<?xml version="1.0" encoding="UTF-8"?>
<edgarSubmission xmlns:com="http://www.sec.gov/edgar/common" xmlns="http://www.sec.gov/edgar/ncen">
  <schemaVersion>X0404</schemaVersion>
  <headerData>
    <submissionType>N-CEN</submissionType>
    <filerInfo>
      <liveTestFlag>LIVE</liveTestFlag>
      <filer>
        <issuerCredentials>
          <cik>0000815425</cik>
          <ccc>XXXXXXXX</ccc>
        </issuerCredentials>
      </filer>
      <flags>
        <returnCopyFlag>true</returnCopyFlag>
        <overrideInternetFlag>false</overrideInternetFlag>
        <confirmingCopyFlag>false</confirmingCopyFlag>
      </flags>
      <investmentCompanyType>N-1A</investmentCompanyType>
    </filerInfo>
    <seriesClass>
      <reportSeriesClass>
        <rptSeriesClassInfo>
          <seriesId>S000036673</seriesId>
          <classInfo>
            <classId>C000112074</classId>
          </classInfo>
          <classInfo>
            <classId>C000112075</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000040388</seriesId>
          <classInfo>
            <classId>C000125447</classId>
          </classInfo>
          <classInfo>
            <classId>C000125446</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000058873</seriesId>
          <classInfo>
            <classId>C000193050</classId>
          </classInfo>
          <classInfo>
            <classId>C000206840</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000058874</seriesId>
          <classInfo>
            <classId>C000193051</classId>
          </classInfo>
          <classInfo>
            <classId>C000206841</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000040389</seriesId>
          <classInfo>
            <classId>C000125448</classId>
          </classInfo>
          <classInfo>
            <classId>C000206835</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000040390</seriesId>
          <classInfo>
            <classId>C000125449</classId>
          </classInfo>
          <classInfo>
            <classId>C000206836</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000040391</seriesId>
          <classInfo>
            <classId>C000125450</classId>
          </classInfo>
          <classInfo>
            <classId>C000205759</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000012561</seriesId>
          <classInfo>
            <classId>C000034145</classId>
          </classInfo>
          <classInfo>
            <classId>C000034146</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000010658</seriesId>
          <classInfo>
            <classId>C000029536</classId>
          </classInfo>
          <classInfo>
            <classId>C000029537</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000012560</seriesId>
          <classInfo>
            <classId>C000034144</classId>
          </classInfo>
          <classInfo>
            <classId>C000034143</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000055414</seriesId>
          <classInfo>
            <classId>C000174387</classId>
          </classInfo>
          <classInfo>
            <classId>C000206837</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000055415</seriesId>
          <classInfo>
            <classId>C000174388</classId>
          </classInfo>
          <classInfo>
            <classId>C000206838</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000055416</seriesId>
          <classInfo>
            <classId>C000174389</classId>
          </classInfo>
          <classInfo>
            <classId>C000206839</classId>
          </classInfo>
        </rptSeriesClassInfo>
        <rptSeriesClassInfo>
          <seriesId>S000040392</seriesId>
          <classInfo>
            <classId>C000125452</classId>
          </classInfo>
          <classInfo>
            <classId>C000125451</classId>
          </classInfo>
        </rptSeriesClassInfo>
      </reportSeriesClass>
    </seriesClass>
  </headerData>
  <formData>
    <generalInfo reportEndingPeriod="2021-12-31" isReportPeriodLt12="N"/>
    <registrantInfo>
      <registrantFullName>Columbia Funds Variable Insurance Trust</registrantFullName>
      <investmentCompFileNo>811-05199</investmentCompFileNo>
      <registrantCik>0000815425</registrantCik>
      <registrantLei>549300293M2AM3RU8K52</registrantLei>
      <registrantstreet1>290 Congress Street</registrantstreet1>
      <registrantcity>Boston</registrantcity>
      <registrantzipCode>02210</registrantzipCode>
      <registrantstate>US-MA</registrantstate>
      <registrantcountry>US</registrantcountry>
      <registrantphoneNumber>18003456611</registrantphoneNumber>
      <websites>
        <website webpage="columbiathreadneedleus.com/investor/"/>
      </websites>
      <locationBooksRecords>
        <locationBooksRecord>
          <officeName>Columbia Funds Variable Insurance Trust</officeName>
          <officeAddress1>290 Congress Street</officeAddress1>
          <officeCity>Boston</officeCity>
          <officeStateCountry officeState="US-MA" officeCountry="US"/>
          <officeRecordsZipCode>02210</officeRecordsZipCode>
          <officePhone>6126717086</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
        <locationBooksRecord>
          <officeName>Columbia Management Investment Advisers, LLC</officeName>
          <officeAddress1>290 Congress Street</officeAddress1>
          <officeCity>Boston</officeCity>
          <officeStateCountry officeState="US-MA" officeCountry="US"/>
          <officeRecordsZipCode>02210</officeRecordsZipCode>
          <officePhone>6126717086</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
        <locationBooksRecord>
          <officeName>Iron Mountain Records Management</officeName>
          <officeAddress1>920 and 950 Apollo Road</officeAddress1>
          <officeCity>Eagan</officeCity>
          <officeStateCountry officeState="US-MN" officeCountry="US"/>
          <officeRecordsZipCode>55121</officeRecordsZipCode>
          <officePhone>6126717086</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
        <locationBooksRecord>
          <officeName>Columbia Management Investment Distributors, Inc.</officeName>
          <officeAddress1>290 Congress Street</officeAddress1>
          <officeCity>Boston</officeCity>
          <officeStateCountry officeState="US-MA" officeCountry="US"/>
          <officeRecordsZipCode>02210</officeRecordsZipCode>
          <officePhone>6126717086</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
        <locationBooksRecord>
          <officeName>Columbia Management Investment Services Corp.</officeName>
          <officeAddress1>290 Congress Street</officeAddress1>
          <officeCity>Boston</officeCity>
          <officeStateCountry officeState="US-MA" officeCountry="US"/>
          <officeRecordsZipCode>02210</officeRecordsZipCode>
          <officePhone>6126717086</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
        <locationBooksRecord>
          <officeName>JP Morgan Chase Bank, N.A.</officeName>
          <officeAddress1>1 Chase Manhattan Plaza</officeAddress1>
          <officeAddress2>19th Floor</officeAddress2>
          <officeCity>New York</officeCity>
          <officeStateCountry officeState="US-NY" officeCountry="US"/>
          <officeRecordsZipCode>10005</officeRecordsZipCode>
          <officePhone>6126717086</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
        <locationBooksRecord>
          <officeName>AQR Capital Management, LLC</officeName>
          <officeAddress1>Two Greenwich Plaza</officeAddress1>
          <officeAddress2>3rd Floor</officeAddress2>
          <officeCity>Greenwich</officeCity>
          <officeStateCountry officeState="US-CT" officeCountry="US"/>
          <officeRecordsZipCode>06830</officeRecordsZipCode>
          <officePhone>2037423600</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
        <locationBooksRecord>
          <officeName>Goldman Sachs Asset Management, L.P.</officeName>
          <officeAddress1>200 West Street</officeAddress1>
          <officeCity>New York</officeCity>
          <officeStateCountry officeState="US-NY" officeCountry="US"/>
          <officeRecordsZipCode>10282</officeRecordsZipCode>
          <officePhone>2129021000</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
        <locationBooksRecord>
          <officeName>Lazard Asset Management LLC</officeName>
          <officeAddress1>30 Rockefeller Plaza</officeAddress1>
          <officeCity>New York</officeCity>
          <officeStateCountry officeState="US-NY" officeCountry="US"/>
          <officeRecordsZipCode>10112</officeRecordsZipCode>
          <officePhone>2126326000</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
        <locationBooksRecord>
          <officeName>Pyrford International Ltd</officeName>
          <officeAddress1>95 Wigmore Street</officeAddress1>
          <officeCity>London</officeCity>
          <officeCountry>GB</officeCountry>
          <officeRecordsZipCode>W1U 1FD</officeRecordsZipCode>
          <officePhone>442074954641</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
        <locationBooksRecord>
          <officeName>DST Asset Manager Solutions, Inc.</officeName>
          <officeAddress1>2000 Crown Colony Drive</officeAddress1>
          <officeCity>Quincy</officeCity>
          <officeStateCountry officeState="US-MA" officeCountry="US"/>
          <officeRecordsZipCode>02169</officeRecordsZipCode>
          <officePhone>8164351000</officePhone>
          <booksRecordsDesc>Accounts, books and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules thereunder.  In addition, Iron Mountain Records Management is an off-site storage facility housing historical records that are no longer required to be maintained on-site. Records stored at this facility include various trading and accounting records, as well as other miscellaneous records.</booksRecordsDesc>
        </locationBooksRecord>
      </locationBooksRecords>
      <isRegistrantFirstFiling>N</isRegistrantFirstFiling>
      <isRegistrantLastFiling>N</isRegistrantLastFiling>
      <registrantFamilyInvComp isRegistrantFamilyInvComp="Y" familyInvCompFullName="Columbia Funds Complex"/>
      <registrantClassificationType>N-1A</registrantClassificationType>
      <totalSeries>13</totalSeries>
      <terminatedSeries>
        <terminatedSeriesInfo seriesName="CTIVP - Lazard International Equity Advantage Fund" seriesId="S000040392" terminationDate="04/2021"/>
      </terminatedSeries>
      <isSecuritiesActRegistration>Y</isSecuritiesActRegistration>
      <directors>
        <director>
          <directorName>Carrig, Janet Langford</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Hacker, Douglas A.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Lukitsh, Nancy T.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Moffett, David M.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Connaughton, J. Kevin</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Darragh, Olive</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Trunow, Natalie A.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Batejan, George S.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
