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 811-22014 Pioneer Diversified High Income 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: April 30 Date of reporting period: July 31, 2009 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 Diversified High Income Trust SCHEDULE OF INVESTMENTS 7/31/09 (unaudited) Principal Amount USD ($) Value ($) ASSET BACKED SECURITIES - 3.2% of Net Assets Consumer Services - 0.3% Restaurants - 0.3% 500,000 DB Master Finance LLC, 8.285%, 6/20/31 (144A) 431,350 Total Consumer Services 431,350 Banks - 2.6% Thrifts & Mortgage Finance - 2.6% 246,741 (a) Ace Securities Corp., 0.885%, 12/25/34 150,850 974,674 (a) Bayview Financial Acquisition Trust, 0.87%, 8/28 835,892 1,578,366 (a) Bayview Financial Acquisition Trust, 0.915%, 5/2 1,222,520 200,000 (a) Carrington Mortgage Loan Trust, 0.385%, 10/25/36 127,077 699,000 (a) Carrington Mortgage Loan Trust, 0.485%, 2/25/37 391,169 176,075 (a) Countrywide Asset-Backed Certificates, 0.465%, 7 121,557 80,990 (a) First Franklin Mortgage Loan Asset-Backed Certif 53,128 250,000 (a) GSAMP Trust, 0.415%, 1/25/37 173,876 162,947 (a) GSAMP Trust, 0.715%, 3/25/35 155,355 724,977 (a) Lehman XS Trust, 0.635%, 12/25/35 179,988 160,148 (a) Residential Asset Mortgage Products, Inc., 0.485 109,009 Total Banks 3,520,421 Diversified Financials - 0.3% Other Diversified Financial Services - 0.3% 950,000 (a) Aircraft Finance Trust, 0.768%, 5/15/24 (144A) 256,500 233,734 (a) Aircraft Finance Trust, 0.788%, 5/15/24 (144A) 140,241 Total Diversified Financials 396,741 TOTAL ASSET BACKED SECURITIES 4,348,512 (Cost $5,273,787) COLLATERALIZED MORTGAGE OBLIGATIONS - 1.5% of Net Assets Banks - 1.5% Thrifts & Mortgage Finance - 1.5% 280,534 (a) Countrywide Home Loans, 0.635%, 3/25/35 65,868 609,275 (a) Downey Savings and Loan Association Mortgage Loa 216,798 418,876 (a) Downey Savings and Loan Association Mortgage Loa 62,832 1,322,670 (a) Impac CMB Trust, 1.045%, 1/25/35 812,868 243,238 (a) Impac Secured Assets CMN Owner Trust, 0.375%, 11 100,503 755,118 (a) Luminent Mortgage Trust, 0.545%, 7/25/36 101,333 452,566 (a) WaMu Mortgage Pass-Through Certificates, 0.515%, 273,197 1,490,393 (a) WaMu Mortgage Pass-Through Certificates, 0.765%, 382,043 Total Banks 2,015,442 TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $3,580,510) 2,015,442 CORPORATE BONDS & NOTES - 82.0% of Net Assets Energy - 7.0% Oil & Gas Drilling - 0.1% NOK 1,500,000 Petrolia Drilling ASA, 12.0%, 6/20/12 (144A) 77,974 Oil & Gas Equipment & Services - 1.1% 300,000 (b) Nexus 1 Pte, Ltd., 10.5%, 3/7/12 (144A) 60,000 1,120,000 Oceanografia SA de CV, 11.25%, 7/15/15 (144A) 571,200 700,000 (a) Sevan Marine ASA, 4.43%, 5/14/13 (144A) 483,000 NOK 3,000,000 (a) Sevan Marine ASA, 7.38%, 10/24/12 (144A) 350,883 154,800 Skeie Drilling & Production ASA, 11.25%, 3/8/13 64,322 1,529,405 Oil & Gas Exploration & Production - 4.5% 505,000 Berry Petroleum Co., 10.25%, 6/1/14 527,725 125,000 Chesapeake Energy Corp., 9.5%, 2/15/15 132,656 500,000 (m) Harvest Operations Corp., 7.875%, 10/15/11 435,000 970,000 Hilcorp Energy I LP, 9.0%, 6/1/16 (144A) 892,400 685,000 Linn Energy LLC, 11.75%, 5/15/17 (144A) 691,850 855,000 Mariner Energy, Inc., 11.75%, 6/30/16 893,475 NOK 3,500,000 Norwegian Energy Co. AS, 11.0%, 7/13/10 (144A) 528,761 NOK 2,000,000 PA Resources AB, 8.75%, 3/10/10 308,647 530,000 Parallel Petroleum Corp., 10.25%, 8/1/14 376,300 225,000 PetroQuest Energy, Inc., 10.375%, 5/15/12 198,000 240,000 Quicksilver Resources, Inc., 7.125%, 4/1/16 201,600 335,000 SandRidge Energy, Inc., 8.0%, 6/1/18 (144A) 304,850 670,000 (c) SandRidge Energy, Inc., 8.625%, 4/1/15 636,500 6,127,764 Oil & Gas Storage & Transportation - 1.0% 500,000 Holly Energy Partners LP, 6.25%, 3/1/15 445,000 1,245,000 (a) Southern Union Co., 7.2%, 11/1/66 896,400 1,341,400 Coal & Consumable Fuels - 0.3% 505,000 Massey Energy Co., 6.875%, 12/15/13 487,325 Total Energy 9,563,868 Materials - 10.3% Commodity Chemicals - 0.3% 195,000 (d) ARCO Chemical Co., 9.8%, 2/1/20 51,675 1,530,000 (d) Georgia Gulf Corp., 10.75%, 10/15/16 260,100 300,000 (d) Montell Finance Co. BV, 8.1%, 3/15/27 (144A) 157,500 469,275 Diversified Chemicals - 0.9% 380,000 Ashland, Inc., 9.125%, 6/1/17 (144A) 400,900 EURO 1,275,000 Ineos Group Holdings Plc, 7.875%, 2/15/16 (144A) 822,476 1,223,376 Specialty Chemicals - 0.1% EURO 200,000 Kronos International, Inc., 6.5%, 4/15/13 144,611 Construction Materials - 0.9% 865,000 AGY Holding Corp., 11.0%, 11/15/14 696,325 300,000 (a)(e) C8 Capital SPV, Ltd., 6.64% (144A) 169,077 500,000 U.S. Concrete, Inc., 8.375%, 4/1/14 321,250 1,186,652 