0001145549-20-049920.txt : 20200826 0001145549-20-049920.hdr.sgml : 20200826 20200826105102 ACCESSION NUMBER: 0001145549-20-049920 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200630 FILED AS OF DATE: 20200826 PERIOD START: 20210331 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: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-04367 FILM NUMBER: 201135125 BUSINESS ADDRESS: STREET 1: 225 FRANKLIN STREET CITY: BOSTON STATE: MA ZIP: 02110 BUSINESS PHONE: 800-345-6611 MAIL ADDRESS: STREET 1: 225 FRANKLIN STREET CITY: BOSTON STATE: MA ZIP: 02110 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 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0.0247179350 Long EC CORP US N 1 N N N AMGEN INC 62QBXGPJ34PQ72Z12S66 Amgen Inc 031162100 39983.000000000000 NS USD 9430390.380000000000 0.2896452311 Long EC CORP US N 1 N N N ANTHEM INC 8MYN82XMYQH89CTMTH67 Anthem Inc 036752103 6636.000000000000 NS USD 1745135.280000000000 0.0536001259 Long EC CORP US N 1 N N N APPLE INC HWUPKR0MPOU8FGXBT394 Apple Inc 037833100 286641.000000000000 NS USD 104566636.800000000000 3.2116621323 Long EC CORP US N 1 N N N APPLIED MAT INC 41BNNE1AFPNAZELZ6K07 Applied Materials Inc 038222105 439369.000000000000 NS USD 26559856.050000000000 0.8157600409 Long EC CORP US N 1 N N N ARMSTRONG WORLD INDUSTRIES INC KXMRXXOJ88Q45Y45MG74 Armstrong World Industries Inc 04247X102 14200.000000000000 NS USD 1107032.000000000000 0.0340014068 Long EC CORP US N 1 N N N AUTODESK INC FRKKVKAIQEF3FCSTPG55 Autodesk Inc 052769106 276273.000000000000 NS USD 66081738.870000000000 2.0296360757 Long EC CORP US N 1 N N N AUTOMATIC DATA PROCESSING INC HGBOLILQXWER4SAL2I23 Automatic Data Processing Inc 053015103 74624.000000000000 NS USD 11110767.360000000000 0.3412563690 Long EC CORP US N 1 N N N AUTOZONE INC GA3JGKJ41LJKXDN23E90 AutoZone Inc 053332102 6590.000000000000 NS USD 7434310.800000000000 0.2283375961 Long EC CORP US N 1 N N N BIOGEN INC W8J5WZB5IY3K0NDQT671 Biogen Inc 09062X103 9145.000000000000 NS USD 2446744.750000000000 0.0751493756 Long EC CORP US N 1 N N N H&R BLOCK INC 549300CE3KUCWLZBG404 H&R Block Inc 093671105 78024.000000000000 NS USD 1114182.720000000000 0.0342210342 Long EC CORP US N 1 N N N BOEING CO RVHJWBXLJ1RFUBSY1F30 Boeing Co/The 097023105 231200.000000000000 NS USD 42378960.000000000000 1.3016283702 Long EC CORP US N 1 N N N BOOKING HOLDINGS INC FXM8FAOHMYDIPD38UZ17 Booking Holdings Inc 09857L108 17170.000000000000 NS USD 27340477.800000000000 0.8397360756 Long EC CORP US N 1 N N N BOOZ ALLEN HAMILTON HOLDING CORP 529900JPV47PIUWMA015 Booz Allen Hamilton Holding Corp 099502106 20996.000000000000 NS USD 1633278.840000000000 0.0501645646 Long EC CORP US N 1 N N N BOSTON SCIENTIFIC CORP Y6ZDD9FP4P8JSSJMW954 Boston Scientific Corp 101137107 70586.000000000000 NS USD 2478274.460000000000 0.0761177798 Long EC CORP US N 1 N N N BRISTOL-MYERS SQUIBB CO HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Co 110122108 619174.000000000000 NS USD 36407431.200000000000 1.1182186948 Long EC CORP US N 1 N N N Broadcom Inc 549300WV6GIDOZJTV909 Broadcom Inc 11135F101 29701.000000000000 NS USD 9373932.610000000000 0.2879111858 Long EC CORP US N 1 N N N Brown & Brown Inc 549300PC8KTJ71XKFY89 Brown & Brown Inc 115236101 63541.000000000000 NS USD 2589931.160000000000 0.0795472063 Long EC CORP US N 1 N N N BRUKER CORP LEBZ6VLQ6I8XB1NHVY15 Bruker Corp 116794108 43493.000000000000 NS USD 1769295.240000000000 0.0543421754 Long EC CORP US N 1 N N