C000177152 Holdings — Columbia Inflation Protected Securities Fund

All 81 reported holdings of Columbia Inflation Protected Securities Fund (C000177152) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
United States Treasury10.90%$18.32M
United States Treasury9.37%$15.75M
United States Treasury6.99%$11.74M
United States Treasury6.41%$10.77M
United States Treasury6.21%$10.44M
United States Treasury6.17%$10.36M
United States Treasury5.66%$9.52M
United States Treasury5.39%$9.06M
United States Treasury5.39%$9.05M
United States Treasury5.22%$8.78M
United States Treasury4.76%$7.99M
United States Treasury4.39%$7.37M
United States Treasury3.80%$6.39M
United States Treasury2.15%$3.62M
United States Treasury2.12%$3.56M
New Zealand Government Bond1.27%$2.13M
United States Treasury0.96%$1.61M
United States Treasury0.92%$1.54M
Brazil Notas De Tesouro Nacional0.64%$1.07M
Columbia Funds/usa0.54%$908.21K
JPMorgan Chase & Co.0.45%$760.20K
Firstenergy Corp.0.42%$709.54K
Canadian Natural Resources Ltd.0.40%$666.65K
Teck Resources Ltd.0.39%$662.37K
United States Treasury0.36%$608.34K
Vale SA0.34%$567.05K
Consumers Energy Company0.34%$564.42K
Glencore Finance Canada Ltd.0.32%$540.52K
Williams Companies, Inc.0.31%$525.14K
Freeport-Mcmoran, Inc.0.30%$508.67K
At&t, Inc.0.30%$500.41K
Duke Energy Corp.0.26%$435.22K
Burlington Northern Santa Fe LLC0.24%$408.11K
Petroleos Mexicanos0.24%$397.62K
Waste Management, Inc.0.22%$377.16K
L3harris Technologies, Inc.0.22%$375.67K
JPMorgan0.22%$374.22K
El Paso Pipeline Partners Operating Company LLC0.22%$365.33K
United States Treasury0.21%$355.29K
Bp Capital Markets America Inc.0.19%$321.67K
Western Gas Partners LP0.19%$320.31K
Lyondellbasell Industries NV0.19%$311.55K
Verizon Communications, Inc.0.18%$310.22K
Energy Transfer Operating LP0.18%$307.99K
Emera US Finance LP0.18%$294.71K
General Motors Co.0.17%$288.79K
Plains All American Pipeline LP0.17%$287.71K
Conagra Brands, Inc.0.17%$283.96K
Bristol-Myers Squibb Co.0.17%$280.76K
Cvs Health Corp.0.16%$276.56K
Charter Communications Operating LLC / Charter Communications0.16%$275.64K
Kraft Heinz Foods Co.0.16%$273.08K
Goldman Sachs Group Inc/the0.16%$272.36K
Synchrony Financial0.16%$269.94K
Bank Of America Corp.0.16%$267.31K
Petrobras Global Finance Bv0.16%$265.20K
Transcanada Trust0.15%$256.11K
Apache Corp.0.15%$247.99K
Molson Coors Brewing Co.0.15%$247.44K
Charter Communications Operating LLC / Charter Communications0.14%$239.61K
Anheuser-Busch Inbev Worldwide, Inc.0.14%$229.60K
Lowes Companies, Inc.0.14%$229.36K
Bacardi Ltd.0.13%$213.77K
Goldman Sachs International0.12%$209.43K
Comcast Corporation0.11%$190.99K
Citigroup, Inc.0.10%$162.75K
Deutsche Mortgage Securities, Inc.0.08%$128.38K
JPMorgan0.07%$113.98K
Lyb International Finance Ii Bv0.06%$104.18K
APT Pipelines0.05%$91.44K
Capital One Fin Corp.0.05%$79.48K
JPMorgan0.02%$36.06K
Morgan Stanley0.01%$10.75K
Morgan Stanley0.00%$6.10K
JPMorgan0.00%$2.57K
Morgan Stanley0.00%$1.94K
Standard Chartered-0.01%$-12.58K
JPMorgan-0.01%$-16.70K
Hsbc-0.02%$-26.67K
JPMorgan-0.10%$-166.12K
JPMorgan-0.13%$-213.43K

C000177152 overview: performance, fees, allocation and SEC filings