., Closing Date Te 1,457,616 7,734,045 (c) Metro-Goldwyn-Mayer, Inc., Tranche B Term Loa 4,694,805 11,238,737 Publishing - 0.8% EURO935,574 Mediannuaire Holding, Term Loan B-2, 2.964%, 924,389 EURO935,574 Mediannuaire Holding, Term Loan C, 3.464%, 10 924,389 3,500,000 (c) Penton Media Holdings, Inc., Second Lien Term 525,000 2,373,778 Total Media 79,151,840 Retailing - 5.7% Distributors - 0.9% 14,944,776(a)(c)(d)Home Interiors & Gifts, Inc., Proof of Claims 2,615,336 Catalog Retail - 0.2% 554,615 QVC, Inc., Tranche 2-W Term Loan, 3.749%, 10/ 555,295 General Merchandise Stores - 2.3% 2,841,135 Dollar General Corp., Tranche B-1 Term Loan, 2,763,990 4,268,478 Dollar General Corp., Tranche B-2 Term Loan, 4,120,682 6,884,672 Oil & Gas - 0.6% 1,700,000 Pilot Travel Centers LLC, Term Loan B, 3.5%, 1,715,021 Specialty Stores - 1.7% 967,414 Sally Holdings LLC, Term Loan B, 2.48%, 11/16 953,076 4,180,100 Toys R Us - Delaware, Inc., Tranche B Term Lo 4,181,830 5,134,906 Total Retailing 16,905,230 Food & Staples Retailing - 2.1% Drug Retail - 0.5% 1,400,000 Rite Aid Corp., Tranche 4 Term Loan, 9.5%, 6/ 1,459,850 Food Retail - 1.6% 4,875,000 Pinnacle Foods Finance LLC, Term Loan, 2.979% 4,601,459 Total Food & Staples Retailing 6,061,309 Food, Beverage & Tobacco - 2.8% Distillers & Vintners - 0.4% 363,391 Constellation Brands, Inc., Extending Tranche 360,114 736,609 Constellation Brands, Inc., Non-Extending Tra 739,823 1,099,937 Agricultural Products - 0.5% 1,500,000 Wm. Bolthouse Farms, Inc., First Lien Term Lo 1,503,124 Packaged Foods & Meats - 1.9% 992,347 Dean Foods Co., Tranche B Term Loan, 1.615% - 956,126 260,245 Dole Food Co., Inc., Credit-Linked Deposit Lo 260,245 309,108 Dole Food Co., Inc., Tranche B Term Loan, 8.0 309,108 220,588 Dole Food Co., Inc., Tranche B-1 Term Loan, 3 221,278 931,627 Dole, Ltd., Tranche C Term Loan, 8.0%, 4/12/1 931,627 529,412 Dole, Ltd., Tranche C-1 Term Loan, 3.25%, 2/1 531,066 2,540,730 Sturm Foods, Inc., Initial First Lien Term Lo 2,542,846 5,752,296 Total Food, Beverage & Tobacco 8,355,357 Household & Personal Products - 4.7% Household Products - 3.6% 2,486,039 Central Garden & Pet Co., Tranche B Term Loan 2,365,466 1,700,000 JohnsonDiversey, Inc., Tranche B Dollar Term 1,717,000 1,400,000 Reynolds Group Holdings, Inc., U.S. Term Loan 1,413,825 4,125,841 (d) Spectrum Brands, Inc., Dollar Term Loan B, 8. 4,130,999 210,397 Spectrum Brands, Inc., LC Loan, 1.5%, 6/30/12 210,660 1,032,010 Yankee Candle Co., Inc., Term Loan, 2.23% - 2 994,599 10,832,549 Personal Products - 0.9% 977,444 (a) Appleseed's Intermediate Holdings, Inc., Firs 464,286 2,500,000 Revlon Consumer Products Corp., Term Loan, 4. 