N Burlington Stores Inc 5299003Z37DVGKKC1W09 Burlington Stores Inc 122017106 7653.000000000000 NS USD 1507105.290000000000 0.0462892672 Long EC CORP US N 1 N N N Cboe Global Markets Inc 529900RLNSGA90UPEH54 Cboe Global Markets Inc 12503M108 13433.000000000000 NS USD 1253030.240000000000 0.0384856001 Long EC CORP US N 1 N N N CDW CORP N/A CDW Corp/DE 12514G108 19995.000000000000 NS USD 2323019.100000000000 0.0713492631 Long EC CORP US N 1 N N N Cable One Inc 549300648QS85T0XSH18 Cable One Inc 12685J105 839.000000000000 NS USD 1489099.150000000000 0.0457362262 Long EC CORP US N 1 N N N CADENCE DESIGN SYST INC GCT7RXJOGLXPV0NXZY22 Cadence Design Systems Inc 127387108 38394.000000000000 NS USD 3684288.240000000000 0.1131593153 Long EC CORP US N 1 N N N CAMPBELL SOUP COMPANY 5493007JDSMX8Z5Z1902 Campbell Soup Co 134429109 16280.000000000000 NS USD 807976.400000000000 0.0248162061 Long EC CORP US N 1 N N N Cerner Corp 549300L4UJ40IEVVI304 Cerner Corp 156782104 345587.000000000000 NS USD 23689988.850000000000 0.7276148725 Long EC CORP US N 1 N N N CHARTER COMMUNICATIONS INC N/A Charter Communications Inc 16119P108 8275.000000000000 NS USD 4220581.000000000000 0.1296310237 Long EC CORP US N 1 N N N CHEMED CORP 54930020031IDJT2IM79 Chemed Corp 16359R103 9927.000000000000 NS USD 4477771.890000000000 0.1375303907 Long EC CORP US N 1 N N N CHURCH & DWIGHT CO INC POOXSI30AWAQGYJZC921 Church & Dwight Co Inc 171340102 31223.000000000000 NS USD 2413537.900000000000 0.0741294596 Long EC CORP US N 1 N N N CISCO SYSTEMS INC 8E6NF1YAL0WT6CWXXV93 Cisco Systems Inc 17275R102 798481.000000000000 NS USD 37241153.840000000000 1.1438256715 Long EC CORP US N 1 N N N CINTAS CORP N/A Cintas Corp 172908105 9089.000000000000 NS USD 2420946.040000000000 0.0743569934 Long EC CORP US N 1 N N N REPUBLIC SERVICES INC NKNQHM6BLECKVOQP7O46 Republic Services Inc 760759100 4120.000000000000 NS USD 338046.000000000000 0.0103827528 Long EC CORP US N 1 N N N RESMED INC 529900T3QE5253CCXF22 ResMed Inc 761152107 18607.000000000000 NS USD 3572544.000000000000 0.1097272001 Long EC CORP US N 1 N N N Reynolds Consumer Products Inc N/A Reynolds Consumer Products Inc 76171L106 16470.000000000000 NS USD 572167.800000000000 0.0175735752 Long EC CORP US N 1 N N N RingCentral Inc 549300C8EH0H1614VE84 RingCentral Inc 76680R206 2100.000000000000 NS USD 598521.000000000000 0.0183829880 Long EC CORP US N 1 N N N ROCHE HOLDING AG 549300U41AUUVOAAOB37 Roche Holding AG 771195104 892069.000000000000 NS USD 38724715.290000000000 1.1893918126 Long EC CORP CH N 2 N N N Rockwell Automation Inc VH3R4HHBHH12O0EXZJ88 Rockwell Automation Inc 773903109 54557.000000000000 NS USD 11620641.000000000000 0.3569166399 Long EC CORP US N 1 N N N ROKU INC 549300KR6ITU0YIR1T71 Roku Inc 77543R102 83712.000000000000 NS USD 9754959.360000000000 0.2996140503 Long EC CORP US N 1 N N N S&P GLOBAL INC Y6X4K52KMJMZE7I7MY94 S&P Global Inc 78409V104 32340.000000000000 NS USD 10655383.200000000000 0.3272696892 Long EC CORP US N 1 N N N SEI Investments Co 5LJTIFADGZ6XH1RVOC11 SEI Investments Co 784117103 423918.000000000000 NS USD 23307011.640000000000 0.7158521015 Long EC CORP US N 1 N N N SALESFORCE COM RCGZFPDMRW58VJ54VR07 salesforce.com Inc 79466L302 510406.000000000000 NS USD 95614355.980000000000 2.9367015695 Long EC CORP US N 1 N N N Sarepta Therapeutics Inc 549300IKDPIED8J8IG21 Sarepta Therapeutics Inc 803607100 170971.000000000000 NS USD 27413490.140000000000 0.8419785784 Long EC CORP US N 1 N N