C000024964 Holdings — Columbia Acorn USA

All 97 reported holdings of Columbia Acorn USA (C000024964) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Columbia Short Term Cash Fund3.32%$10.66M
Exponent Inc.2.08%$6.67M
Sprout Social Inc2.01%$6.45M
Manhattan Assoc, Inc.1.94%$6.21M
Fate Therapeutics, Inc.1.83%$5.88M
Qualys Inc1.81%$5.81M
Acceleron Pharma, Inc.1.65%$5.30M
ITT Inc1.51%$4.85M
Foresight Acquisition Corp1.50%$4.81M
Saia Inc1.50%$4.80M
Insmed Inc1.49%$4.79M
J2 Global Inc1.48%$4.75M
Churchill Downs, Inc.1.47%$4.73M
Shoals Technologies Group Inc1.46%$4.67M
Chemed Corp.1.43%$4.57M
Eargo, Inc.1.42%$4.56M
Lhc Group1.40%$4.49M
Plug Power Inc1.40%$4.49M
ImmunoGen Inc1.39%$4.46M
Kura Oncology, Inc.1.39%$4.45M
Five Below Inc1.38%$4.44M
Globus Medical, Inc.1.37%$4.38M
Pacific Biosciences of California Inc1.34%$4.30M
Blackline, Inc.1.33%$4.27M
National Research Corp1.31%$4.21M
Avient Corp.1.27%$4.07M
Boot Barn Holdings Inc1.27%$4.06M
Amedisys Inc1.24%$3.99M
CorVel Corp1.23%$3.93M
Haemonetics Corp.1.23%$3.93M
Houlihan Lokey Inc1.20%$3.83M
Dorman Products Inc1.19%$3.83M
SiteOne Landscape Supply Inc1.19%$3.81M
Badger Meter Inc1.19%$3.80M
Bwx Technologies, Inc.1.17%$3.77M
Nanostring Technologies, Inc.1.12%$3.58M
Upstart Holdings Inc1.11%$3.56M
Wd-40 Co.1.10%$3.53M
Bjs Wholesale Club, Inc.1.09%$3.51M
Wingstop, Inc.1.08%$3.46M
Anika Therapeutics, Inc.1.07%$3.43M
Mirati Therapeutics, Inc.1.05%$3.38M
Natera Inc1.05%$3.37M
Si-Bone, Inc.1.04%$3.32M
Colliers International Group Inc1.04%$3.32M
Redfin Corp1.03%$3.31M
ICF Intnl1.02%$3.27M
Dreyfus Government Cash Manage1.02%$3.26M
Q2 Holdings Inc1.02%$3.26M
Reata Pharmaceuticals, Inc.1.01%$3.25M
Atkore International Group Inc1.00%$3.20M
Eplus, Inc.0.95%$3.06M
LCI Industries0.95%$3.06M
Skyline Champion Corp0.95%$3.04M
Jfrog Ltd.0.94%$3.03M
Curtiss-Wright Corporation0.94%$3.03M
Inphi Corp.0.94%$3.02M
Brunswick Corporation0.93%$2.98M
Digitalocean Holdings, Inc.0.90%$2.89M
Mimecast Ltd0.89%$2.85M
Voyager Digital Ltd0.87%$2.80M
Calix Inc0.87%$2.79M
Endava PLC0.87%$2.78M
Crispr Therapeutics AG0.86%$2.75M
Advanced Energy Industries, Inc.0.85%$2.74M
Olo, Inc.0.84%$2.68M
Atrion Corp0.83%$2.68M
Merchants Bancorp/IN0.83%$2.65M
Cedar Fair LP0.82%$2.63M
Planet Fitness Inc0.82%$2.62M
Choice Hotels Intl, Inc.0.81%$2.59M
Arcus Biosciences, Inc.0.79%$2.53M
ON24 Inc0.78%$2.50M
FirstCash Inc0.78%$2.49M
Hamilton Lane Inc0.77%$2.46M
Medallia Inc0.74%$2.38M
Nuvation Bio, Inc.0.74%$2.36M
Vroom Inc0.74%$2.36M
Lakeland Finl Corp.0.74%$2.36M
Nektar Therapeutics0.70%$2.26M
Acadia Pharmaceuticals, Inc.0.69%$2.23M
Kiniksa Pharmaceuticals Ltd.0.69%$2.22M
Watts Water Technologies, Inc.0.68%$2.18M
FirstService Corp0.62%$2.00M
Elastic NV0.62%$1.98M
Wendys Co.0.59%$1.88M
UniFirst Corp/MA0.58%$1.86M
American Well Corp0.56%$1.81M
GCM Grosvenor Inc0.55%$1.76M
Repligen Corp.0.52%$1.68M
CyberArk Software Ltd0.51%$1.64M
Inter Parfums Inc0.48%$1.54M
Poshmark Inc0.43%$1.38M
Comfort Syst USA, Inc.0.14%$461.85K
Spx Corp.0.14%$437.55K
LiveRamp Holdings Inc0.12%$380.12K
JPMorgan0.03%$109.74K

C000024964 overview: performance, fees, allocation and SEC filings