            <fileNumberInfo fileNumber="811-22328"/>
            <fileNumberInfo fileNumber="811-00266"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Petersen, Christopher O.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>Y</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
            <fileNumberInfo fileNumber="811-22328"/>
            <fileNumberInfo fileNumber="811-00266"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Blatz, Kathleen</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
            <fileNumberInfo fileNumber="811-22328"/>
            <fileNumberInfo fileNumber="811-00266"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Carlton, Pamela G.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
            <fileNumberInfo fileNumber="811-22328"/>
            <fileNumberInfo fileNumber="811-00266"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Flynn, Patricia M.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
            <fileNumberInfo fileNumber="811-22328"/>
            <fileNumberInfo fileNumber="811-00266"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Gallagher, Brian J.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
            <fileNumberInfo fileNumber="811-22328"/>
            <fileNumberInfo fileNumber="811-00266"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Paglia, Catherine James</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
            <fileNumberInfo fileNumber="811-22328"/>
            <fileNumberInfo fileNumber="811-00266"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Santomero, Anthony M.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
            <fileNumberInfo fileNumber="811-22328"/>
            <fileNumberInfo fileNumber="811-00266"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Shaw, Minor M.</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
            <fileNumberInfo fileNumber="811-22328"/>
            <fileNumberInfo fileNumber="811-00266"/>
          </fileNumbers>
        </director>
        <director>
          <directorName>Yeager, Sandra</directorName>
          <crdNumber>N/A</crdNumber>
          <isDirectorInterestedPerson>N</isDirectorInterestedPerson>
          <fileNumbers>
            <fileNumberInfo fileNumber="811-22736"/>
            <fileNumberInfo fileNumber="811-22255"/>
            <fileNumberInfo fileNumber="811-09645"/>
            <fileNumberInfo fileNumber="811-04367"/>
            <fileNumberInfo fileNumber="811-21852"/>
            <fileNumberInfo fileNumber="811-22127"/>
            <fileNumberInfo fileNumber="811-22328"/>
            <fileNumberInfo fileNumber="811-00266"/>
          </fileNumbers>
        </director>
      </directors>
      <chiefComplianceOfficers>
        <chiefComplianceOfficer>
          <ccoName>Thomas P. McGuire</ccoName>
          <crdNumber>N/A</crdNumber>
          <ccoStreet1>290 Congress Street</ccoStreet1>
          <ccoCity>Boston</ccoCity>
          <ccoStateCountry ccoState="US-MA" ccoCountry="US"/>
          <ccoZipCode>02210</ccoZipCode>
          <ccoPhone>XXXXXX</ccoPhone>
          <isCcoChangedSinceLastFiling>N</isCcoChangedSinceLastFiling>
          <ccoEmployers>
            <ccoEmployer ccoEmployerName="N/A" ccoEmployerId="N/A"/>
          </ccoEmployers>
        </chiefComplianceOfficer>
      </chiefComplianceOfficers>
      <securityMatterSeriesInfo isRegistrantSubmittedMatter="Y">
        <seriesInfo seriesName="CTIVP - Lazard International Equity Advantage Fund" seriesId="S000040392"/>
      </securityMatterSeriesInfo>
      <isPreviousLegalProceeding>N</isPreviousLegalProceeding>
      <isPreviousProceedingTerminated>N</isPreviousProceedingTerminated>
      <isClaimFiled>N</isClaimFiled>
      <coveredByInsurancePolicy isCoveredByInsurancePolicy="Y" isClaimFiledDuringPeriod="N"/>
      <isFinancialSupportDuringPeriod>N</isFinancialSupportDuringPeriod>
      <releaseNumbers isExemptionFromAct="Y">
        <releaseNumberInfo releaseNumber="IC-15581"/>
        <releaseNumberInfo releaseNumber="IC-21150"/>
        <releaseNumberInfo releaseNumber="IC-23948"/>
        <releaseNumberInfo releaseNumber="IC-30030"/>
        <releaseNumberInfo releaseNumber="IC-33036"/>
        <releaseNumberInfo releaseNumber="IC-31981"/>
        <releaseNumberInfo releaseNumber="IC-26495"/>
        <releaseNumberInfo releaseNumber="IC-30301"/>
      </releaseNumbers>
      <principalUnderwriters>
        <principalUnderwriter>
          <principalUnderwriterName>Columbia Management Investment Distributors, Inc.</principalUnderwriterName>
          <principalUnderwriterFileNumber>8-25845</principalUnderwriterFileNumber>
          <principalUnderwriterCrdNumber>000000840</principalUnderwriterCrdNumber>
          <principalUnderwriterLei>N/A</principalUnderwriterLei>
          <principalUnderWriterStateCountry principalUnderWriterState="US-MA" principalUnderWriterCountry="US"/>
          <isPrincipalUnderwriterAffiliatedWithRegistrant>Y</isPrincipalUnderwriterAffiliatedWithRegistrant>
        </principalUnderwriter>
      </principalUnderwriters>
      <isUnderwriterHiredOrTerminated>N</isUnderwriterHiredOrTerminated>
      <publicAccountants>
        <publicAccountant>
          <publicAccountantName>PricewaterhouseCoopers LLP</publicAccountantName>
          <pcaobNumber>00238</pcaobNumber>
          <publicAccountantLei>5493002GVO7EO8RNNS37</publicAccountantLei>
          <publicAccountantStateCountry publicAccountantState="US-MN" publicAccountantCountry="US"/>
        </publicAccountant>
      </publicAccountants>
      <isPublicAccountantChanged>N</isPublicAccountantChanged>
      <isMaterialWeakness>N</isMaterialWeakness>
      <isOpinionOffered>N</isOpinionOffered>
      <isMaterialChange>N</isMaterialChange>
      <isAccountingPrincipleChange>N</isAccountingPrincipleChange>
      <isPaymentErrorInNetAssetValue>N</isPaymentErrorInNetAssetValue>
      <isPaymentDividend>N</isPaymentDividend>
    </registrantInfo>
    <managementInvestmentQuestionSeriesInfo>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Columbia Variable Portfolio - Contrarian Core Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000036673</mgmtInvSeriesId>
        <mgmtInvLei>3BTR2QYKBNU753GJ6097</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000112074" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000112075" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17a-7 (17 CFR 270.17a-7)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANCO NACIONAL DE MEXICO, S.A.</custodianName>
            <custodianLei>2SFFM4FUIE05S37WFU55</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS BANK SPAIN, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS BANK LTD</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>HU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>FIRSTRAND BANK LIMITED</custodianName>
            <custodianLei>ZAYQDKTCATIXF9OQY690</custodianLei>
            <custodianCountry>ZA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN S.A. DTVM</custodianName>
            <custodianLei>5493001LS7J56NZZ3G07</custodianLei>
            <custodianCountry>BR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>MIZUHO BANK, LTD.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>PT BANK HSBC INDONESIA</custodianName>
            <custodianLei>213800HW5IDIRLWH1203</custodianLei>
            <custodianCountry>ID</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>ROYAL BANK OF CANADA</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UBS SWITZERLAND AG</custodianName>
            <custodianLei>549300WOIFUSNYH0FL22</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK AUSTRIA AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>Y</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>RBC Capital Markets</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>85864.940000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BMO Capital Markets Corp.</brokerName>
            <brokerFileNo>8-34344</brokerFileNo>
            <brokerCrdNo>000016686</brokerCrdNo>
            <brokerLei>RUC0QBLBRPRCU4W1NE59</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>85804.220000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Virtu Americas LLC</brokerName>
            <brokerFileNo>8-68193</brokerFileNo>
            <brokerCrdNo>000149823</brokerCrdNo>
            <brokerLei>549300RA02N3BNSWBV74</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>78850.770000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>24652.740000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs</brokerName>
            <brokerFileNo>8-129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>23249.520000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>21722.760000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Credit Suisse</brokerName>
            <brokerFileNo>8-422</brokerFileNo>
            <brokerCrdNo>000000816</brokerCrdNo>
            <brokerLei>1V8Y6QCX6YMJ2OELII46</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>13562.730000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Wells Fargo Securities LLC</brokerName>
            <brokerFileNo>8-65876</brokerFileNo>
            <brokerCrdNo>000126292</brokerCrdNo>
            <brokerLei>VYVVCKR63DVZZN70PB21</brokerLei>
            <brokerStateCountry brokerState="US-NC" brokerCountry="US"/>
            <grossCommission>13081.420000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>JPMorgan</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>10591.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Liquidnet Inc</brokerName>
            <brokerFileNo>8-52461</brokerFileNo>
            <brokerCrdNo>000103987</brokerCrdNo>
            <brokerLei>213800HSKBBO1GCVRG79</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>7785.210000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>399092.810000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>9755307.000000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>9755307.000000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1636651352.240000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Columbia Variable Portfolio - Long Government/Credit Bond Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000040388</mgmtInvSeriesId>
        <mgmtInvLei>54930030VQ6NHPTW9B62</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000125446" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000125447" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>MIZUHO BANK, LTD.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>ROYAL BANK OF CANADA</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>NO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>SE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN, HELSINKI BRANCH</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>FI</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK CZECH REPUBLIC AND SLOVAKIA, A.S.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <aggregateCommission>0.000000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Goldman Sachs</principalName>