2,474,805 2,939,091 Total Household & Personal Products 13,771,640 Health Care Equipment & Services - 12.2% Health Care Equipment & Services - 1.4% 714,286 Fenwal, Inc., First Lien Delayed Draw Term Lo 625,000 4,167,857 Fenwal, Inc., Initial First Lien Term Loan, 2 3,646,875 4,271,875 Health Care Supplies - 2.9% 464,930 Bausch & Lomb, Inc., Delayed Draw Term Loan, 446,979 1,914,539 Bausch & Lomb, Inc., Parent Term Loan, 3.501% 1,840,617 2,823,229 Biomet, Inc., Dollar Term Loan, 3.229% - 3.25 2,741,901 150,564 CCS Medical, Inc., Debtor in Possession Term 150,564 5,163,713 (c) CCS Medical, Inc., First Lien Term Loan, 4.35 3,472,597 8,652,658 Health Care Services - 3.2% 750,000 Alliance HealthCare Services, Initial Term Lo 748,829 1,500,000 Butler Animal Health Supply LLC, Term Loan, 5 1,511,250 1,069,076 Fresenius SE, Tranche B-1 Term Loan, 6.75%, 9 1,079,099 2,923,664 LifeCare Holdings, Term Loan, 4.5%, 8/10/12 2,550,897 1,016,396 (d) Medical Staffing Network, Inc., Second Lien T 533,608 1,920,000 RehabCare Group, Inc., Term Loan B, 6.0%, 11/ 1,921,200 1,000,000 Rural/Metro Operating Co., LLC, Term Loan, 7. 1,003,125 9,348,008 Health Care Facilities - 4.0% 56,563 CHS/ Community Health Systems, Inc., Delayed 52,971 1,106,643 CHS/ Community Health Systems, Inc., Term Loa 1,036,371 10,813,450 HCA, Inc., Tranche B-1 Term Loan, 2.501%, 11/ 10,282,607 302,147 Psychiatric Solutions, Inc., Term Loan, 2.002 294,215 11,666,164 Managed Health Care - 0.7% 899,355 Aveta, Inc., MMM Original Term Loan, 5.48%, 8 882,117 133,603 Aveta, Inc., NAMM New Term Loan, 5.48%, 8/22/ 131,043 240,747 Aveta, Inc., NAMM Original Term Loan, 5.48%, 236,133 737,042 Aveta, Inc., PHMC Acquisition Term Loan, 5.48 722,915 1,972,208 Total Health Care Equipment & Services 35,910,913 Pharmaceuticals & Biotechnology & Life Sciences - 5.5% Biotechnology - 0.8% 365,000 Warner Chilcott Co., Inc., Term Loan B-3, 5.7 365,937 722,034 Warner Chilcott Co., LLC, Term Loan A, 5.5%, 723,523 794,237 Warner Chilcott Co., LLC, Term Loan B-2, 5.75 795,454 361,017 Warner Chilcott Corp., Term Loan B-1, 5.75%, 361,570 2,246,484 Pharmaceuticals - 4.7% 575,924 Fresenius SE, Tranche B-2 Term Loan, 6.75%, 9 581,323 305,135 Graceway Pharmaceuticals LLC, First Lien Term 219,697 2,000,000 Graceway Pharmaceuticals LLC, Mezzanine Loan, 350,000 12,844,551 Mylan, Inc., U.S. Tranche B Term Loan, 3.5% - 12,728,590 13,879,610 Total Pharmaceuticals & Biotechnology & Life 16,126,094 Diversified Financials - 0.6% Specialized Finance - 0.6% 1,920,181 Collect Acquisition Corp., Advance Term Loan 1,907,781 Consumer Finance - 0.0% 6,809 Dollar Financial Corp., Canadian Borrower Ter 6,616 5,007 Dollar Financial Corp., Delayed Draw Term Loa 4,865 11,481 Total Diversified Financials 1,919,262 Insurance - 1.7% Insurance Brokers - 1.7% 847,875 HUB International, Ltd., Additional Term Loan 839,662 861,964 HUB International, Ltd., Delayed Draw Term Lo 795,432 3,125,933 HUB International, Ltd., Initial Term Loan, 2 2,884,652 498,750 USI Holdings Corp., New Term Loan Series C, 7 485,867 5,005,613 Multi-Line Insurance - 0.0% 148,855 AMWINS Group, Inc., Initial Term Loan, 2.76%, 138,993 Total Insurance 5,144,606 Real Estate - 1.3% Diversified Real Estate Investment Trust - 1.3% 5,000,000 Spirit Finance Corp., Term Loan, 3.249%, 8/1/ 3,925,000 Total Real Estate 3,925,000 