C000097529 Holdings — Columbia Global Opportunities Fund

All 484 reported holdings of Columbia Global Opportunities Fund (C000097529) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Columbia Short Term Cash Fund18.50%$57.70M
Columbia High Yield Bond Fund3.03%$9.45M
Columbia Commodity Strategy Fund2.81%$8.75M
iShares J.P. Morgan USD Emerging Markets Bond ETF2.52%$7.87M
NVIDIA Corp2.46%$7.66M
Mex Bonos Desarr Fix Rt2.05%$6.40M
Apple Inc1.87%$5.82M
iShares MSCI Canada ETF1.80%$5.62M
Alphabet Inc1.49%$4.66M
Microsoft Corp1.34%$4.18M
U.K. Gilts1.29%$4.01M
Amazon.com Inc1.20%$3.73M
Broadcom Inc1.08%$3.36M
China Government Bond1.02%$3.19M
Taiwan Semiconductor Manufacturing Co Ltd1.01%$3.15M
Canada Government Bonds0.86%$2.67M
Umbs, Tba0.85%$2.65M
United States Treasury0.77%$2.42M
Meta Platforms Inc0.77%$2.40M
China Government Bond0.77%$2.40M
Micron Technology Inc0.76%$2.38M
Global X Uranium ETF0.76%$2.37M
Canada Government Bonds0.74%$2.32M
United States Treasury0.74%$2.29M
JPMorgan Chase & Co0.71%$2.22M
France (govt Of)0.70%$2.19M
Mastercard Inc0.69%$2.15M
Eli Lilly & Co0.68%$2.11M
Walmart Inc0.53%$1.66M
Charles Schwab Corp/The0.53%$1.66M
Samsung Electronics Co Ltd0.53%$1.64M
Bank of America Corp0.51%$1.59M
Poland Government Bond0.49%$1.53M
AbbVie Inc0.49%$1.53M
Procter & Gamble Co/The0.49%$1.52M
Equinix Inc0.48%$1.51M
SK hynix Inc0.47%$1.47M
Hilton Worldwide Holdings Inc0.47%$1.45M
Palo Alto Networks Inc0.46%$1.44M
UK Tsy 3 1/4% 20440.43%$1.35M
Colgate-Palmolive Co0.43%$1.34M
General Motors Co0.42%$1.31M
Merck & Co Inc0.42%$1.31M
Korea Treasury Bond0.42%$1.30M
China Government Bond0.42%$1.29M
DTE Energy Co0.41%$1.29M
Goldman Sachs Group Inc/The0.41%$1.29M
Ameren Corp0.40%$1.26M
Crowdstrike Holdings Inc0.40%$1.24M
General Dynamics Corp0.40%$1.24M
Bundesrepublik Deutschland Bundesanleihe0.40%$1.23M
Citigroup Inc0.40%$1.23M
U.K. Gilts0.38%$1.19M
Parker-Hannifin Corp0.38%$1.18M
Entergy Corp0.37%$1.16M
Cintas Corp0.37%$1.15M
Eaton Corp PLC0.37%$1.14M
Lam Research Corp0.37%$1.14M
Government National Mortgage Association0.36%$1.14M
AT&T Inc0.36%$1.12M
Sweden Government Bonds0.35%$1.10M
China Development Bank0.35%$1.10M
Microchip Technology Inc0.35%$1.10M
Chubb Ltd0.34%$1.08M
Powszechna Kasa Oszczednosci Bank Polski SA0.34%$1.05M
China Government Bond0.33%$1.04M
ING Groep NV0.33%$1.03M
United States Treasury0.33%$1.03M
Umbs, Tba0.33%$1.02M
Spain Government Bonds0.33%$1.02M
ServiceNow Inc0.33%$1.01M
Royal Caribbean Cruises Ltd0.32%$1.01M
Ping An Insurance Group Co of China Ltd0.32%$1.00M
Japan (10 Year Issue)0.31%$970.17K
New Zealand Government Bonds0.31%$967.95K
Shell PLC0.31%$963.04K
Republic Services Inc0.30%$940.11K
Chevron Corp0.30%$937.89K
Umbs, Tba0.30%$935.62K
TJX Cos Inc/The0.30%$929.25K
Japan (10 Year Issue)0.29%$894.46K
Snowflake Inc0.28%$883.36K
Danaher Corp0.28%$881.31K