            <principalFileNo>8-129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>358246708.650000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>356287451.780000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citi</principalName>
            <principalFileNo>8-8177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>270276022.440000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>129627019.880000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>128241356.910000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>HSBC</principalName>
            <principalFileNo>8-41562</principalFileNo>
            <principalCrdNo>000019585</principalCrdNo>
            <principalLei>CYYGQCGNHMHPSMRL3R97</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>114230402.630000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Bank of America NA</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>B4TYDEB6GKMZO031MB27</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>104237110.340000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>101036038.170000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>RBC Capital Markets</principalName>
            <principalFileNo>8-45411</principalFileNo>
            <principalCrdNo>000031194</principalCrdNo>
            <principalLei>549300LCO2FLSSVFFR64</principalLei>
            <principalStateCountry principalState="US-MN" principalCountry="US"/>
            <principalTotalPurchaseSale>86452721.320000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BNP Paribas</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>R0MUWSFPU8MPRO8K5P83</principalLei>
            <principalCountry>FR</principalCountry>
            <principalTotalPurchaseSale>68888221.010000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>2025831676.030000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1945380562.850000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Variable Portfolio - Managed Risk Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000058873</mgmtInvSeriesId>
        <mgmtInvLei>5493000NU3UCELGL7232</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000206840" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000193050" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANCO NACIONAL DE MEXICO, S.A.</custodianName>
            <custodianLei>2SFFM4FUIE05S37WFU55</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS BANK LTD</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>ROYAL BANK OF CANADA</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>NO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>SE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN AB, COPENHAGEN BRANCH</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>DK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UBS SWITZERLAND AG</custodianName>
            <custodianLei>549300WOIFUSNYH0FL22</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Susquehanna Financial Group LLLP</brokerName>
            <brokerFileNo>8-44325</brokerFileNo>
            <brokerCrdNo>000035865</brokerCrdNo>
            <brokerLei>549300E8QX0ZMRDC2M81</brokerLei>
            <brokerStateCountry brokerState="US-PA" brokerCountry="US"/>
            <grossCommission>250.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>JPMorgan</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>200.000000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>450.000000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Wells Fargo Securities LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>267750027.430000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>97603060.610000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>30803828.150000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citi</principalName>
            <principalFileNo>8-8177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>29751093.760000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>425908009.950000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>256881406.950000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Variable Portfolio - Managed Risk U.S. Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000058874</mgmtInvSeriesId>
        <mgmtInvLei>5493005L8NUOKP6FJY42</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000206841" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000193051" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>JPMorgan</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>780.000000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>780.000000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Wells Fargo Securities LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>367165714.900000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>116651048.870000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citi</principalName>
            <principalFileNo>8-8177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>86856358.370000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>40753242.190000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>611426364.330000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>342167773.410000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Variable Portfolio - Managed Volatility Conservative Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000040389</mgmtInvSeriesId>
        <mgmtInvLei>549300DZ5JLCT5FW6L92</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000206835" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000125448" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANCO NACIONAL DE MEXICO, S.A.</custodianName>
            <custodianLei>2SFFM4FUIE05S37WFU55</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS BANK LTD</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>MIZUHO BANK, LTD.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>ROYAL BANK OF CANADA</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>NO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>SE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN AB, COPENHAGEN BRANCH</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>DK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN, HELSINKI BRANCH</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>FI</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UBS SWITZERLAND AG</custodianName>
            <custodianLei>549300WOIFUSNYH0FL22</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK CZECH REPUBLIC AND SLOVAKIA, A.S.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>Y</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>JPMorgan</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2050.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Susquehanna Financial Group LLLP</brokerName>
            <brokerFileNo>8-44325</brokerFileNo>
            <brokerCrdNo>000035865</brokerCrdNo>
            <brokerLei>549300E8QX0ZMRDC2M81</brokerLei>
            <brokerStateCountry brokerState="US-PA" brokerCountry="US"/>
            <grossCommission>400.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>200.000000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>2650.000000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Wells Fargo Securities LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>1359829428.970000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>665126488.760000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citi</principalName>
            <principalFileNo>8-8177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>630305176.380000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>97576679.720000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>2752837773.830000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>811765043.330000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Variable Portfolio - Managed Volatility Conservative Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000040390</mgmtInvSeriesId>
        <mgmtInvLei>549300FHF67Z6OQ8ZU22</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000206836" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000125449" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANCO NACIONAL DE MEXICO, S.A.</custodianName>
            <custodianLei>2SFFM4FUIE05S37WFU55</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CLEARSTREAM</custodianName>
            <custodianLei>549300OL514RA0SXJJ44</custodianLei>
            <custodianCountry>LU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS BANK LTD</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>MIZUHO BANK, LTD.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>ROYAL BANK OF CANADA</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>NO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>SE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN AB, COPENHAGEN BRANCH</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>DK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN, HELSINKI BRANCH</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>FI</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UBS SWITZERLAND AG</custodianName>
            <custodianLei>549300WOIFUSNYH0FL22</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK CZECH REPUBLIC AND SLOVAKIA, A.S.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>Y</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>JPMorgan</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>17750.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs International</brokerName>
            <brokerFileNo>N/A</brokerFileNo>
            <brokerCrdNo>N/A</brokerCrdNo>
            <brokerLei>W22LROWP2IHZNBB6K528</brokerLei>
            <brokerCountry>GB</brokerCountry>
            <grossCommission>2550.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs</brokerName>
            <brokerFileNo>8-129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>400.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Susquehanna Financial Group LLLP</brokerName>
            <brokerFileNo>8-44325</brokerFileNo>
            <brokerCrdNo>000035865</brokerCrdNo>
            <brokerLei>549300E8QX0ZMRDC2M81</brokerLei>
            <brokerStateCountry brokerState="US-PA" brokerCountry="US"/>
            <grossCommission>400.000000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>21100.000000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Wells Fargo Securities LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>2432546303.820000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1321032482.350000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citi</principalName>