Software & Services - 14.0% IT Consulting & Other Services - 4.8% 937,886 Activant Solutions, Inc., Term Loan, 2.25% - 896,854 4,534,884 Keane International, Inc., Closing Date Term 4,240,116 348,837 Keane International, Inc., Synthetic LC Loan, 326,163 4,937,500 SunGard Data Systems, Inc., Incremental Term 4,983,172 3,683,176 SunGard Data Systems, Inc., Tranche A U.S. Te 3,547,934 13,994,239 Data Processing & Outsourced Services - 1.4% 2,020,899 DTN, Inc., Tranche C Term Loan, 5.227% - 7.0% 1,965,324 992,386 First Data Corp., Initial Tranche B-2 Term Lo 868,269 1,188,927 Lender Processing Services, Inc., Term Loan B 1,189,917 4,023,510 Application Software - 1.9% 1,602,258 Nuance Communications, Inc., Term Loan, 2.23% 1,548,975 3,531,739 Serena Software, Inc., Term Loan, 2.257%, 3/1 3,306,591 931,279 Verint Systems, Inc., Term Loan, 3.48%, 5/25/ 884,715 5,740,281 Systems Software - 5.9% 1,250,000 Allen Systems Group, Inc., First Lien Term Lo 1,259,766 2,334,269 Applied Systems, Inc., Term Loan, 2.729%, 9/2 2,229,227 2,324,507 Infor Enterprise Solutions Holdings, Inc., De 2,174,867 2,925,000 Infor Enterprise Solutions Holdings, Inc., Do 2,654,437 4,455,304 Infor Enterprise Solutions Holdings, Inc., In 4,168,494 1,466,667 Infor Enterprise Solutions Holdings, Inc., Se 1,173,333 2,533,333 Infor Enterprise Solutions Holdings, Inc., Se 2,064,667 665,334 Macrovision Solutions Corp., Term Loan, 6.0%, 668,660 1,000,000 Vangent, Inc., Term Loan, 2.48% - 2.51%, 2/14 955,000 17,348,451 Total Software & Services 41,106,481 Technology Hardware & Equipment - 3.3% Communications Equipment - 0.8% 868,732 CommScope, Inc., Term Loan B, 2.729% - 4.75%, 859,269 1,500,000 TowerCo Finance LLC, Term Loan, 6.0%, 11/24/1 1,515,000 2,374,269 Electronic Equipment & Instruments - 1.0% 611,111 H3C Holdings, Ltd., Tranche B Term Loan, 3.63 592,778 1,151,542 Itron, Inc., Dollar Term Loan, 3.98%, 4/18/14 1,148,663 1,543,513 Scitor Corp., Term Loan, 4.48%, 9/26/14 1,366,009 3,107,450 Electronic Components - 0.4% 36,285 Flextronics International, Ltd., A-1-B Delaye 34,440 1,154,601 Flextronics International, Ltd., A-3 Delayed 1,104,087 1,138,527 Electronic Manufacturing Services - 1.1% 1,730,570 Baldor Electric Co., Term Loan, 5.25%, 1/31/1 1,741,040 749,889 FCI USA, Inc., Facility Term Loan B-1, 3.617% 703,958 749,889 FCI USA, Inc., Facility Term Loan B-5-B, 3.61 703,958 3,148,956 Total Technology Hardware & Equipment 9,769,202 Telecommunication Services - 11.0% Alternative Carriers - 2.0% 6,500,000 Level 3 Financing, Inc., Tranche A Term Loan, 5,881,148 Integrated Telecommunication Services - 6.6% EURO752,152 Amsterdamse Beheer-EN Consultingmaatschappij 997,503 EURO390,705 Amsterdamse Beheer-EN Consultingmaatschappij 518,153 EURO1,142,857 Amsterdamse Beheer-EN Consultingmaatschappij 1,515,657 EURO857,143 Amsterdamse Beheer-EN Consultingmaatschappij 1,136,742 EURO857,143 Amsterdamse Beheer-EN Consultingmaatschappij 1,136,742 1,000,000 Hargray Acquisition Co., Second Lien Term Loa 