0001145549-20-028897.txt : 20200528 0001145549-20-028897.hdr.sgml : 20200528 20200528082739 ACCESSION NUMBER: 0001145549-20-028897 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200331 FILED AS OF DATE: 20200528 PERIOD START: 20201231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: COLUMBIA ACORN TRUST CENTRAL INDEX KEY: 0000002110 IRS NUMBER: 362692100 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-01829 FILM NUMBER: 20917388 BUSINESS ADDRESS: STREET 1: 227 W MONROE STE 3000 CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 3126349200 MAIL ADDRESS: STREET 1: 227 W MONROE STE 3000 CITY: CHICAGO STATE: IL ZIP: 60606 FORMER COMPANY: FORMER CONFORMED NAME: LIBERTY ACORN TRUST DATE OF NAME CHANGE: 20010424 FORMER COMPANY: FORMER CONFORMED NAME: ACORN INVESTMENT TRUST DATE OF NAME CHANGE: 19940204 FORMER COMPANY: FORMER CONFORMED NAME: ACORN FUND INC DATE OF NAME CHANGE: 19920703 0000002110 S000009184 Columbia Acorn Fund C000024954 Columbia Acorn Fund Class A LACAX C000024956 Columbia Acorn Fund Class C LIACX C000024957 Columbia Acorn Fund Institutional Class ACRNX C000122735 Columbia Acorn Fund Advisor Class CEARX C000122736 Columbia Acorn Fund Institutional 2 Class CRBRX C000122737 Columbia Acorn Fund Institutional 3 Class CRBYX NPORT-P 1 primary_doc.xml NPORT-P false 0000002110 XXXXXXXX S000009184 C000122735 C000024954 C000024956 C000024957 C000122736 C000122737 Columbia Acorn Trust 811-01829 0000002110 549300DX0CWIN8VE1908 71 S Wacker Dr. Suite 2500 Chicago 60606 312-634-9200 Columbia Acorn Fund S000009184 549300X3KJ5X2R54O387 2020-12-31 2020-03-31 N 3195251288.810000000000 39965945.320000000000 3155285343.490000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 N Amedisys Inc 5299001RBS9GK9STN379 Amedisys Inc 023436108 187300.000000000000 NS USD 34377042.000000000000 1.0895065979 Long EC CORP US N 1 N N N Americold Realty Trust 549300R7N1V5YV8MWH02 Americold Realty Trust 03064D108 1045085.000000000000 NS USD 35574693.400000000000 1.1274635897 Long EC CORP US N 1 N N N Anika Therapeutics Inc 529900R9LS3Z0O6QH455 Anika Therapeutics Inc 035255108 563624.000000000000 NS USD 16294369.840000000000 0.5164150961 Long EC CORP US N 1 N N N ANSYS Inc 549300VJV8H15Z5FJ571 ANSYS Inc 03662Q105 81417.000000000000 NS USD 18927009.990000000000 0.5998509779 Long EC CORP US N 1 N N N Old Dominion Freight Line Inc 5299009TWK32WE417T96 Old Dominion Freight Line Inc 679580100 195960.000000000000 NS USD 25721709.600000000000 0.8151944056 Long EC CORP US N 1 N N N ONEMAIN HOLDINGS INC 549300E3VEW8SMS5XW09 OneMain Holdings Inc 68268W103 695000.000000000000 NS USD 13288400.000000000000 0.4211473307 Long EC CORP US N 1 N N N Ares Management Corp 529900JUV61FH7B8VW38 Ares Management Corp 03990B101 1638335.000000000000 NS USD 50673701.550000000000 1.6059942615 Long EC CORP US N 1 N N N ARGENX SE 7245009C5FZE6G9ODQ71 Argenx SE 04016X101 218766.000000000000 NS USD 28818045.180000000000 0.9133261193 Long EC CORP NL N 1 N N N PRA HEALTH SCIENCES INC 549300R1HR1VWWHIAK47 PRA Health Sciences Inc 69354M108 379340.000000000000 NS USD 31500393.600000000000 0.9983373981 Long EC CORP US N 1 N N N Paylocity Holding Corp 549300VH75FTB4DIEE07 Paylocity Holding Corp 70438V106 168528.000000000000 NS USD 14884392.960000000000 0.4717289037 Long EC CORP US N 1 N N N Atkore International Group Inc 52990002TI38AM4RPV48 Atkore International Group Inc 047649108 1228496.000000000000 NS USD 25884410.720000000000 0.8203508685 Long EC CORP US N 1 N N N AVERY DENNISON CORP 549300PW7VPFCYKLIV37 Avery Dennison Corp 053611109 324021.000000000000 NS USD 33008019.270000000000 1.0461183594 Long EC CORP US N 1 N N N PENUMBRA INC 549300RGE06P3ECANU72 Penumbra Inc 70975L107 109876.000000000000 NS USD 17726295.080000000000 0.5617968947 Long EC CORP US N 1 N N N Planet Fitness Inc 549300LLE5HUPF6H8G33 Planet Fitness Inc 72703H101 400000.000000000000 NS USD 19480000.000000000000 0.6173768100 Long EC CORP US N 1 N N N Qualys Inc 549300EMBXYOW9W1XA17 Qualys Inc 74758T303 562637.000000000000 NS USD 48943792.630000000000 1.5511685094 Long EC CORP US N 1 N N N RAYMOND JAMES FINANCIAL INC. RGUZHJ05YTITL6D76949 Raymond James Financial Inc 754730109 277123.000000000000 NS USD 17514173.600000000000 0.5550741595 Long EC CORP US N 1 N N N BWX TECHNOLOGIES INC 549300NP85N265KWMS58 BWX Technologies Inc 05605H100 709000.000000000000 NS USD 34535390.000000000000 1.0945250981 Long EC CORP US N 1 N N N BIO-RAD LABS INC 549300ZC1GPV35XYDK53 Bio-Rad Laboratories Inc 090572207 82000.000000000000 NS USD 28745920.000000000000 0.9110402664 Long EC CORP US N 1 N N N TECHNE CORP 54930073RLKQ51TILZ35 Bio-Techne Corp 09073M104 179802.000000000000 NS USD 34094055.240000000000 1.0805379396 Long EC CORP US N 1 N N N BLACKLINE INC 529900P9N7PK9LV5EK56 Blackline Inc 09239B109 614977.000000000000 NS USD 32353939.970000000000 1.0253887192 Long EC CORP US N 1 N N N REATA PHARMACEUTICALS INC 5299005F094GH9QDDD80 Reata Pharmaceuticals Inc 75615P103 191871.000000000000 NS USD 27694660.140000000000 0.8777228404 Long EC CORP US N 1 N N N REPLIGEN CORP 54930006QJ0T5AUO1E71 Repligen Corp 759916109 306000.000000000000 NS USD 29541240.000000000000 0.9362462276 Long EC CORP US N 1 N N N SPX CORP P761FCI0CPOG24I8JE10 SPX Corp 784635104 1318635.000000000000 NS USD 43040246.400000000000 1.3640682764 Long EC CORP US N 1 N N N SVB FINANCIAL GROUP 549300D2KJ20JMXE7542 SVB Financial Group 78486Q101 104768.000000000000 NS USD 15828349.440000000000 0.5016455793 Long EC CORP US N 1 N N N Boot Barn Holdings Inc 529900QE1BFMYA3N4E71 Boot Barn Holdings Inc 099406100 320516.000000000000 NS USD 4144271.880000000000 0.1313438066 Long EC CORP US N 1 N N N BOOZ ALLEN HAMILTON HOLDING CORP 529900JPV47PIUWMA015 Booz Allen Hamilton Holding Corp 099502106 557985.000000000000 NS USD 38300090.400000000000 1.2138392009 Long EC CORP US N 1 N N N Sarepta Therapeutics Inc 549300IKDPIED8J8IG21 Sarepta Therapeutics Inc 803607100 175517.000000000000 NS USD 17169072.940000000000 0.5441369344 Long EC CORP US N 1 N N N SEATTLE GENETICS INC N/A Seattle Genetics Inc 812578102 505700.000000000000 NS USD 58347666.000000000000 1.8492041019 Long EC CORP US N 1 N N N Bright Horizons Family Solutions Inc N/A Bright Horizons Family Solutions Inc 109194100 233973.000000000000 NS USD 23865246.000000000000 0.7563577744 Long EC CORP US N 1 N N N CDW CORP N/A CDW Corp/DE 12514G108 233872.000000000000 NS USD 21813241.440000000000 0.6913238920 Long EC CORP US N 1 N N N Skyline Champion Corp N/A Skyline Champion Corp 830830105 1119405.000000000000 NS USD 17552270.400000000000 0.5562815558 Long EC CORP US N 1 N N N TACTILE SYSTEMS TECHNOLOGY INC 54930069VDTITHOTKJ98 Tactile Systems Technology Inc 87357P100 430687.000000000000 NS USD 17296389.920000000000 0.5481719730 Long EC CORP US N 1 N N N CABOT MICROELECTRONICS CORP 31F6V1MN00ZW3XWB4J69 Cabot Microelectronics Corp 12709P103 163000.000000000000 NS USD 18604820.000000000000 0.5896398574 Long EC CORP US N 1 N N N Carter's Inc 5299003WAQK4R3L3ZU36 Carter's Inc 146229109 221900.000000000000 NS USD 14585487.000000000000 0.4622557206 Long EC CORP US N 1 N N N TAKE-TWO INTERACTIVE SOFTWARE INC. BOMSTHHJK882EWYX3334 Take-Two Interactive Software Inc 874054109 382000.000000000000 NS USD 45309020.000000000000 1.4359721885 Long EC CORP US N 1 N N N Teladoc Health Inc 549300I2PVFBC9MFAC61 Teladoc Inc 87918A105 178000.000000000000 NS USD 27591780.000000000000 0.8744622751 Long EC CORP US N 1 N N N CEDAR FAIR LP 549300TUVLNQQ6BVKH61 Cedar Fair LP 150185106 85829.000000000000 NS USD 1574103.860000000000 0.0498878450 Long EC CORP US N 1 N N N Chegg Inc 549300AKX7O8JG0O3G77 Chegg Inc 163092109 1252168.000000000000 NS USD 44802571.040000000000 1.4199213752 Long EC CORP US N 1 N N N CHEMED CORP 54930020031IDJT2IM79 Chemed Corp 16359R103 135438.000000000000 NS USD 58671741.600000000000 1.8594749829 Long EC CORP US N 1 N N N Chipotle Mexican Grill Inc N/A Chipotle Mexican Grill Inc 169656105 39800.000000000000 NS USD 26045120.000000000000 0.8254442044 Long EC CORP US N 1 N N N CHOICE HOTELS INTL INC 5493003CYRY5RFGTIR97 Choice Hotels International Inc 169905106 158869.000000000000 NS USD 9730726.250000000000 0.3083944934 Long EC CORP US N 1 N N N CHURCHILL DOWNS INC 529900FODTBQC8MIS994 Churchill Downs Inc 171484108 148548.000000000000 NS USD 15293016.600000000000 0.4846793534 Long EC CORP US N 1 N N N Colliers International Group Inc D3O8K13PHLEXXD1DT480 Colliers International Group Inc 194693107 317374.000000000000 NS USD 15237125.740000000000 0.4829080125 Long EC CORP CA N 1 N N N COLUMBIA SHORT TERM CASH FUND N/A COLUMBIA SHORT TERM CASH FUND 19766H239 118984362.866100000000 NS USD 118924870.680000000000 3.7690686494 Long STIV CORP US N 1 N N N TERADYNE INC C3X4YJ278QNZHRJULN75 Teradyne Inc 880770102 705061.000000000000 NS USD 38193154.370000000000 1.2104500929 Long EC CORP US N 1 N N N Toro Co/The YJKE4YIT6BWQHVEW0D14 Toro Co/The 891092108 483510.000000000000 NS USD 31471665.900000000000 0.9974269353 Long EC CORP US N 1 N N N COPART INC. 549300KVYX3JWMYEHU61 Copart Inc 217204106 430000.000000000000 NS USD 29463600.000000000000 0.9337855944 Long EC CORP US N 1 N N N Curtiss-Wright Corp TEL51ETZWP7D0ZM4X325 Curtiss-Wright Corp 231561101 311000.000000000000 NS USD 28739510.000000000000 0.9108371152 Long EC CORP US N 1 N N N Tractor Supply Co 549300OJ9VZHZRO6I137 Tractor Supply Co 892356106 393448.000000000000 NS USD 33266028.400000000000 1.0542954053 Long EC CORP US N 1 N N N UniFirst Corp/MA 5493003XBTNWBC8UK019 UniFirst Corp/MA 904708104 138000.000000000000 NS USD 20850420.000000000000 0.6608093320 Long EC CORP US N 1 N N N VARIAN MEDICAL SYSTEMS INC TK3LAKL7I0QNTCVWSY07 Varian Medical Systems Inc 92220P105 181796.000000000000 NS USD 18663177.360000000000 0.5914893687 Long EC CORP US N 1 N N N WD-40 CO 549300UZHTN0CNKBOB19 WD-40 Co 929236107 161809.000000000000 NS USD 32499337.650000000000 1.0299967867 Long EC CORP US N 1 N N N DocuSign Inc 549300Q7PVDWRZ39JG09 DocuSign Inc 256163106 249197.000000000000 NS USD 23025802.800000000000 0.7297534230 Long EC CORP US N 1 N N N DOLBY LABS 549300X04FB2QPCJ5J24 Dolby Laboratories Inc 25659T107 280000.000000000000 NS USD 15178800.000000000000 0.4810595033 Long EC CORP US N 1 N N N Walker & Dunlop Inc N/A Walker & Dunlop Inc 93148P102 661574.000000000000 NS USD 26641584.980000000000 0.8443478824 Long EC CORP US N 1 N N N Watsco Inc 549300F1Y3LN5BX5WN75 Watsco Inc 942622200 224750.000000000000 NS USD 35517242.500000000000 1.1256428067 Long EC CORP US N 1 N N N Donaldson Co Inc OZE6KXY9QQPR8EJ8WL20 Donaldson Co Inc 257651109 550000.000000000000 NS USD 21246500.000000000000 0.6733622379 Long EC CORP US N 1 N N N ENCOMPASS HEALTH CORP 549300FVRPM9DRQZRG64 Encompass Health Corp 29261A100 640243.000000000000 NS USD 40994759.290000000000 1.2992409506 Long EC CORP US N 1 N N N WEST PHARMACEUTICAL SERV INC 5493007NKRGM1RJQ1P16 West Pharmaceutical Services Inc 955306105 230000.000000000000 NS USD 35017500.000000000000 1.1098045403 Long EC CORP US N 1 N N N