497 1 d706694d497.htm 497 497
Supplement dated March 22, 2019
to the Statement of Additional Information (the SAI), dated March 1, 2019, as supplemented, for the following fund:
Fund
Columbia Funds Series Trust II
 Columbia Emerging Markets Bond Fund
Effective immediately, the information under the subsection “The Investment Manager and Subadvisers – Portfolio Managers” in the “Investment Management and Other Services” section of the SAI for the above referenced fund is hereby superseded and replaced with the following:
    Other
accounts Managed (excluding the Fund)
Ownership
of Fund
Shares
Potential
Conflicts
of Interest
Structure
of
Compensation
Fund Portfolio
Manager
Number
and Type
of Account*
Approximate
Total Net
Assets
Performance-
Based
Accounts**
For Funds with fiscal year ending August 31 – Information is as of August 31, 2018, unless otherwise noted
Emerging Markets Bond Fund Tim Jagger(h) 1 RIC $115.11 million None None (c) Threadneedle Threadneedle
Christopher Cooke 2 RICs
4 PIVs
1 other account
$233.69 million
$561.35 million
$210.90 million
None None (c)
* RIC refers to a Registered Investment Company; PIV refers to a Pooled Investment Vehicle.
** Number and type of accounts for which the advisory fee paid is based in part or wholly on performance and the aggregate net assets in those accounts.
(c) The Fund is available for sale only the U.S. The portfolio manager does not reside in the U.S. and therefore does not hold any shares of the Fund.
(h) The portfolio manager began managing the Fund after its last fiscal year end; reporting information is provided as of January 31, 2019.
The rest of the section remains the same.
Shareholders should retain this Supplement for future reference.
SUP915_00_031_(03/19)