850,000 1,915,102 Integra Telecom Holdings, Inc., First Lien Te 1,923,481 3,983,117 Telesat Canada, U.S. Term I Loan, 3.24%, 10/3 3,891,362 342,116 Telesat Canada, U.S. Term II Loan, 3.24%, 10/ 334,235 748,072 Time Warner Telecom Holdings, Inc., Term Loan 732,122 1,289,573 West Corp., Term Loan B-2, 2.604% - 2.624%, 1 1,249,475 EURO1,500,000 Wind Telecomunicazione S.p.A., Facility Term 1,986,108 EURO1,500,000 Wind Telecomunicazione S.p.A., Facility Term 1,986,108 1,177,887 Windstream Corp., Tranche B-2 Term Loan, 3.01 1,146,967 19,404,655 Wireless Telecommunication Services - 2.4% 7,280,694 MetroPCS Wireless, Inc., Tranche B Term Loan, 7,041,035 Total Telecommunication Services 32,326,838 Utilities - 5.7% Electric Utilities - 4.8% 2,971,040 (h) Bosque Power Co. LLC, Term Loan, 5.489%, 1/16 2,260,465 1,754,777 Coleto Creek Power, L.P., First Lien Syntheti 1,595,750 3,370,991 Coleto Creek Power, L.P., First Lien Term Loa 3,065,495 4,825,000 Coleto Creek Power, L.P., Second Lien Term Lo 3,956,500 881,057 (a)(d)(e)GBGH LLC, First Lien Term Loan, 4.0%, 6/9/13 411,013 282,485 (a)(d)(e)GBGH, LLC, Second Lien Term Loan, 12.0%, 6/9/ 2,825 3,430,445 Texas Competitive Electric Holdings Co. LLC, 2,773,943 14,065,991 Independent Power Producers & Energy Traders - 0.9% 1,978,502 Calpine Corp., First Priority Term Loan, 3.13 1,864,857 275,941 Mach Gen LLC, First Lien Synthetic LC Loan, 0 257,177 273,514 NRG Energy, Inc., Credit-Linked Deposit Loan, 264,951 465,537 NRG Energy, Inc., Term Loan, 1.981% - 2.001%, 450,963 2,837,948 Total Utilities 16,903,939 TOTAL SENIOR SECURED FLOATING RATE LOAN INTERESTS (Cost $477,679,903) 412,315,711 CLAIMS - 0.0% of Net Assets Capital Goods - 0.0% Airlines - 0.0% 1,200,000 (a)(e)(i)Northwest Airlines, Inc., ALPA Claim-Escrow, 826 2,500,000 (a)(e)(i)Northwest Airlines, Inc., Bell Atlantic Claim 1,720 2,500,000 (a)(e)(i)Northwest Airlines, Inc., EDC Claim-Escrow, 5 1,720 2,130,600 (a)(e)(i)Northwest Airlines, Inc., Flight Attendant Cl 1,466 1,500,000 (a)(e)(i)Northwest Airlines, Inc., GE Claim-Escrow, 2. 1,032 1,264,500 (a)(e)(i)Northwest Airlines, Inc., IAM Claim-Escrow, 2 870 1,404,900 (a)(e)(i)Northwest Airlines, Inc., Retiree Claim-Escro 966 Total Capital Goods 8,600 TOTAL CLAIMS (Cost $0) 8,600 CORPORATE NOTES - 15.0% of Net Assets Energy - 0.9% Oil & Gas Exploration & Production - 0.9% 2,500,000 Denbury Resources, Inc., 8.25%, 2/15/20 2,587,500 Total Energy 2,587,500 Materials - 0.8% Paper Products - 0.8% 1,750,000 Appleton Papers, Inc., 10.5%, 6/15/15 (144A) 1,618,750 600,000 Cellu Tissue Holdings, Inc., 11.5%, 6/1/14 664,500 Total Materials 2,283,250 Capital Goods - 1.2% Aerospace & Defense - 0.8% 550,000 DigitalGlobe, Inc., 10.5%, 5/1/14 (144A) 591,250 1,850,000 Spirit AeroSystems, Inc., 7.5%, 10/1/17 (144A 1,831,500 2,422,750 Construction & Farm Machinery & Heavy Trucks - 0.4% 1,000,000 Manitowoc Co., Inc., 9.5%, 2/15/18 997,500 Total Capital Goods 3,420,250 Automobiles & Components - 0.9% Auto Parts & Equipment - 0.1% 