Williams-Sonoma Inc 549300IARG6YWVTZ1I92 Williams-Sonoma Inc 969904101 475000.000000000000 NS USD 20197000.000000000000 0.6401005868 Long EC CORP US N 1 N N N WINGSTOP INC 549300SSH3F8HPIM3Q47 Wingstop Inc 974155103 396000.000000000000 NS USD 31561200.000000000000 1.0002645265 Long EC CORP US N 1 N N N Zscaler Inc 529900MZ0RTK1BWRNF46 Zscaler Inc 98980G102 667176.000000000000 NS USD 40604331.360000000000 1.2868671749 Long EC CORP US N 1 N N EPAM Systems Inc 549300XCR4R530HJP604 EPAM Systems Inc 29414B104 257012.000000000000 NS USD 47716847.920000000000 1.5122831290 Long EC CORP US N 1 N N N EPLUS, INC. 529900FFY8AAFJ21NE91 ePlus Inc 294268107 424122.000000000000 NS USD 26558519.640000000000 0.8417153046 Long EC CORP US N 1 N N N EQUITY COMMONWEALTH 549300YPGVU9PR4L0606 Equity Commonwealth 294628102 1064300.000000000000 NS USD 33748953.000000000000 1.0696006645 Long EC CORP US N 1 N N N EXPONENT INC. 529900NY3F5Q2NWPUZ42 Exponent Inc 30214U102 648000.000000000000 NS USD 46597680.000000000000 1.4768135027 Long EC CORP US N 1 N N N Zynga Inc N/A Zynga Inc 98986T108 7701000.000000000000 NS USD 52751850.000000000000 1.6718567184 Long EC CORP US N 1 N N N ALLEGION PLC N/A Allegion PLC G0176J109 542420.000000000000 NS USD 49913488.400000000000 1.5819009366 Long EC CORP IE N 1 N N N Mimecast Ltd 254900ELSYFSTT9X2740 Mimecast Ltd G14838109 939465.000000000000 NS USD 33163114.500000000000 1.0510337700 Long EC CORP JE N 1 N N N HELEN OF TROY LTD N/A Helen of Troy Ltd G4388N106 207197.000000000000 NS USD 29842583.910000000000 0.9457966764 Long EC CORP BM N 1 N N N FATE THERAPEUTICS INC 549300L14Q4UHOODLA90 Fate Therapeutics Inc 31189P102 254442.000000000000 NS USD 5651156.820000000000 0.1791012921 Long EC CORP US N 1 N N N FirstCash Inc 549300V2X3UU7K0DG350 FirstCash Inc 33767D105 465000.000000000000 NS USD 33359100.000000000000 1.0572451100 Long EC CORP US N 1 N N N HORIZON THERAPEUTICS PLC 529900P0GSQ79OOZEV53 Horizon Therapeutics Plc G46188101 832589.000000000000 NS USD 24661286.180000000000 0.7815865602 Long EC CORP IE N 1 N N N STERIS PLC N/A STERIS PLC G8473T100 291209.000000000000 NS USD 40760523.730000000000 1.2918173570 Long EC CORP IE N 1 N N N Theravance Biopharma Inc 5493007VTSXP4Z6MIW52 Theravance Biopharma Inc G8807B106 770892.000000000000 NS USD 17815314.120000000000 0.5646181622 Long EC CORP KY N 1 N N N CRISPR THERAPEUTICS AG 506700O6IRRIQLT3W370 CRISPR Therapeutics AG H17182108 782561.000000000000 NS USD 33188412.010000000000 1.0518355203 Long EC CORP CH N 1 N N N FirstService Corp 5493000XUDIV75BCF118 FirstService Corp 33767E202 217000.000000000000 NS USD 16735040.000000000000 0.5303811915 Long EC CORP CA N 1 N N N Five Below Inc 529900AAXP5Z6BGI7418 Five Below Inc 33829M101 336614.000000000000 NS USD 23690893.320000000000 0.7508320402 Long EC CORP US N 1 N N N CyberArk Software Ltd 529900YEXNDM894PWS93 CyberArk Software Ltd M2682V108 216638.000000000000 NS USD 18535547.280000000000 0.5874444072 Long EC CORP IL N 1 N N N WIX.COM LTD 5493008P6N29Q1AG9464 Wix.com Ltd M98068105 186500.000000000000 NS USD 18802930.000000000000 0.5959185289 Long EC CORP IL N 1 N N N GARTNER INC PP55B5R38BFB8O8HH686 Gartner Inc 366651107 154100.000000000000 NS USD 15343737.000000000000 0.4862868276 Long EC CORP US N 1 N N N GLOBUS MEDICAL INC 5299003M2P4CIK0RF205 Globus Medical Inc 379577208 1016000.000000000000 NS USD 43210480.000000000000 1.3694634651 Long EC CORP US N 1 N N N GoDaddy Inc N/A GoDaddy Inc 380237107 325000.000000000000 NS USD 18560750.000000000000 0.5882431533 Long EC CORP US N 1 N N N Graco Inc 4T5VJ4S81BRT6Q7GGT78 Graco Inc 384109104 612836.000000000000 NS USD 29863498.280000000000 0.9464595125 Long EC CORP US N 1 N N N GRAND CANYON EDUCATION INC 529900XFER799IYOSW74 Grand Canyon Education Inc 38526M106 311287.000000000000 NS USD 23746528.800000000000 0.7525952874 Long EC CORP US N 1 N N N HAEMONETICS CORP 549300ZEL6TXZS6F5F95 Haemonetics Corp 405024100 250000.000000000000 NS USD 24915000.000000000000 0.7896274754 Long EC CORP US N 1 N N N Hamilton Lane Inc 5493006OKN3V1NORM833 Hamilton Lane Inc 407497106 197528.000000000000 NS USD 10925273.680000000000 0.3462531115 Long EC CORP US N 1 N N N HealthEquity Inc 529900LRJU1RAFQHM467 HealthEquity Inc 42226A107 415000.000000000000 NS USD 20994850.000000000000 0.6653867310 Long EC CORP US N 1 N N N HEICO Corp 529900O1DTDLCJ7L0I14 HEICO Corp 422806208 201272.000000000000 NS USD 12861280.800000000000 0.4076107039 Long EC CORP US N 1 N N N Jack Henry & Associates Inc 529900X1QS8C54W0JB21 Jack Henry & Associates Inc 426281101 343500.000000000000 NS USD 53324940.000000000000 1.6900195765 Long EC CORP US N 1 N N N Hill-Rom Holdings Inc JLZ01A0E2071OH26RE45 Hill-Rom Holdings Inc 431475102 496300.000000000000 NS USD 49927780.000000000000 1.5823538782 Long EC CORP US N 1 N N N Houlihan Lokey Inc 549300S3CNGTQ1QZVY46 Houlihan Lokey Inc 441593100 456342.000000000000 NS USD 23784545.040000000000 0.7538001306 Long EC CORP US N 1 N N N ITT Inc 549300KDSERHTJOXUS80 ITT Inc 45073V108 416070.000000000000 NS USD 18872935.200000000000 0.5981371935 Long EC CORP US N 1 N N N IDEX CORP 549300U5Y5EL6PHYLF13 IDEX Corp 45167R104 188000.000000000000 NS USD 25964680.000000000000 0.8228948312 Long EC CORP US N 1 N N N Immunomedics Inc 5493007ZU7DDO8PSIM59 Immunomedics Inc 452907108 1535996.000000000000 NS USD 20705226.080000000000 0.6562077222 Long EC CORP US N 1 N N N Insmed Inc 529900Q55QAG41CCAC11 Insmed Inc 457669307 1249000.000000000000 NS USD 20021470.000000000000 0.6345375400 Long EC CORP US N 1 N N N Intercept Pharmaceuticals Inc N/A Intercept Pharmaceuticals Inc 45845P108 192901.000000000000 NS USD 12145046.960000000000 0.3849112089 Long EC CORP US N 1 N N N JONES LANG LASALLE INC 6SYKCME112RT8TQUO411 Jones Lang LaSalle Inc 48020Q107 211256.000000000000 NS USD 21332630.880000000000 0.6760919713 Long EC CORP US N 1 N N N J2 Global Inc 5493008OJYGLHD7MXA18 J2 GLOBAL INC 48123V102 410000.000000000000 NS USD 30688500.000000000000 0.9726061722 Long EC CORP US N 1 N N N LCI Industries 549300E1B98YNJ1WIQ04 LCI Industries 50189K103 100020.000000000000 NS USD 6684336.600000000000 0.2118457088 Long EC CORP US N 1 N N N LAMAR ADVERTISING CO (DELAWARE) 529900Y8WW4MKVPTB543 Lamar Advertising Co 512816109 486593.000000000000 NS USD 24952489.040000000000 0.7908156101 Long EC CORP US N 1 N N N Lamb Weston Holdings Inc 5493005SMYID1D2OY946 Lamb Weston Holdings Inc 513272104 420000.000000000000 NS USD 23982000.000000000000 0.7600580420 Long EC CORP US N 1 N N N Livongo Health Inc N/A Livongo Health Inc 539183103 1273852.000000000000 NS USD 36342997.560000000000 1.1518133419 Long EC CORP US N 1 N N N MKS Instruments Inc 549300KEQATBHAGVF505 MKS Instruments Inc 55306N104 398294.000000000000 NS USD 32441046.300000000000 1.0281493674 Long EC CORP US N 1 N N N MACROGENICS INC 5493001KJQUA83L8MH79 MacroGenics Inc 556099109 1094828.000000000000 NS USD 6371898.960000000000 0.2019436680 Long EC CORP US N 1 N N N MANHATTAN ASSOC INC 529900Q1GJP7KD52SW51 Manhattan Associates Inc 562750109 589760.000000000000 NS USD 29381843.200000000000 0.9311944880 Long EC CORP US N 1 N N N Masimo Corp 549300Q4A8JK0PIYCU29 Masimo Corp 574795100 422802.000000000000 NS USD 74886690.240000000000 2.3733729944 Long EC CORP US N 1 N N N Natera Inc N/A Natera Inc 632307104 750000.000000000000 NS USD 22395000.000000000000 0.7097614815 Long EC CORP US N 1 N N N ACADIA PHARMACEUTICALS INC 529900O3044NO0PEA039 ACADIA Pharmaceuticals Inc 004225108 1074882.000000000000 NS USD 45413764.500000000000 1.4392918407 Long EC CORP US N 1 N N N Agios Pharmaceuticals Inc 529900ONJHY8EOGYT555 Agios Pharmaceuticals Inc 00847X104 54781.000000000000 NS USD 1943629.880000000000 0.0615991794 Long EC CORP US N 1 N N N OFG Bancorp 549300Q4QEXJ37LEXQ06 OFG Bancorp 67103X102 1612838.000000000000 NS USD 18031528.840000000000 0.5714706240 Long EC CORP PR N 1 N N N ALTERYX INC 549300XWZG0JHL7I0827 Alteryx Inc 02156B103 314752.000000000000 NS USD 29954947.840000000000 0.9493578101 Long EC CORP US N 1 N N N DREYFUS GOVERNMENT CASH MANAGE N/A Dreyfus Government Cash Management Fund, Institutional Shares 262006208 1717125.000000000000 NS USD 1717125.000000000000 0.0544205932 Long STIV CORP US N 1 N N 2020-04-23 Columbia Acorn Trust Martha Skinner Martha Skinner Assistant Treasurer XXXX NPORT-EX 2 nportpoi_acorn.htm
Portfolio of Investments
Columbia Acorn® Fund, March 31, 2020 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 97.1%
Issuer Shares Value ($)
Communication Services 3.1%
Entertainment 3.1%
Take-Two Interactive Software, Inc.(a) 382,000 45,309,020
Zynga, Inc., Class A(a) 7,701,000 52,751,850
Total   98,060,870
Total Communication Services 98,060,870
Consumer Discretionary 10.6%
Auto Components 0.1%
LCI Industries 66,874 4,469,189
Diversified Consumer Services 2.9%
Bright Horizons Family Solutions, Inc.(a) 233,973 23,865,246
Chegg, Inc.(a) 1,252,168 44,802,571
Grand Canyon Education, Inc.(a) 311,287 23,746,529
Total   92,414,346
Hotels, Restaurants & Leisure 3.1%
Chipotle Mexican Grill, Inc.(a) 39,800 26,045,120
Choice Hotels International, Inc. 93,212 5,709,235
Churchill Downs, Inc. 148,548 15,293,017
Planet Fitness, Inc., Class A(a) 400,000 19,480,000
Wingstop, Inc. 396,000 31,561,200
Total   98,088,572
Household Durables 1.5%
Helen of Troy Ltd.(a) 207,197 29,842,584
Skyline Champion Corp.(a) 1,119,405 17,552,270
Total   47,394,854
Specialty Retail 2.5%
Boot Barn Holdings, Inc.(a) 30,246 391,081
Five Below, Inc.(a) 336,614 23,690,893
Tractor Supply Co. 393,448 33,266,029
Williams-Sonoma, Inc. 475,000 20,197,000
Total   77,545,003
Textiles, Apparel & Luxury Goods 0.5%
Carter’s, Inc. 221,900 14,585,487
Total Consumer Discretionary 334,497,451
Common Stocks (continued)
Issuer Shares Value ($)
Consumer Staples 1.8%
Food Products 0.8%
Lamb Weston Holdings, Inc. 420,000 23,982,000
Household Products 1.0%
WD-40 Co. 161,809 32,499,337
Total Consumer Staples 56,481,337
Financials 6.7%
Banks 1.1%
OFG Bancorp 1,612,838 18,031,529
SVB Financial Group(a) 104,768 15,828,349
Total   33,859,878
Capital Markets 3.3%
Ares Management Corp., Class A 1,638,335 50,673,701
Hamilton Lane, Inc., Class A 214,128 11,843,420
Houlihan Lokey, Inc. 456,342 23,784,545
Raymond James Financial, Inc. 277,123 17,514,174
Total   103,815,840
Consumer Finance 1.5%
FirstCash, Inc. 465,000 33,359,100
OneMain Holdings, Inc. 695,000 13,288,400
Total   46,647,500
Thrifts & Mortgage Finance 0.8%
Walker & Dunlop, Inc. 651,766 26,246,617
Total Financials 210,569,835
Health Care 32.5%
Biotechnology 9.0%
ACADIA Pharmaceuticals, Inc.(a) 1,074,882 45,413,764
Agios Pharmaceuticals, Inc.(a) 23,994 851,307
Anika Therapeutics, Inc.(a) 563,624 16,294,370
Argenx SE, ADR(a) 218,766 28,818,045
CRISPR Therapeutics AG(a) 782,561 33,188,412
Fate Therapeutics, Inc.(a) 254,042 5,642,273
Immunomedics, Inc.(a) 1,535,996 20,705,226
Insmed, Inc.(a) 1,249,000 20,021,470
Intercept Pharmaceuticals, Inc.(a) 109,113 6,869,754
MacroGenics, Inc.(a) 1,009,869 5,877,438
Columbia Acorn® Fund | Quarterly Report 2020
1