            <principalFileNo>8-8177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1215596334.730000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>125163281.260000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>5094338402.160000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>1659430624.690000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Variable Portfolio - Managed Volatility Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000040391</mgmtInvSeriesId>
        <mgmtInvLei>549300U878TBYC4KFX85</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000205759" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000125450" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANCO NACIONAL DE MEXICO, S.A.</custodianName>
            <custodianLei>2SFFM4FUIE05S37WFU55</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS BANK LTD</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>MIZUHO BANK, LTD.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>ROYAL BANK OF CANADA</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>NO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>SE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN AB, COPENHAGEN BRANCH</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>DK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>SKANDINAVISKA ENSKILDA BANKEN, HELSINKI BRANCH</custodianName>
            <custodianLei>F3JS33DEI6XQ4ZBPTN86</custodianLei>
            <custodianCountry>FI</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UBS SWITZERLAND AG</custodianName>
            <custodianLei>549300WOIFUSNYH0FL22</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK CZECH REPUBLIC AND SLOVAKIA, A.S.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>Y</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>JPMorgan</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>376492.290000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs International</brokerName>
            <brokerFileNo>N/A</brokerFileNo>
            <brokerCrdNo>N/A</brokerCrdNo>
            <brokerLei>W22LROWP2IHZNBB6K528</brokerLei>
            <brokerCountry>GB</brokerCountry>
            <grossCommission>60000.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs</brokerName>
            <brokerFileNo>8-129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>43676.800000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Susquehanna Financial Group LLLP</brokerName>
            <brokerFileNo>8-44325</brokerFileNo>
            <brokerCrdNo>000035865</brokerCrdNo>
            <brokerLei>549300E8QX0ZMRDC2M81</brokerLei>
            <brokerStateCountry brokerState="US-PA" brokerCountry="US"/>
            <grossCommission>18000.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Credit Suisse</brokerName>
            <brokerFileNo>8-422</brokerFileNo>
            <brokerCrdNo>000000816</brokerCrdNo>
            <brokerLei>1V8Y6QCX6YMJ2OELII46</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>10500.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BMO Capital Markets Corp.</brokerName>
            <brokerFileNo>8-34344</brokerFileNo>
            <brokerCrdNo>000016686</brokerCrdNo>
            <brokerLei>RUC0QBLBRPRCU4W1NE59</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2000.000000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>510669.090000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Wells Fargo Securities LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>17325475194.290000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>11045009317.950000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citi</principalName>
            <principalFileNo>8-8177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>8443925021.020000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2793604140.650000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JMP Securities</principalName>
            <principalFileNo>8-39613</principalFileNo>
            <principalCrdNo>000022208</principalCrdNo>
            <principalLei>549300IDHEFHQ741DW68</principalLei>
            <principalStateCountry principalState="US-CA" principalCountry="US"/>
            <principalTotalPurchaseSale>84078125.000000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>39692091798.910000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>13401914298.320000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Columbia Variable Portfolio - Small Cap Value Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000012561</mgmtInvSeriesId>
        <mgmtInvLei>QFDZC6A36M07XEWD4L46</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000034145" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000034146" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17a-7 (17 CFR 270.17a-7)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANCO NACIONAL DE MEXICO, S.A.</custodianName>
            <custodianLei>2SFFM4FUIE05S37WFU55</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS BANK SPAIN, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS BANK LTD</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>HU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>FIRSTRAND BANK LIMITED</custodianName>
            <custodianLei>ZAYQDKTCATIXF9OQY690</custodianLei>
            <custodianCountry>ZA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN S.A. DTVM</custodianName>
            <custodianLei>5493001LS7J56NZZ3G07</custodianLei>
            <custodianCountry>BR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>MIZUHO BANK, LTD.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>ROYAL BANK OF CANADA</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UBS SWITZERLAND AG</custodianName>
            <custodianLei>549300WOIFUSNYH0FL22</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK AUSTRIA AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK CZECH REPUBLIC AND SLOVAKIA, A.S.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>Y</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Goldman Sachs</brokerName>
            <brokerFileNo>8-129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>160904.440000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>94701.870000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>JPMorgan</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>87377.530000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BMO Capital Markets Corp.</brokerName>
            <brokerFileNo>8-34344</brokerFileNo>
            <brokerCrdNo>000016686</brokerCrdNo>
            <brokerLei>RUC0QBLBRPRCU4W1NE59</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>87307.670000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>75892.490000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Credit Suisse</brokerName>
            <brokerFileNo>8-422</brokerFileNo>
            <brokerCrdNo>000000816</brokerCrdNo>
            <brokerLei>1V8Y6QCX6YMJ2OELII46</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>60325.440000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Virtu Americas LLC</brokerName>
            <brokerFileNo>8-68193</brokerFileNo>
            <brokerCrdNo>000149823</brokerCrdNo>
            <brokerLei>549300RA02N3BNSWBV74</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>58911.010000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>58595.170000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BTIG LLC</brokerName>
            <brokerFileNo>8-65473</brokerFileNo>
            <brokerCrdNo>000122225</brokerCrdNo>
            <brokerLei>549300GTG9PL6WO3EC51</brokerLei>
            <brokerStateCountry brokerState="US-CA" brokerCountry="US"/>
            <grossCommission>37138.660000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>UBS</brokerName>
            <brokerFileNo>8-22651</brokerFileNo>
            <brokerCrdNo>000007654</brokerCrdNo>
            <brokerLei>T6FIZBDPKLYJKFCRVK44</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>34169.290000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>1002104.480000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Goldman Sachs</principalName>
            <principalFileNo>8-129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>6661520.000000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Suntrust Robinson Humphrey Inc.</principalName>
            <principalFileNo>8-17212</principalFileNo>
            <principalCrdNo>000006271</principalCrdNo>
            <principalLei>CSVTK36R0PNGXEM7NS14</principalLei>
            <principalStateCountry principalState="US-GA" principalCountry="US"/>
            <principalTotalPurchaseSale>904725.000000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>144664.000000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>7710909.000000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>749008762.510000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <interfundBorrowingDetails isInterfundBorrowing="Y">
          <interfundBorrowing interfundBorrowingLoanAverage="700000.000000000000" interfundBorrowingDaysOutstanding="2"/>
          <interfundBorrowing interfundBorrowingLoanAverage="750000.000000000000" interfundBorrowingDaysOutstanding="2"/>
          <interfundBorrowing interfundBorrowingLoanAverage="13550000.000000000000" interfundBorrowingDaysOutstanding="2"/>
          <interfundBorrowing interfundBorrowingLoanAverage="1100000.000000000000" interfundBorrowingDaysOutstanding="2"/>
          <interfundBorrowing interfundBorrowingLoanAverage="1300000.000000000000" interfundBorrowingDaysOutstanding="2"/>
          <interfundBorrowing interfundBorrowingLoanAverage="500000.000000000000" interfundBorrowingDaysOutstanding="1"/>
          <interfundBorrowing interfundBorrowingLoanAverage="1100000.000000000000" interfundBorrowingDaysOutstanding="4"/>
          <interfundBorrowing interfundBorrowingLoanAverage="700000.000000000000" interfundBorrowingDaysOutstanding="3"/>
          <interfundBorrowing interfundBorrowingLoanAverage="200000.000000000000" interfundBorrowingDaysOutstanding="4"/>
          <interfundBorrowing interfundBorrowingLoanAverage="1380000.000000000000" interfundBorrowingDaysOutstanding="5"/>
          <interfundBorrowing interfundBorrowingLoanAverage="33900000.000000000000" interfundBorrowingDaysOutstanding="1"/>
          <interfundBorrowing interfundBorrowingLoanAverage="800000.000000000000" interfundBorrowingDaysOutstanding="1"/>
          <interfundBorrowing interfundBorrowingLoanAverage="200000.000000000000" interfundBorrowingDaysOutstanding="2"/>
        </interfundBorrowingDetails>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Columbia Variable Portfolio - Small Company Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000010658</mgmtInvSeriesId>
        <mgmtInvLei>S7VQF2LJKBJBPNFLD691</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000029536" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000029537" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17a-7 (17 CFR 270.17a-7)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANCO NACIONAL DE MEXICO, S.A.</custodianName>
            <custodianLei>2SFFM4FUIE05S37WFU55</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>PT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CACEIS BANK SPAIN, S.A.U.</custodianName>