Japan Government Twenty Year Bonds0.28%$880.06K
Umbs, Tba0.28%$873.69K
Valero Energy Corp0.28%$863.92K
CSX Corp0.28%$859.98K
Umbs, Tba0.27%$845.04K
AstraZeneca PLC0.27%$842.77K
Karman Holdings Inc0.26%$821.92K
Mitsubishi UFJ Financial Group Inc0.26%$817.52K
Japan Government Ten Year Bonds0.26%$796.86K
China Government Bond0.25%$778.57K
National Bank of Greece SA0.25%$769.89K
Axa SA0.24%$755.73K
Kingdom of Belgium Government Bonds0.24%$750.88K
Arxis Inc0.24%$748.53K
Insmed Inc0.23%$725.89K
United States Treasury0.23%$725.56K
Primo Brands Corp0.23%$724.81K
Government National Mortgage Association0.23%$723.61K
Poland Government Bond0.22%$696.15K
Vertiv Holdings Co0.22%$694.76K
Marks & Spencer Group PLC0.22%$686.29K
Alibaba Group Holding Ltd0.22%$676.36K
Indonesia Government0.21%$666.78K
Iss A/s0.21%$666.42K
Hitachi Ltd0.21%$658.69K
Vertex Pharmaceuticals Inc0.21%$651.72K
Tencent Holdings Ltd0.21%$647.69K
Illumina Inc0.20%$637.04K
Korea Treasury Bond0.19%$599.31K
Canada Government Bonds0.19%$593.38K
MasTec Inc0.19%$585.92K
BOC Hong Kong Holdings Ltd0.19%$585.21K
Prosus NV0.19%$582.68K
Guardant Health Inc0.18%$576.85K
Revolution Medicines Inc0.18%$573.65K
United States Treasury0.18%$569.91K
Intuitive Surgical Inc0.18%$565.33K
Unimicron Technology Corp0.18%$563.11K
Northern Star Resources Ltd0.18%$560.60K
Whitecap Resources Inc0.18%$558.29K
Samsung Electronics Co Ltd0.18%$551.04K
Japan (30 Year Issue)0.18%$548.18K
Japan Government Thirty Year Bonds0.17%$544.23K
Endesa SA0.17%$540.08K
U.K. Gilts0.17%$527.41K
Piraeus Bank SA0.17%$525.36K
ASR Nederland NV0.16%$501.66K
Japan Government Thirty Year Bonds0.16%$501.03K
TP ICAP Group PLC0.16%$494.72K
AIB Group PLC0.16%$494.51K
TBS Holdings Inc0.16%$493.06K
Samsung Electro-Mechanics Co. Ltd.0.16%$486.76K
ASPEED Technology Inc0.15%$480.42K
China Government Bond0.15%$478.30K
Finning International Inc0.15%$478.20K
Umbs, Tba0.15%$466.80K
Macnica Fuji Electronics Holdi0.15%$463.60K
Umbs, Tba0.15%$462.15K
Check Point Software Technologies Ltd0.15%$459.19K
Toyota Tsusho Corp0.15%$456.56K
Eiffage SA0.14%$451.40K
Delta Electronics Inc0.14%$442.78K
ASM International NV0.14%$438.07K
Otsuka Holdings Co Ltd0.14%$436.84K
MatsukiyoCocokara & Co0.14%$434.88K
Niterra Co Ltd0.14%$432.15K
Capitec Bank Holdings Ltd0.14%$430.30K
Novartis AG0.14%$427.89K
Japan (30 Year Issue)0.14%$426.63K
ASML Holding NV0.14%$425.17K
Buzzi SpA0.13%$411.36K
Japan Government Ten Year Bonds0.13%$393.83K
Jumbo SA0.13%$392.30K
Progyny Inc0.12%$388.72K
Sanofi SA0.12%$385.18K
SCREEN Holdings Co Ltd0.12%$381.42K
UPM-Kymmene Oyj0.12%$370.84K
Atlantic Union Bankshares Corp0.12%$369.48K
TotalEnergies SE0.12%$366.92K
China Development Bank0.12%$366.71K
Nomura Holdings Inc0.12%$363.76K
Celestica Inc0.12%$362.26K
Sankyo Co Ltd0.12%$360.91K
Suzuken Co Ltd/Aichi Japan0.12%$360.50K
