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Shareholder Report, Line Graph (Details) - USD ($)
12 Months Ended 60 Months Ended 120 Months Ended
May 31, 2024
May 31, 2024
May 31, 2024
May 31, 2023
May 31, 2022
May 31, 2021
May 31, 2020
May 31, 2019
May 31, 2018
May 31, 2017
May 31, 2016
May 31, 2015
Columbia Adaptive Risk Allocation Fund (Class A)                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Class A (including sales charges)                      
Account Value $ 14,420 $ 14,420 $ 14,420 $ 13,078 $ 13,882 $ 14,403 $ 12,086 $ 11,466 $ 11,205 $ 10,465 $ 9,484 $ 9,536
Average Annual Return, Percent 3.88% 3.45% 3.73%                  
Columbia Adaptive Risk Allocation Fund (Class A) | Without Sales Load [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Class A (excluding sales charges)                      
Average Annual Return, Percent 10.26% 4.69% 4.34%                  
Columbia Adaptive Risk Allocation Fund (Advisor Class)                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Advisor Class                      
Account Value $ 15,685 $ 15,685 $ 15,685 14,180 15,008 15,530 13,009 12,307 11,998 11,186 10,100 10,126
Average Annual Return, Percent [1] 10.61% 4.97% 4.60%                  
Columbia Adaptive Risk Allocation Fund (Class C)                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Class C (including sales charges)                      
Account Value $ 14,203 $ 14,203 $ 14,203 12,987 13,870 14,507 12,280 11,726 11,546 10,872 9,921 10,048
Average Annual Return, Percent 8.36% 3.91% 3.57%                  
Columbia Adaptive Risk Allocation Fund (Class C) | Without Sales Load [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Class C (excluding sales charges)                      
Average Annual Return, Percent 9.36% 3.91% 3.57%                  
Columbia Adaptive Risk Allocation Fund (Institutional 2 Class)                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Institutional 2 Class                      
Account Value $ 15,713 $ 15,713 $ 15,713 14,210 15,053 15,577 13,047 12,346 12,027 11,215 10,132 10,148
Average Annual Return, Percent 10.58% 4.94% 4.62%                  
Columbia Adaptive Risk Allocation Fund (Institutional Class)                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Institutional Class                      
Account Value $ 15,692 $ 15,692 $ 15,692 14,184 15,014 15,537 13,012 12,320 12,000 11,188 10,111 10,137
Average Annual Return, Percent 10.63% 4.96% 4.61%                  
Columbia Adaptive Risk Allocation Fund (Institutional 3 Class)                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Institutional 3 Class                      
Account Value $ 15,778 $ 15,778 $ 15,778 14,264 15,089 15,620 13,068 12,359 12,038 11,220 10,121 10,137
Average Annual Return, Percent [1] 10.61% 5.00% 4.67%                  
Modified Blended Benchmark [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Modified Blended Benchmark - 60% MSCI ACWI Index (Net), 40% Bloomberg Global Aggregate Index                      
Account Value $ 16,308 $ 16,308 $ 16,308 14,301 14,463 15,944 12,671 11,954 11,865 11,011 9,955 10,057
Average Annual Return, Percent 14.03% 6.41% 5.01%                  
Blended Benchmark [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Blended Benchmark - 60% MSCI ACWI Index (Net) Hedged to DM Currencies, 40% Bloomberg Global Aggregate Hedged USD Index                      
Account Value $ 19,437 $ 19,437 $ 19,437 16,775 16,536 17,375 14,217 13,272 12,845 11,965 10,714 10,884
Average Annual Return, Percent 15.87% 7.93% 6.87%                  
FTSE Three Month U S Treasury Bill Index [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name FTSE Three-Month U.S. Treasury Bill Index                      
Account Value $ 11,588 $ 11,588 $ 11,588 10,972 10,613 10,600 10,590 10,408 10,180 10,055 10,014 10,002
Average Annual Return, Percent 5.61% 2.17% 1.48%                  
MSCI ACWI (Net) [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name MSCI ACWI (Net)                      
Account Value $ 22,398 $ 22,398 $ 22,398 18,128 17,975 19,283 13,594 12,894 13,063 11,681 9,938 10,508
Average Annual Return, Percent 23.56% 11.68% 8.40%                  
Bloomberg Global Aggregate Index [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Bloomberg Global Aggregate Index                      
Account Value $ 9,641 $ 9,641 $ 9,641 $ 9,567 $ 10,015 $ 11,540 $ 11,046 $ 10,461 $ 10,147 $ 9,976 $ 9,900 $ 9,400
Average Annual Return, Percent 0.77% (1.62%) (0.37%)                  
[1] The returns shown for periods prior to October 1, 2014 (including returns for the Life of the Fund, if shown, which are since Fund inception) include the returns of Class A. These returns are adjusted to reflect any higher class-related operating expenses of the newer share classes, as applicable. Please visit columbiathreadneedleus.com/investor/investment-products/mutual-funds/appended-performance for more information.