N SCHLUMBERGER NV 213800ZUA17OK3QLGM62 Schlumberger Ltd 806857108 487146.000000000000 NS USD 8958614.940000000000 0.2751551091 Long EC CORP CW N 1 N N N SCIENCE APPLICATIONS INTERNATIONAL CORP 549300LZPNZIXQGZPZ48 Science Applications International Corp 808625107 12171.000000000000 NS USD 945443.280000000000 0.0290383671 Long EC CORP US N 1 N N N SCOTTS MIRACLE-GRO CO/THE 2TH9E0JTOUXOEGI2R879 Scotts Miracle-Gro Co/The 810186106 62445.000000000000 NS USD 8396979.150000000000 0.2579050143 Long EC CORP US N 1 N N N SEATTLE GENETICS INC N/A Seattle Genetics Inc 812578102 7077.000000000000 NS USD 1202523.840000000000 0.0369343454 Long EC CORP US N 1 N N N SERVICENOW INC 549300HJTQM36M0E1G39 ServiceNow Inc 81762P102 106642.000000000000 NS USD 43196408.520000000000 1.3267355032 Long EC CORP US N 1 N N N SHERWIN-WILLIAMS COMPANY (THE) Z15BMIOX8DDH0X2OBP21 Sherwin-Williams Co/The 824348106 29088.000000000000 NS USD 16808500.800000000000 0.5162566873 Long EC CORP US N 1 N N N SolarEdge Technologies Inc 5493000K6Y58XXPDF853 SolarEdge Technologies Inc 83417M104 11466.000000000000 NS USD 1591251.480000000000 0.0488737352 Long EC CORP US N 1 N N N Splunk Inc 549300XGDSGBP6UEI867 Splunk Inc 848637104 148993.000000000000 NS USD 29604909.100000000000 0.9092858716 Long EC CORP US N 1 N N N Sprouts Farmers Market Inc 529900P8F4G77Q52XE24 Sprouts Farmers Market Inc 85208M102 236530.000000000000 NS USD 6052802.700000000000 0.1859059239 Long EC CORP US N 1 N N N Square Inc 549300OHIIUWSTIZME52 Square Inc 852234103 441728.000000000000 NS USD 46354936.320000000000 1.4237466001 Long EC CORP US N 1 N N N STARBUCKS CORP OQSJ1DU9TAOC51A47K68 Starbucks Corp 855244109 350503.000000000000 NS USD 25793515.770000000000 0.7922226476 Long EC CORP US N 1 N N N STRYKER CORP 5493002F0SC4JTBU5137 Stryker Corp 863667101 12021.000000000000 NS USD 2166063.990000000000 0.0665285401 Long EC CORP US N 1 N N N TJX COMPANIES INC V167QI9I69W364E2DY52 TJX Cos Inc/The 872540109 36767.000000000000 NS USD 1858939.520000000000 0.0570955120 Long EC CORP US N 1 N N N TARGET CORPORATION 8WDDFXB5T1Z6J0XC1L66 Target Corp 87612E106 16605.000000000000 NS USD 1991437.650000000000 0.0611650626 Long EC CORP US N 1 N N N TERADYNE INC C3X4YJ278QNZHRJULN75 Teradyne Inc 880770102 91620.000000000000 NS USD 7742806.200000000000 0.2378127310 Long EC CORP US N 1 N N N TESLA INC 54930043XZGB27CTOV49 Tesla Inc 88160R101 10283.000000000000 NS USD 11103686.230000000000 0.3410388790 Long EC CORP US N 1 N N N TEXAS INSTRUMENTS INC WDJNR2L6D8RWOEB8T652 Texas Instruments Inc 882508104 35191.000000000000 NS USD 4468201.270000000000 0.1372364385 Long EC CORP US N 1 N N N THERMO FISHER HCHV7422L5HDJZCRFL38 Thermo Fisher Scientific Inc 883556102 14397.000000000000 NS USD 5216608.980000000000 0.1602230504 Long EC CORP US N 1 N N N Tractor Supply Co 549300OJ9VZHZRO6I137 Tractor Supply Co 892356106 19420.000000000000 NS USD 2559361.800000000000 0.0786082983 Long EC CORP US N 1 N N N TRANSUNION HOLDING CO INC 549300ZS772LUNUMRB03 TransUnion 89400J107 25815.000000000000 NS USD 2246937.600000000000 0.0690124941 Long EC CORP US N 1 N N N Trex Co Inc N/A Trex Co Inc 89531P105 5277.000000000000 NS USD 686379.390000000000 0.0210814727 Long EC CORP US N 1 N N N Uber Technologies Inc 549300B2FTG34FILDR98 Uber Technologies Inc 90353T100 411325.000000000000 NS USD 12783981.000000000000 0.3926474919 Long EC CORP US N 1 N N N Ubiquiti Inc N/A Ubiquiti Inc 90353W103 3062.000000000000 NS USD 534502.720000000000 