Eurobank SA0.11%$353.55K
IDACORP Inc0.11%$353.56K
Goldman Sachs International0.11%$353.23K
New Zealand Government Bonds0.11%$347.90K
First Bancorp/Southern Pines NC0.11%$346.67K
Embraer SA0.11%$345.48K
ITOCHU Corp0.11%$345.11K
Shimamura Co Ltd0.11%$343.20K
PRADA SpA0.11%$334.50K
Hanover Insurance Group Inc/The0.11%$331.03K
Koninklijke Ahold Delhaize NV0.11%$329.82K
Paladin Energy Ltd0.10%$318.40K
Cie de Saint-Gobain SA0.10%$318.15K
Jazz Pharmaceuticals PLC0.10%$317.59K
Anglogold Ashanti Plc0.10%$317.04K
Personalis Inc0.10%$316.63K
Contemporary Amperex Technology Co Ltd0.10%$316.57K
Kinden Corp0.10%$303.66K
Imperial Brands PLC0.10%$303.46K
Fresenius Medical Care AG0.10%$300.13K
Kaspi.KZ JSC0.10%$298.30K
BellRing Brands Inc0.10%$296.17K
Siemens Energy AG0.09%$293.17K
USS Co Ltd0.09%$292.99K
Sumitomo Metal Mining Co Ltd0.09%$291.54K
Venture Corp Ltd0.09%$290.31K
Elite Material Co Ltd0.09%$287.11K
UBS Group AG0.09%$285.01K
TETRA Technologies Inc0.09%$280.67K
OTP Bank Nyrt0.09%$279.84K
Citigroup Global Markets, Inc.0.09%$278.64K
WH Group Ltd0.09%$270.12K
Scotts Miracle-Gro Co/The0.08%$264.76K
Hanwha Aerospace Co Ltd0.08%$264.50K
Flutter Entertainment PLC0.08%$262.43K
Youngone Corp0.08%$258.92K
Moelis & Co0.08%$258.46K
Avio SpA0.08%$257.17K
Salmar ASA0.08%$256.78K
Energy Fuels Inc/Canada0.08%$256.20K
Impinj Inc0.08%$254.89K
S&t AG0.08%$253.40K
Siemens AG0.08%$252.62K
Roche Holding AG0.08%$252.20K
Voya Financial Inc0.08%$249.67K
Goldman Sachs International0.08%$247.17K
China Resources Land Ltd0.08%$245.38K
BPER Banca SPA0.08%$243.87K
Xometry Inc0.08%$242.42K
Novo Nordisk A/S0.08%$240.53K
Jbs NV0.08%$238.17K
Endeavour Mining PLC0.08%$236.09K
Emaar Properties PJSC0.08%$235.27K
Sumitomo Corp0.07%$226.28K
FirstRand Ltd0.07%$223.87K
KION Group AG0.07%$223.00K
Parade Technologies Ltd0.07%$222.77K
Diversified Energy Co0.07%$219.76K
NexGen Energy Ltd0.07%$217.24K
LendingTree Inc0.07%$217.00K
BBB Foods Inc0.07%$216.65K
Bharti Airtel Ltd0.07%$215.62K
Norsk Hydro ASA0.07%$214.37K
MediaTek Inc0.07%$213.06K
Whitehaven Coal Ltd0.07%$213.00K
Burford Capital Ltd0.07%$212.15K
Pan American Silver Corp0.07%$211.63K
NU Holdings Ltd/Cayman Islands0.07%$210.11K
Doosan Co Ltd0.07%$209.24K
JetBlue Airways Corp0.07%$209.02K
Sanwa Holdings Corp0.07%$207.93K
Nordic American Tankers Ltd0.07%$207.24K
Jentech Precision Industrial Co Ltd0.07%$207.16K
Impala Platinum Holdings Ltd0.07%$205.80K
Starz Entertainment Corp0.07%$204.99K
Telefonaktiebolaget LM Ericsson0.06%$199.41K
Metso Oyj0.06%$198.82K
Japan Government Thirty Year Bonds0.06%$195.56K
Quanex Building Products Corp0.06%$191.82K
Gold Circuit Electronics Ltd0.06%$191.75K
Inpex Corp0.06%$191.30K
Bangkok Bank Pcl0.06%$188.91K
Chroma ATE Inc0.06%$188.48K
ABM Industries Inc0.06%$186.42K
Brixmor Property Group Inc0.06%$186.00K
Lite-On Technology Corp0.06%$183.78K