Metal & Glass Containers - 1.7% 1,145,000 AEP Industries, Inc., 7.875%, 3/15/13 1,033,362 EURO 255,000 Ardagh Glass Finance Plc, 9.25%, 7/1/16 (144A) 378,700 EURO 625,000 Impress Holdings BV, 9.25%, 9/15/14 (144A) 879,452 2,291,514 Paper Packaging - 1.2% 700,000 Graham Packaging Co., Inc., 9.875%, 10/15/14 670,250 500,000 Graphic Packaging International, Inc., 9.5%, 8/1 498,125 750,000 U.S. Corrugated, Inc., 10.0%, 6/1/13 525,000 1,693,375 Aluminum - 0.7% 600,000 (d) Asia Aluminum Holdings, Ltd., 8.0%, 12/23/11 (14 88,500 300,000 CII Carbon LLC, 11.125%, 11/15/15 (144A) 240,000 1,244,070(a)(c) Noranda Aluminum Acquisition Corp., 5.413%, 5/15 647,878 976,378 Diversified Metals & Mining - 1.4% 320,000 (c) Blaze Recycling & Metals LLC, 13.0%, 7/16/12 200,000 195,000 FMG Finance Pty., Ltd., 10.625%, 9/1/16 (144A) 201,338 745,000 Teck Resources, Ltd., 10.25%, 5/15/16 (144A) 843,712 750,000 Vedanta Resources Plc, 9.5%, 7/18/18 (144A) 684,375 1,929,425 Precious Metals & Minerals - 0.3% 500,000 ALROSA Finance SA, 8.875%, 11/17/14 (144A) 460,000 Steel - 1.4% 1,245,000 Algoma Acquisition Corp., 9.875%, 6/15/15 (144A) 846,600 250,000 Evraz Group SA, 9.5%, 4/24/18 (144A) 211,250 920,000 Ryerson, Inc., 12.0%, 11/1/15 818,800 EURO 50,000 Zlomrex International Finance SA, 8.5%, 2/1/14 ( 12,760 1,889,410 Forest Products - 0.5% 47,652 (m) Ainsworth Lumber Co., Ltd., 11.0%, 7/29/15 (144A 19,436 500,000 (d) Mandra Forestry Holdings, Ltd., 12.0%, 5/15/13 ( 350,000 250,000 Sino-Forest Corp., 10.25%, 7/28/14 (144A) 257,500 626,936 Paper Products - 0.9% 425,000 Cellu Tissue Holdings, Inc., 11.5%, 6/1/14 (144A 425,000 260,000 Clearwater Paper Corp., 10.625%, 6/15/16 (144A) 274,300 600,000 Exopack Holding Corp., 11.25%, 2/1/14 534,000 1,233,300 Total Materials 14,124,252 Capital Goods - 6.4% Aerospace & Defense - 1.2% 750,000 Aeroflex. Inc., 11.75%, 2/15/15 607,500 EURO 500,000 Bombardier, Inc., 7.25%, 11/15/16 (144A) 637,990 405,000 DigitalGlobe, Inc., 10.5%, 5/1/14 (144A) 422,213 1,667,703 Building Products - 0.3% 365,000 USG Corp., 9.75%, 8/1/14 (144A) 372,300 Construction & Engineering - 0.6% 350,000 Dycom Industries, Inc., 8.125%, 10/15/15 288,750 100,000 (a) Esco Corp., 4.504%, 12/15/13 (144A) 84,000 500,000 Esco Corp., 8.625%, 12/15/13 (144A) 460,000 832,750 Industrial Conglomerates - 0.6% 671,898 (c)(f) American Achievement Group Holding Corp., 16.75% 117,022 500,000 Cia Latinoamericana de Infraestructura & Servici 340,625 500,000 (d) Indalex Holding Corp., 11.5%, 2/1/14 25,000 740,000 Park-Ohio Industries, Inc., 8.375%, 11/15/14 377,400 860,047 Construction & Farm Machinery & Heavy Trucks - 1.6% 720,000 American Railcar Industries, Inc., 7.5%, 3/1/14 658,800 770,000 Commercial Vehicle Group, Inc., 8.0%, 7/1/13 438,900 950,000 Greenbrier Companies, Inc., 8.375%, 5/15/15 693,500 400,000 Titan International, Inc., 8.0%, 1/15/12 368,000 2,159,200 Industrial Machinery - 1.0% 1,220,000 Industrias Metalurgicas Pescarmona SA, 11.25%, 1 780,800 875,000 Mueller Water Products, Inc., 7.375%, 6/1/17 640,938 1,421,738 Trading Companies & Distributors - 1.1% 500,000 (m) Intcomex, Inc., 11.75%, 1/15/11 195,625 500,000 KAR Holdings, Inc., 10.0%, 5/1/15 440,000 1,000,000 Wesco Distribution, Inc., 7.5%, 10/15/17 800,000 1,435,625 Total Capital Goods 8,749,363 Commercial & Professional Services - 0.4% Commercial Printing - 0.1% 250,000 Sheridan Group, Inc., 10.25%, 8/15/11 167,500 Environmental & Facilities Services - 0.2% 700,000 (d)(m) Aleris International, Inc., 10.0%, 12/15/16 10,500 210,000 Casella Waste Systems, Inc., 11.0%, 7/15/14 (144 217,350 EURO 107,128 New Reclamation Group Pty., Ltd., 8.125%, 2/1/13 89,610 317,460 Diversified Support Services - 0.1% 400 (g) MSX International, Ltd., UK, 12.5%, 4/1/12 (144A 136,000 Total Commercial & Professional Services 620,960 Transportation - 0.6% Air Freight & Logistics - 0.4% 775,000 CEVA Group Plc, 10.0%, 9/1/14 (144A) 573,500 Railroads - 0.2% 240,000 Kansas City Southern de Mexico, 7.625%, 12/1/13 216,000 Total Transportation 789,500 Automobiles & Components - 1.9% Auto Parts & Equipment - 1.7% 980,000 (m) Allison Transmission, Inc., 11.0%, 11/1/15 (144A 891,800 1,140,000 (d) Lear Corp., 8.75%, 12/1/16 510,150 500,000 (f) Stanadyne Corp., 0.0%, 2/15/15 245,000 160,000 Stanadyne Corp., 10.0%, 8/15/14 129,600 700,000 Tenneco, Inc., 8.625%, 11/15/14 602,000 2,378,550 Tires & Rubber - 0.2% 235,000 Goodyear Tire & Rubber Co., 10.5%, 5/15/16 252,037 Total Automobiles & Components 2,630,587 Consumer Durables & Apparel - 1.4% Homebuilding - 0.4% 695,000 Meritage Homes Corp., 6.25%, 3/15/15 568,163 Housewares & Specialties - 0.6% 1,000,000 Yankee Acquisition Corp., 9.75%, 2/15/17 830,000 Textiles - 0.4% 500,000 Invista, 9.25%, 5/1/12 (144A) 480,000 Total Consumer Durables & Apparel 1,878,163 Consumer Services - 2.6% Casinos & Gaming - 2.6% 500,000 (d) Buffalo Thunder Development Authority, 9.375%, 1 73,750 EURO 1,155,000 Codere Finance Luxembourg SA, 8.25%, 6/15/15 (14 1,203,568 395,000 FireKeepers Development Authority, 13.875%, 5/1/ 395,000 95,000 Galaxy Entertainment Finance Co., Ltd., 9.875%, 90,250 275,000 (b) Little Traverse Bay Bands of Odawa Indians, 10.2 116,875 1,615,000 Mashantucket Western Pequot Tribe, 8.5%, 11/15/1 791,350 EURO 50,000 Peermont Global, Ltd., 7.75%, 4/30/14 (144A) 55,647 180,000 (m) Scientific Games International, Inc., 9.25%, 6/1 186,300 585,000 (d) Station Casinos, Inc., 6.625%, 3/15/18 13,163 750,000 (d) Trump Entertainment Resorts, Inc., 8.5%, 6/1/15 97,500 EURO 405,000 Unibet Group Plc, 9.7%, 12/21/10 579,933 Total Consumer Services 3,603,336 Media - 3.2% Broadcasting - 2.8% 40,000 (d) CCH I LLC, 11.0%, 10/1/15 (144A) 4,950 250,000 (d) CCH II LLC, 10.25%, 9/15/10 266,250 840,000 Hughes Network Systems LLC, 9.5%, 4/15/14 840,000 800,000 (a)(c) Intelsat Bermuda, Ltd., 11.5%, 2/4/17 (144A) 623,558 500,000 Intelsat Subsidiary Holding Co., Ltd., 8.5%, 1/1 505,000 400,000 Kabel Deutschland GmbH, 10.625%, 7/1/14 419,000 430,000 Telesat Canada, 12.5%, 11/1/17 (144A) 438,600 1,245,000(c)(m) Univision Communications, Inc., 9.75%, 3/15/15 ( 821,700 3,919,058 Publishing - 0.4% 600,000 Cengage Learning Acquisitions, Inc., 10.5%, 1/15 516,000 Total Media 4,435,058 Retailing - 0.9% Internet Retail - 0.3% 465,000 Ticketmaster Entertainment, Inc., 10.75%, 7/28/1 432,450 Apparel Retail - 0.0% EURO 74,000 (a) Edcon Holdings Pty., Ltd., 6.777%, 6/15/15 (144A 52,457 Specialty Stores - 0.6% 800,000 (m) Sally Holdings LLC, 10.5%, 11/15/16 824,000 Total Retailing 1,308,907 Food, Beverage & Tobacco - 2.7% Distillers & Vintners - 0.0% EURO 330,000 (d)(h) Belvedere SA, 0.0%, 5/15/13 (144A) 70,179 Packaged Foods & Meats - 1.4% 490,000 (d) Arantes International, Ltd., 10.25%, 6/19/13 (14 19,600 400,000 Bertin Ltda, 10.25%, 10/5/16 (144A) 332,500 400,000 (d) Independencia International, Ltd., 9.875%, 5/15/ 44,000 700,000 Marfrig Overseas, Ltd., 9.625%, 11/16/16 (144A) 609,875 1,175,000 Minerva Overseas, Ltd., 9.5%, 2/1/17 (144A) 694,719 275,000 (f) SA Fabrica de Produtos Alimenticios Vigor, 9.25% 165,000 1,865,694 Tobacco - 1.3% 1,765,000 Alliance One International, Inc., 10.0%, 7/15/16 1,738,525 Total Food, Beverage & Tobacco 3,674,398 Household & Personal Products - 0.1% Household Products - 0.1% 205,000 Central Garden and Pet Co., 9.125%, 2/1/13 204,488 Total Household & Personal Products 204,488 Health Care Equipment & Services - 4.9% Health Care Equipment & Services - 0.5% 750,000 Accellent, Inc., 10.5%, 12/1/13 691,875 Health Care Supplies - 1.5% 750,000 Bausch & Lomb, Inc., 9.875%, 11/1/15 748,125 1,265,000 (c) Biomet, Inc., 10.375%, 10/15/17 1,350,387 2,098,512 Health Care Services - 2.4% 1,385,000 DASA Finance Corp., 8.75%, 5/29/18 (144A) 1,386,731 500,000 Rural/Metro Corp., 9.875%, 3/15/15 457,500 759,890 (c) Surgical Care Affiliates, Inc., 8.875%, 7/15/15 554,720 1,170,000 Surgical Care Affiliates, Inc., 10.0%, 7/15/17 ( 830,700 3,229,651 Health Care Facilities - 0.2% 225,000 HCA, Inc., 8.5%, 4/15/19 (144A) 230,625 Managed Health Care - 0.3% 500,000 Multiplan, Inc., 10.375%, 4/15/16 (144A) 480,000 Total Health Care Equipment & Services 6,730,663 Pharmaceuticals & Biotechnology & Life Sciences - 0.4% Pharmaceuticals - 0.4% 260,000 Angiotech Pharmaceuticals, Inc., 7.75%, 4/1/14 148,200 250,000 Phibro Animal Health Corp., 10.0%, 8/1/13 (144A) 226,875 200,000 Phibro Animal Health Corp., 13.0%, 8/1/14 (144A) 180,500 Total Pharmaceuticals & Biotechnology & Life Sci 555,575 Banks - 1.9% Diversified Banks - 1.1% 250,000 ATF Capital BV, 9.25%, 2/21/14 (144A) 192,500 500,000 (a) Banco Macro SA, 9.75%, 12/18/36 324,375 700,000 Banco Macro SA, 10.75%, 6/7/12 350,875 200,000 JSC TemirBank, 9.5%, 5/21/14 (144A) 46,000 550,000 Russian Standard Finance SA, 7.5%, 10/7/10 (144A 486,750 500,000 (b) TuranAlem Finance BV, 8.5%, 2/10/15 (144A) 115,000 1,515,500 Regional Banks - 0.8% 600,000 (a)(e) PNC Financial Services Group, Inc., 8.25% 542,201 500,000 (a)(e)(Wells Fargo Capital XV, 9.75% 508,750 1,050,951 Total Banks 2,566,451 Diversified Financials - 2.5% Other Diversified Financial Services - 0.3% 400,000 (a) Ibis Re, Ltd., 10.874%, 5/10/12 (144A) 403,640 Specialized Finance - 1.3% 750,000 ACE Cash Express, Inc., 10.25%, 10/1/14 (144A) 345,000 500,000 Capital One Capital V, 10.25%, 8/15/39 508,750 525,000 (a) NCO Group, Inc., 5.758%, 11/15/13 351,750 900,000 NCO Group, Inc., 11.875%, 11/15/14 522,000 1,727,500 Asset Management & Custody Banks - 0.7% 375,000 Janus Capital Group, Inc., 6.5%, 6/15/12 363,873 665,000 Janus Capital Group, Inc., 6.95%, 6/15/17 594,160 958,033 Investment Banking & Brokerage - 0.2% 450,000 (a)(e) Goldman Sachs Capital II, 5.793% 315,000 Total Diversified Financials 3,404,173 Insurance - 22.6% Insurance Brokers - 1.3% 250,000 Alliant Holdings I, Inc., 11.0%, 5/1/15 (144A) 220,000 1,050,000 HUB International Holdings, Inc., 10.25%, 6/15/1 832,125 500,000 (a) USI Holdings Corp., 4.758%, 11/15/14 (144A) 350,000 554,000 USI Holdings Corp., 9.75%, 5/15/15 (144A) 407,190 1,809,315 Multi-Line Insurance - 1.2% 1,000,000 (a) Liberty Mutual Group, Inc., 7.0%, 3/15/37 (144A) 645,711 1,000,000 (a) Liberty Mutual Group, Inc., 10.75%, 6/15/58 (144 842,500 65,000 Sul America Participacoes SA, 8.625%, 2/15/12 (1 67,031 1,555,242 Reinsurance - 20.1% 1,500,000 (a) AKIBARE, 3.666%, 5/22/12 (144A) 1,432,950 1,000,000 (a) AKIBARE, 3.866%, 5/22/12 (144A) 953,100 EURO 1,500,000 (a) Atlas Reinsurance Plc, 11.358%, 1/10/11 (144A) 2,020,302 2,000,000 (a) Blue Fin, Ltd., 4.948%, 4/10/12 (144A) 1,736,600 1,000,000 (a) Caelus Re, Ltd., 6.918%, 6/7/11 (144A) 910,300 1,000,000 (a) Calabash Re II, Ltd., 9.024%, 1/8/10 (144A) 948,600 1,500,000 (a) Calabash Re II, Ltd., 10.224%, 1/8/10 (144A) 1,505,100 1,000,000 (a) Carillon, Ltd., 15.879%, 1/10/11 (144A) 921,100 1,500,000 (a) East Lane Re, Ltd., 8.028%, 5/6/11 (144A) 1,401,600 1,750,000 (a) Fhu-Jin, Ltd., 4.916%, 8/10/11 (144A) 1,682,100 500,000 (a) Foundation Re, Ltd., 8.076%, 2/24/10 (144A) 483,050 1,000,000 (a) GlobeCat, Ltd., 6.595%, 1/2/13 (144A) 915,700 350,000 (a) GlobeCat, Ltd., 9.845%, 1/2/13 (144A) 274,540 EURO 1,500,000 (a) Green Valley, Ltd., 4.629%, 1/10/11 (144A) 2,035,401 820,000 (a)(m) MBIA Insurance Corp., 14.0%, 1/15/33 (144A) 290,075 2,500,000 (a) Muteki, Ltd., 5.283%, 5/24/11 (144A) 2,379,750 250,000 (a) Mystic Re, Ltd., 12.668%, 3/20/12 (144A) 255,500 1,000,000 (a) Nelson Re, Ltd., 5.383%, 6/6/11 (144A) 944,600 1,000,000 (a) Newton Re, Ltd., 5.26%, 12/24/10 (144A) 986,000 1,000,000 (a) Newton Re, Ltd., 7.56%, 12/24/10 (144A) 915,100 425,000 (a) Residential Reinsurance 2008, Ltd., 7.418%, 6/6/ 391,425 2,000,000 (a) Residential Reinsurance 2008, Ltd., 12.168%, 6/6 1,820,200 440,000 (a) Successor II, Ltd., 17.379%, 4/6/10 (144A) 407,132 2,000,000 (a) Successor II, Ltd., 25.629%, 4/6/10 (144A) 1,794,800 500,000 (a)(d) Willow Re, Ltd., 0.0%, 6/16/10 (144A) 257,500 27,662,525 Total Insurance 31,027,082 Real Estate - 0.2% Real Estate Operating Companies - 0.2% 88,261 Alto Palermo SA, 11.0%, 6/11/12 (144A) 50,419 410,000 IRSA Inversiones y Representaciones SA, 8.5%, 2/ 281,875 Total Real Estate 332,294 Software & Services - 3.0% Internet Software & Services - 0.7% 905,000 Terremark Worldwide, Inc., 12.0%, 6/15/17 (144A) 914,050 IT Consulting & Other Services - 0.2% 405,000 Activant Solutions, Inc., 9.5%, 5/1/16 329,569 Data Processing & Outsourced Services - 0.9% 1,465,000 (m) First Data Corp., 9.875%, 9/24/15 1,236,094 Application Software - 0.9% 1,390,000 Vangent, Inc., 9.625%, 2/15/15 1,237,100 Systems Software - 0.3% 1,110,000 Pegasus Solutions, Inc., 10.5%, 4/15/15 (144A) 355,200 Total Software & Services 4,072,013 Technology Hardware & Equipment - 0.5% Computer Storage & Peripherals - 0.3% 430,000 Seagate Technology International, 10.0%, 5/1/14 470,850 Electronic Equipment & Instruments - 0.2% 250,000 Da-Lite Screen Co., Inc., 9.5%, 5/15/11 220,000 Electronic Manufacturing Services - 0.0% 70,000 (m) Sanmina-SCI Corp., 6.75%, 3/1/13 63,700 Total Technology Hardware & Equipment 754,550 Telecommunication Services - 6.0% Integrated Telecommunication Services - 3.7% 910,000 Broadview Networks Holdings, Inc., 11.375%, 9/1/ 746,200 1,200,000 GC Impsat Holdings I Plc, 9.875%, 2/15/17 (144A) 1,128,000 1,250,000 GCI, Inc., 7.25%, 2/15/14 1,162,500 750,000 PAETEC Holding Corp., 8.875%, 6/30/17 (144A) 712,500 1,010,000 (m) PAETEC Holding Corp., 9.5%, 7/15/15 873,650 500,000 Windstream Corp., 8.625%, 8/1/16 507,500 5,130,350 Wireless Telecommunication Services - 2.3% 210,000 Cell C Property, Ltd., 11.0%, 7/1/15 (144A) 186,900 365,000 Cricket Communications, Inc., 7.75%, 5/15/16 (14 363,175 500,000 Cricket Communications, Inc., 9.375%, 11/1/14 507,500 400,000 Digicel, Ltd., 9.25%, 9/1/12 (144A) 400,000 540,000 OJSC Vimpel Communications, 9.125%, 4/30/18 (144 488,700 1,330,000 True Move Co., Ltd., 10.375%, 8/1/14 (144A) 1,157,100 3,103,375 Total Telecommunication Services 8,233,725 Utilities - 2.5% Electric Utilities - 1.0% 750,000 Cia de Transporte de Energia Electrica de Alta T 511,875 1,200,000 (m) Texas Competitive Electric Holdings Co. LLC, 10. 