0.0164167291 Long EC CORP US N 1 N N N UNION PACIFIC CORPORATION 549300LMMRSZZCZ8CL11 Union Pacific Corp 907818108 27318.000000000000 NS USD 4618654.260000000000 0.1418574551 Long EC CORP US N 1 N N N UNITEDHEALTH GROUP INC 549300GHBMY8T5GXDE41 UnitedHealth Group Inc 91324P102 173404.000000000000 NS USD 51145509.800000000000 1.5708843862 Long EC CORP US N 1 N N N UNIVERSAL DISPLAY CORP N/A Universal Display Corp 91347P105 42937.000000000000 NS USD 6424233.940000000000 0.1973140717 Long EC CORP US N 1 N N N VARIAN MEDICAL SYSTEMS INC TK3LAKL7I0QNTCVWSY07 Varian Medical Systems Inc 92220P105 80609.000000000000 NS USD 9876214.680000000000 0.3033382890 Long EC CORP US N 1 N N N Veeva Systems Inc 549300YZEXPDB92M2F02 Veeva Systems Inc 922475108 22262.000000000000 NS USD 5218658.040000000000 0.1602859853 Long EC CORP US N 1 N N N VERISIGN INC LMPL4N8ZOJRMF0KOF759 VeriSign Inc 92343E102 35144.000000000000 NS USD 7268833.520000000000 0.2232551230 Long EC CORP US N 1 N N N VERISK ANALYTICS INC 549300I1YSWNIRKBWP67 Verisk Analytics Inc 92345Y106 6501.000000000000 NS USD 1106470.200000000000 0.0339841516 Long EC CORP US N 1 N N N VERTEX PHARM INC 54930015RAQRRZ5ZGJ91 Vertex Pharmaceuticals Inc 92532F100 23307.000000000000 NS USD 6766255.170000000000 0.2078189198 Long EC CORP US N 1 N N N Visa Inc 549300JZ4OKEHW3DPJ59 Visa Inc 92826C839 692793.000000000000 NS USD 133826823.810000000000 4.1103602016 Long EC CORP US N 1 N N N VULCAN MATERIALS COMPANY 549300Q8LSNHAVWBNI21 Vulcan Materials Co 929160109 15935.000000000000 NS USD 1846069.750000000000 0.0567002295 Long EC CORP US N 1 N N N WEST PHARMACEUTICAL SERV INC 5493007NKRGM1RJQ1P16 West Pharmaceutical Services Inc 955306105 12486.000000000000 NS USD 2836444.620000000000 0.0871186265 Long EC CORP US N 1 N N N Woodward Inc YPYKXXTR8TFDH54ZMB45 Woodward Inc 980745103 3530.000000000000 NS USD 273751.500000000000 0.0084080100 Long EC CORP US N 1 N N N WORKDAY INC 549300J0DYC0N31V7G13 Workday Inc 98138H101 107507.000000000000 NS USD 20142511.520000000000 0.6186575707 Long EC CORP US N 1 N N N YUM! BRANDS INC. 549300JE8XHZZ7OHN517 Yum! Brands Inc 988498101 222795.000000000000 NS USD 19363113.450000000000 0.5947191201 Long EC CORP US N 1 N N N YUM CHINA HOLDINGS INC 529900DO9BYZ7VA3K502 Yum China Holdings Inc 98850P109 273401.000000000000 NS USD 13142386.070000000000 0.4036555536 Long EC CORP US N 1 N N N ZOETIS INC 549300HD9Q1LOC9KLJ48 Zoetis Inc 98978V103 24847.000000000000 NS USD 3405032.880000000000 0.1045822596 Long EC CORP US N 1 N N N ALLEGION PLC N/A Allegion plc G0176J109 17640.000000000000 NS USD 1803160.800000000000 0.0553823231 Long EC CORP IE N 1 N N N Aon PLC 635400FALWQYX5E6QC64 Aon PLC G0403H108 1357.000000000000 NS USD 261358.200000000000 0.0080273619 Long EC CORP IE N 1 N N N Atlassian Corp PLC 549300AGBII4MWBVJY22 Atlassian Corp PLC G06242104 21536.000000000000 NS USD 3882294.720000000000 0.1192408910 Long EC CORP GB N 1 N N N ACCENTURE PLC N/A Accenture PLC G1151C101 40312.000000000000 NS USD 8655792.640000000000 0.2658542179 Long EC CORP IE N 1 N N N HERBALIFE LTD 549300BA7TYPBSZZIA41 Herbalife Nutrition Ltd G4412G101 21415.000000000000 NS USD 963246.700000000000 0.0295851817 Long EC CORP KY N 1 N N N NOVOCURE LTD 213800YPP55UMHWA4826 Novocure Ltd G6674U108 25441.000000000000 NS USD 1508651.300000000000 0.0463367514 Long EC CORP JE N 1 N N N STERIS PLC N/A STERIS PLC G8473T100 6428.000000000000 NS USD 986312.320000000000 0.0302936197 Long EC CORP IE N 1 N N N TRANE TECHNOLOGIES PLC 549300BURLR9SLYY2705 Trane Technologies PLC G8994E103 127939.000000000000 NS USD 11384012.220000000000 0.3496488180 Long EC CORP IE N 1 N N N 2020-07-28 Columbia Funds Series Trust I Martha Skinner Martha Skinner Assistant Treasurer XXXX NPORT-EX 2 nportpoi_472000.htm