            <custodianLei>95980020140005970915</custodianLei>
            <custodianCountry>ES</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DBS BANK LTD</custodianName>
            <custodianLei>ATUEL7OJR5057F2PV266</custodianLei>
            <custodianCountry>SG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>HU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>FIRSTRAND BANK LIMITED</custodianName>
            <custodianLei>ZAYQDKTCATIXF9OQY690</custodianLei>
            <custodianCountry>ZA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>MIZUHO BANK, LTD.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>ROYAL BANK OF CANADA</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UBS SWITZERLAND AG</custodianName>
            <custodianLei>549300WOIFUSNYH0FL22</custodianLei>
            <custodianCountry>CH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK AUSTRIA AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK CZECH REPUBLIC AND SLOVAKIA, A.S.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>Y</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>Virtu Americas LLC</brokerName>
            <brokerFileNo>8-68193</brokerFileNo>
            <brokerCrdNo>000149823</brokerCrdNo>
            <brokerLei>549300RA02N3BNSWBV74</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>104721.370000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs</brokerName>
            <brokerFileNo>8-129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>42540.760000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>RBC Capital Markets</brokerName>
            <brokerFileNo>8-45411</brokerFileNo>
            <brokerCrdNo>000031194</brokerCrdNo>
            <brokerLei>549300LCO2FLSSVFFR64</brokerLei>
            <brokerStateCountry brokerState="US-MN" brokerCountry="US"/>
            <grossCommission>42078.770000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BTIG LLC</brokerName>
            <brokerFileNo>8-65473</brokerFileNo>
            <brokerCrdNo>000122225</brokerCrdNo>
            <brokerLei>549300GTG9PL6WO3EC51</brokerLei>
            <brokerStateCountry brokerState="US-CA" brokerCountry="US"/>
            <grossCommission>20101.980000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Mizuho</brokerName>
            <brokerFileNo>8-37710</brokerFileNo>
            <brokerCrdNo>000019647</brokerCrdNo>
            <brokerLei>7TK5RJIZDFROZCA6XF66</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>12371.280000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Morgan Stanley</brokerName>
            <brokerFileNo>8-15869</brokerFileNo>
            <brokerCrdNo>000008209</brokerCrdNo>
            <brokerLei>9R7GPTSO7KV3UQJZQ078</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>12325.710000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Liquidnet Inc</brokerName>
            <brokerFileNo>8-52461</brokerFileNo>
            <brokerCrdNo>000103987</brokerCrdNo>
            <brokerLei>213800HSKBBO1GCVRG79</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>9180.610000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Barclays</brokerName>
            <brokerFileNo>8-41342</brokerFileNo>
            <brokerCrdNo>000019714</brokerCrdNo>
            <brokerLei>AC28XWWI3WIBK2824319</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>9049.120000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Jefferies LLC</brokerName>
            <brokerFileNo>8-15074</brokerFileNo>
            <brokerCrdNo>000002347</brokerCrdNo>
            <brokerLei>58PU97L1C0WSRCWADL48</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>7671.050000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Credit Suisse</brokerName>
            <brokerFileNo>8-422</brokerFileNo>
            <brokerCrdNo>000000816</brokerCrdNo>
            <brokerLei>1V8Y6QCX6YMJ2OELII46</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>6426.910000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>309765.820000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Jefferies LLC</principalName>
            <principalFileNo>8-15074</principalFileNo>
            <principalCrdNo>000002347</principalCrdNo>
            <principalLei>58PU97L1C0WSRCWADL48</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>5406177.150000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs</principalName>
            <principalFileNo>8-129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>4153794.000000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>3726514.250000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Deutsche Bank</principalName>
            <principalFileNo>8-17822</principalFileNo>
            <principalCrdNo>000002525</principalCrdNo>
            <principalLei>9J6MBOOO7BECTDTUZW19</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2855014.000000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Stifel Nicolaus</principalName>
            <principalFileNo>8-1447</principalFileNo>
            <principalCrdNo>000000793</principalCrdNo>
            <principalLei>5WUVMA08EYG4KEUPW589</principalLei>
            <principalStateCountry principalState="US-MO" principalCountry="US"/>
            <principalTotalPurchaseSale>1622533.500000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>B. Riley &amp; Co LLC</principalName>
            <principalFileNo>8-49016</principalFileNo>
            <principalCrdNo>000040355</principalCrdNo>
            <principalLei>549300AEVMODVBY3QS51</principalLei>
            <principalStateCountry principalState="US-CA" principalCountry="US"/>
            <principalTotalPurchaseSale>1529424.000000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>123226.000000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>19416682.900000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>466161182.380000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <interfundLendingDetails isInterfundLending="Y">
          <interfundLending interfundLendingLoanAverage="400000.000000000000" interfundLendingDaysOutstanding="4"/>
          <interfundLending interfundLendingLoanAverage="5300000.000000000000" interfundLendingDaysOutstanding="4"/>
        </interfundLendingDetails>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Columbia Variable Portfolio - Strategic Income Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000012560</mgmtInvSeriesId>
        <mgmtInvLei>ZF95MMD0I90TC927RI96</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000034143" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000034144" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 17e-1 (17 CFR 270.17e-1)</relyOnRuleType>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>Y</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANCO ITAU URUGUAY S.A.</custodianName>
            <custodianLei>549300HU8OQS1VTVXN55</custodianLei>
            <custodianCountry>UY</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANCO NACIONAL DE MEXICO, S.A.</custodianName>
            <custodianLei>2SFFM4FUIE05S37WFU55</custodianLei>
            <custodianCountry>MX</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANK HANDLOWY W. WARSZAWIE S.A.</custodianName>
            <custodianLei>XLEZHWWOI4HFQDGL4793</custodianLei>
            <custodianCountry>PL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BANK LEUMI LE-ISRAEL B.M.</custodianName>
            <custodianLei>7JDSZWRGUQY2DSTWCR57</custodianLei>
            <custodianCountry>IL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>BNP PARIBAS SECURITIES SERVICES S.C.A.</custodianName>
            <custodianLei>549300WCGB70D06XZS54</custodianLei>
            <custodianCountry>IT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CITIBANK A.S.</custodianName>
            <custodianLei>CWZ8NZDH5SKY12Q4US31</custodianLei>
            <custodianCountry>TR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CITIBANK EUROPE PLC</custodianName>
            <custodianLei>N1FBEDJ5J41VKZLO2475</custodianLei>
            <custodianCountry>RO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CITIBANK, N.A.</custodianName>
            <custodianLei>E57ODZWZ7FF32TWEFA76</custodianLei>
            <custodianCountry>EG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>CITITRUST COLOMBIA S.A. SOCIEDAD FIDUCIARIA</custodianName>
            <custodianLei>549300242J3IJCOSGI49</custodianLei>
            <custodianCountry>CO</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>DE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>DEUTSCHE BANK AG</custodianName>
            <custodianLei>7LTWFZYICNSX8D621K86</custodianLei>
            <custodianCountry>HU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>FIRSTRAND BANK LIMITED</custodianName>
            <custodianLei>ZAYQDKTCATIXF9OQY690</custodianLei>
            <custodianCountry>ZA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC BANK ARGENTINA S.A.</custodianName>
            <custodianLei>549300K52NF2S4SQDO82</custodianLei>
            <custodianCountry>AR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC BANK MALAYSIA BERHAD</custodianName>
            <custodianLei>P3RPN9OJFCXUPJWB1Q09</custodianLei>
            <custodianCountry>MY</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>HSBC FRANCE ATHENS BRANCH</custodianName>
            <custodianLei>MP6I5ZYZBEU3UXPYFY54</custodianLei>
            <custodianCountry>GR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>FR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN BANK LUXEMBOURG S.A.</custodianName>
            <custodianLei>7W1GMC6J4KGLBBUSYP52</custodianLei>
            <custodianCountry>NL</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>J.P. MORGAN S.A. DTVM</custodianName>
            <custodianLei>5493001LS7J56NZZ3G07</custodianLei>
            <custodianCountry>BR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>AU</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>GB</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>HK</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>IN</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianCountry>NZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>MIZUHO BANK, LTD.</custodianName>
            <custodianLei>RB0PEZSDGCO3JS6CEU02</custodianLei>
            <custodianCountry>JP</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>PT BANK HSBC INDONESIA</custodianName>
            <custodianLei>213800HW5IDIRLWH1203</custodianLei>
            <custodianCountry>ID</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>ROYAL BANK OF CANADA</custodianName>
            <custodianLei>ES7IP3U3RHIGC71XBU11</custodianLei>
            <custodianCountry>CA</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>STANBIC IBTC BANK PLC</custodianName>
            <custodianLei>029200098C3K8BI2D551</custodianLei>
            <custodianCountry>NG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>STANDARD CHARTERED BANK (THAI) PUBLIC COMPANY LIMITED</custodianName>
            <custodianLei>549300O1LQYCQ7G1IM57</custodianLei>