127,932 Delphi International Holdings S.A.R.L, 12.0%, 127,932 Tires & Rubber - 0.8% 3,000,000 (b) American Tire Distributors, Inc., 6.501%, 4/1 2,475,000 Total Automobiles & Components 2,602,932 Consumer Durables & Apparel - 0.3% Housewares & Specialties - 0.3% 1,000,000 Jarden Corp., 8.0%, 5/1/16 1,045,000 Total Consumer Durables & Apparel 1,045,000 Retailing - 0.6% Catalog Retail - 0.6% 1,825,000 QVC, Inc., 7.5%, 10/1/19 (144A) 1,847,813 Total Retailing 1,847,813 Pharmaceuticals & Biotechnology & Life Sciences - 9.1% Biotechnology - 1.6% 3,863,129 (a) Fosamprenavir Pharma, 15.5%, 6/15/18 (144A) 3,554,079 2,884,444 (a)(b)(d)Molecular Insight Pharmaceuticals, Inc., 9.23 1,298,000 4,852,079 Pharmaceuticals - 7.5% 15,000,000(a) Azithromycin Royalty Sub LLC, 16.0%, 5/15/19 11,550,000 11,482,524(a)(d) Celtic Pharma Phinco B.V., 17.0%, 6/15/12 (14 6,889,514 840,000 (a) Pharma V, 13.0%, 10/15/13 (144A) 806,400 639,101 (a)(b)(d)Pharma VI, 5.501%, 10/15/14 (144A) 543,236 1,209,357 (a)(d) Pharma X, 15.5%, 3/30/17 (144A) 1,027,953 1,500,000 (a)(d) TCD Pharma, 16.0%, 4/15/24 (144A) 1,320,000 22,137,103 Total Pharmaceuticals & Biotechnology & Life 26,989,182 Diversified Financials - 0.3% Consumer Finance - 0.1% 200,000 Capital One Financial Corp., 7.375%, 5/23/14 229,268 Asset Management & Custody Banks - 0.2% 530,000 Janus Capital Group, Inc., 6.25%, 6/15/12 531,000 Total Diversified Financials 760,268 Insurance - 0.5% Reinsurance - 0.5% 250,000 (b) Muteki, Ltd., 4.65%, 5/24/11 (144A) 244,625 500,000 (b) Mystic Re, Ltd., 10.252%, 6/7/11 (144A) 511,750 600,000 (b) Residential Reinsurance 2008, Ltd., 7.002%, 6 607,380 Total Insurance 1,363,755 Real Estate - 0.3% Specialized Real Estate Investment Trusts - 0.3% 750,000 Hospitality Properties Trust, 7.875%, 8/15/14 805,446 Diversified Real Estate Activities - 0.0% 150,000 WEA Finance LLC, 7.5%, 6/2/14 (144A) 169,413 Total Real Estate 974,859 Telecommunication Services - 0.1% Integrated Telecommunication Services - 0.1% 300,000 Frontier Communications Corp., 8.25%, 5/1/14 308,250 Total Telecommunication Services 308,250 TOTAL CORPORATE NOTES (Cost $53,497,823) 44,183,059 COMMON STOCK - 4.2% of Net Assets Energy - 0.0% Oil & Gas Drilling - 0.0% 138 (a)(e)(i)TARH E&P Holdings GP, LLP Class A Membership 1 130,056 (a)(e)(i)TARH E&P Holdings LP, Class A Partnership Int 1,301 Total Energy 1,302 Materials - 0.7% Commodity Chemicals - 0.6% 136,965 (i) Georgia Gulf Corp. 1,954,490 Diversified Chemicals - 0.1% 20,650 (e)(i) Panda Herford Ethanol LP 206,500 Total Materials 2,160,990 Transportation - 0.1% Airlines - 0.0% 4,866 (i) Delta Airlines, Inc. 62,869 Trucking - 0.1% 12,887 (i) SIRVA Worldwide, Inc. 193,305 Total Transportation 256,174 Automobiles & Components - 3.3% Auto Parts & Equipment - 3.3% 829 (i) Delphi DIP Holdco LLP, Class B Subscription 9,813,287 Total Automobiles & Components 9,813,287 Media - 0.1% Broadcasting - 0.1% 5,325 (i) Charter Communications, Inc. 158,419 Total Media 158,419 Utilities - 0.0% Electric