LCCCX Holdings — Columbia Contrarian Core Fund

All 79 reported holdings of Columbia Contrarian Core Fund (LCCCX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp8.23%$1.52B
Apple Inc6.32%$1.17B
Microsoft Corp6.00%$1.11B
Amazon.com Inc5.38%$994.68M
Broadcom Inc3.46%$639.55M
Alphabet Inc3.39%$627.20M
Alphabet Inc2.76%$510.26M
Eli Lilly & Co2.28%$420.37M
Texas Instruments Inc2.15%$396.46M
Meta Platforms Inc1.96%$362.49M
Berkshire Hathaway Inc1.83%$337.25M
Micron Technology Inc1.75%$323.82M
Honeywell International Inc1.75%$322.78M
TE Connectivity PLC1.74%$321.15M
Visa Inc1.71%$316.02M
Dell Technologies Inc1.51%$279.77M
eBay Inc1.50%$276.98M
Morgan Stanley1.46%$270.47M
Applied Materials Inc1.38%$255.39M
Netflix Inc1.38%$255.25M
Chevron Corp1.32%$244.18M
Columbia Short Term Cash Fund1.30%$240.67M
Bank of America Corp1.27%$234.61M
Eaton Corp PLC1.23%$226.47M
Boeing Co/The1.20%$222.63M
Vertex Pharmaceuticals Inc1.19%$220.15M
Oracle Corp1.18%$218.32M
Equinix Inc1.12%$207.33M
Marvell Technology Inc1.12%$206.45M
Lam Research Corp1.11%$204.65M
Walmart Inc1.07%$198.61M
DTE Energy Co1.05%$193.36M
JPMorgan Chase & Co1.02%$188.19M
Palo Alto Networks Inc0.99%$182.23M
Charles Schwab Corp/The0.92%$169.76M
Block Inc0.88%$162.15M
Mastercard Inc0.87%$161.41M
AbbVie Inc0.86%$158.14M
Tesla Inc0.85%$156.93M
Starbucks Corp0.84%$154.41M
Walt Disney Co/The0.81%$150.56M
Thermo Fisher Scientific Inc0.80%$148.00M
ConocoPhillips0.78%$143.91M
Aon PLC0.77%$141.63M
Okta Inc0.75%$137.77M
Verizon Communications Inc0.74%$137.16M
Carrier Global Corp0.71%$130.51M
EOG Resources Inc0.68%$126.05M
Danaher Corp0.66%$121.62M
DoorDash Inc0.65%$120.00M
S&P Global Inc0.65%$119.66M
GE Vernova Inc0.64%$117.84M
Synopsys Inc0.60%$110.00M
Cigna Group/The0.59%$109.52M
UnitedHealth Group Inc0.59%$109.07M
International Flavors & Fragrances Inc0.59%$108.80M
PulteGroup Inc0.57%$104.56M
Stanley Black & Decker Inc0.54%$100.32M
Jacobs Solutions Inc0.54%$99.22M
PepsiCo Inc0.53%$98.07M
Intercontinental Exchange Inc0.51%$94.66M
Wells Fargo & Co0.51%$94.61M
Waste Management Inc0.50%$93.00M
Public Service Enterprise Group Inc0.50%$92.04M
Take-Two Interactive Software Inc0.49%$91.06M
Blackrock Inc0.49%$90.49M
Stryker Corp0.48%$89.24M
RTX Corp0.45%$83.34M
PACCAR Inc0.42%$77.54M
Tapestry Inc0.42%$76.82M
Intuitive Surgical Inc0.40%$73.59M
IQVIA Holdings Inc0.39%$71.15M
Intuit Inc0.36%$66.66M
Boston Scientific Corp0.34%$63.34M
Waters Corp0.30%$56.30M
Salesforce Inc0.30%$55.16M
Insmed Inc0.29%$54.18M
Dexcom Inc0.15%$27.82M
General Electric Co0.11%$20.54M

LCCCX overview: performance, fees, allocation and SEC filings