Portfolio of Investments
Multi-Manager Growth Strategies Fund, June 30, 2020 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 99.3%
Issuer Shares Value ($)
Communication Services 9.7%
Entertainment 1.9%
Activision Blizzard, Inc. 263,671 20,012,629
Electronic Arts, Inc.(a) 5,950 785,698
Netflix, Inc.(a) 19,475 8,861,904
Roku, Inc.(a) 83,712 9,754,959
Walt Disney Co. (The) 199,522 22,248,698
Total   61,663,888
Interactive Media & Services 7.6%
Alphabet, Inc., Class A(a) 36,318 51,500,740
Alphabet, Inc., Class C(a) 38,188 53,982,938
Facebook, Inc., Class A(a) 625,367 142,002,085
Total   247,485,763
Media 0.2%
Cable One, Inc. 839 1,489,099
Charter Communications, Inc., Class A(a) 8,275 4,220,581
Total   5,709,680
Total Communication Services 314,859,331
Consumer Discretionary 16.2%
Automobiles 0.4%
Tesla Motors, Inc.(a) 10,283 11,103,686
Distributors 0.2%
Pool Corp. 18,861 5,127,740
Diversified Consumer Services 0.8%
Grand Canyon Education, Inc.(a) 4,345 393,353
H&R Block, Inc. 78,024 1,114,183
New Oriental Education & Technology Group, Inc., ADR(a) 198,576 25,860,552
Total   27,368,088
Hotels, Restaurants & Leisure 1.9%
Domino’s Pizza, Inc. 5,076 1,875,277
Dunkin’ Brands Group, Inc. 11,641 759,342
Hilton Worldwide Holdings, Inc. 21,585 1,585,418
Starbucks Corp. 350,503 25,793,516
Common Stocks (continued)
Issuer Shares Value ($)
Yum China Holdings, Inc. 273,401 13,142,386
Yum! Brands, Inc. 222,795 19,363,114
Total   62,519,053
Household Durables 0.1%
NVR, Inc.(a) 1,230 4,008,262
Internet & Direct Marketing Retail 10.2%
Alibaba Group Holding Ltd., ADR(a) 418,823 90,340,121
Amazon.com, Inc.(a) 77,120 212,760,199
Booking Holdings, Inc.(a) 17,170 27,340,478
eBay, Inc. 37,523 1,968,081
Total   332,408,879
Multiline Retail 0.2%
Dollar General Corp. 27,216 5,184,920
Target Corp. 16,605 1,991,438
Total   7,176,358
Specialty Retail 1.0%
AutoZone, Inc.(a) 6,590 7,434,311
Burlington Stores, Inc.(a) 7,653 1,507,105
Home Depot, Inc. (The) 45,096 11,296,999
Lowe’s Companies, Inc. 62,754 8,479,320
TJX Companies, Inc. (The) 36,767 1,858,940
Tractor Supply Co. 19,420 2,559,362
Total   33,136,037
Textiles, Apparel & Luxury Goods 1.4%
Nike, Inc., Class B 459,618 45,065,545
Total Consumer Discretionary 527,913,648
Consumer Staples 4.1%
Beverages 1.9%
Coca-Cola Co. (The) 196,674 8,787,394
Monster Beverage Corp.(a) 667,802 46,292,035
PepsiCo, Inc. 59,684 7,893,806
Total   62,973,235
Food & Staples Retailing 1.1%
Costco Wholesale Corp. 95,451 28,941,698
Sprouts Farmers Market, Inc.(a) 236,530 6,052,802
Total   34,994,500
Multi-Manager Growth Strategies Fund  | Quarterly Report 2020
1

Portfolio of Investments   (continued)
Multi-Manager Growth Strategies Fund, June 30, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Food Products 0.0%
Campbell Soup Co. 16,280 807,976
Hershey Co. (The) 3,068 397,674
Lamb Weston Holdings, Inc. 12,350 789,536
Total   1,995,186
Household Products 1.0%
Church & Dwight Co., Inc. 31,223 2,413,538
Clorox Co. (The) 18,685 4,098,928
Colgate-Palmolive Co. 270,045 19,783,497
Procter & Gamble Co. (The) 42,161 5,041,191
Reynolds Consumer Products, Inc. 16,470 572,168
Total   31,909,322
Personal Products 0.1%