942,000 1,453,875 Gas Utilities - 1.0% 490,000 Inergy, L.P., 8.25%, 3/1/16 486,325 1,135,000 Transportadora de Gas del Sur SA, 7.875%, 5/14/1 852,669 1,338,994 Multi-Utilities - 0.2% 225,000 PNM Resources, Inc., 9.25%, 5/15/15 218,250 Independent Power Producers & Energy Traders - 0.3% 500,000 Intergen NV, 9.0%, 6/30/17 (144A) 492,500 Total Utilities 3,503,619 TOTAL CORPORATE BONDS & NOTES (Cost $135,448,869) 112,763,025 CONVERTIBLE BONDS & NOTES - 3.7% of Net Assets Materials - 0.4% Diverified Chemicals - 0.4% 900,000 Hercules Inc, 6.5%, 6/30/29 490,500 Total Materials 490,500 Transportation - 0.5% Marine - 0.5% 990,000 Horizon Lines, Inc., 4.25%, 8/15/12 693,000 Total Transportation 693,000 Media - 0.2% Movies & Entertainment - 0.2% 559,000 Live Nation, Inc., 2.875%, 7/15/27 327,714 Total Media 327,714 Health Care Equipment & Services - 1.7% Health Care Equipment & Services - 0.6% 1,040,000 Hologic, Inc., 2.0%, 12/15/37 798,200 Health Care Services - 0.8% 1,550,000 Omnicare, Inc., 3.25%, 12/15/35 1,148,937 Health Care Facilities - 0.3% 405,000 LifePoint Hospitals, Inc., 3.5%, 5/15/14 344,756 Total Health Care Equipment & Services 2,291,893 Technology Hardware & Equipment - 0.2% Communications Equipment - 0.2% 850,000 (d) Nortel Networks Corp., 2.125%, 4/15/14 345,313 Total Technology Hardware & Equipment 345,313 Telecommunication Services - 0.7% Wireless Telecommunication Services - 0.7% 1,150,000 NII Holdings, Inc., 3.125%, 6/15/12 958,812 Total Telecommunication Services 958,812 TOTAL CONVERTIBLE BONDS & NOTES (Cost $5,346,835) 5,107,232 FLOATING RATE LOAN INTERESTS - 41.3% of Net Assets(i) Energy - 0.4% Integrated Oil & Gas - 0.2% 337,450 Hudson Products Holdings, Inc., Term Loan, 8.0%, 317,203 Oil & Gas Exploration & Production - 0.2% 320,588 Venoco, Inc., Second Lien Term Loan, 4.13%, 5/7/ 249,658 Total Energy 566,861 Materials - 4.3% Diversified Chemicals - 0.7% 989,899 Huntsman International LLC, New Dollar Term Loan 920,111 Paper Packaging - 0.8% 53,022 Graham Packaging Co. LP, Term Loan B, 2.563%, 10 51,210 530,601 Graham Packaging Co. LP, Term Loan C, 6.75%, 4/5 530,506 492,500 Graphic Packaging International, Inc., Increment 475,468 1,057,184 Steel - 1.2% 1,297,689 Essar Steel Algoma, Inc., Term Loan, 2.79%, 6/20 1,077,082 1,296,846 Niagara Corp., Term Loan, 7.25%, 6/30/14 661,392 1,738,474 Forest Products - 0.8% 1,500,000 (c) Ainsworth Lumber Co., Ltd., Term Loan, 5.313%, 6 1,125,000 Paper Products - 0.8% 1,135,313 Georgia-Pacific LLC, Term Loan B, 2.3% - 2.65%, 1,098,415 Total Materials 5,939,184 Capital Goods - 3.3% Aerospace & Defense - 1.5% 736,875 Aeroflex, Inc., Tranche B-2 Term Loan, 4.063% - 668,714 500,231 DAE Aviation Holdings, Inc., Tranche B-1 Term Lo 415,192 493,655 Spirit Aerosystems, Inc., Term Loan B-1, 2.255%, 482,548 490,629 Standard Aero, Ltd., Tranche B-2 Term Loan, 4.09 407,222 1,973,676 Construction & Engineering - 0.8% 1,158,000 Goodman Global, Inc., Term Loan, 6.5%, 2/13/14 1,134,116 Construction & Farm Machinery & Heavy Trucks - 1.0% 1,000,000 Accuride Corp., Advance Term Loan, 8.0%, 1/31/12 922,500 500,000 Manitowoc Co., Inc., Term Loan B, 7.5%, 8/25/14 454,584 1,377,084 Total Capital Goods 4,484,876 Commercial & Professional Services - 2.1% Commercial Printing - 0.2% 6,940 Cenveo Corp., Delayed Draw Term Loan, 5.109%, 6/ 6,662 243,060 Cenveo Corp., Facility Term Loan C, 5.109%, 6/21 233,338 240,000 Diversified Commercial & Professional Services - 1.1% 722,863 Asset Acceptance Capital Corp., Tranche B Term L 675,877 1,000,000 Rental Service Corp., Second Lien Initial Term L 820,000 1,495,877 Environmental & Facilities Services - 0.8% 125,000 Casella Waste Systems, Inc., Term Loan B, 7.0%, 124,063 1,225,000 Synagro Technologies, Inc., First Lien Term Loan 988,167 1,112,230 Total Commercial & Professional Services 2,848,107 Transportation - 1.0% Air Freight & Logistics - 1.0% 439,482 Ceva Group Plc, Pre-Funded LC Loan, 0.498%, 11/4 328,147 1,312,964 Ceva Group Plc, U.S. Term Loan, 3.285%, 11/4/13 980,347 Total Transportation 1,308,494 Automobiles & Components - 1.0% Tires & Rubber - 0.7% 1,000,000 Goodyear Tire & Rubber Co., Second Lien Term Loa 926,667 Automobile Manufacturers - 0.3% 500,000 Ford Motor Co., Term Loan, 3.29% - 3.51%, 12/15/ 426,875 Total Automobiles & Components 1,353,542 Consumer Durables & Apparel - 0.9% Housewares & Specialties - 0.6% 876,651 Yankee Candle Co., Inc., Term Loan, 2.29%, 2/6/1 802,136 Apparel, Accessories & Luxury Goods - 0.3% 441,192 Hanesbrands, Inc., Term Loan B, 5.039% - 5.254%, 444,460 Total Consumer Durables & Apparel 1,246,596 Consumer Services - 0.6% Casinos & Gaming - 0.5% 500,000 Fontainebleau Las Vegas LLC, Delayed Draw Term L 165,000 1,000,000 Fontainebleau Las Vegas LLC, Initial Term Loan, 330,000 1,000,000 Gateway Casinos & Entertainment, Inc., Advance S 207,500 702,500 Hotels, Resorts & Cruise Lines - 0.1% 168,000 Travelport LLC, Incremental Term Loan C, 10.5%, 169,155 Total Consumer Services 871,655 Media - 2.2% Broadcasting - 1.1% 1,000,000 Insight Midwest Holdings LLC, Term Loan B, 2.31% 949,286 675,000 Univision Communications, Inc., Initial Term Loa 546,610 1,495,896 Cable & Satellite - 0.1% 157,712 Knology, Inc., Term Loan, 2.535%, 6/30/12 147,461 Movies & Entertainment - 0.5% 881,219 Lodgenet Entertainment Corp., Closing Date Term 760,051 Publishing - 0.5% 871,967 RH Donnelley, Inc., Tranche D-1 Term Loan, 6.75% 667,055 Total Media 3,070,463 Retailing - 0.2% Catalog Retail - 0.2% 250,000 QVC, Inc., Tranche 2-W Term Loan, 3.5%, 10/4/11 247,500 Total Retailing 247,500 Food & Staples Retailing - 0.8% Drug Retail - 0.8% 1,000,000 Rite Aid Corp., Tranche 4 Term Loan, 9.5%, 6/10/ 1,030,000 Total Food & Staples Retailing 1,030,000 Food, Beverage & Tobacco - 0.5% Packaged Foods & Meats - 0.5% 738,665 Dean Foods Co., Tranche B Term Loan, 1.665% - 1. 712,504 Total Food, Beverage & Tobacco 712,504 Household & Personal Products - 0.5% Personal Products - 0.5% 780,228 Brickman Group Holdings, Inc., Tranche B Term Lo 716,835 Total Household & Personal Products 716,835 Health Care Equipment & Services - 5.7% Health Care Equipment & Services - 1.2% 1,714,824 Talecris Biotherapeutics Holdings Corp., First L 1,603,361 Health Care Supplies - 1.0% 90,000 Bausch & Lomb, Inc., Delayed Draw Term Loan, 3.5 85,516 354,599 Bausch & Lomb, Inc., Parent Term Loan, 3.848%, 4 336,933 490,000 IM US Holdings LLC, First Lien Term Loan, 2.285% 472,033 600,000 IM US Holdings LLC, Second Lien Term Loan, 4.535 558,750 1,453,232 Health Care Services - 1.5% 1,355,208 Catalent Pharma Solutions, Inc., Dollar Term Loa 1,160,962 954,671 HealthSouth Corp., Term Loan, 2.54%, 3/10/13 912,393 2,073,355 Health Care Facilities - 2.0% 45,457 Community Health Systems, Inc., Delayed Draw Ter 42,815 891,053 Community Health Systems, Inc., Term Loan, 2.535 839,260 713,997 Hanger Orthopedic Group, Inc., Tranche B Term Lo 667,587 375,000 HCA, Inc., Tranche B-1 Term Loan, 6.012%, 11/18/ 352,712 162,256 Sun Healthcare Group, Inc., Synthetic LC Loan, 0 146,436 766,711 Sun Healthcare Group, Inc., Term Loan, 2.502% - 691,957 2,740,767 Total Health Care Equipment & Services 7,870,715 Pharmaceuticals & Biotechnology & Life Sciences - 0.7% Pharmaceuticals - 0.5% 727,500 Mylan, Inc., U.S. Tranche B Term Loan, 3.563% - 708,730 Life Sciences Tools & Services - 0.2% 198,125 Life Technologies Corp., Facility Term Loan B, 5 200,189 Total Pharmaceuticals & Biotechnology & Life Sci 908,919 Diversified Financials - 3.9% Other Diversified Financial Services - 1.2% 987,500 Metavante Corp., Term Loan, 2.778%, 11/3/14 970,631 794,000 SRAM LLC., Term Loan, 7.0% - 8.0%, 9/30/14 722,540 1,693,171 Specialized Finance - 1.1% 839,141 Ace Cash Express, Inc., Term Loan, 3.598%, 10/5/ 604,181 944,837 Collect Acquisition Corp., Advance Term Loan B, 859,801 1,463,982 Consumer Finance - 1.1% 988,153 Dollar Financial Corp., Canadian Borrower Term L 906,630 726,583 Dollar Financial Corp., Delayed Draw Term Loan, 666,640 1,573,270 Investment Banking & Brokerage - 0.5% 689,500 MSCI, Inc., Term Loan B, 2.785% - 3.174%, 11/20/ 668,815 Total Diversified Financials 5,399,238 Insurance - 3.2% Insurance Brokers - 2.6% 1,473,750 Alliant Holdings I, Inc., Term Loan, 3.598%, 8/2 1,344,797 108,061 HUB International, Ltd., Delay Draw Term Loan, 2 99,619 480,761 HUB International, Ltd., Initial Term Loan, 2.78 443,201 1,960,000 USI Holdings Corp., Tranche B Term Loan, 3.35%, 1,666,000 3,553,617 Multi-Line Insurance - 0.6% 785,477 AmWins Group, Inc., Initial Term Loan, 3.11% - 3 505,651 1,000,000 AmWins Group, Inc., Second Lien Initial Term Loa 400,000 905,651 Total Insurance 4,459,268 Software & Services - 3.6% IT Consulting & Other Services - 2.0% 425,000 Activant Solutions Inc., Term Loan, 2.313% - 2.6 384,625 557,346 Keane International, Inc., Closing Date Term Loa 452,844 42,654 Keane International, Inc., Synthetic LC Loan, 2. 