Portfolio of Investments   (continued)
Columbia Acorn® Fund, March 31, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Natera, Inc.(a) 750,000 22,395,000
Sarepta Therapeutics, Inc.(a) 175,517 17,169,073
Seattle Genetics, Inc.(a) 505,700 58,347,666
Total   281,593,798
Health Care Equipment & Supplies 10.5%
Globus Medical, Inc., Class A(a) 1,016,000 43,210,480
Haemonetics Corp.(a) 250,000 24,915,000
Hill-Rom Holdings, Inc. 496,300 49,927,780
Masimo Corp.(a) 422,802 74,886,690
Penumbra, Inc.(a) 164,232 26,495,549
STERIS PLC 291,209 40,760,524
Tactile Systems Technology, Inc.(a) 430,687 17,296,390
Varian Medical Systems, Inc.(a) 181,796 18,663,177
West Pharmaceutical Services, Inc. 230,000 35,017,500
Total   331,173,090
Health Care Providers & Services 4.9%
Amedisys, Inc.(a) 187,300 34,377,042
Chemed Corp. 135,438 58,671,742
Encompass Health Corp. 640,243 40,994,759
HealthEquity, Inc.(a) 415,000 20,994,850
Total   155,038,393
Health Care Technology 2.0%
Livongo Health, Inc.(a) 1,273,852 36,342,998
Teladoc Health, Inc.(a) 178,000 27,591,780
Total   63,934,778
Life Sciences Tools & Services 3.9%
Bio-Rad Laboratories, Inc., Class A(a) 82,000 28,745,920
Bio-Techne Corp. 179,802 34,094,055
Pra Health Sciences, Inc.(a) 379,340 31,500,394
Repligen Corp.(a) 306,000 29,541,240
Total   123,881,609
Pharmaceuticals 2.2%
Horizon Therapeutics PLC(a) 832,589 24,661,286
Reata Pharmaceuticals, Inc., Class A(a) 191,871 27,694,660
Theravance Biopharma, Inc.(a) 770,892 17,815,314
Total   70,171,260
Total Health Care 1,025,792,928
Common Stocks (continued)
Issuer Shares Value ($)
Industrials 15.4%
Aerospace & Defense 2.4%
BWX Technologies, Inc. 709,000 34,535,390
Curtiss-Wright Corp. 311,000 28,739,510
HEICO Corp., Class A 201,272 12,861,281
Total   76,136,181
Building Products 1.6%
Allegion PLC 542,420 49,913,488
Commercial Services & Supplies 1.6%
Copart, Inc.(a) 430,000 29,463,600
Unifirst Corp. 138,000 20,850,420
Total   50,314,020
Electrical Equipment 0.8%
Atkore International Group, Inc.(a) 1,228,496 25,884,411
Machinery 5.6%
Donaldson Co., Inc. 550,000 21,246,500
Graco, Inc. 612,836 29,863,498
IDEX Corp. 188,000 25,964,680
ITT, Inc. 502,070 22,773,895
SPX Corp.(a) 1,318,635 43,040,247
Toro Co. (The) 483,510 31,471,666
Total   174,360,486
Professional Services 1.5%
Exponent, Inc. 648,000 46,597,680
Road & Rail 0.8%
Old Dominion Freight Line, Inc. 195,960 25,721,710
Trading Companies & Distributors 1.1%
Watsco, Inc. 224,750 35,517,242
Total Industrials 484,445,218
Information Technology 21.3%
Electronic Equipment, Instruments & Components 2.0%
CDW Corp. 233,872 21,813,241
Dolby Laboratories, Inc., Class A 280,000 15,178,800
ePlus, Inc.(a) 424,122 26,558,520
Total   63,550,561
 
