C000029823 Holdings — Columbia Global Strategic Equity Fund

All 211 reported holdings of Columbia Global Strategic Equity Fund (C000029823) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Columbia Disciplined Value Fund10.12%$62.23M
Columbia Select Large Cap Equity Fund9.96%$61.26M
Columbia Overseas Value Fund8.96%$55.13M
Columbia Select Global Equity Fund8.23%$50.64M
Columbia Emerging Markets Fund8.23%$50.62M
Columbia Contrarian Europe Fund7.92%$48.70M
Columbia Global Technology Growth Fund5.63%$34.61M
Columbia Dividend Income Fund5.48%$33.72M
Columbia Global Infrastructure Fund3.81%$23.40M
Columbia Large Cap Growth Fund3.73%$22.92M
Columbia Small Cap Growth Fund I3.57%$21.97M
Columbia Convertible Securities Fund3.53%$21.73M
Columbia Global Dividend Opportunity Fund3.05%$18.75M
Columbia Global Energy and Natural Resources Fund2.41%$14.84M
Columbia Contrarian Asia Pacific Fund2.14%$13.19M
Columbia Sustainable Global Equity Income ETF2.07%$12.73M
Columbia Select Large Cap Growth Fund1.64%$10.07M
Toyota Mtr Corp.0.37%$2.30M
Kao Corp0.33%$2.06M
Keyence Corp.0.32%$1.96M
Nippon Telegraph & Telephone Corp0.31%$1.93M
Daikin Industries Ltd0.31%$1.89M
Sony Corp0.30%$1.83M
Itochu Corporation0.28%$1.72M
Hoya Corp0.28%$1.70M
Dai-ichi Life Holdings Inc0.27%$1.69M
Recruit Holdings Co Ltd0.22%$1.38M
Daiichi Sankyo Co. Ltd.0.21%$1.32M
Takuma Co Ltd0.21%$1.28M
Elecom Co Ltd0.20%$1.24M
Nintendo Co. Ltd.0.20%$1.21M
Nidec Corp0.18%$1.10M
ORIX Corp0.18%$1.09M
Columbia Funds/usa0.17%$1.03M
Lasertec Corp0.17%$1.02M
Shin-Etsu Chemical Co Ltd0.16%$1.00M
Mitsubishi Ufj Financial Group0.16%$979.31K
Mitsubishi Corp.0.15%$951.25K
Takeda Pharmaceutical Co. Ltd.0.15%$899.71K
Koito Manufacturing Co Ltd0.14%$837.01K
Kinden Corp0.13%$794.26K
Nihon M&a Center, Inc.0.12%$741.88K
Amano Corp0.11%$700.73K
Peptidream, Inc.0.10%$622.40K
Namco Bandai Holdings, Inc.0.10%$608.74K
Justsystems Corp0.10%$592.08K
Murata Manufacturing Co Ltd0.09%$566.26K
Katitas Co Ltd0.08%$522.11K
Unicharm Corp0.08%$504.97K
Softbank Group Corp.0.08%$503.91K
Orix JREIT Inc0.08%$497.45K
Rohm Co Ltd0.08%$491.22K
Obic Co Ltd0.08%$475.78K
ValueCommerce Co Ltd0.07%$450.79K
Milbon Co Ltd0.07%$449.12K
Shoei Co Ltd0.07%$448.36K
Koshidaka Holdings Co Ltd0.07%$441.44K
Kirin Holdings Co. Ltd.0.07%$441.26K
Alphabet, Inc.0.07%$426.73K
Comture Corp0.07%$416.27K
Asahi Intecc Co Ltd0.06%$396.22K
Tokio Marine & Nichido Fire0.06%$378.46K
Microsoft Corp.0.06%$352.69K
ZOZO Inc0.05%$330.76K
Facebook, Inc.0.05%$323.51K