NPK International Inc0.06%$183.15K
Furuno Electric Co Ltd0.06%$180.10K
Aktor SA Holding Company Technical And Energy Projects0.06%$179.74K
TOPPAN Holdings Inc0.06%$179.46K
Accton Technology Corp0.06%$178.44K
Verra Mobility Corp0.06%$177.20K
Ship Healthcare Holdings Inc0.06%$176.22K
Liquidity Services Inc0.06%$174.79K
HD Hyundai Marine Solution Co Ltd0.06%$174.50K
Barclays Capital, Inc.0.05%$170.82K
State Street Bank & Trust Co.0.05%$170.00K
SiTime Corp0.05%$169.12K
Goldman Sachs International0.05%$168.72K
Phoenix Mills Ltd/The0.05%$167.82K
Zebra Technologies Corp0.05%$167.48K
Empire State Realty Trust Inc0.05%$166.25K
Viking Therapeutics Inc0.05%$164.79K
Banco BTG Pactual SA0.05%$162.90K
The Montreal Exchange/Bourse De Montreal0.05%$162.61K
Taisei Corp0.05%$162.00K
Freshpet Inc0.05%$161.23K
Atour Lifestyle Holdings Ltd0.05%$161.01K
MercadoLibre Inc0.05%$159.63K
360 ONE WAM Ltd0.05%$157.69K
Landis+Gyr Group AG0.05%$157.71K
National Vision Holdings Inc0.05%$157.56K
Construction Partners Inc0.05%$156.89K
Sieyuan Electric Co Ltd0.05%$152.98K
Amano Corp0.05%$152.61K
Lionsgate Studios Corp0.05%$152.48K
Glaukos Corp0.05%$152.22K
Cerebras Systems Inc0.05%$150.82K
Skyward Specialty Insurance Group Inc0.05%$151.01K
Wuxi Biologics Cayman Inc0.05%$150.53K
China Construction Bank Corp0.05%$149.03K
Middleby Corp/The0.05%$145.34K
CMOC Group Ltd0.05%$142.24K
Kraken Robotics, Inc.0.04%$140.46K
Marex Group Ltd0.04%$138.60K
Tetra Tech Inc0.04%$138.71K
Installed Building Products Inc0.04%$134.21K
Accendra Health Inc0.04%$131.64K
Matthews International Corp0.04%$131.17K
Apogee Enterprises Inc0.04%$130.32K
Vermilion Energy Inc0.04%$128.56K
IMAX Corp0.04%$127.83K
Yantai Jereh Oilfield Services Group Co. Ltd.0.04%$127.68K
Valterra Platinum Ltd0.04%$127.00K
Elanco Animal Health Inc0.04%$124.36K
Houlihan Lokey Inc0.04%$122.60K
HD Hyundai Heavy Industries Co Ltd0.04%$121.87K
WaterBridge Infrastructure LLC0.04%$121.89K
Coupang Inc0.04%$121.94K
Eurex Deutschland0.04%$122.01K
Eternal Ltd0.04%$120.87K
King Yuan Electronics Co. Ltd.0.04%$120.56K
HD Hyundai Electric Co Ltd0.04%$116.53K
Amer Sports Inc0.04%$116.76K
Avient Corp0.04%$115.86K
Galaxy Digital Inc0.04%$114.71K
China Hongqiao Group Ltd0.04%$114.85K
Goldman Sachs International0.04%$114.00K
Starwood Property Trust Inc0.04%$110.49K
Polycab India Ltd0.04%$110.37K
Stanley Black & Decker Inc0.04%$109.52K
Vista Energy SAB de CV0.03%$108.77K
Generac Holdings Inc0.03%$107.62K
Carter's Inc0.03%$106.53K
Helmerich & Payne Inc0.03%$105.82K
Repligen Corp0.03%$105.62K
Vietnam Technological & Commercial Joint Stock Bank0.03%$104.69K
Advanced Energy Industries Inc0.03%$102.49K
Europower Enerji Ve Otomasyon Teknolojileri Sanayi Ticaret As0.03%$101.31K
Weichai Power Co Ltd0.03%$100.35K
Teradata Corp0.03%$99.82K