34,656 1,954,887 SunGard Data Systems, Inc., Tranche A U.S.Term L 1,857,143 2,729,268 Application Software - 0.7% 984,733 Nuance Communications, Inc., Term Loan, 2.29%, 3 934,265 Systems Software - 0.9% 1,439,788 Vangent, Inc., Term Loan, 2.92%, 2/14/13 1,328,204 Total Software & Services 4,991,737 Technology Hardware & Equipment - 1.1% Electronic Equipment & Instruments - 1.1% 1,258,775 H3C Holdings, Ltd., Tranche B Term Loan, 4.794%, 1,136,044 488,773 Scitor Corp., Term Loan, 4.54%, 9/26/14 432,564 Total Technology Hardware & Equipment 1,568,608 Semiconductors & Semiconductor Equipment - 0.5% Semiconductor Equipment - 0.5% 973,152 Freescale Semiconductor, Inc., Term Loan, 2.059% 722,912 Total Semiconductors & Semiconductor Equipment 722,912 Telecommunication Services - 3.2% Alternative Carriers - 0.9% 750,000 Murray Energy Corp., Second Lien Term Loan, 8.5% 735,000 502,611 PAETEC Holding Corp., Replacement Term Loan, 2.7 476,852 1,211,852 Integrated Telecommunication Services - 0.7% 436,017 Telesat Canada, U.S. Term I Loan, 3.29%, 10/31/1 419,471 37,450 Telesat Canada, U.S. Term II Loan, 3.29%, 10/31/ 36,029 250,000 Wind Telecomunicazioni S.P.A., Facility Term Loa 238,333 250,000 Wind Telecomunicazioni S.P.A., Facility Term Loa 238,333 932,166 Wireless Telecommunication Services - 1.6% 1,714,736 MetroPCS Wireless, Inc.,Tranche B Term Loan, 2.5 1,643,360 587,121 Stratos Global Corp., Facility Term Loan B, 3.09 569,508 2,212,868 Total Telecommunication Services 4,356,886 Utilities - 1.6% Electric Utilities - 0.1% 250,000 Texas Competitive Electric Holdings Co. LLC, Ini 193,680 Independent Power Producers & Energy Traders - 1.5% 1,955,225 Calpine Corp., First Priority Term Loan, 3.475%, 1,799,622 184,378 Mach Gen LLC, First Lien Synthetic LC Loan, 0.34 167,170 1,966,792 Total Utilities 2,160,472 TOTAL FLOATING RATE LOAN INTERESTS (Cost $64,280,377) 56,835,372 FIXED RATE LOAN INTERESTS - 0.6% of Net Assets Materials - 0.1% Diversified Metals & Mining - 0.1% 100,000 Blaze Recycling & Metals, LLC, Term Loan, 15.0%, 100,000 Total Materials 100,000 Semiconductors & Semiconductor Equipment - 0.5% Semiconductor Equipment - 0.5% 824,876 (m) Freescale Semiconductor, Inc., Incremental Term 761,979 Total Semiconductors & Semiconductor Equipment 761,979 TOTAL FIXED RATE LOAN INTERESTS (Cost $1,032,152) 861,979 Shares COMMON STOCK - 0.0% of Net Assets Materials - 0.0% Forest Products - 0.0% 13,963 (j) Ainsworth Lumber Co., Ltd. 12,916 Total Materials 12,916 Energy - 0.0% Oil & Gas Equipment & Services - 0.0% 383,316 (j) Skeie Drilling & Production ASA 34,870 Total Energy 34,870 TOTAL COMMON STOCK (Cost $137,186) 47,786 CONVERTIBLE PREFERRED STOCK - 0.4% of Net Assets Diversified Financials - 0.4% Other Diversified Financial Services - 0.4% 595 Bank of America Corp. 499,800 TOTAL CONVERTIBLE PREFERRED STOCK (Cost $490,737) 499,800 WARRANTS - 0.0% of Net Assets Real Estate - 0.0% Real Estate Development - 0.0% 750,000 (h)(j) Neo-China Group Holdings, Ltd., Expires 7/22/12 24,193 TOTAL WARRANTS (Cost $17,011) 24,193 TEMPORARY CASH INVESTMENTS - 8.8% of Net Assets Repurchase Agreements - 4.4% 3,000,000 Bank of America, 0.19%, dated 7/31/09, repurchase price of $3,000,000 plus accrued interest on 8/3/09 collateralized by $3,060,000 Federa 3,000,000 3,000,000 JPMorgan, 0.20%, dated 7/31/09, repurchase price of $3,000,000 plus accrued interest on 8/3/09 collateralized by $3,047,453 Freddi 3,000,000 Total Repurchase Agreements 6,000,000 Securities Lending Collateral - 4.4%(k) Certificates of Deposit: 142,288 Abbey National Plc, 1.27%, 8/13/09 142,288 284,382 Cafco, 0.40%, 10/1/09 284,382 71,096 Char FD, 0.28%, 10/26/09 71,096 213,316 Char FD, 0.30%, 10/5/09 213,316 199,116 Ciesco, 0.40%, 9/9/09 199,116 284,414 Kithaw, 0.40%, 9/21/09 284,414 284,555 Merrill Lynch, 0.38%, 8/14/09 284,555 179,135 Old LLC, 0.30%, 10/16/09 179,135 113,865 Old LLC, 0.32%, 10/15/09 113,865 213,431 Royal Bank of Canada NY, 1.19%, 8/7/09 213,431 284,575 Societe Generale, 1.06%, 9/4/09 284,575 51,769 TB LLC, 0.25%, 8/12/09 51,769 284,575 U.S. Bank NA, 0.76%, 8/24/09 284,575 2,606,517 Commercial Paper: 142,288 CME Group, Inc., 1.21%, 8/6/09 142,288 57,461 GE, 0.32%, 10/26/09 57,461 213,479 GE, 0.59%, 9/18/09 213,479 284,575 HSBC Bank, Inc., 1.31%, 8/14/09 284,575 71,144 IBM, 0.90%, 9/25/09 71,144 284,575 Monumental Global Funding, Ltd., 1.28%, 8/17/09 284,575 256,118 New York Life Global, 0.75%, 9/4/09 256,118 1,309,640 Tri-party Repurchase Agreements: 832,158 Barclays Capital Markets, 0.19%, 8/3/09 832,158 996,013 Deutsche Bank, 0.19%, 8/3/09 996,013 1,828,171 Shares Money Market Mutual Fund: 142,288 Dreyfus Prefferred Money Market