JCU Corp0.05%$298.95K
Nakanishi Inc0.05%$295.10K
Roche Holding AG0.04%$266.95K
Johnson & Johnson0.04%$265.14K
Benefit One Inc0.04%$255.06K
Cisco Systems, Inc.0.04%$252.14K
Citigroup, Inc.0.04%$239.08K
Walmart, Inc.0.04%$229.83K
Starbucks Corp.0.03%$214.11K
Voya Financial Inc0.03%$209.96K
Shinko Electric Industries Co Ltd0.03%$207.88K
Cummins, Inc.0.03%$204.39K
Astellas Pharma, Inc.0.03%$200.80K
Lam Rsrch Corp.0.03%$198.94K
British Amer Tobacco PLC0.03%$198.17K
Rio Tinto PLC0.03%$196.95K
Axa SA0.03%$196.26K
Koninklijke Ahold Delhaize NV0.03%$195.05K
Mastercard Inc0.03%$195.15K
Aes Corp.0.03%$191.68K
Southwest Airlines Co.0.03%$188.32K
Autozone, Inc.0.03%$187.68K
Bhp Group Ltd.0.03%$186.03K
Expedia, Inc.0.03%$185.31K
Swiss Life Holding AG0.03%$182.30K
Verisign, Inc.0.03%$180.71K
AXA Equitable Holdings Inc0.03%$180.77K
Ally Financial, Inc.0.03%$178.88K
Adobe, Inc.0.03%$165.37K
HP Inc0.03%$161.54K
Walgreen Co.0.03%$160.61K
Sekisui House Ltd0.03%$157.42K
F5 Networks Inc0.03%$155.75K
PayPal Holdings Inc0.03%$154.17K
Conocophillips0.02%$153.12K
Allianz SE0.02%$148.73K
Peugeot SA0.02%$148.69K
Assicurazioni Generali SpA0.02%$143.85K
BrainPad Inc0.02%$141.79K
Acs Actividades De Construccion Y Servicios SA0.02%$140.56K
Berkeley Group Holdings PLC0.02%$140.28K
Zhen Ding Technology Holding Ltd0.02%$137.12K
Apple, Inc.0.02%$131.10K
CITIC Ltd0.02%$127.60K
Uni-President Enterprises Corp.0.02%$125.99K
Verizon Communications, Inc.0.02%$113.62K
Discover Financial Services0.02%$113.89K
Simon Prop Grp, Inc.0.02%$105.63K
Banco Do Brasil SA0.02%$105.35K
Bank Leumi Le-Israel BM0.02%$104.81K
Lear Corp.0.02%$103.40K
Imperial Oil Ltd.0.02%$102.10K
Husky Energy Inc.0.02%$100.58K
Fiat Chrysler Automobiles NV0.02%$98.47K
Shui On Land Ltd0.02%$97.40K
Allergan PLC0.02%$93.69K
Cenovus Energy, Inc.0.02%$92.85K
Fortescue Metals0.01%$92.28K
Daelim Industrial Co.0.01%$87.21K
Merck & Co., Inc.0.01%$85.88K
Lite-On Technology Corp0.01%$80.74K
American Tower Corp.0.01%$79.38K
Power Corporation Of Canada0.01%$74.05K
Weichai Power Co Ltd0.01%$73.98K
Hyundai Development Co.0.01%$73.38K
Singapore Exchange Ltd0.01%$71.56K
Perusahaan Gas Negara (persero) Tbk Pt0.01%$70.98K
Canadian Natural Resources Ltd.0.01%$70.60K
Eaton Corporation PLC0.01%$70.21K
Mckesson Corp.0.01%$70.22K
Samsung Electronics Co. Ltd.0.01%$69.28K
Bausch Health Companies, Inc.0.01%$69.60K
Vertex Pharm, Inc.0.01%$68.42K
Logan Property Holdings Co Ltd0.01%$67.01K
Medipal Holdings Corp0.01%$66.26K