Utilities - 0.0% 1,589 (e)(i) GBGH, LLC Membership Interest 16 Total Utilities 16 TOTAL COMMON STOCK (Cost $8,732,251) 12,390,188 LIQUIDATING TRUST - 0.0% of Net Assets Consumer Services - 0.0% Hotels, Resorts & Cruise Lines - 0.0% 3,377,886 (e)(i) Yellowstone Mountain Club LLC, Liquidating Tr 0 TOTAL LIQUIDATING TRUST (Cost $0) 0 WARRANTS - 0.0% of Net Assets Energy - 0.0% Oil & Gas Equipment & Services - 0.0% 213,605 (a)(e)(i)Value Creation, Inc., Exp. 1/29/14 0 Total Energy 0 Telecommunication Services - 0.0% Integrated Telecommunication Services - 0.0% 400,000 (a)(i) Clearwire Corp., Exp. 8/15/10 (144A) 400 Total Telecommunication Services 400 TOTAL WARRANTS (Cost $956,752) 400 TEMPORARY CASH INVESTMENTS - 1.9% of Net Assets Repurchase Agreements - 1.9% 5,600,000 BNP Paribas, 0.12%, dated 2/26/10, repurchase price of $5,600,000 plus accrued interest on 3/1/10 collateralized by the following: $1,988,285 Federal Home Loan Mortgage Corp., 2.614% - 6.811%, 4/1/33 - 12/1/37 $3,723,715 Federal National Mortgage Association (ARM), 1.881% - 6.342%, 6/1/17 - 12/1/ 5,600,000 TOTAL TEMPORARY CASH INVESTMENTS (Cost $5,600,000) 5,600,000 TOTAL INVESTMENTS IN SECURITIES - 162.6% (Cost $552,752,548)(j) 479,124,976 OTHER ASSETS AND LIABILITIES - (0.7)% (2,005,099) PREFERRED SHARES AT REDEMPTION VALUE, INCLUDING DIVIDENDS PAYABLE - (61.9)% (182,482,039) NET ASSETS APPLICABLE TO COMMON SHAREOWNERS 294,637,838 * Floating rate loan interests in which the Trust invests generally pay interest at rates that are periodically redetermined 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 (London InterBank Offered Rate), (ii) the prime rate offered by one or more major United States banks, commercial lenders. The interest rate shown is the (iii) the certificate of deposit (iv) other base lending rates used by coupon rate accruing at February 28, 2010. (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, 2010, the value of these securities amounted to $48,398,753 or 16.4% of total net assets applicable to common shareowners. (a) Indicates a security that has been deemed illiquid. The aggregate cost of illiquid securities is $112,839,597. The aggregate value$62,404,189 represents 21.2% of the total net assets applicable to common shareowners. (b) Floating Rate Note. The rate shown is the coupon rate at February 28, 2010. (c) Security is in default and is non-income producing. (d) Represents a pay in kind security. (e) Security is valued using fair value methods (other than prices supplied by independent pricing services). (f) Issuer in the process of reorganization. (g) The company and agent bank are in the process of negotiating forbearance. (h) On February 28, 2010, the security was not in default but defaulted after the period end. (i) Non-income producing. (j) At February 28, 2010, the net unrealized loss on investments based on cost for federal income tax purposes of $553,114,688 was as follows: Aggregate gross unrealized gain for all investments in which there