Estee Lauder Companies, Inc. (The), Class A 8,419 1,588,497
Herbalife Nutrition Ltd.(a) 21,415 963,247
Total   2,551,744
Total Consumer Staples 134,423,987
Energy 0.3%
Energy Equipment & Services 0.3%
Schlumberger Ltd. 487,146 8,958,615
Total Energy 8,958,615
Financials 3.4%
Banks 0.0%
Prosperity Bancshares, Inc. 5,495 326,293
Capital Markets 3.3%
Cboe Global Markets, Inc. 13,433 1,253,030
Eaton Vance Corp. 20,231 780,917
Factset Research Systems, Inc. 68,803 22,599,721
Intercontinental Exchange, Inc. 22,666 2,076,205
LPL Financial Holdings, Inc. 25,115 1,969,016
Moody’s Corp. 18,360 5,044,043
MSCI, Inc. 116,891 39,020,554
S&P Global, Inc. 32,340 10,655,383
SEI Investments Co. 423,918 23,307,012
T. Rowe Price Group, Inc. 1,922 237,367
Total   106,943,248
Consumer Finance 0.0%
OneMain Holdings, Inc. 10,425 255,830
Common Stocks (continued)
Issuer Shares Value ($)
Insurance 0.1%
Aon PLC, Class A 1,357 261,358
Brown & Brown, Inc. 63,541 2,589,931
Markel Corp.(a) 293 270,489
Total   3,121,778
Total Financials 110,647,149
Health Care 18.9%
Biotechnology 5.2%
AbbVie, Inc. 157,177 15,431,638
Alexion Pharmaceuticals, Inc.(a) 266,976 29,965,386
Amgen, Inc. 39,983 9,430,390
Biogen, Inc.(a) 9,145 2,446,745
Exact Sciences Corp.(a) 275,385 23,941,972
Exelixis, Inc.(a) 89,905 2,134,345
Global Blood Therapeutics, Inc.(a) 14,203 896,636
Incyte Corp.(a) 4,022 418,167
Neurocrine Biosciences, Inc.(a) 19,600 2,391,200
Regeneron Pharmaceuticals, Inc.(a) 76,265 47,562,667
Sarepta Therapeutics, Inc.(a) 170,971 27,413,490
Seattle Genetics, Inc.(a) 7,077 1,202,524
Vertex Pharmaceuticals, Inc.(a) 23,307 6,766,255
Total   170,001,415
Health Care Equipment & Supplies 4.6%
Abbott Laboratories 50,480 4,615,386
ABIOMED, Inc.(a) 67,713 16,356,752
Align Technology, Inc.(a) 89,066 24,443,273
Boston Scientific Corp.(a) 70,586 2,478,275
Danaher Corp. 9,967 1,762,465
DexCom, Inc.(a) 14,262 5,781,815
Edwards Lifesciences Corp.(a) 361,164 24,960,044
IDEXX Laboratories, Inc.(a) 84,018 27,739,383
Intuitive Surgical, Inc.(a) 36,428 20,757,767
Novocure Ltd.(a) 25,441 1,508,651
ResMed, Inc. 18,607 3,572,544
STERIS PLC 6,428 986,312
Stryker Corp. 12,021 2,166,064
 
2 Multi-Manager Growth Strategies Fund  | Quarterly Report 2020

Portfolio of Investments   (continued)
Multi-Manager Growth Strategies Fund, June 30, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Varian Medical Systems, Inc.(a) 80,609 9,876,215
West Pharmaceutical Services, Inc. 12,486 2,836,445
Total   149,841,391
Health Care Providers & Services 2.0%
Anthem, Inc. 6,636 1,745,135
Chemed Corp. 9,927 4,477,772
HCA Healthcare, Inc. 41,635 4,041,093
Humana, Inc. 9,102 3,529,300
UnitedHealth Group, Inc. 173,404 51,145,510
Total   64,938,810
Health Care Technology 0.9%
Cerner Corp. 345,587 23,689,989
Veeva Systems Inc., Class A(a) 22,262 5,218,658
Total   28,908,647
Life Sciences Tools & Services 1.7%
Bruker Corp. 43,493 1,769,295
Illumina, Inc.(a) 134,218 49,707,636
Repligen Corp.(a) 2,424 299,631
Thermo Fisher Scientific, Inc. 14,397 5,216,609
Total   56,993,171
Pharmaceuticals 4.5%
Bristol-Myers Squibb Co. 619,174 36,407,431
Eli Lilly and Co. 63,001 10,343,504
Johnson & Johnson 53,241 7,487,282
Merck & Co., Inc. 177,623 13,735,587
Novartis AG, ADR 268,324 23,435,418
Novo Nordisk A/S, ADR 188,801 12,362,690
Roche Holding AG, ADR 892,069 38,724,715
Zoetis, Inc. 24,847 3,405,033
Total   145,901,660
Total Health Care 616,585,094
Industrials 6.1%
Aerospace & Defense 1.8%
Boeing Co. (The) 231,200 42,378,960
