-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, Vh0ShVQemGwAHDbgTh690BUuezSJItjq+CXA/4X3+yr0f8lmdnQ7Oich0eMKP9ly 1U4DnmBLDjUewzu+lMJQ2Q== 0000773757-08-000066.txt : 20080425 0000773757-08-000066.hdr.sgml : 20080425 20080425170846 ACCESSION NUMBER: 0000773757-08-000066 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 20080425 DATE AS OF CHANGE: 20080425 EFFECTIVENESS DATE: 20080425 FILER: COMPANY DATA: COMPANY CONFORMED NAME: COLUMBIA FUNDS SERIES TRUST I CENTRAL INDEX KEY: 0000773757 IRS NUMBER: 363376651 STATE OF INCORPORATION: MA FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 002-99356 FILM NUMBER: 08778475 BUSINESS ADDRESS: STREET 1: ONE FINANCIAL CENTER CITY: BOSTON STATE: MA ZIP: 02111 BUSINESS PHONE: 8003382550 MAIL ADDRESS: STREET 1: ONE FINANCIAL CENTER CITY: BOSTON STATE: MA ZIP: 02111 FORMER COMPANY: FORMER CONFORMED NAME: COLUMBIA FUNDS TRUST IX DATE OF NAME CHANGE: 20031107 FORMER COMPANY: FORMER CONFORMED NAME: LIBERTY STEIN ROE FUNDS MUNICIPAL TRUST DATE OF NAME CHANGE: 19991025 FORMER COMPANY: FORMER CONFORMED NAME: STEINROE MUNICIPAL TRUST DATE OF NAME CHANGE: 19920703 FILER: COMPANY DATA: COMPANY CONFORMED NAME: COLUMBIA FUNDS SERIES TRUST CENTRAL INDEX KEY: 0001097519 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 333-89661 FILM NUMBER: 08778476 BUSINESS ADDRESS: STREET 1: ONE FINANCIAL CENTER CITY: BOSTON STATE: MA ZIP: 02111 BUSINESS PHONE: 6174263750 MAIL ADDRESS: STREET 1: ONE FINANCIAL CENTER CITY: BOSTON STATE: MA ZIP: 02111 FORMER COMPANY: FORMER CONFORMED NAME: NATIONS FUNDS TRUST DATE OF NAME CHANGE: 19991022 0000773757 S000010622 Columbia International Stock Fund C000029381 Class A C000029382 Class B C000029383 Class C C000029386 Class Z 0000773757 S000012068 Columbia Balanced Fund C000032838 Class A C000032839 Class B C000032840 Class C C000032842 Class Z 0000773757 S000012070 Columbia Mid Cap Growth Fund C000032847 Class A C000032848 Class B C000032849 Class C C000032852 Class R C000032853 Class T C000032854 Class Z 0000773757 S000012074 Columbia Strategic Investor Fund C000032872 Class A C000032873 Class B C000032874 Class C C000032876 Class Z 0000773757 S000012076 Columbia Asset Allocation Fund C000032882 Class A C000032883 Class B C000032884 Class C C000032886 Class T C000032887 Class Z 0000773757 S000012077 Columbia Common Stock Fund C000032888 Class A C000032889 Class B C000032890 Class C C000032892 Class T C000032893 Class Z 0000773757 S000012078 Columbia Disciplined Value Fund C000032894 Class A C000032895 Class B C000032896 Class C C000032898 Class T C000032899 Class Z 0000773757 S000012079 Columbia Dividend Income Fund C000032900 Class A C000032901 Class B C000032902 Class C C000032904 Class T C000032905 Class Z C000061836 Class R Shares 0000773757 S000012081 Columbia Large Cap Growth Fund C000032910 Class A C000032911 Class B C000032912 Class C C000032914 Class T C000032915 Class Z C000034322 Class E C000034323 Class F 0000773757 S000012082 Columbia Liberty Fund C000032916 Class A C000032917 Class B C000032918 Class C C000032919 Class Z 0000773757 S000012099 Columbia World Equity Fund C000032992 Class A C000032993 Class B C000032994 Class C 0000773757 S000021568 Columbia Blended Equity Fund C000061796 Class A Shares C000061797 Class C Shares C000061798 Class Z Shares 0000773757 S000021570 Columbia Select Opportunities Fund C000061802 Class A Shares C000061803 Class C Shares C000061804 Class Z Shares 0000773757 S000021571 Columbia Mid Cap Value and Restructuring Fund C000061805 Class A Shares C000061806 Class C Shares C000061807 Class R Shares C000061808 Class Z Shares 0000773757 S000021574 Columbia International Growth Fund C000061815 Class A Shares C000061816 