2 Columbia Acorn® Fund | Quarterly Report 2020

Portfolio of Investments   (continued)
Columbia Acorn® Fund, March 31, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
IT Services 6.1%
Booz Allen Hamilton Holdings Corp. 557,985 38,300,090
EPAM Systems, Inc.(a) 257,012 47,716,848
Gartner, Inc.(a) 154,100 15,343,737
GoDaddy, Inc., Class A(a) 325,000 18,560,750
Jack Henry & Associates, Inc. 343,500 53,324,940
Wix.com Ltd.(a) 186,500 18,802,930
Total   192,049,295
Semiconductors & Semiconductor Equipment 2.8%
Cabot Microelectronics Corp. 163,000 18,604,820
MKS Instruments, Inc. 398,294 32,441,046
Teradyne, Inc. 705,061 38,193,155
Total   89,239,021
Software 10.4%
Alteryx, Inc., Class A(a) 314,752 29,954,948
ANSYS, Inc.(a) 81,417 18,927,010
Blackline, Inc.(a) 614,977 32,353,940
CyberArk Software Ltd.(a) 216,638 18,535,547
DocuSign, Inc.(a) 314,959 29,102,212
j2 Global, Inc. 410,000 30,688,500
Manhattan Associates, Inc.(a) 589,760 29,381,843
Mimecast Ltd.(a) 939,465 33,163,114
Paylocity Holding Corp.(a) 168,528 14,884,393
Qualys, Inc.(a) 562,637 48,943,793
Zscaler, Inc.(a),(b) 667,176 40,604,331
Total   326,539,631
Total Information Technology 671,378,508
Materials 1.0%
Containers & Packaging 1.0%
Avery Dennison Corp. 324,021 33,008,019
Total Materials 33,008,019
Common Stocks (continued)
Issuer Shares Value ($)
Real Estate 4.7%
Equity Real Estate Investment Trusts (REITS) 3.0%
Americold Realty Trust 1,099,532 37,428,069
Equity Commonwealth 1,064,300 33,748,953
Lamar Advertising Co., Class A 486,593 24,952,489
Total   96,129,511
Real Estate Management & Development 1.7%
Colliers International Group, Inc. 317,374 15,237,126
FirstService Corp. 217,000 16,735,040
Jones Lang LaSalle, Inc. 211,256 21,332,631
Total   53,304,797
Total Real Estate 149,434,308
Total Common Stocks
(Cost: $2,978,601,023)
3,063,668,474
Securities Lending Collateral 0.1%
  Shares Value ($)
Dreyfus Government Cash Manangement Fund, Institutional Shares 0.285%(c),(d)
1,717,125 1,717,125
Total Securities Lending Collateral
(Cost: $1,717,125)
1,717,125
Money Market Funds 3.8%
Columbia Short-Term Cash Fund, 0.787%(c),(e) 118,984,363 118,924,871
Total Money Market Funds
(Cost: $118,957,158)
118,924,871
Total Investments in Securities
(Cost $3,099,275,306)
3,184,310,470
Obligation to Return Collateral for Securities Loaned   (1,717,125)
Other Assets & Liabilities, Net   (29,165,944)
Net Assets $3,153,427,401
 
Notes to Portfolio of Investments
(a) Non-income producing security.
(b) All or a portion of this security was on loan at March 31, 2020. The total market value of securities on loan at March 31, 2020 was $1,734,510.
(c) The rate shown is the seven-day current annualized yield at March 31, 2020.
(d) Investment made with cash collateral received from securities lending activity.
Columbia Acorn® Fund | Quarterly Report 2020
3

Portfolio of Investments   (continued)
Columbia Acorn® Fund, March 31, 2020 (Unaudited)
Notes to Portfolio of Investments  (continued)
(e) As defined in the Investment Company Act of 1940, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. Holdings and transactions in these affiliated companies during the period ended March 31, 2020 are as follows:
    
Issuer Beginning
shares
Shares
purchased
Shares
sold
Ending
shares
Realized gain
(loss) —
affiliated
issuers ($)
Net change in
unrealized
appreciation
(depreciation) —
affiliated
issuers ($)
Dividend —
affiliated issuers
($)
Value —
affiliated
issuers
at end of
period ($)
Columbia Short-Term Cash Fund, 0.787%
  57,996,583 489,127,711 (428,139,931) 118,984,363 (51,239) (32,287) 404,343 118,924,871
Abbreviation Legend
ADR American Depositary Receipt
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
4 Columbia Acorn® Fund | Quarterly Report 2020

Portfolio of Investments
Columbia Acorn International®, March 31, 2020 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 92.7%
Issuer Shares Value ($)
Australia 3.3%
carsales.com Ltd. 3,033,523 21,797,081
Cleanaway Waste Management Ltd. 13,423,503 14,158,102
Evolution Mining Ltd. 3,469,000 8,107,534
National Storage REIT 19,549,881 18,961,407
Total 63,024,124
Brazil 1.7%
Ez Tec Empreendimentos e Participacoes SA 1,649,000 9,425,396
Notre Dame Intermedica Participacoes SA 666,000 5,724,209
Sul America SA 986,400 6,460,074
TOTVS SA 1,170,000 10,470,353
Total 32,080,032
Cambodia 0.8%
NagaCorp Ltd. 14,602,000 14,781,526
Canada 3.9%
Agnico Eagle Mines Ltd. 478,533 19,103,236
CCL Industries, Inc. 1,014,004 30,831,544
Parex Resources, Inc.(a) 725,300 6,133,070
Pason Systems, Inc. 1,319,000 5,857,848
Winpak Ltd. 382,342 11,818,288
Total 73,743,986
China 2.9%
A-Living Services Co., Ltd. 4,384,000 21,024,836
Minth Group Ltd. 3,885,000 8,260,083
New Oriental Education & Technology Group, Inc., ADR(a) 140,114 15,165,939
Shenzhou International Group Holdings Ltd. 971,000 10,185,854
Total 54,636,712
Cyprus 0.0%
TCS Group Holding PLC, GDR(b) 49,482 572,012
Denmark 2.4%
SimCorp AS 532,852 44,428,221
France 0.8%
Akka Technologies 351,511 9,783,422
Robertet SA 7,000 5,940,244
Total 15,723,666
Common Stocks (continued)
Issuer Shares Value ($)
Germany 8.3%
Corestate Capital Holding SA(a),(c) 291,500 8,516,907
Eckert & Ziegler Strahlen- und Medizintechnik AG 93,444 14,512,918
Hypoport AG(a) 82,338 23,577,577
MTU Aero Engines AG 98,912 14,302,363
Nemetschek SE 600,880 29,291,520
Rational AG 52,402 27,712,992
Stroeer SE & Co. KGaA 176,150 9,051,450
TeamViewer AG(a) 479,967 19,515,920
Varta AG(a),(c) 150,040 10,557,219
Total 157,038,866
Hong Kong 1.0%
Value Partners Group Ltd. 12,727,000 5,407,211
Vitasoy International Holdings Ltd. 4,658,000 14,017,726
Total 19,424,937
India 1.1%
Bandhan Bank Ltd. 2,102,080 5,643,873
Cholamandalam Investment and Finance Co., Ltd. 3,352,635 6,766,857
Zee Entertainment Enterprises Ltd. 5,618,278 9,143,179
Total 21,553,909
Ireland 1.7%
UDG Healthcare PLC 4,105,015 31,939,349
Israel 0.6%
CyberArk Software Ltd.(a) 134,000 11,465,040
Italy 3.2%
Amplifon SpA 459,194 9,327,718
Freni Brembo SpA 2,075,561 15,390,049
Industria Macchine Automatiche SpA 401,173 23,526,848
Nexi SpA(a) 960,000 12,488,577
Total 60,733,192
Japan 21.2%
Aeon Credit Service Co., Ltd. 1,011,500 10,806,949
Aeon Mall Co., Ltd. 1,213,600 15,317,270
Aica Kogyo Co., Ltd. 305,100 8,705,256
Aruhi Corp.(c) 1,003,000 11,336,091
Azbil Corp. 607,940 15,710,622
Columbia Acorn International® | Quarterly Report 2020
5

Portfolio of Investments   (continued)
Columbia Acorn International®, March 31, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
CyberAgent, Inc. 780,100 30,233,469
Daifuku Co., Ltd. 150,100 9,406,514
Daiseki Co., Ltd. 451,700 9,564,529
Disco Corp. 61,700 12,003,912
Fuji Oil Holdings, Inc. 817,100 19,664,408
Fuso Chemical Co., Ltd. 94,400 2,647,200
Glory Ltd. 503,700 11,573,287
Hikari Tsushin, Inc. 156,928 26,259,235
Hoshizaki Corp. 137,000 10,247,841
Invesco Office J-REIT, Inc. 78,000 10,332,115
KH Neochem Co., Ltd. 75,600 1,061,942
Lasertec Corp. 416,700 19,322,240
Mandom Corp. 812,200 15,520,774
MonotaRO Co., Ltd 520,500 13,752,351
Nihon M&A Center, Inc. 231,700 6,310,550
Nihon Unisys Ltd. 790,700 21,090,550
NSD Co., Ltd. 785,400 10,467,545
Persol Holdings Co., Ltd. 954,800 9,553,832
Santen Pharmaceutical Co., Ltd. 1,211,400 20,789,764
Seiren Co., Ltd. 797,000 9,545,972
Sekisui Chemical Co., Ltd. 1,619,300 21,332,814
Seria Co., Ltd. 456,091 13,191,030
Solasto Corp. 1,719,100 15,949,309
Ushio, Inc. 1,268,200 12,068,974
Valqua Ltd. 462,800 7,472,594
Total 401,238,939
Malta 0.6%
Kindred Group PLC 2,993,507 10,967,508
Mexico 0.5%
Corporación Inmobiliaria Vesta SAB de CV 4,072,000 4,710,114
Qualitas Controladora SAB de CV 1,734,002 4,432,496
Total 9,142,610
Netherlands 3.7%
Aalberts NV 559,127 13,395,343
Argenx SE, ADR(a) 162,000 21,340,260
BE Semiconductor Industries NV 336,500 10,305,933
IMCD NV 346,000 24,828,118
Total 69,869,654
Common Stocks (continued)
Issuer Shares Value ($)
New Zealand 1.1%
Fisher & Paykel Healthcare Corp., Ltd. 1,157,000 21,032,491
Russian Federation 0.6%
TCS Group Holding PLC, GDR 942,700 10,897,612
Singapore 2.0%
Mapletree Commercial Trust 14,258,300 18,287,389
Singapore Exchange 3,049,200 19,638,230
Total 37,925,619
South Africa 0.7%
Pepkor Holdings Ltd. 10,570,000 6,401,706
PSG Group Ltd. 908,770 6,544,860
Total 12,946,566
South Korea 2.8%
DoubleUGames Co., Ltd. 419,574 14,872,707
Koh Young Technology, Inc. 257,554 16,315,955
Korea Investment Holdings Co., Ltd. 557,098 22,460,391
Total 53,649,053
Spain 1.3%
Befesa SA 494,857 14,376,779
Vidrala SA 113,000 10,065,243
Total 24,442,022
Sweden 6.3%
AddTech AB, Class B 558,174 13,621,875
Dometic Group AB 2,177,397 9,647,675
Dustin Group AB 1,016,691 4,814,406
Hexagon AB, Class B 699,561 29,581,066
Munters Group AB(a) 3,371,333 9,349,727
Sectra AB, Class B(a) 265,000 9,866,923
Sweco AB, Class B 857,153 24,338,268
Trelleborg AB, Class B(a) 1,742,586 18,538,698
Total 119,758,638
Switzerland 3.0%
Belimo Holding AG, Registered Shares 4,122 26,269,785
Inficon Holding AG 29,613 18,815,503
Kardex AG 89,964 12,371,588
Total 57,456,876
 