            <custodianCountry>TH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>STANDARD CHARTERED BANK KENYA LIMITED</custodianName>
            <custodianLei>549300RBHWW5EJIRG629</custodianLei>
            <custodianCountry>KE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>STANDARD CHARTERED BANK KOREA LIMITED</custodianName>
            <custodianLei>NUXTG47HHHM1K2L0SG39</custodianLei>
            <custodianCountry>KR</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>STANDARD CHARTERED BANK UGANDA LIMITED</custodianName>
            <custodianLei>549300W7CNYGJ68XGD27</custodianLei>
            <custodianCountry>UG</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED</custodianName>
            <custodianLei>2HI3YI5320L3RW6NJ957</custodianLei>
            <custodianCountry>PH</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK AUSTRIA AG</custodianName>
            <custodianLei>D1HEB8VEU6D9M8ZUXG17</custodianLei>
            <custodianCountry>AT</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK CZECH REPUBLIC AND SLOVAKIA, A.S.</custodianName>
            <custodianLei>KR6LSKV3BTSJRD41IF75</custodianLei>
            <custodianCountry>CZ</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
          <custodian>
            <custodianName>UNICREDIT BANK SRBIJA A.D.</custodianName>
            <custodianLei>52990001O0THU00TYK59</custodianLei>
            <custodianCountry>RS</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>Y</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <aggregateCommission>0.000000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>100711374.860000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citi</principalName>
            <principalFileNo>8-8177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>91535740.870000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Wells Fargo Securities LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>87212939.040000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Credit Suisse</principalName>
            <principalFileNo>8-422</principalFileNo>
            <principalCrdNo>000000816</principalCrdNo>
            <principalLei>1V8Y6QCX6YMJ2OELII46</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>24770867.260000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>24570735.530000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Goldman Sachs</principalName>
            <principalFileNo>8-129</principalFileNo>
            <principalCrdNo>000000361</principalCrdNo>
            <principalLei>FOR8UP27PHTHYVLBNG30</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>19769990.360000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Bank of America NA</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>B4TYDEB6GKMZO031MB27</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>13871043.990000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Barclays</principalName>
            <principalFileNo>8-41342</principalFileNo>
            <principalCrdNo>000019714</principalCrdNo>
            <principalLei>AC28XWWI3WIBK2824319</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>12160406.710000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>BNP Paribas</principalName>
            <principalFileNo>N/A</principalFileNo>
            <principalCrdNo>N/A</principalCrdNo>
            <principalLei>R0MUWSFPU8MPRO8K5P83</principalLei>
            <principalCountry>FR</principalCountry>
            <principalTotalPurchaseSale>6276876.980000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>MarketAxess Corporation</principalName>
            <principalFileNo>8-50727</principalFileNo>
            <principalCrdNo>000044542</principalCrdNo>
            <principalLei>GPSMMRI21JE7ZCVYF972</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>5652308.160000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>442860910.760000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>142604440.650000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Variable Portfolio - U.S. Flexible Conservative Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000055414</mgmtInvSeriesId>
        <mgmtInvLei>549300SOJZHH1T8R5Q91</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000206837" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000174387" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>JPMorgan</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>5050.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Susquehanna Financial Group LLLP</brokerName>
            <brokerFileNo>8-44325</brokerFileNo>
            <brokerCrdNo>000035865</brokerCrdNo>
            <brokerLei>549300E8QX0ZMRDC2M81</brokerLei>
            <brokerStateCountry brokerState="US-PA" brokerCountry="US"/>
            <grossCommission>360.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs</brokerName>
            <brokerFileNo>8-129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>360.000000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>5770.000000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Wells Fargo Securities LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>582428669.480000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>336053897.960000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citi</principalName>
            <principalFileNo>8-8177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>107290184.270000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>85264798.620000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>1111037550.330000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>N</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>377884535.690000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Variable Portfolio - U.S. Flexible Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000055415</mgmtInvSeriesId>
        <mgmtInvLei>549300QFR6K3CH73RS86</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000206838" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000174388" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>JPMorgan</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>127086.020000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs</brokerName>
            <brokerFileNo>8-129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>13500.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Susquehanna Financial Group LLLP</brokerName>
            <brokerFileNo>8-44325</brokerFileNo>
            <brokerCrdNo>000035865</brokerCrdNo>
            <brokerLei>549300E8QX0ZMRDC2M81</brokerLei>
            <brokerStateCountry brokerState="US-PA" brokerCountry="US"/>
            <grossCommission>6300.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Credit Suisse</brokerName>
            <brokerFileNo>8-422</brokerFileNo>
            <brokerCrdNo>000000816</brokerCrdNo>
            <brokerLei>1V8Y6QCX6YMJ2OELII46</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2000.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>BMO Capital Markets Corp.</brokerName>
            <brokerFileNo>8-34344</brokerFileNo>
            <brokerCrdNo>000016686</brokerCrdNo>
            <brokerLei>RUC0QBLBRPRCU4W1NE59</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>200.000000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>149086.020000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Wells Fargo Securities LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>5748470515.600000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citi</principalName>
            <principalFileNo>8-8177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>2998249771.220000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1864048515.720000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>548842832.080000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JMP Securities</principalName>
            <principalFileNo>8-39613</principalFileNo>
            <principalCrdNo>000022208</principalCrdNo>
            <principalLei>549300IDHEFHQ741DW68</principalLei>
            <principalStateCountry principalState="US-CA" principalCountry="US"/>
            <principalTotalPurchaseSale>21019531.250000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>11180631165.870000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>3946218530.760000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
      <managementInvestmentQuestion>
        <mgmtInvFundName>Variable Portfolio - U.S. Flexible Moderate Growth Fund</mgmtInvFundName>
        <mgmtInvSeriesId>S000055416</mgmtInvSeriesId>
        <mgmtInvLei>549300A10NBI1MQQ0Z79</mgmtInvLei>
        <isFirstFilingByFund>N</isFirstFilingByFund>
        <numAuthorizedClass>2</numAuthorizedClass>
        <numAddedClass>0</numAddedClass>
        <numTerminatedClass>0</numTerminatedClass>
        <sharesOutstandings>
          <sharesOutstanding sharesOutstandingClassName="Class 1" sharesOutstandingClassId="C000206839" sharesOutstandingTickerSymbol="N/A"/>
          <sharesOutstanding sharesOutstandingClassName="Class 2" sharesOutstandingClassId="C000174389" sharesOutstandingTickerSymbol="N/A"/>
        </sharesOutstandings>
        <fundTypes>
          <fundType>Fund of Funds</fundType>
          <fundType>Underlying fund</fundType>
        </fundTypes>
        <isNonDiversifiedCompany>N</isNonDiversifiedCompany>
        <isForeignSubsidiary>N</isForeignSubsidiary>
        <isFundSecuritiesLending>N</isFundSecuritiesLending>
        <didFundLendSecurities>N</didFundLendSecurities>
        <paymentToAgentManagerType>N/A</paymentToAgentManagerType>
        <avgPortfolioSecuritiesValue>N/A</avgPortfolioSecuritiesValue>
        <netIncomeSecuritiesLending>N/A</netIncomeSecuritiesLending>
        <relyOnRuleTypes>
          <relyOnRuleType>Rule 32a-4 (17 CFR 270.32a-4)</relyOnRuleType>
        </relyOnRuleTypes>
        <isExpenseLimitationInPlace>Y</isExpenseLimitationInPlace>
        <isExpenseReducedOrWaived>N</isExpenseReducedOrWaived>
        <isFeesWaivedRecoupable>N</isFeesWaivedRecoupable>
        <isExpenseWaivedRecoupable>N</isExpenseWaivedRecoupable>
        <investmentAdvisers>
          <investmentAdviser>
            <investmentAdviserName>Columbia Management Investment Advisers, LLC</investmentAdviserName>
            <investmentAdviserFileNo>801-25943</investmentAdviserFileNo>
            <investmentAdviserCrdNo>000108257</investmentAdviserCrdNo>
            <investmentAdviserLei>6YVO3H2OUHJXER5SGR23</investmentAdviserLei>
            <investmentAdviserStateCountry investmentAdviserState="US-MA" investmentAdviserCountry="US"/>
            <isInvestmentAdviserHired>N</isInvestmentAdviserHired>
          </investmentAdviser>
        </investmentAdvisers>
        <transferAgents>
          <transferAgent>
            <transferAgentName>Columbia Management Investment Services Corp.</transferAgentName>
            <transferAgentFileNo>084-05685</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>Y</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>N</isTransferAgentSubAgent>