Curtiss-Wright Corp. 24,725 2,207,448
HEICO Corp. 30,090 2,998,469
HEICO Corp., Class A 14,975 1,216,569
Hexcel Corp. 64,851 2,932,562
Common Stocks (continued)
Issuer Shares Value ($)
Lockheed Martin Corp. 16,982 6,197,071
Mercury Systems, Inc.(a) 18,889 1,485,809
Total   59,416,888
Air Freight & Logistics 0.9%
Expeditors International of Washington, Inc. 370,241 28,153,126
Building Products 0.5%
Allegion PLC 17,640 1,803,161
Armstrong World Industries, Inc. 14,200 1,107,032
Trane Technologies PLC 127,939 11,384,012
Trex Company, Inc.(a) 5,277 686,379
Total   14,980,584
Commercial Services & Supplies 0.2%
Cintas Corp. 9,089 2,420,946
Copart, Inc.(a) 37,925 3,158,015
Republic Services, Inc. 4,120 338,046
Total   5,917,007
Electrical Equipment 0.4%
AMETEK, Inc. 9,005 804,777
Rockwell Automation, Inc. 54,557 11,620,641
Total   12,425,418
Industrial Conglomerates 0.1%
Honeywell International, Inc. 27,554 3,984,033
Machinery 1.1%
Deere & Co. 214,970 33,782,535
Illinois Tool Works, Inc. 9,549 1,669,643
Woodward, Inc. 3,530 273,752
Total   35,725,930
Professional Services 0.4%
CoStar Group, Inc.(a) 16,338 11,610,926
TransUnion 25,815 2,246,938
Verisk Analytics, Inc. 6,501 1,106,470
Total   14,964,334
Road & Rail 0.6%
Landstar System, Inc. 23,185 2,603,907
Uber Technologies, Inc.(a) 411,325 12,783,981
Union Pacific Corp. 27,318 4,618,654
Total   20,006,542
 
Multi-Manager Growth Strategies Fund  | Quarterly Report 2020
3

Portfolio of Investments   (continued)
Multi-Manager Growth Strategies Fund, June 30, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Trading Companies & Distributors 0.1%
Fastenal Co. 40,242 1,723,967
W.W. Grainger, Inc. 1,816 570,515
Total   2,294,482
Total Industrials 197,868,344
Information Technology 39.1%
Communications Equipment 1.2%
Cisco Systems, Inc. 798,481 37,241,154
Motorola Solutions, Inc. 7,733 1,083,625
Ubiquiti, Inc. 3,062 534,503
Total   38,859,282
Electronic Equipment, Instruments & Components 0.3%
CDW Corp. 19,995 2,323,019
Dolby Laboratories, Inc., Class A 3,700 243,719
Jabil, Inc. 134,115 4,302,409
Keysight Technologies, Inc.(a) 14,870 1,498,599
Total   8,367,746
IT Services 9.3%
Accenture PLC, Class A 40,312 8,655,793
Akamai Technologies, Inc.(a) 20,667 2,213,229
Automatic Data Processing, Inc. 74,624 11,110,767
Booz Allen Hamilton Holdings Corp. 20,996 1,633,279
Fidelity National Information Services, Inc. 5,683 762,033
Fiserv, Inc.(a) 15,145 1,478,455
FleetCor Technologies, Inc.(a) 8,752 2,201,391
Global Payments, Inc. 6,308 1,069,963
GoDaddy, Inc., Class A(a) 89,414 6,556,729
Jack Henry & Associates, Inc. 23,795 4,378,994
MasterCard, Inc., Class A 54,461 16,104,118
Paychex, Inc. 56,982 4,316,386
PayPal Holdings, Inc.(a) 316,045 55,064,520
Science Applications International Corp. 12,171 945,443
Square, Inc., Class A(a) 441,728 46,354,936
VeriSign, Inc.(a) 35,144 7,268,834
Visa, Inc., Class A 692,793 133,826,824
Total   303,941,694
Common Stocks (continued)
Issuer Shares Value ($)
Semiconductors & Semiconductor Equipment 6.7%
Advanced Micro Devices, Inc.(a) 86,273 4,538,823
Applied Materials, Inc. 439,369 26,559,856
Broadcom, Inc. 29,701 9,373,933
Enphase Energy, Inc.(a) 12,521 595,624
Entegris, Inc. 22,510 1,329,216
Inphi Corp.(a) 3,095 363,663
Lam Research Corp. 20,873 6,751,581
Microchip Technology, Inc. 23,350 2,458,988
Monolithic Power Systems, Inc. 7,920 1,877,040
NVIDIA Corp. 292,719 111,206,875
QUALCOMM, Inc. 371,349 33,870,742
SolarEdge Technologies, Inc.(a) 11,466 1,591,251
