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Shareholder Report, Line Graph (Details) - USD ($)
12 Months Ended
Oct. 31, 2024
Oct. 31, 2023
Oct. 31, 2022
Oct. 31, 2021
Oct. 31, 2020
Oct. 31, 2019
Oct. 31, 2018
Oct. 31, 2017
Oct. 31, 2016
Oct. 31, 2015
Oct. 31, 2014
Columbia Strategic New York Municipal Income Fund - Class A                      
Account Value [Line Items]                      
Line Graph and Table Measure Name Class A (including sales charges)                    
Account Value $ 11,933 $ 10,359 $ 10,135 $ 12,337 $ 11,724 $ 11,541 $ 10,552 $ 10,660 $ 10,494 $ 10,039 $ 9,703
Columbia Strategic New York Municipal Income Fund - Advisor Class                      
Account Value [Line Items]                      
Line Graph and Table Measure Name Advisor Class                    
Account Value $ 12,603 10,916 10,654 12,935 12,265 12,044 10,983 11,069 10,870 10,372 10,000
Columbia Strategic New York Municipal Income Fund - Class C                      
Account Value [Line Items]                      
Line Graph and Table Measure Name Class C (including sales charges)                    
Account Value $ 11,748 10,244 10,068 12,312 11,757 11,630 10,666 10,839 10,718 10,300 10,000
Columbia Strategic New York Municipal Income Fund - Institutional Class                      
Account Value [Line Items]                      
Line Graph and Table Measure Name Institutional Class                    
Account Value $ 12,595 10,905 10,648 12,926 12,257 12,043 10,968 11,069 10,869 10,372 10,000
Columbia Strategic New York Municipal Income Fund - Institutional 2 Class                      
Account Value [Line Items]                      
Line Graph and Table Measure Name Institutional 2 Class                    
Account Value $ 12,625 10,932 10,668 12,950 12,273 12,058 10,978 11,079 10,864 10,376 10,000
Columbia Strategic New York Municipal Income Fund - Institutional 3 Class                      
Account Value [Line Items]                      
Line Graph and Table Measure Name Institutional 3 Class                    
Account Value $ 12,590 10,894 10,625 12,893 12,213 11,989 10,928 11,008 10,815 10,346 10,000
Bloomberg Municipal Bond Index [Member]                      
Account Value [Line Items]                      
Line Graph and Table Measure Name Bloomberg Municipal Bond Index                    
Account Value $ 12,548 11,439 11,144 12,661 12,336 11,908 10,883 10,939 10,704 10,287 10,000
Bloomberg New York Municipal Bond Index [Member]                      
Account Value [Line Items]                      
Line Graph and Table Measure Name Bloomberg New York Municipal Bond Index                    
Account Value $ 12,411 $ 11,280 $ 10,929 $ 12,502 $ 12,076 $ 11,811 $ 10,827 $ 10,923 $ 10,691 $ 10,297 $ 10,000