          </transferAgent>
          <transferAgent>
            <transferAgentName>DST Asset Manager Solutions, Inc.</transferAgentName>
            <transferAgentFileNo>084-00896</transferAgentFileNo>
            <transferAgentLei>N/A</transferAgentLei>
            <transferAgentStateCountry transferAgentState="US-MA" transferAgentCountry="US"/>
            <isTransferAgentAffiliated>N</isTransferAgentAffiliated>
            <isTransferAgentSubAgent>Y</isTransferAgentSubAgent>
          </transferAgent>
        </transferAgents>
        <isTransferAgentHiredOrTerminated>N</isTransferAgentHiredOrTerminated>
        <pricingServices>
          <pricingService>
            <pricingServiceName>REFINITIV US LLC</pricingServiceName>
            <pricingServiceLei>213800HQORQAP68CJJ04</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-DE" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>IHS Markit Ltd.</pricingServiceName>
            <pricingServiceLei>549300HLPTRASHS0E726</pricingServiceLei>
            <pricingServiceCountry>BM</pricingServiceCountry>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>Bloomberg Finance L.P.</pricingServiceName>
            <pricingServiceLei>5493001KJTIIGC8Y1R12</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>PricingDirect Inc.</pricingServiceName>
            <pricingServiceLei>549300WIC0TOJ7N7GD54</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-NY" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
          <pricingService>
            <pricingServiceName>ICE Data Pricing and Reference Data, LLC</pricingServiceName>
            <pricingServiceLei>5493000NQ9LYLDBCTL34</pricingServiceLei>
            <pricingServiceStateCountry pricingServiceState="US-MA" pricingServiceCountry="US"/>
            <isPricingServiceAffiliated>N</isPricingServiceAffiliated>
          </pricingService>
        </pricingServices>
        <isPricingServiceHiredOrTerminated>N</isPricingServiceHiredOrTerminated>
        <custodians>
          <custodian>
            <custodianName>JPMORGAN CHASE BANK, N.A.</custodianName>
            <custodianLei>7H6GLXDRUGQFU57RNE97</custodianLei>
            <custodianStateCountry custodianState="US-NY" custodianCountry="US"/>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>N</isSubCustodian>
            <custodyType>Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))</custodyType>
          </custodian>
          <custodian>
            <custodianName>EUROCLEAR BANK S.A.</custodianName>
            <custodianLei>549300OZ46BRLZ8Y6F65</custodianLei>
            <custodianCountry>BE</custodianCountry>
            <isCustodianAffiliated>N</isCustodianAffiliated>
            <isSubCustodian>Y</isSubCustodian>
            <custodyType>Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)</custodyType>
          </custodian>
        </custodians>
        <isCustodianHiredOrTerminated>N</isCustodianHiredOrTerminated>
        <shareholderServicingAgents>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>Columbia Management Investment Services Corp.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>Y</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>N</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
          <shareholderServicingAgent>
            <shareholderServiceAgentName>DST Asset Manager Solutions, Inc.</shareholderServiceAgentName>
            <shareholderServiceAgentLei>N/A</shareholderServiceAgentLei>
            <shareholderServiceAgentStateCountry shareholderServiceAgentState="US-MA" shareholderServiceAgentCountry="US"/>
            <isShareholderServiceAgentAffiliated>N</isShareholderServiceAgentAffiliated>
            <isShareholderServiceAgentSubshare>Y</isShareholderServiceAgentSubshare>
          </shareholderServicingAgent>
        </shareholderServicingAgents>
        <isShareholderServiceHiredTerminated>N</isShareholderServiceHiredTerminated>
        <admins>
          <admin>
            <adminName>Columbia Management Investment Advisers, LLC</adminName>
            <adminLei>6YVO3H2OUHJXER5SGR23</adminLei>
            <adminStateCountry adminState="US-MA" adminCountry="US"/>
            <isAdminAffiliated>Y</isAdminAffiliated>
            <isAdminSubAdmin>N</isAdminSubAdmin>
          </admin>
        </admins>
        <isAdminHiredOrTerminated>N</isAdminHiredOrTerminated>
        <brokerDealers>
          <brokerDealer>
            <brokerDealerName>Columbia Management Investment Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-25845</brokerDealerFileNo>
            <brokerDealerCrdNo>000000840</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>American Enterprise Investment Services Inc.</brokerDealerName>
            <brokerDealerFileNo>8-42582</brokerDealerFileNo>
            <brokerDealerCrdNo>000026506</brokerDealerCrdNo>
            <brokerDealerLei>549300NT7GLLVGTH0249</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-MN" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Ameriprise Financial Services, LLC</brokerDealerName>
            <brokerDealerFileNo>8-16791</brokerDealerFileNo>
            <brokerDealerCrdNo>000006363</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
          <brokerDealer>
            <brokerDealerName>Riversource Distributors, Inc.</brokerDealerName>
            <brokerDealerFileNo>8-67196</brokerDealerFileNo>
            <brokerDealerCrdNo>000139135</brokerDealerCrdNo>
            <brokerDealerLei>N/A</brokerDealerLei>
            <brokerDealerStateCountry brokerDealerState="US-DE" brokerDealerCountry="US"/>
            <brokerDealerCommission>0.000000000000</brokerDealerCommission>
          </brokerDealer>
        </brokerDealers>
        <brokers>
          <broker>
            <brokerName>JPMorgan</brokerName>
            <brokerFileNo>8-35008</brokerFileNo>
            <brokerCrdNo>000000079</brokerCrdNo>
            <brokerLei>ZBUT11V806EZRVTWT807</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>42142.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Susquehanna Financial Group LLLP</brokerName>
            <brokerFileNo>8-44325</brokerFileNo>
            <brokerCrdNo>000035865</brokerCrdNo>
            <brokerLei>549300E8QX0ZMRDC2M81</brokerLei>
            <brokerStateCountry brokerState="US-PA" brokerCountry="US"/>
            <grossCommission>4000.000000000000</grossCommission>
          </broker>
          <broker>
            <brokerName>Goldman Sachs</brokerName>
            <brokerFileNo>8-129</brokerFileNo>
            <brokerCrdNo>000000361</brokerCrdNo>
            <brokerLei>FOR8UP27PHTHYVLBNG30</brokerLei>
            <brokerStateCountry brokerState="US-NY" brokerCountry="US"/>
            <grossCommission>2700.000000000000</grossCommission>
          </broker>
        </brokers>
        <aggregateCommission>48842.000000000000</aggregateCommission>
        <principalTransactions>
          <principalTransaction>
            <principalName>Wells Fargo Securities LLC</principalName>
            <principalFileNo>8-65876</principalFileNo>
            <principalCrdNo>000126292</principalCrdNo>
            <principalLei>VYVVCKR63DVZZN70PB21</principalLei>
            <principalStateCountry principalState="US-NC" principalCountry="US"/>
            <principalTotalPurchaseSale>3449476547.010000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Citi</principalName>
            <principalFileNo>8-8177</principalFileNo>
            <principalCrdNo>000007059</principalCrdNo>
            <principalLei>MBNUM2BPBDO7JBLYG310</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1207911284.850000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>Morgan Stanley</principalName>
            <principalFileNo>8-15869</principalFileNo>
            <principalCrdNo>000008209</principalCrdNo>
            <principalLei>9R7GPTSO7KV3UQJZQ078</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>1136339071.940000000000</principalTotalPurchaseSale>
          </principalTransaction>
          <principalTransaction>
            <principalName>JPMorgan</principalName>
            <principalFileNo>8-35008</principalFileNo>
            <principalCrdNo>000000079</principalCrdNo>
            <principalLei>ZBUT11V806EZRVTWT807</principalLei>
            <principalStateCountry principalState="US-NY" principalCountry="US"/>
            <principalTotalPurchaseSale>218906570.330000000000</principalTotalPurchaseSale>
          </principalTransaction>
        </principalTransactions>
        <principalAggregatePurchase>6012633474.130000000000</principalAggregatePurchase>
        <isBrokerageResearchPayment>Y</isBrokerageResearchPayment>
        <mnthlyAvgNetAssets>2192145938.120000000000</mnthlyAvgNetAssets>
        <lineOfCredit hasLineOfCredit="Y">
          <lineOfCreditDetails>
            <lineOfCreditDetail>
              <isCreditLineCommitted>Committed</isCreditLineCommitted>
              <lineOfCreditSize>950000000.000000000000</lineOfCreditSize>
              <lineOfCreditInstitutions>
                <lineOfCreditInstitution creditInstitutionName="JPMorgan Chase Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of America, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Bank of Montreal, Chicago Branch"/>
                <lineOfCreditInstitution creditInstitutionName="BNP Paribas, New York Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Citibank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Credit Suisse AG, NY Branch"/>
                <lineOfCreditInstitution creditInstitutionName="Goldman Sachs Bank USA"/>
                <lineOfCreditInstitution creditInstitutionName="HSBC Bank USA, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="Morgan Stanley Bank, N.A."/>
                <lineOfCreditInstitution creditInstitutionName="The Bank of New York Mellon"/>
                <lineOfCreditInstitution creditInstitutionName="U.S. Bank National Association"/>
                <lineOfCreditInstitution creditInstitutionName="Wells Fargo Bank, National Association"/>
              </lineOfCreditInstitutions>
              <sharedCreditType creditType="Shared">