Teradyne, Inc. 91,620 7,742,806
Texas Instruments, Inc. 35,191 4,468,201
Universal Display Corp. 42,937 6,424,234
Total   219,152,833
Software 18.3%
Adobe, Inc.(a) 140,423 61,127,536
Alteryx, Inc., Class A(a) 2,625 431,235
Atlassian Corp. PLC, Class A(a) 21,536 3,882,295
Autodesk, Inc.(a) 276,273 66,081,739
Cadence Design Systems, Inc.(a) 38,394 3,684,288
Citrix Systems, Inc. 10,897 1,611,775
Coupa Software, Inc.(a) 9,644 2,671,774
Dropbox, Inc., Class A(a) 31,425 684,122
Fair Isaac Corp.(a) 7,985 3,338,049
Fortinet, Inc.(a) 42,128 5,782,911
Intuit, Inc. 89,428 26,487,679
Manhattan Associates, Inc.(a) 52,715 4,965,753
Microsoft Corp. 792,424 161,266,208
Oracle Corp. 1,147,606 63,428,184
Palo Alto Networks, Inc.(a) 2,438 559,935
Paycom Software, Inc.(a) 5,635 1,745,329
RingCentral, Inc., Class A(a) 2,100 598,521
Salesforce.com, Inc.(a) 510,406 95,614,356
ServiceNow, Inc.(a) 106,642 43,196,408
 
4 Multi-Manager Growth Strategies Fund  | Quarterly Report 2020

Portfolio of Investments   (continued)
Multi-Manager Growth Strategies Fund, June 30, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Splunk, Inc.(a) 148,993 29,604,909
Workday, Inc., Class A(a) 107,507 20,142,512
Total   596,905,518
Technology Hardware, Storage & Peripherals 3.3%
Apple, Inc. 286,641 104,566,636
NCR Corp.(a) 54,890 950,695
Total   105,517,331
Total Information Technology 1,272,744,404
Materials 1.0%
Chemicals 0.9%
NewMarket Corp. 7,014 2,808,967
Scotts Miracle-Gro Co. (The), Class A 62,445 8,396,979
Sherwin-Williams Co. (The) 29,088 16,808,501
Total   28,014,447
Construction Materials 0.1%
Eagle Materials, Inc. 45,465 3,192,552
Vulcan Materials Co. 15,935 1,846,070
Total   5,038,622
Total Materials 33,053,069
Real Estate 0.5%
Equity Real Estate Investment Trusts (REITS) 0.5%
American Tower Corp. 39,493 10,210,520
Crown Castle International Corp. 17,897 2,995,063
Equinix, Inc. 547 384,158
Life Storage, Inc. 8,095 768,620
Common Stocks (continued)
Issuer Shares Value ($)
Outfront Media, Inc. 10,899 154,439
Public Storage 3,760 721,507
Total   15,234,307
Total Real Estate 15,234,307
Total Common Stocks
(Cost $2,331,991,048)
3,232,287,948
Money Market Funds 0.7%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.253%(b),(c) 23,450,221 23,450,221
Total Money Market Funds
(Cost $23,452,169)
23,450,221
Total Investments in Securities
(Cost: $2,355,443,217)
3,255,738,169
Other Assets & Liabilities, Net   (64,043)
Net Assets 3,255,674,126
 
Notes to Portfolio of Investments
(a) Non-income producing investment.
(b) The rate shown is the seven-day current annualized yield at June 30, 2020.
(c) As defined in the Investment Company Act of 1940, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. The value of the holdings and transactions in these affiliated companies during the period ended June 30, 2020 are as follows:
    
Affiliated issuers Beginning
of period($)
Purchases($) Sales($) Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Realized gain
(loss)($)
Dividends($) End of
period shares
Columbia Short-Term Cash Fund, 0.253%
  42,353,538 426,476,489 (445,380,522) 716 23,450,221 15,605 39,556 23,450,221
Abbreviation Legend
ADR American Depositary Receipt
Multi-Manager Growth Strategies Fund  | Quarterly Report 2020
5

Portfolio of Investments   (continued)
Multi-Manager Growth Strategies Fund, June 30, 2020 (Unaudited)
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
6 Multi-Manager Growth Strategies Fund  | Quarterly Report 2020