Chicony Electronics Co Ltd0.01%$65.24K
Ebay, Inc.0.01%$64.19K
Kimberly-Clark Corporation0.01%$62.99K
Hellenic Telecommunications Organization SA0.01%$62.76K
Synchrony Financial0.01%$62.11K
Sinopec Engineering Group Co. Ltd.0.01%$61.70K
Manila Electric Co0.01%$60.95K
Altria Group, Inc.0.01%$59.79K
Acuity Brands Inc0.01%$58.28K
Grupo Aeroportuario del Pacifico SAB de CV0.01%$58.68K
Cardinal Health, Inc.0.01%$56.82K
Pfizer, Inc.0.01%$54.49K
Jbs SA0.01%$55.02K
Plains GP Holdings LP0.01%$54.07K
Anhui Conch Cement Co Ltd0.01%$53.79K
Atco Ltd.0.01%$52.73K
Japan Airlines Co Ltd0.01%$49.86K
Wolters Kluwer NV0.01%$48.17K
Essex Property Trust Inc0.01%$48.09K
Capital One Fin Corp.0.01%$47.00K
Companhia Energetica De Minas Gerais Cemig0.01%$46.83K
Gilead Sciences, Inc.0.01%$46.38K
Lyondellbasell Industries NV0.01%$46.29K
Advanced Info Service PCL0.01%$45.52K
Yanzhou Coal Mining Co Ltd0.01%$44.64K
CIMIC Group Ltd0.01%$44.37K
Powszechny Zaklad Ubezpieczen SA0.01%$43.45K
Evraz PLC0.01%$42.27K
Prudential Financial, Inc.0.01%$41.29K
Cyfrowy Polsat SA0.01%$40.35K
Toho Co Ltd/Tokyo0.01%$40.39K
Sinotruk Hong Kong Ltd0.01%$40.04K
Maanshan Iron & Steel Co. Ltd.0.01%$37.07K
Alexion Pharmaceuticals, Inc.0.01%$36.89K
Amazon.com, Inc.0.01%$35.53K
Aurizon Holdings Ltd0.01%$35.83K
Itau Unibanco Holding SA0.00%$29.38K
Petrobras Distribuidora SA0.00%$29.03K
Cheil Worldwide Inc0.00%$27.70K
Gudang Garam Tbk Pt0.00%$27.16K
Biomarin Pharmaceutical Inc.0.00%$25.62K
China National Building Material Co Ltd0.00%$25.28K
Pandora A/S0.00%$24.50K
Philip Morris International, Inc.0.00%$24.27K
Under Armour Inc0.00%$23.33K
Fortinet Inc0.00%$22.35K
China Coal Energy Co Ltd0.00%$19.94K
International Container Terminal Services Inc0.00%$17.93K
Diageo PLC0.00%$17.64K
Inter RAO UES PJSC0.00%$17.73K
Marketaxess Holdings, Inc.0.00%$16.59K
Telenet Grp Hldg0.00%$14.74K
Motor Oil Hellas Corinth Refineries SA0.00%$14.89K
Novartis AG0.00%$13.46K
Franklin Resources, Inc.0.00%$12.43K
China Shenhua0.00%$11.17K
Lenovo Group Ltd.0.00%$11.15K
Postal Savings Bank of China Co Ltd0.00%$9.62K
Standard Bank Group Ltd.0.00%$7.04K
Morgan Stanley0.00%$1.12K
Morgan Stanley0.00%$-162
Morgan Stanley0.00%$-10
Morgan Stanley0.00%$-185
Morgan Stanley0.00%$62
Morgan Stanley0.00%$158
Morgan Stanley0.00%$-107
Morgan Stanley-0.00%$-625
Morgan Stanley-0.00%$-896
Morgan Stanley-0.00%$-385
Morgan Stanley-0.00%$-610
Morgan Stanley-0.00%$-1.71K

C000029823 overview: performance, fees, allocation and SEC filings