6 Columbia Acorn International® | Quarterly Report 2020

Portfolio of Investments   (continued)
Columbia Acorn International®, March 31, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Taiwan 4.0%
Getac Technology Corp. 7,472,000 10,413,192
Grape King Bio Ltd. 1,443,000 9,382,059
Parade Technologies Ltd. 916,000 19,360,324
Silergy Corp. 343,000 11,125,447
Sinbon Electronics Co., Ltd. 4,366,000 17,972,932
Voltronic Power Technology Corp. 350,000 7,273,639
Total 75,527,593
Thailand 0.5%
Muangthai Capital PCL, Foreign Registered Shares 9,048,400 9,589,539
United Kingdom 11.8%
Abcam PLC 1,211,085 17,194,023
Auto Trader Group PLC 1,712,306 9,252,952
Dechra Pharmaceuticals PLC 824,027 23,762,826
Diploma PLC 522,000 10,451,539
Genus PLC 144,000 5,818,920
Halma PLC 1,033,631 24,275,922
Intermediate Capital Group PLC 1,884,382 20,798,230
Rentokil Initial PLC 4,652,043 22,218,092
Rightmove PLC 6,651,860 40,117,114
Safestore Holdings PLC 1,205,563 9,533,125
Spirax-Sarco Engineering PLC 258,025 25,903,900
WH Smith PLC 1,040,564 14,615,687
Total 223,942,330
Common Stocks (continued)
Issuer Shares Value ($)
United States 0.9%
Inter Parfums, Inc. 352,851 16,354,644
Total Common Stocks
(Cost: $1,714,065,330)
1,755,887,266
Securities Lending Collateral 0.8%
  Shares Value ($)
Dreyfus Government Cash Manangement Fund, Institutional Shares 0.285%(d),(e)
15,914,589 15,914,589
Total Securities Lending Collateral
(Cost: $15,914,589)
15,914,589
Money Market Funds 4.9%
Columbia Short-Term Cash Fund, 0.787%(d),(f)
92,986,888 92,940,395
Total Money Market Funds
(Cost: $92,977,611)
92,940,395
Total Investments in Securities
(Cost: $1,822,957,530)
1,864,742,250
Obligation to Return Collateral for Securities Loaned   (15,914,589)
Other Assets & Liabilities, Net   45,920,790
Net Assets $1,894,748,451
 
At March 31, 2020, securities and/or cash totaling $15,210,400 were pledged as collateral.
Long futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
MSCI EAFE Index 1,301 06/2020 USD 101,432,465 9,256,844
MSCI Emerging Markets Index 542 06/2020 USD 22,842,590 1,375,059
Total         10,631,903
Notes to Portfolio of Investments
(a) Non-income producing security.
(b) Represents privately placed and other securities and instruments exempt from Securities and Exchange Commission registration (collectively, private placements), such as Section 4(a)(2) and Rule 144A eligible securities, which are often sold only to qualified institutional buyers. The Fund may invest in private placements determined to be liquid as well as those determined to be illiquid. Private placements may be determined to be liquid under guidelines established by the Fund’s Board of Trustees. At March 31, 2020, the total value of these securities amounted to $572,012, which represents 0.03% of total net assets.
(c) All or a portion of this security was on loan at March 31, 2020. The total market value of securities on loan at March 31, 2020 was $13,698,274.
(d) The rate shown is the seven-day current annualized yield at March 31, 2020.
(e) Investment made with cash collateral received from securities lending activity.
Columbia Acorn International® | Quarterly Report 2020
7

Portfolio of Investments   (continued)
Columbia Acorn International®, March 31, 2020 (Unaudited)
Notes to Portfolio of Investments  (continued)
(f) As defined in the Investment Company Act of 1940, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. Holdings and transactions in these affiliated companies during the period ended March 31, 2020 are as follows:
    
Issuer Beginning
shares
Shares
purchased
Shares
sold
Ending
shares
Realized gain
(loss) —
affiliated
issuers ($)
Net change in
unrealized
appreciation
(depreciation) —
affiliated
issuers ($)
Dividend —
affiliated issuers
($)
Value —
affiliated
issuers
at end of
period ($)
Columbia Short-Term Cash Fund, 0.787%
  55,986,344 217,705,367 (180,704,823) 92,986,888 (1,091) (37,216) 202,600 92,940,395
Abbreviation Legend
ADR American Depositary Receipt
GDR Global Depositary Receipt
Currency Legend
USD US Dollar
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
8 Columbia Acorn International® | Quarterly Report 2020

Portfolio of Investments
Columbia Acorn USA®, March 31, 2020 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 91.0%
Issuer Shares Value ($)
Consumer Discretionary 7.6%
Auto Components 0.3%
LCI Industries 10,685 714,078
Diversified Consumer Services 1.3%
Chegg, Inc.(a) 44,000 1,574,320
Grand Canyon Education, Inc.(a) 17,100 1,304,473
Total   2,878,793
Hotels, Restaurants & Leisure 0.6%
Extended Stay America, Inc. 168,696 1,233,168
Household Durables 2.7%
Helen of Troy Ltd.(a) 28,101 4,047,387
Skyline Champion Corp.(a) 116,617 1,828,555
Total   5,875,942
Leisure Products 1.1%
Brunswick Corp. 65,099 2,302,552
Specialty Retail 0.6%
Boot Barn Holdings, Inc.(a) 92,514 1,196,206
Textiles, Apparel & Luxury Goods 1.0%
Carter’s, Inc. 33,965 2,232,519
Total Consumer Discretionary 16,433,258
Consumer Staples 5.0%
Beverages 0.9%
Primo Water Corp. 213,787 1,936,910
Food & Staples Retailing 1.3%
BJ’s Wholesale Club Holdings, Inc.(a) 111,401 2,837,384
Household Products 1.8%
WD-40 Co. 19,898 3,996,513
Personal Products 1.0%
Inter Parfums, Inc. 47,164 2,186,051
Total Consumer Staples 10,956,858
Common Stocks (continued)
Issuer Shares Value ($)
Financials 10.0%
Banks 2.7%
Lakeland Financial Corp. 81,540 2,996,595
OFG Bancorp 22,350 249,873
Trico Bancshares 86,253 2,572,064
Total   5,818,532
Capital Markets 1.2%
Houlihan Lokey, Inc. 48,793 2,543,091
Consumer Finance 1.8%
FirstCash, Inc. 53,827 3,861,549
Insurance 1.3%
Palomar Holdings, Inc.(a) 48,410 2,815,526
Thrifts & Mortgage Finance 3.0%
Merchants Bancorp 229,052 3,477,009
Walker & Dunlop, Inc. 79,132 3,186,646
Total   6,663,655
Total Financials 21,702,353
Health Care 31.5%
Biotechnology 11.4%
ACADIA Pharmaceuticals, Inc.(a) 51,000 2,154,750
Acceleron Pharma, Inc.(a) 28,724 2,581,426
Agios Pharmaceuticals, Inc.(a) 5,261 186,660
Enanta Pharmaceuticals, Inc.(a) 32,000 1,645,760
Fate Therapeutics, Inc.(a) 52,765 1,171,911
Immunomedics, Inc.(a) 268,761 3,622,898
Insmed, Inc.(a) 146,194 2,343,490
Intercept Pharmaceuticals, Inc.(a) 46,820 2,947,787
Kiniksa Pharmaceuticals Ltd., Class A(a) 196,012 3,034,266
MacroGenics, Inc.(a) 217,858 1,267,933
Natera, Inc.(a) 126,079 3,764,719
Total   24,721,600
Health Care Equipment & Supplies 7.1%
Atrion Corp. 3,363 2,185,950
AxoGen, Inc.(a) 283,849 2,952,030
Globus Medical, Inc., Class A(a) 78,365 3,332,863
Haemonetics Corp.(a) 10,300 1,026,498
Columbia Acorn USA® | Quarterly Report 2020
9

Portfolio of Investments   (continued)
Columbia Acorn USA®, March 31, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Penumbra, Inc.(a) 9,042 1,458,746
SI-BONE, Inc.(a) 200,351 2,394,194
Tactile Systems Technology, Inc.(a) 53,913 2,165,146
Total   15,515,427
Health Care Providers & Services 6.1%
Amedisys, Inc.(a) 14,350 2,633,799
Chemed Corp. 7,654 3,315,713
Corvel Corp.(a) 34,992 1,907,414
LHC Group, Inc.(a) 9,325 1,307,365
National Research Corp., Class A 89,559 4,073,143
Total   13,237,434
Health Care Technology 2.6%
Livongo Health, Inc.(a) 96,968 2,766,497
Teladoc Health, Inc.(a) 17,850 2,766,929
Total   5,533,426
Life Sciences Tools & Services 1.9%
NanoString Technologies, Inc.(a) 75,631 1,818,926
Repligen Corp.(a) 23,250 2,244,555
Total   4,063,481
Pharmaceuticals 2.4%
Reata Pharmaceuticals, Inc., Class A(a) 9,400 1,356,796
Theravance Biopharma, Inc.(a) 170,421 3,938,429
Total   5,295,225
Total Health Care 68,366,593
Industrials 14.2%
Aerospace & Defense 0.8%
BWX Technologies, Inc. 37,749 1,838,754
Commercial Services & Supplies 2.4%
Brink’s Co. (The) 42,875 2,231,644
Healthcare Services Group, Inc. 46,500 1,111,815
Unifirst Corp. 11,788 1,781,049
Total   5,124,508
Construction & Engineering 1.5%
Comfort Systems U.S.A., Inc. 86,350 3,156,092
Electrical Equipment 1.1%
Atkore International Group, Inc.(a) 112,848 2,377,707
Common Stocks (continued)
Issuer Shares Value ($)
Machinery 3.3%
ITT, Inc. 45,773 2,076,264
SPX Corp.(a) 104,966 3,426,090
Watts Water Technologies, Inc., Class A 19,800 1,676,070
Total   7,178,424
Professional Services 3.4%
Exponent, Inc. 68,211 4,905,053
ICF International, Inc. 37,270 2,560,449
Total   7,465,502
Road & Rail 0.9%
Saia, Inc.(a) 27,742 2,040,147
Trading Companies & Distributors 0.8%
SiteOne Landscape Supply, Inc.(a) 23,055 1,697,309
Total Industrials 30,878,443
Information Technology 17.3%
Electronic Equipment, Instruments & Components 2.6%
Badger Meter, Inc. 55,657 2,983,215
ePlus, Inc.(a) 42,420 2,656,341
Total   5,639,556
IT Services 1.3%
Endava PLC, ADR(a) 28,352 996,856
LiveRamp Holdings, Inc.(a) 58,251 1,917,623
Total   2,914,479
Semiconductors & Semiconductor Equipment 2.6%
Advanced Energy Industries, Inc.(a) 34,995 1,696,908
Inphi Corp.(a) 26,114 2,067,445
Onto Innovation, Inc.(a) 62,080 1,841,914
Total   5,606,267
Software 10.8%
Alteryx, Inc., Class A(a) 16,900 1,608,373
Blackline, Inc.(a) 71,827 3,778,819
CyberArk Software Ltd.(a) 17,386 1,487,546
j2 Global, Inc. 58,292 4,363,156
Manhattan Associates, Inc.(a) 75,205 3,746,713
 