Class C Shares C000061817 Class Z Shares 0000773757 S000021576 Columbia Pacific/Asia Fund C000061822 Class A Shares C000061823 Class C Shares C000061824 Class Z Shares 0000773757 S000021578 Columbia Value and Restructuring Fund C000061829 Class A Shares C000061830 Class C Shares C000061831 Class R Shares C000061832 Class Z Shares 0001097519 S000010774 Columbia LifeGoal Balanced Growth Portfolio C000029775 Class A C000029776 Class B C000029777 Class C C000029778 Class R C000029779 Class Z 0001097519 S000010785 Columbia LifeGoal Growth Portfolio C000029820 Class A C000029821 Class B C000029822 Class C C000029823 Class R C000029824 Class Z 0001097519 S000010790 Columbia Asset Allocation Fund II C000029841 Class A C000029842 Class B C000029843 Class C C000029844 Class Z 0001097519 S000010791 Columbia Large Cap Value Fund C000029845 Class A C000029846 Class B C000029847 Class C C000029848 Class R C000029849 Class Z 0001097519 S000010792 Columbia Mid Cap Value Fund C000029850 Class A C000029851 Class B C000029852 Class C C000029853 Class R C000029854 Class Z 0001097519 S000010794 Columbia Marsico Growth Fund C000029860 Class A C000029861 Class B C000029862 Class C C000029863 Class R C000029864 Class Z 0001097519 S000010795 Columbia Large Cap Core Fund C000029865 Class A C000029866 Class B C000029867 Class C C000029868 Class Z 0001097519 S000010796 Columbia LifeGoal Income and Growth Portfolio C000029869 Class A C000029870 Class B C000029871 Class C C000029872 Class R C000029873 Class Z 0001097519 S000010797 Columbia Marsico Focused Equities Fund C000029874 Class A C000029875 Class B C000029876 Class C C000029877 Class Z 0001097519 S000010799 Columbia Marsico 21st Century Fund C000029882 Class A C000029883 Class B C000029884 Class C C000029885 Class R C000029886 Class Z 0001097519 S000010800 Columbia Small Cap Growth Fund II C000029887 Class A C000029888 Class B C000029889 Class C C000029890 Class Z 0001097519 S000010801 Columbia Global Value Fund C000029891 Class A C000029892 Class B C000029893 Class C C000029894 Class Z 0001097519 S000010803 Columbia Multi-Advisor International Equity Fund C000029899 Class A C000029900 Class B C000029901 Class C C000029902 Class R C000029903 Class Z 0001097519 S000010804 Columbia Marsico International Opportunities Fund C000029904 Class A C000029905 Class B C000029906 Class C C000029907 Class R C000029908 Class Z 0001097519 S000010805 Columbia Masters International Equity Portfolio C000029909 Class A C000029910 Class B C000029911 Class C C000029912 Class R C000029913 Class Z 0001097519 S000010806 Columbia Masters Global Equity Portfolio C000029914 Class A C000029915 Class B C000029916 Class C C000029917 Class Z 0001097519 S000010808 Columbia Masters Heritage Portfolio C000029922 Class A C000029923 Class B C000029924 Class C C000029925 Class Z 0001097519 S000010818 Columbia Large Cap Enhanced Core Fund C000030031 Class A C000030032 Class R C000030033 Class Z 0001097519 S000010825 Columbia Large Cap Index Fund C000030051 Class A C000030052 Class B C000030053 Class Z 0001097519 S000010826 Columbia Mid Cap Index Fund C000030054 Class A C000030055 Class Z 497 1 cfstcfstlfgl.txt PORTFOLIO HOLDINGS SUPPLEMENT COLUMBIA FUNDS SERIES TRUST Columbia LifeGoal Balanced Growth Portfolio Columbia LifeGoal Growth Portfolio Columbia LifeGoal Income and Growth Portfolio Columbia Masters Global Equity Portfolio Columbia Masters Heritage Portfolio Columbia Masters International Equity Portfolio Supplement to the Prospectuses and Statements of Additional Information dated August 1, 2007 (each a "Portfolio" and together the "Portfolios") The second paragraph under the section entitled "Portfolio Holdings Disclosure" in