Astor Transformator Enerji Turizm Insaat Ve Petrol Sanayi Ticaret AS0.03%$99.17K
Lear Corp0.03%$96.67K
Mobility Global Inc0.03%$95.07K
Cosan SA0.03%$94.14K
Idorsia Ltd.0.03%$93.97K
Carriage Services Inc0.03%$93.09K
BIM Birlesik Magazalar AS0.03%$93.25K
Chicago Board of Trade0.03%$92.60K
ADNOC Drilling Co PJSC0.03%$92.09K
Krispy Kreme Inc0.03%$92.11K
Mebuki Financial Group Inc0.03%$91.73K
Hansoh Pharmaceutical Group Co Ltd0.03%$90.08K
Planet Fitness Inc0.03%$88.67K
Wells Fargo Securities LLC0.03%$88.08K
Standex International Corp0.03%$87.76K
Duerr AG0.03%$87.63K
Domino's Pizza Inc0.03%$85.82K
Fuyao Glass Industry Group Co Ltd0.03%$82.18K
Medpace Holdings Inc0.03%$81.37K
Bajaj Finance Ltd0.03%$80.54K
Public Power Corp SA0.03%$80.01K
Six Flags Entertainment Corp0.03%$79.89K
Axia Energia0.03%$79.30K
Montage Technology Co Ltd0.03%$78.60K
Henry Schein Inc0.02%$77.26K
Bharat Electronics Ltd0.02%$76.16K
Larsen & Toubro Ltd0.02%$75.97K
IPG Photonics Corp0.02%$73.83K
Zurn Elkay Water Solutions Corp0.02%$73.95K
China Jushi Co. Ltd.0.02%$73.79K
Jersey Mike's Subs Inc0.02%$73.53K
Zhongji Innolight Co. Ltd.0.02%$72.10K
NAURA Technology Group Co Ltd0.02%$71.12K
Samsung Biologics Co Ltd0.02%$70.99K
Petroleo Brasileiro SA - Petrobras0.02%$68.46K
AMN Healthcare Services Inc0.02%$67.46K
Maravai LifeSciences Holdings Inc0.02%$67.05K
ACADIA Pharmaceuticals Inc0.02%$66.67K
Euronext Paris Matif0.02%$66.74K
Neway Valve Suzhou Co Ltd0.02%$66.25K
Callaway Golf Co0.02%$65.37K
Citigroup Global Markets, Inc.0.02%$62.88K
Solaris Energy Infrastructure Inc0.02%$59.17K
Methanex Corp0.02%$58.72K
WD-40 Co0.02%$57.92K
Cognex Corp0.02%$57.93K
Latham Group Inc0.02%$57.67K
InnoScience Suzhou Technology Holding Co Ltd0.02%$53.21K
Japan Government Twenty Year Bonds0.02%$49.65K
Cholamandalam Investment and Finance Co Ltd0.02%$49.51K
Eurex Deutschland0.02%$48.66K
Definium Therapeutics Inc0.02%$48.35K
Figs Inc0.02%$47.82K
Life Time Group Holdings Inc0.01%$44.38K
FOCI Fiber Optic Communications Inc0.01%$43.34K
Sirius XM Holdings Inc0.01%$40.43K
Wells Fargo Securities LLC0.01%$37.42K
JPMorgan Chase Bank NA0.01%$37.27K
Morgan Stanley Bank NA0.01%$36.19K
State Street Bank & Trust Co.0.01%$33.08K
Structure Therapeutics Inc0.01%$31.99K
HSBC Bank Co. Ltd.0.01%$32.15K
UBS Securities LLC0.01%$29.59K
Wells Fargo Securities LLC0.01%$23.21K
Chicago Mercantile Exchange0.01%$20.16K
Wells Fargo Securities LLC0.01%$17.31K
Citigroup Global Markets, Inc.0.01%$16.02K
Serve Robotics Inc0.00%$13.80K
Citigroup Global Markets, Inc.0.00%$8.49K
Morgan Stanley Bank NA0.00%$8.14K
Standard Chartered Bank0.00%$7.69K
CBOE Global Markets, Inc.0.00%$7.59K
ASX Clear (Futures)0.00%$6.75K
State Street Bank & Trust Co.0.00%$6.58K
HSBC Bank Co. Ltd.0.00%$4.63K
Morgan Stanley Bank NA0.00%$3.91K
Wells Fargo Securities LLC0.00%$3.90K
HSBC Bank Co. Ltd.0.00%$2.16K