10 Columbia Acorn USA® | Quarterly Report 2020

Portfolio of Investments   (continued)
Columbia Acorn USA®, March 31, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Mimecast Ltd.(a) 97,621 3,446,021
Qualys, Inc.(a) 57,499 5,001,838
Total   23,432,466
Total Information Technology 37,592,768
Materials 1.1%
Chemicals 1.1%
PolyOne Corp. 121,683 2,308,327
Total Materials 2,308,327
Real Estate 4.3%
Equity Real Estate Investment Trusts (REITS) 1.4%
UMH Properties, Inc. 269,286 2,924,446
Real Estate Management & Development 2.9%
Colliers International Group, Inc. 30,593 1,468,770
FirstService Corp. 48,732 3,758,212
Redfin Corp.(a) 73,000 1,125,660
Total   6,352,642
Total Real Estate 9,277,088
Total Common Stocks
(Cost: $207,639,870)
197,515,688
Limited Partnerships 0.4%
Issuer Shares Value ($)
Consumer Discretionary 0.4%
Hotels, Restaurants & Leisure 0.4%
Cedar Fair LP 49,743 912,286
Total Consumer Discretionary 912,286
Total Limited Partnerships
(Cost: $2,575,251)
912,286
Money Market Funds 8.0%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.787%(b),(c) 17,402,435 17,393,734
Total Money Market Funds
(Cost: $17,399,295)
17,393,734
Total Investments in Securities
(Cost $227,614,416)
215,821,708
Other Assets & Liabilities, Net   1,256,761
Net Assets $217,078,469
 
At March 31, 2020, securities and/or cash totaling $1,519,400 were pledged as collateral.
Long futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
Russell 2000 Index E-mini 214 06/2020 USD 12,279,320 843,474
Notes to Portfolio of Investments
(a) Non-income producing security.
(b) The rate shown is the seven-day current annualized yield at March 31, 2020.
(c) As defined in the Investment Company Act of 1940, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. Holdings and transactions in these affiliated companies during the period ended March 31, 2020 are as follows:
    
Issuer Beginning
shares
Shares
purchased
Shares
sold
Ending
shares
Realized gain
(loss) —
affiliated
issuers ($)
Net change in
unrealized
appreciation
(depreciation) —
affiliated
issuers ($)
Dividend —
affiliated issuers
($)
Value —
affiliated
issuers
at end of
period ($)
Columbia Short-Term Cash Fund, 0.787%
  13,293,422 63,217,667 (59,108,654) 17,402,435 (823) (5,561) 54,132 17,393,734
Abbreviation Legend
ADR American Depositary Receipt
Columbia Acorn USA® | Quarterly Report 2020
11

Portfolio of Investments   (continued)
Columbia Acorn USA®, March 31, 2020 (Unaudited)
Currency Legend
USD US Dollar
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
12 Columbia Acorn USA® | Quarterly Report 2020

Portfolio of Investments
Columbia Acorn International SelectSM, March 31, 2020 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 95.2%
Issuer Shares Value ($)
Australia 1.5%
carsales.com Ltd. 323,659 2,325,620
Brazil 3.2%
Sul America SA 379,100 2,482,780
TOTVS SA 255,900 2,290,054
Total 4,772,834
Canada 3.2%
CCL Industries, Inc. 142,523 4,333,517
Winpak Ltd. 17,294 534,562
Total 4,868,079
China 11.2%
A-Living Services Co., Ltd. 688,000 3,299,518
NetEase, Inc., ADR 15,443 4,956,585
New Oriental Education & Technology Group, Inc., ADR(a) 42,027 4,549,003
Shenzhou International Group Holdings Ltd. 402,000 4,217,006
Total 17,022,112
Denmark 2.6%
SimCorp AS 46,969 3,916,189
Germany 7.5%
MTU Aero Engines AG 18,725 2,707,576
Nemetschek SE 102,805 5,011,508
Rational AG 6,938 3,669,187
Total 11,388,271
Hong Kong 1.7%
Vitasoy International Holdings Ltd. 856,000 2,576,036
India 1.1%
Cholamandalam Investment and Finance Co., Ltd. 845,775 1,707,087
Italy 2.0%
Nexi SpA(a) 231,616 3,013,077
Japan 19.0%
Aeon Credit Service Co., Ltd. 246,200 2,630,421
CyberAgent, Inc. 93,100 3,608,173
Fuji Oil Holdings, Inc. 138,500 3,333,155
Hikari Tsushin, Inc. 26,800 4,484,525
Nihon Unisys Ltd. 154,900 4,131,689
Common Stocks (continued)
Issuer Shares Value ($)
Obic Co., Ltd. 28,800 3,752,345
Recruit Holdings Co., Ltd. 149,400 3,859,193
Sekisui Chemical Co., Ltd. 231,500 3,049,803
Total 28,849,304
Netherlands 5.3%
Koninklijke Philips NV 196,588 8,071,384
New Zealand 1.4%
Fisher & Paykel Healthcare Corp., Ltd. 113,306 2,059,730
Singapore 2.1%
Singapore Exchange 494,000 3,181,584
South Korea 4.4%
Koh Young Technology, Inc. 46,046 2,916,998
Korea Investment Holdings Co., Ltd. 92,712 3,737,848
Total 6,654,846
Sweden 10.9%
Hexagon AB, Class B 142,177 6,011,981
Sectra AB, Class B(a) 86,700 3,228,159
Sweco AB, Class B 163,205 4,634,093
Trelleborg AB, Class B(a) 243,520 2,590,715
Total 16,464,948
Switzerland 4.8%
Belimo Holding AG, Registered Shares 681 4,340,059
Partners Group Holding AG 4,292 2,938,586
Total 7,278,645
Taiwan 2.2%
Largan Precision Co., Ltd. 26,000 3,283,001
United Kingdom 11.1%
Dechra Pharmaceuticals PLC 108,912 3,140,743
Halma PLC 128,398 3,015,563
Intermediate Capital Group PLC 271,819 3,000,110
Rentokil Initial PLC 774,952 3,701,160
Rightmove PLC 655,767 3,954,906
Total 16,812,482
Total Common Stocks
(Cost: $151,259,699)
144,245,229
Columbia Acorn International SelectSM | Quarterly Report 2020
13

Portfolio of Investments   (continued)
Columbia Acorn International SelectSM, March 31, 2020 (Unaudited)
Money Market Funds 2.8%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.787%(b),(c)
4,310,768 4,308,612
Total Money Market Funds
(Cost: $4,310,363)
4,308,612
Total Investments in Securities
(Cost: $155,570,062)
148,553,841
Other Assets & Liabilities, Net   3,029,665
Net Assets $151,583,506
Notes to Portfolio of Investments
(a) Non-income producing security.
(b) The rate shown is the seven-day current annualized yield at March 31, 2020.
(c) As defined in the Investment Company Act of 1940, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. Holdings and transactions in these affiliated companies during the period ended March 31, 2020 are as follows:
    
Issuer Beginning
shares
Shares
purchased
Shares
sold
Ending
shares
Realized gain
(loss) —
affiliated
issuers ($)
Net change in
unrealized
appreciation
(depreciation) —
affiliated
issuers ($)
Dividend —
affiliated issuers
($)
Value —
affiliated
issuers
at end of
period ($)
Columbia Short-Term Cash Fund, 0.787%
  1,151,656 42,008,285 (38,849,173) 4,310,768 (3,356) (1,751) 24,203 4,308,612
Abbreviation Legend
ADR American Depositary Receipt
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
14 Columbia Acorn International SelectSM | Quarterly Report 2020

Portfolio of Investments
Columbia Acorn SelectSM, March 31, 2020 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 96.3%
Issuer Shares Value ($)
Communication Services 4.5%
Entertainment 4.5%
Zynga, Inc., Class A(a) 1,526,271 10,454,956
Total Communication Services 10,454,956
Consumer Discretionary 5.5%
Specialty Retail 5.5%
Boot Barn Holdings, Inc.(a) 372,650 4,818,365
Five Below, Inc.(a) 112,946 7,949,139
Total   12,767,504
Total Consumer Discretionary 12,767,504
Consumer Staples 3.4%
Food & Staples Retailing 3.4%
BJ’s Wholesale Club Holdings, Inc.(a) 307,321 7,827,466
Total Consumer Staples 7,827,466
Financials 9.5%
Banks 3.1%
SVB Financial Group(a) 46,815 7,072,810
Capital Markets 4.1%
Ares Management Corp., Class A 309,268 9,565,660
Thrifts & Mortgage Finance 2.3%
Walker & Dunlop, Inc. 130,049 5,237,073
Total Financials 21,875,543
Health Care 28.9%
Biotechnology 6.5%
ACADIA Pharmaceuticals, Inc.(a) 88,982 3,759,490
Agios Pharmaceuticals, Inc.(a) 7,350 260,778
Immunomedics, Inc.(a) 255,000 3,437,400
Seattle Genetics, Inc.(a) 65,761 7,587,504
Total   15,045,172
Health Care Equipment & Supplies 7.1%
Masimo Corp.(a) 59,883 10,606,477
Tactile Systems Technology, Inc.(a) 144,688 5,810,670
Total   16,417,147
Common Stocks (continued)
Issuer Shares Value ($)
Health Care Providers & Services 9.7%
Chemed Corp. 25,826 11,187,823
Encompass Health Corp. 175,325 11,226,060
Total   22,413,883
Life Sciences Tools & Services 3.8%
Pra Health Sciences, Inc.(a) 107,334 8,913,015
Pharmaceuticals 1.8%
Theravance Biopharma, Inc.(a) 176,140 4,070,596
Total Health Care 66,859,813
Industrials 12.8%
Construction & Engineering 2.1%
Comfort Systems U.S.A., Inc. 135,415 4,949,418
Electrical Equipment 3.2%
Atkore International Group, Inc.(a) 345,050 7,270,204
Machinery 6.0%
ITT, Inc. 114,704 5,202,973
SPX Corp.(a) 264,684 8,639,286
Total   13,842,259
Trading Companies & Distributors 1.5%
Air Lease Corp. 158,702 3,513,662
Total Industrials 29,575,543
Information Technology 28.3%
Electronic Equipment, Instruments & Components 2.3%
Cognex Corp. 123,252 5,203,699
IT Services 8.8%
Gartner, Inc.(a) 51,830 5,160,713
GoDaddy, Inc., Class A(a) 167,958 9,592,081
LiveRamp Holdings, Inc.(a) 171,000 5,629,320
Total   20,382,114
Semiconductors & Semiconductor Equipment 3.4%
MKS Instruments, Inc. 97,211 7,917,836
Columbia Acorn SelectSM | Quarterly Report 2020
15