is an excess of value over tax $14,641,075 Aggregate gross unrealized loss for all investments in which there is an excess of tax cost over(88,630,787) Net unrealized loss ($73,989,712) For financial reporting purposes net unrealized loss on investments was $73,627,572 and cost of investments aggregated $552,752,548. Glossary of Terms: LC- Letter of Credit Principal amounts are denominated in U.S. dollars unless otherwise noted. AUD - Australian Dollar EURO - Euro For the period ended February 28, 2010, the Trust had unfunded loan commitment of $2,340,721 which would be extended at the option of the borrower, pursuant to the following loan agreements: Unfunded Loan Borrower Commitment Delphi Holdings LLP, Tranche A-1 Loan $32,763 Delphi Holdings LLP, Tranche A-2 Loan 76,448 Delphi Holdings LLP, Tranche B-1A Loan 331,844 Delphi Holdings LLP, Tranche B-2A Loan 774,303 SIRVA Worldwide, Inc., Revolving Credit Loan 1,125,363 $2,340,721 Various inputs are used in determining the value of the Trust's investments. These inputs are summarized in the three broad levels listed below. Highest priority is given to Level 1 inputs and lowest priority is given to Level 3. Level 1 - quoted prices in active markets for identical securities Level 2 - other significant observable inputs (including quoted rices for similar securities, interest rates, prepayment speeds, credit risk, etc.) Level 3 - significant unobservable inputs (including the Trust's own assumptions in determining fair value of investments) The following is a summary of the inputs used as of February 28, 2010, in valuing the Trust's assets: Level 1 Level 2 Level 3 Total Collateralized loan obligation $0 $0 $4,627,018 $4,627,018 Senior flt rate loan (oil&gas drilling) 0 5,134,469 1,295,234 6,429,703 Senior flt rate loan (oil&gas exploration)0 2,512,093 0 2,512,093 Senior flt rate loan (cable & satellite) 0 24,790,218 10,509,939 35,300,157 Senior flt rate loan (electric utilities) 0 13,652,153 413,838 14,065,991 Senior flt rate loan (other industries) 0 354,007,767 0 54,007,767 Claims 0 0 8,600 8,600 Corporate notes (biotech) 0 0 4,852,079 4,852,079 Corporate notes (pharmaceuticals) 0 0 22,137,103 22,137,103 Corporate notes (other industries) 0 17,193,877 0 17,193,877 Common stock (oil & gas drilling) 0 1,302 1,302 Common stock (diversified chemicals) 0 0 206,500 206,500 Common stock (trucking) 0 193,305 0 193,305 Common stock (auto parts & equip) 0 9,813,287 0 9,813,287 Common stock (electric utilities) 0 0 16 16 Common stock (other industries 2,175,778 0 0 2,175,778 Liquidating trust 0 0 0 0 Warrants 0 400 0 400 Temporary cash investments 0 5,600,000 0 5,600,000 Total $2,175,778 $432,897,569 $44,051,629 $479,124,976 Other Financial Instrumements $0 ($453,798) $0 ($453,798) The following is a reconciliation of assets valued using significant unobservable inputs (level 3): Change in Net Transfers Balance as unrealized purchase in/(out)Balance as of 11/30/09 app/(dep) (sales) Level 3 of 2/28/10 