the above prospectuses is hereby revised and replaced in its entirety with the following language: Each Portfolio's complete portfolio holdings as of a month-end are disclosed approximately 15 calendar days after such month-end. The first bullet under the section in the Portfolios' Statement of Additional Information entitled "Disclosure of Portfolio Information - Public Disclosures" is revised and replaced in its entirety with the following: o For equity, convertible, balanced and asset allocation Columbia Funds, a complete list of portfolio holdings as of a month-end is posted approximately 15 calendar days after such month-end. Additionally, the following is added as the second bullet under the same section in the Portfolios' Statement of Additional Information: o For small cap and specialty Columbia Funds, a complete list of portfolio holdings as of a month-end is posted approximately 30 calendar days after such month-end. INT-47/153244-0408 April 25, 2008 COLUMBIA FUNDS SERIES TRUST COLUMBIA FUNDS SERIES TRUST I Columbia Balanced Fund Columbia Liberty Fund Columbia International Stock Fund Columbia Asset Allocation Fund Columbia Mid Cap Growth Fund Columbia Dividend Income Fund Columbia Strategic Investor Fund Columbia Common Stock Fund Supplement to the Prospectuses and Statements of Columbia Large Cap Growth Fund Additional Information dated January 1, 2008 Columbia Disciplined Value Fund Supplement to the Prospectuses dated February 1, 2008 and Statement of Additional Information dated March 31, 2008 Columbia International Value Fund Columbia Large Cap Core Fund Columbia Blended Equity Fund Columbia Marsico Growth Fund Columbia Select Opportunities Fund Columbia Marsico Focused Equities Fund Columbia International Growth Fund Columbia Marsicio 21st Century Fund Columbia Select Large Cap Growth Fund Columbia Asset Allocation Fund II Columbia Mid Cap Value and Restructuring Fund Columbia World Equity Fund Columbia Pacific/Asia Fund Supplement to the Prospectuses and Statements of Additional Columbia Value and Restructuring Fund Information dated August 1, 2007 Supplement to the Prospectuses and Statement of Additional Information dated March 31, 2008 Columbia Global Value Fund Columbia Marsico International Opportunities Fund Columbia Multi-Advisor International Equity Fund Columbia Large Cap Index Fund Columbia Mid Cap Index Fund Columbia Large Cap Enhanced Core Fund Columbia Mid Cap Value Fund Columbia Large Cap Value Fund Supplement to the Prospectuses and Statements of Additional Information dated July 1, 2007 (Each a "Fund" and together the "Funds")
The second paragraph under the section entitled "Portfolio Holdings Disclosure" in the above prospectuses is hereby revised and replaced in its entirety with the following language: The Fund's complete portfolio holdings as of a month-end are disclosed approximately 15 calendar days after such month-end. The first bullet under the section in each Fund's Statement of Additional Information entitled "Disclosure of Portfolio Information - Public Disclosures" is revised and replaced in its entirety with the following: o For equity, convertible, balanced and asset allocation Columbia Funds, a complete list of portfolio holdings as of a month-end is posted approximately 15 calendar days after such month-end. Additionally, the following is added as the second bullet under the same section in each Fund's Statement of Additional Information: o For small cap and specialty Columbia Funds, a complete list of portfolio holdings as of a month end is posted approximately 30 calendar days after such month-end. April 25, 2008
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