Portfolio of Investments   (continued)
Columbia Acorn SelectSM, March 31, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Software 13.8%
Alteryx, Inc., Class A(a) 105,581 10,048,144
Cadence Design Systems, Inc.(a) 165,324 10,917,997
Qualys, Inc.(a) 126,017 10,962,219
Total   31,928,360
Total Information Technology 65,432,009
Real Estate 3.4%
Equity Real Estate Investment Trusts (REITS) 3.4%
UMH Properties, Inc. 718,592 7,803,909
Total Real Estate 7,803,909
Total Common Stocks
(Cost: $222,089,574)
222,596,743
Money Market Funds 3.7%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.787%(b),(c) 8,693,289 8,688,943
Total Money Market Funds
(Cost: $8,689,164)
8,688,943
Total Investments in Securities
(Cost $230,778,738)
231,285,686
Other Assets & Liabilities, Net   (105,181)
Net Assets $231,180,505
 
Notes to Portfolio of Investments
(a) Non-income producing security.
(b) The rate shown is the seven-day current annualized yield at March 31, 2020.
(c) As defined in the Investment Company Act of 1940, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. Holdings and transactions in these affiliated companies during the period ended March 31, 2020 are as follows:
    
Issuer Beginning
shares
Shares
purchased
Shares
sold
Ending
shares
Realized gain
(loss) —
affiliated
issuers ($)
Net change in
unrealized
appreciation
(depreciation) —
affiliated
issuers ($)
Dividend —
affiliated issuers
($)
Value —
affiliated
issuers
at end of
period ($)
Columbia Short-Term Cash Fund, 0.787%
  745,920 67,855,863 (59,908,494) 8,693,289 (19,920) (221) 22,952 8,688,943
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
Fund Merger
In February 2020, the Board of Trustees approved an Agreement and Plan of Reorganization to reorganize Columbia Acorn Select with and into Columbia Acorn Fund. Pursuant to applicable law (including the 1940 Act) the reorganization may be implemented without shareholder approval. The reorganization is expected to occur in the third quarter of 2020 and are expected to be a tax-free reorganization for U.S. federal income tax purposes.
16 Columbia Acorn SelectSM | Quarterly Report 2020

Portfolio of Investments
Columbia Thermostat FundSM, March 31, 2020 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Equity Funds 70.9%
Issuer Shares Value ($)
Dividend Income 7.1%
Columbia Dividend Income Fund, Institutional 3 Class(a)
2,719,174 54,193,126
Total Dividend Income 54,193,126
International Small Mid Cap 7.1%
Columbia Acorn International®, Institutional 3 Class(a)
2,172,925 53,866,814
Total International Small Mid Cap 53,866,814
U.S. Large Cap 42.5%
Columbia Contrarian Core Fund, Institutional 3 Class(a)
2,388,771 53,604,014
Columbia Large Cap Enhanced Core Fund, Institutional 3 Class(a)
2,684,519 54,146,753
Columbia Large Cap Index Fund, Institutional 3 Class(a)
5,270,677 215,359,859
Total U.S. Large Cap 323,110,626
U.S. Mid Cap 7.1%
Columbia Acorn SelectSM, Institutional 3 Class(a),(b)
4,551,313 54,069,597
Total U.S. Mid Cap 54,069,597
U.S. Small Mid Cap 7.1%
Columbia Acorn® Fund, Institutional 3 Class(a),(b)
4,326,341 54,036,003
Total U.S. Small Mid Cap 54,036,003
Total Equity Funds
(Cost: $510,334,897)
539,276,166
Exchange-Traded Fixed Income Funds 3.0%
Multisector 3.0%
Columbia Diversified Fixed Income Allocation ETF(a)
1,128,436 22,422,024
Total Multisector 22,422,024
Total Exchange-Traded Fixed Income Funds
(Cost: $21,598,026)
22,422,024
Fixed Income Funds 24.3%
Issuer Shares Value ($)
Inflation Protected Securities 2.7%
Columbia Inflation Protected Securities Fund, Institutional 3 Class(a),(b)
2,070,014 20,265,433
Total Inflation Protected Securities 20,265,433
Investment Grade 21.6%
Columbia Corporate Income Fund, Institutional 3 Class(a)
2,132,438 21,772,193
Columbia Quality Income Fund, Institutional 3 Class(a)
7,563,960 40,618,467
Columbia Short Term Bond Fund, Institutional 3 Class(a)
3,266,859 30,577,804
Columbia U.S. Treasury Index Fund, Institutional 3 Class(a)
5,803,810 71,444,896
Total Investment Grades 164,413,360
Total Fixed Income Funds
(Cost: $179,254,816)
184,678,793
Money Market Funds 0.8%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.787%(a),(c) 6,100,204 6,097,154
Total Money Market Funds
(Cost: $6,097,209)
6,097,154
Total Investments in Securities
(Cost $717,284,948)
752,474,137
Other Assets & Liabilities, Net   7,613,430
Net Assets $760,087,567
Columbia Thermostat FundSM | Quarterly Report 2020
17

Portfolio of Investments   (continued)
Columbia Thermostat FundSM, March 31, 2020 (Unaudited)
Notes to Portfolio of Investments
(a) As defined in the Investment Company Act of 1940, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. Holdings and transactions in these affiliated companies during the period ended March 31, 2020 are as follows:
    
Issuer Beginning
shares
Shares
purchased
Shares
sold
Ending
shares
Realized gain
(loss) —
affiliated
issuers ($)
Net change in
unrealized
appreciation
(depreciation) —
affiliated
issuers ($)
Dividend —
affiliated
issuers ($)
Capital gain
distributions —
affiliated
issuers ($)
Value —
affiliated
issuers
at end of
period ($)
Columbia Acorn International®, Institutional 3 Class
  413,525 1,874,405 (115,005) 2,172,925 334,954 (1,045,955) 53,866,814
Columbia Acorn SelectSM, Institutional 3 Class
  934,588 3,898,674 (281,949) 4,551,313 605,819 1,013,892 54,069,597
Columbia Acorn® Fund, Institutional 3 Class
  898,189 3,696,505 (268,353) 4,326,341 143,673 1,341,684 54,036,003
Columbia Contrarian Core Fund, Institutional 3 Class
  520,355 2,045,001 (176,585) 2,388,771 353,164 589,021 53,604,014
Columbia Corporate Income Fund, Institutional 3 Class
  5,328,073 713,916 (3,909,551) 2,132,438 (1,207,663) (2,602,647) 408,176 21,772,193
Columbia Diversified Fixed Income Allocation ETF
  2,750,083 343,465 (1,965,112) 1,128,436 (3,131,106) (2,093,093) 313,124 22,422,024
Columbia Dividend Income Fund, Institutional 3 Class
  573,097 2,366,243 (220,166) 2,719,174 223,292 (73,531) 285,702 54,193,126
Columbia Inflation Protected Securities Fund, Institutional 3 Class
  5,817,386 710,113 (4,457,485) 2,070,014 (40,646) (1,102,106) 20,265,433
Columbia Large Cap Enhanced Core Fund, Institutional 3 Class
  562,946 2,314,871 (193,298) 2,684,519 317,009 234,048 54,146,753
Columbia Large Cap Index Fund, Institutional 3 Class
  1,122,403 4,552,756 (404,482) 5,270,677 1,792,216 1,121,580 215,359,859
Columbia Quality Income Fund, Institutional 3 Class
  20,667,880 2,467,297 (15,571,217) 7,563,960 1,718,399 (2,470,749) 698,551 40,618,467
Columbia Short Term Bond Fund, Institutional 3 Class
  8,617,919 1,144,063 (6,495,123) 3,266,859 (1,612,429) (2,234,782) 650,411 30,577,804
Columbia Short-Term Cash Fund, 0.787%
  6,263,810 71,523,800 (71,687,406) 6,100,204 (1,468) (55) 22,987 6,097,154
Columbia U.S. Treasury Index Fund, Institutional 3 Class
  17,495,440 1,806,665 (13,498,295) 5,803,810 16,436,899 (1,281,425) 928,975 71,444,896
Total of Affiliated Transactions         15,932,113 (8,604,118) 3,307,926 752,474,137
    
(b) Non-income producing security.
(c) The rate shown is the seven-day current annualized yield at March 31, 2020.
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
18 Columbia Thermostat FundSM | Quarterly Report 2020

Portfolio of Investments
Columbia Acorn Emerging Markets FundSM, March 31, 2020 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 87.5%
Issuer Shares Value ($)
Communication Services 4.3%
Diversified Telecommunication Services 2.0%
PT Tower Bersama Infrastructure Tbk 11,459,500 635,723
Interactive Media & Services 0.8%
Info Edge India Ltd. 10,261 276,445
Media 1.5%
Zee Entertainment Enterprises Ltd. 289,704 471,464
Total Communication Services 1,383,632
Consumer Discretionary 16.9%
Auto Components 1.6%
Minth Group Ltd. 169,000 359,319
Tube Investments of India Ltd. 37,802 137,204
Total   496,523
Diversified Consumer Services 3.6%
New Oriental Education & Technology Group, Inc., ADR(a) 10,831 1,172,347
Hotels, Restaurants & Leisure 5.2%
DoubleUGames Co., Ltd. 28,001 992,556
NagaCorp Ltd. 497,000 503,110
Xiabuxiabu Catering Management China Holdings Co., Ltd.(a),(b) 250,000 191,223
Total   1,686,889
Household Durables 1.6%
Ez Tec Empreendimentos e Participacoes SA 90,500 517,282
Multiline Retail 0.4%
Magazine Luiza SA 16,900 128,081
Specialty Retail 1.5%
Pepkor Holdings Ltd. 789,084 477,908
Textiles, Apparel & Luxury Goods 3.0%
Shenzhou International Group Holdings Ltd. 48,000 503,523
Stella International Holdings Ltd. 426,500 447,973
Total   951,496
Total Consumer Discretionary 5,430,526
Consumer Staples 7.0%
Food & Staples Retailing 1.1%
Clicks Group Ltd. 25,688 370,254
Common Stocks (continued)
Issuer Shares Value ($)
Food Products 3.9%
Universal Robina Corp. 80,000 163,640
Vitasoy International Holdings Ltd. 360,000 1,083,380
Total   1,247,020
Personal Products 2.0%
Grape King Bio Ltd. 98,000 637,174
Total Consumer Staples 2,254,448
Energy 0.5%
Oil, Gas & Consumable Fuels 0.5%
Parex Resources, Inc.(a) 18,500 156,434
Total Energy 156,434
Financials 18.2%
Banks 4.5%
Bandhan Bank Ltd. 117,705 316,026
Commercial International Bank of Egypt(a) 89,591 332,257
Security Bank Corp. 243,530 511,184
TCS Group Holding PLC, GDR 25,875 299,115
Total   1,458,582
Capital Markets 4.0%
Korea Investment Holdings Co., Ltd. 26,200 1,056,300
Value Partners Group Ltd. 553,000 234,948
Total   1,291,248
Consumer Finance 3.8%
AEON Credit Service M Bhd 150,000 290,384
ASA International Group PLC 69,500 82,010
Cholamandalam Investment and Finance Co., Ltd. 243,676 491,828
Muangthai Capital PCL, Foreign Registered Shares 337,300 357,472
Total   1,221,694
Diversified Financial Services 2.6%
Chailease Holding Co., Ltd. 89,420 269,327
PSG Group Ltd. 75,904 546,652
Total   815,979
Columbia Acorn Emerging Markets FundSM | Quarterly Report 2020
19

