C000095021 Holdings — Columbia Select Global Equity Fund

All 45 reported holdings of Columbia Select Global Equity Fund (C000095021) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp7.83%$64.04M
Taiwan Semiconductor Manufacturing Co Ltd7.73%$63.24M
Lam Research Corp7.60%$62.21M
Western Digital Corp5.46%$44.63M
Alphabet Inc4.90%$40.09M
Amazon.com Inc4.85%$39.65M
Mastercard Inc4.64%$37.97M
Howmet Aerospace Inc4.41%$36.08M
Microsoft Corp4.17%$34.13M
Linde PLC3.54%$28.92M
Visa Inc3.10%$25.37M
ASML Holding NV2.93%$23.93M
Safran SA2.29%$18.76M
Thermo Fisher Scientific Inc2.23%$18.22M
Walmart Inc1.92%$15.71M
Keyence Corp1.87%$15.30M
TJX Cos Inc/The1.81%$14.83M
Eli Lilly & Co1.58%$12.90M
Siemens AG1.48%$12.13M
Crh PLC1.35%$11.03M
Dexcom Inc1.26%$10.32M
Konami Group Corp1.20%$9.83M
E.on SE1.19%$9.73M
UniCredit SpA1.18%$9.62M
Schneider Electric SE1.17%$9.55M
Baker Hughes Co1.16%$9.45M
Anheuser-Busch InBev SA/NV1.16%$9.45M
National Bank of Greece SA1.11%$9.09M
Hilton Worldwide Holdings Inc1.11%$9.05M
Hitachi Ltd1.10%$9.03M
Samsung Electronics Co Ltd1.09%$8.88M
Cardinal Health Inc1.08%$8.81M
Williams Cos Inc/The1.05%$8.61M
Boston Scientific Corp1.05%$8.59M
Weir Group PLC/The1.04%$8.48M
Erste Group Bank AG0.99%$8.11M
Columbia Short Term Cash Fund0.95%$7.73M
Compass Group PLC0.94%$7.71M
Sumitomo Electric Industries Ltd0.89%$7.26M
Delta Electronics Inc0.83%$6.79M
Experian PLC0.69%$5.61M
Intuitive Surgical Inc0.59%$4.79M
Arista Networks Inc0.55%$4.54M
DoorDash Inc0.53%$4.37M
Insmed Inc0.49%$3.98M

C000095021 overview: performance, fees, allocation and SEC filings