Collateralized loan oblig $4,485,650 $142,814 ($1,446) $0 $4,627,018 Senior flt rate loan(oil/gas drill)1,275,323 (605) 20,516 0 1,295,234 Senior flt rate loan(oil&gas expl) 0 0 0 0 0 Senior flt rate loan(cable & sat)10,509,939 0 0 0 10,509,939 Senior flt rate loan(electric utl) 413,755 (8,210) 8,293 0 413,838 Claims 8,600 0 0 0 8,600 Corporate notes (biotech) 6,001,042 (1,005,230)(143,733) 0 4,852,079 Corporate notes (pharma) 21,965,041 (332,445) 504,507 0 22,137,103 Common stock (oil/gas drill) 1,302 0 0 0 1,302 Common stock (diversified chem) 206,500 0 0 0 206,500 Common stock (broadcasting) 206,250 0 0 (206,250) 0 Common stock (electric utl) 16 0 0 0 16 Liquidating trust 0 0 0 0 0 Ending balance 45,073,418 ($1,203,676)$388,137 ($206,250) $44,051,629 *Transfers are calcuated beginning of period. ITEM 2. CONTROLS AND PROCEDURES. (a) Disclose the conclusions of the registrant's principal executive officer or officers and principal financial officer or officers, or persons performing similar functions, about the effectiveness of the registrant's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Act (17 CFR 270.30a-3(c))) as of a date within 90 days of the filing date of the report that includes the disclosure required by this paragraph, based on their evaluation of these controls and procedures required by Rule 30a-3(b) under the Act (17 CFR270.30a-3(b))) and Rule 13a-15(b) or 15d-15(b) under the Exchange Act (17 CFR240.13a-15(b) or 240.15d-15(b)). The registrant's principal executive officer and principal financial officer have concluded that the registrant's disclosure controls and procedures are effective based on their evaluation of these controls and procedures as of a date within 90 days of the filing date of this report. (b) Disclose any change in the registrant's internal controls over financial reporting (as defined in Rule 30a-3(d) under the Act (17 CFR270.30a-3(d)) that occurred during the registrant's last fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting. There were no significant changes in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that have materially affected, or are reasonably likely to materially affect, the registrant's internal control over financial reporting. ITEM 3. EXHIBITS. (a) A separate certification for each principal executive officer and principal financial officer of the registrant as required by Rule 30a-2 under the Act (17 CFR 270.30a-2). Filed herewith. SIGNATURES [See General Instruction F] Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized. (Registrant) Pioneer Floating Rate Trust By (Signature and Title)* /s/ John F. Cogan, Jr. John F. Cogan, Jr, President Date April 29, 2010 Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated. By (Signature and Title)* /s/ John F. Cogan, Jr. John F. Cogan, Jr., President Date April 29, 2010 By (Signature and Title)* /s/ Mark Bradley Mark Bradley, Treasurer Date April 29, 2010 * Print the name and title of each signing officer under his or her signature.