                <creditUser fundName="Columbia Acorn European Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn International Select" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Acorn USA" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Adaptive Retirement 2020 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2025 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2030 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2035 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2040 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2045 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2050 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2055 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Retirement 2060 Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Adaptive Risk Allocation Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Balanced Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia California Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Aggressive Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Conservative Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Aggressive Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Conservative Portfolio" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Capital Allocation Moderate Portfolio" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Commodity Strategy Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Connecticut Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Contrarian Core Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Convertible Securities Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Corporate Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Disciplined Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Growth Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Disciplined Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Diversified Fixed Income Allocation ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Dividend Opportunity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia EM Core ex-China ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Emerging Markets Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Emerging Markets Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Flexible Capital Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Floating Rate Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Global Technology Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Global Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Government Money Market Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Greater China Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia High Yield Bond Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia High Yield Municipal Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Income Builder Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Income Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia India Consumer ETF" secFileNo="811-22255"/>
                <creditUser fundName="Columbia Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia International Dividend Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Enhanced Core Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Large Cap Growth Opportunity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Limited Duration Credit Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Massachusetts Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Mid Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Minnesota Tax-Exempt Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Mortgage Opportunities Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Multi Strategy Alternatives Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Multi-Sector Municipal Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia New York Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia North Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Oregon Intermediate Municipal Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Overseas Core Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Overseas Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Quality Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Real Estate Equity Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Research Enhanced Core ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Research Enhanced Value ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Select Global Equity Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Large Cap Equity Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Large Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Select Large Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Select Mid Cap Value Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Select Small Cap Value Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Global Technology Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Seligman Technology and Information Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Short Duration Bond ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Short Term Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short Term Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Short-Term Cash Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Small Cap Growth Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Index Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Small Cap Value Fund I" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Small Cap Value Fund II" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Solutions Aggressive Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Solutions Conservative Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Columbia South Carolina Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="Columbia Strategic California Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Strategic Municipal Income Fund" secFileNo="811-21852"/>
                <creditUser fundName="Columbia Strategic New York Municipal Income Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Sustainable International Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Sustainable U.S. Equity Income ETF" secFileNo="811-22736"/>
                <creditUser fundName="Columbia Tax-Exempt Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Thermostat Fund" secFileNo="811-01829"/>
                <creditUser fundName="Columbia Total Return Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Social Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia U.S. Treasury Index Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Ultra Short Term Bond Fund" secFileNo="811-04367"/>
                <creditUser fundName="Columbia Variable Portfolio - Balanced Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Commodity Strategy Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Contrarian Core Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Disciplined Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Dividend Opportunity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Emerging Markets Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Global Strategic Income Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Government Money Market Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - High Yield Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Income Opportunities Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Intermediate Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Large Cap Index Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Limited Duration Credit Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Long Government/Credit Bond Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Overseas Core Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Mid Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Select Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Seligman Global Technology Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Cap Value Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Small Company Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - Strategic Income Fund" secFileNo="811-05199"/>
                <creditUser fundName="Columbia Variable Portfolio - U.S. Government Mortgage Fund" secFileNo="811-22127"/>
                <creditUser fundName="Columbia Virginia Intermediate Municipal Bond Fund" secFileNo="811-09645"/>
                <creditUser fundName="CTIVP - Allspring Short Duration Government Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - American Century Diversified Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - BlackRock Global Inflation-Protected Securities Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - CenterSquare Real Estate Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Loomis Sayles Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - MFS Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Morgan Stanley Advantage Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - T. Rowe Price Large Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - TCW Core Plus Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Victory Sycamore Established Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="CTIVP - Westfield Mid Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Multi-Manager Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Directional Alternative Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Growth Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager International Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Small Cap Equity Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Total Return Bond Strategies Fund" secFileNo="811-04367"/>
                <creditUser fundName="Multi-Manager Value Strategies Fund" secFileNo="811-21852"/>
                <creditUser fundName="Multisector Bond SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Overseas SMA Completion Portfolio" secFileNo="811-04367"/>
                <creditUser fundName="Variable Portfolio - Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Managed Risk Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Risk U.S. Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - Managed Volatility Moderate Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderate Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Aggressive Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Moderately Conservative Portfolio" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Bond Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Core Equity Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners International Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Growth Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - Partners Small Cap Value Fund" secFileNo="811-22127"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Conservative Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Variable Portfolio - U.S. Flexible Moderate Growth Fund" secFileNo="811-05199"/>
                <creditUser fundName="Wanger International" secFileNo="811-08748"/>
                <creditUser fundName="Wanger Select" secFileNo="811-08748"/>
                <creditUser fundName="Wanger USA" secFileNo="811-08748"/>
              </sharedCreditType>
              <isCreditLineUsed>N</isCreditLineUsed>
            </lineOfCreditDetail>
          </lineOfCreditDetails>
        </lineOfCredit>
        <isInterfundLending>N</isInterfundLending>
        <isInterfundBorrowing>N</isInterfundBorrowing>
        <isSwingPricing>N</isSwingPricing>
      </managementInvestmentQuestion>
    </managementInvestmentQuestionSeriesInfo>
    <exchangeSeriesInfo/>
    <attachmentsTab>
      <isIPAReportInternalControl>true</isIPAReportInternalControl>
      <isInfoRequiredEO>true</isInfoRequiredEO>
    </attachmentsTab>
    <signature registrantSignedName="Columbia Funds Variable Insurance Trust" signedDate="2022-03-15" signature="Martha A. Skinner" title="Vice President"/>
  </formData>
</edgarSubmission>