Morgan Stanley Bank NA0.00%$1.86K
HSBC Bank Co. Ltd.0.00%$1.89K
UBS Securities LLC0.00%$1.45K
Barclays Capital, Inc.0.00%$1.59K
Morgan Stanley Bank NA0.00%$1.61K
JPMorgan Chase Bank NA0.00%$1.19K
HSBC Bank Co. Ltd.0.00%$919
Morgan Stanley Bank NA0.00%$924
Morgan Stanley Bank NA0.00%$554
JPMorgan Chase Bank NA0.00%$694
JPMorgan Chase Bank NA0.00%$536
JPMorgan Chase Bank NA0.00%$245
Wells Fargo Securities LLC0.00%$296
Morgan Stanley Bank NA0.00%$165
Wells Fargo Securities LLC0.00%$312
Morgan Stanley Bank NA0.00%$326
Barclays Capital, Inc.0.00%$-142
Detsky Mir PJSC0.00%$0
Lukoil Pjsc0.00%$0
JPMorgan Chase Bank NA0.00%$-4
Morgan Stanley Bank NA0.00%$3
NYSE American Options.-0.00%$-325
JPMorgan Chase Bank NA-0.00%$-456
UBS Securities LLC-0.00%$-262
HSBC Bank Co. Ltd.-0.00%$-879
JPMorgan Chase Bank NA-0.00%$-1.02K
Citigroup Global Markets, Inc.-0.00%$-1.36K
Morgan Stanley Bank NA-0.00%$-1.20K
Morgan Stanley Bank NA-0.00%$-1.71K
Wells Fargo Securities LLC-0.00%$-1.70K
HSBC Bank Co. Ltd.-0.00%$-1.94K
Barclays Capital, Inc.-0.00%$-1.78K
JPMorgan Chase Bank NA-0.00%$-1.90K
State Street Bank & Trust Co.-0.00%$-1.88K
HSBC Bank Co. Ltd.-0.00%$-2.08K
Goldman Sachs International-0.00%$-2.45K
Wells Fargo Securities LLC-0.00%$-2.62K
Morgan Stanley Bank NA-0.00%$-3.19K
JPMorgan Chase Bank NA-0.00%$-3.24K
HSBC Bank Co. Ltd.-0.00%$-4.17K
HSBC Bank Co. Ltd.-0.00%$-4.49K
UBS Securities LLC-0.00%$-5.26K
ASX Clear (Futures)-0.00%$-5.32K
Barclays Capital, Inc.-0.00%$-6.52K
Standard Chartered Bank-0.00%$-6.84K
The Montreal Exchange/Bourse De Montreal-0.00%$-8.38K
Chicago Board of Trade-0.00%$-10.05K
Chicago Board of Trade-0.00%$-10.23K
JPMorgan Chase Bank NA-0.00%$-12.80K
Barclays Capital, Inc.-0.00%$-12.75K
Chicago Board of Trade-0.00%$-14.75K
UBS Securities LLC-0.01%$-15.63K
Chicago Board of Trade-0.01%$-16.89K
State Street Bank & Trust Co.-0.01%$-18.21K
HSBC Bank Co. Ltd.-0.01%$-18.54K
Osaka Exchange-0.01%$-20.07K
Chicago Board of Trade-0.01%$-19.80K
ICE Futures Europe - Financial Products Division-0.01%$-23.64K
Morgan Stanley Bank NA-0.01%$-24.68K
UBS Securities LLC-0.01%$-26.62K
Barclays Capital, Inc.-0.01%$-28.45K
Italian Derivatives Market-0.01%$-32.70K
Citigroup Global Markets, Inc.-0.01%$-36.55K
Barclays Capital, Inc.-0.01%$-42.18K
HSBC Bank Co. Ltd.-0.01%$-44.53K
Wells Fargo Securities LLC-0.01%$-45.26K
HSBC Bank Co. Ltd.-0.01%$-46.49K
Chicago Board of Trade-0.02%$-58.58K
ICE Futures U.S., Inc.-0.02%$-64.28K
Chicago Mercantile Exchange-0.02%$-70.76K
Meff Financial Derivatives-0.02%$-72.88K
Wells Fargo Securities LLC-0.03%$-90.03K
UBS Securities LLC-0.03%$-105.93K
Eurex Deutschland-0.03%$-107.12K
Eurex Deutschland-0.04%$-115.72K
Eurex Deutschland-0.05%$-150.72K
HSBC Bank Co. Ltd.-0.11%$-353.00K
Chicago Board of Trade-0.13%$-415.68K

C000097529 overview: performance, fees, allocation and SEC filings