Fund 142,288 142,288 Fidelity Prime Money Market Fund 142,288 284,576 Total Securities Lending Collateral 6,028,904 TOTAL TEMPORARY CASH INVESTMENTS (Cost $12,028,904) 12,028,904 TOTAL INVESTMENTS IN SECURITIES - 141.5% (Cost $227,636,368) (l) 194,532,245 OTHER ASSETS AND LIABILITIES - (41.5)% (57,079,131) NET ASSETS APPLICABLE TO COMMON SHAREOWNERS - 100% 137,453,114 (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 July 31, 2009, the value of these securities amounted to $71,662,302 or 52.1% of total net assets applicable to common shareowners. (a) Floating rate note. The rate shown is the coupon rate at July 31, 2009. (b) On July 31, 2009, the security was not in default but defaulted after the period end. (c) Payment-in-Kind (PIK) security which may pay interest in additional principal amount. (d) Security is in default and is non-income producing. (e) Security is a perpetual bond and has no definite maturity date. (f) Debt obligation initially issued at one coupon which converts to a higher coupon at a specific date. The rate shown is the coupon rate at July 31, 2009. (g) Security is priced as a unit. (h) Indicates a security that has been deemed illiquid. The aggregate cost of illiquid securities is $466,209. The aggregate value $94,372 represents 0.1% of total net assets applicable to common shareowners. (i) 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, (iii) the certificate of deposit (iv) other base lending rates used by commercial lenders. The interest rate shown is the coupon rate accruing at July 31, 2009. (j) Non-income producing. (k) Securities lending collateral is managed by Credit Suisse, New York branch. (l) At July 31, 2009, the net unrealized loss on investments based on cost for federal income tax purposes of $228,703,732 was as follows: Aggregate gross unrealized gain for all investments in which there is an excess of value over tax cost $3,034,421 Aggregate gross unrealized loss for all investments in which there is an excess of tax cost over value (37,205,908) Net unrealized loss ($34,171,487) For financial reporting purposes net unrealized loss was $33,104,123 and cost of investments aggregated $227,636,368. (m) At July 31, 2009, the following securities were out on loan: Principal Amount USD ($) Description Value ($) 47,092 Ainsworth Lumber Co., Ltd., 11.0%, 7/29/15 (144A 19,661 379,000 Aleris International, Inc., 10.0%, 12/15/16 5,685 970,000 Allison Transmission, Inc., 11.0%, 11/1/15 (144A 882,700 970,000 First Data Corp., 9.875%, 9/24/15 818,438 608,000 Freescale Semiconductor, Inc., Incremental Term 561,640 495,000 Harvest Operations Corp., 7.875%, 10/15/11 430,650 5,000 Intcomex, Inc., 11.75%, 1/15/11 1,956 610,000 MBIA Insurance Corp., 14.0%, 1/15/33 (144A) 215,788 305,000 PAETEC Holding Corp., 9.5%, 7/15/15 263,825 775,000 Sally Holdings LLC, 10.5%, 11/15/16 798,250 67,000 Sanmina-SCI Corp., 6.75%, 3/1/13 60,970 178,000 Scientific Games International, Inc., 9.25%, 6/1 184,230 1,100,000 Texas Competitive Electric Holdings Co. LLC, 10. 863,500 1,232,000 Univision Communications, Inc., 9.75%, 3/15/15 ( 813,120 495,000 Wells Fargo Capital XV, 9.75% 503,663 6,424,076 Glossary of Terms: LC - Letter of Credit Note: Principal amounts are denominated in U.S. dollars unless otherwise denoted. EURO Euro NOK Norwegian Krone Level 1 Level 2 Level 3 Total Asset backed $ - $4,348,512 $- $4,348,512 Collateralized mortga - 2,015,442 2,015,442 Corporate bonds & not - 112,563,025 200,000 112,763,025 Convertible bonds & n - 5,107,232 - 5,107,232 Floating rate loan in - 761,979 (100,000) 861,979 Common stocks 47,786 - 47,786 Convertible preferred 499,800 - - 499,800 Warrants - 24,193 - 24,193 Temporary cash invest - 12,028,904 - 12,028,904 Total $547,586 $193,684,659 $300,000 $194,532,245 Other Financial Instr ($63,549) $ - $- ($63,549) *Other financial instruments include foreign exchange contracts Corporate bonds Fixed rate & notes loan Total Beginning balance 4/30/09 $- $- $- Total gains or losses (realized/unrealized) Included in earn assets) - - - Purchases, issuance, 200,000 100,000 300,000 Transfers in and/or o - - - Ending balance 7/31/09 $200,000 $100,000 $300,000 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 Diversified High Income Trust By (Signature and Title)* /s/ John F. Cogan, Jr. John F. Cogan, Jr, President Date September 28, 2009 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 September 28, 2009 By (Signature and Title)* /s/ Mark Bradley Mark Bradley, Treasurer Date September 28, 2009 * Print the name and title of each signing officer under his or her signature.