Portfolio of Investments   (continued)
Columbia Acorn Emerging Markets FundSM, March 31, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Insurance 3.3%
Qualitas Controladora SAB de CV 240,983 616,006
Sul America SA 69,200 453,201
Total   1,069,207
Total Financials 5,856,710
Health Care 5.5%
Health Care Providers & Services 2.8%
Bangkok Chain Hospital PCL, Foreign Registered Shares 1,285,300 442,909
Notre Dame Intermedica Participacoes SA 53,900 463,265
Total   906,174
Pharmaceuticals 2.7%
China Medical System Holdings Ltd. 392,000 419,347
Mega Lifesciences PCL, Foreign Registered Shares 679,500 457,642
Total   876,989
Total Health Care 1,783,163
Industrials 10.2%
Commercial Services & Supplies 4.4%
A-Living Services Co., Ltd. 179,000 858,450
KEPCO Plant Service & Engineering Co., Ltd. 23,201 551,210
Total   1,409,660
Electrical Equipment 3.5%
Voltronic Power Technology Corp. 54,850 1,139,883
Professional Services 2.3%
51job, Inc., ADR(a) 7,057 433,229
TeamLease Services Ltd.(a) 14,717 315,755
Total   748,984
Total Industrials 3,298,527
Information Technology 22.4%
Electronic Equipment, Instruments & Components 7.8%
Largan Precision Co., Ltd. 9,000 1,136,423
Sinbon Electronics Co., Ltd. 335,000 1,379,050
Total   2,515,473
Common Stocks (continued)
Issuer Shares Value ($)
Semiconductors & Semiconductor Equipment 9.3%
ASM Pacific Technology Ltd. 21,000 194,719
Koh Young Technology, Inc. 16,022 1,014,988
Parade Technologies Ltd. 54,000 1,141,329
Silergy Corp. 20,000 648,714
Total   2,999,750
Software 3.3%
Logo Yazilim Sanayi Ve Ticaret AS(a) 39,775 359,062
TOTVS SA 76,900 688,180
Total   1,047,242
Technology Hardware, Storage & Peripherals 2.0%
Getac Technology Corp. 456,000 635,495
Total Information Technology 7,197,960
Materials 1.1%
Chemicals 1.1%
PI Industries Ltd. 22,718 352,446
Total Materials 352,446
Real Estate 1.4%
Real Estate Management & Development 1.4%
Corporación Inmobiliaria Vesta SAB de CV 306,000 353,953
Multiplan Empreendimentos Imobiliarios SA 28,000 104,270
Total   458,223
Total Real Estate 458,223
Total Common Stocks
(Cost: $33,621,674)
28,172,069
Securities Lending Collateral 0.6%
  Shares Value ($)
Dreyfus Government Cash Manangement Fund, Institutional Shares 0.285%(c),(d)
203,833 203,833
Total Securities Lending Collateral
(Cost: $203,833)
203,833
 
20 Columbia Acorn Emerging Markets FundSM | Quarterly Report 2020

Portfolio of Investments   (continued)
Columbia Acorn Emerging Markets FundSM, March 31, 2020 (Unaudited)
Money Market Funds 11.6%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.787%(c),(e) 3,729,751 3,727,886
Total Money Market Funds
(Cost: $3,729,653)
3,727,886
Total Investments in Securities
(Cost $37,555,160)
32,103,788
Obligation to Return Collateral for Securities Loaned   (203,833)
Other Assets & Liabilities, Net   286,939
Net Assets $32,186,894
At March 31, 2020, securities and/or cash totaling $368,500 were pledged as collateral.
Investments in derivatives
Long futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
MSCI Emerging Markets Index 67 06/2020 USD 2,823,715 185,572
Notes to Portfolio of Investments
(a) Non-income producing security.
(b) All or a portion of this security was on loan at March 31, 2020. The total market value of securities on loan at March 31, 2020 was $191,192.
(c) The rate shown is the seven-day current annualized yield at March 31, 2020.
(d) Investment made with cash collateral received from securities lending activity.
(e) As defined in the Investment Company Act of 1940, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. Holdings and transactions in these affiliated companies during the period ended March 31, 2020 are as follows:
    
Issuer Beginning
shares
Shares
purchased
Shares
sold
Ending
shares
Realized gain
(loss) —
affiliated
issuers ($)
Net change in
unrealized
appreciation
(depreciation) —
affiliated
issuers ($)
Dividend —
affiliated issuers
($)
Value —
affiliated
issuers
at end of
period ($)
Columbia Short-Term Cash Fund, 0.787%
  1,956,200 7,460,010 (5,686,459) 3,729,751 (551) (1,767) 8,419 3,727,886
Abbreviation Legend
ADR American Depositary Receipt
GDR Global Depositary Receipt
Currency Legend
USD US Dollar
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
Fund Merger
In February 2020, the Board of Trustees approved an Agreement and Plan of Reorganization to reorganize Columbia Acorn Emerging Markets Fund with and into Columbia Acorn International. Pursuant to applicable law (including the 1940 Act) the reorganization may be implemented without shareholder approval. The reorganization is expected to occur in the third quarter of 2020 and are expected to be a tax-free reorganization for U.S. federal income tax purposes.
Columbia Acorn Emerging Markets FundSM | Quarterly Report 2020
21

Portfolio of Investments
Columbia Acorn European FundSM, March 31, 2020 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 99.1%
Issuer Shares Value ($)
Communication Services 5.9%
Interactive Media & Services 4.5%
Auto Trader Group PLC 116,251 628,197
Rightmove PLC 340,952 2,056,268
Total   2,684,465
Media 1.4%
Stroeer SE & Co. KGaA 16,158 830,277
Total Communication Services 3,514,742
Consumer Discretionary 4.7%
Auto Components 1.7%
Dometic Group AB 132,809 588,454
Freni Brembo SpA 61,631 456,987
Total   1,045,441
Hotels, Restaurants & Leisure 1.0%
Kindred Group PLC 158,318 580,040
Internet & Direct Marketing Retail 1.1%
Dustin Group AB 137,779 652,434
Specialty Retail 0.9%
WH Smith PLC 37,264 523,408
Total Consumer Discretionary 2,801,323
Consumer Staples 0.5%
Food Products 0.5%
Kernel Holding SA 39,049 310,045
Total Consumer Staples 310,045
Financials 5.4%
Capital Markets 4.0%
Deutsche Beteiligungs AG 20,108 569,676
Intermediate Capital Group PLC 104,346 1,151,684
Partners Group Holding AG 916 627,154
Total   2,348,514
Diversified Financial Services 1.4%
Hypoport AG(a) 2,954 845,881
Total Financials 3,194,395
Common Stocks (continued)
Issuer Shares Value ($)
Health Care 14.6%
Biotechnology 1.2%
Abcam PLC 50,092 711,166
Health Care Equipment & Supplies 6.1%
Eckert & Ziegler Strahlen- und Medizintechnik AG 4,302 668,150
Sectra AB, Class B(a) 79,579 2,963,018
Total   3,631,168
Health Care Providers & Services 3.3%
Amplifon SpA 30,118 611,794
UDG Healthcare PLC 171,992 1,338,196
Total   1,949,990
Pharmaceuticals 4.0%
ALK-Abello AS(a) 3,413 761,358
Dechra Pharmaceuticals PLC 56,907 1,641,052
Total   2,402,410
Total Health Care 8,694,734
Industrials 39.7%
Aerospace & Defense 2.0%
MTU Aero Engines AG 8,191 1,184,393
Building Products 4.4%
Belimo Holding AG, Registered Shares 305 1,943,786
Munters Group AB(a) 243,144 674,312
Total   2,618,098
Commercial Services & Supplies 5.0%
Befesa SA 30,834 895,801
Rentokil Initial PLC 438,379 2,093,692
Total   2,989,493
Construction & Engineering 4.3%
Sweco AB, Class B 90,817 2,578,686
Electrical Equipment 1.2%
Varta AG(a) 9,844 692,650
Machinery 13.8%
Aalberts NV 20,923 501,265
Industria Macchine Automatiche SpA 17,307 1,014,971
Kardex AG 9,704 1,334,466
22 Columbia Acorn European FundSM | Quarterly Report 2020

Portfolio of Investments   (continued)
Columbia Acorn European FundSM, March 31, 2020 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Rational AG 3,362 1,778,006
Spirax-Sarco Engineering PLC 20,114 2,019,305
Trelleborg AB, Class B(a) 98,161 1,044,297
Washtec AG 13,825 547,075
Total   8,239,385
Professional Services 2.6%
Akka Technologies(b) 29,645 825,094
RWS Holdings PLC 123,275 697,411
Total   1,522,505
Trading Companies & Distributors 6.4%
AddTech AB, Class B 57,221 1,396,442
Diploma PLC 34,329 687,339
IMCD NV 23,936 1,717,589
Total   3,801,370
Total Industrials 23,626,580
Information Technology 22.2%
Electronic Equipment, Instruments & Components 11.0%
Carel Industries SpA 110,000 1,410,259
Halma PLC 62,615 1,470,580
Hexagon AB, Class B 43,130 1,823,760
Inficon Holding AG 1,724 1,095,395
Spectris PLC 23,131 696,912
Total   6,496,906
IT Services 1.5%
Nexi SpA(a) 69,611 905,565
Semiconductors & Semiconductor Equipment 1.3%
BE Semiconductor Industries NV 6,500 199,074
Melexis NV 11,254 586,943
Total   786,017
Software 8.4%
Nemetschek SE 37,651 1,835,400
SimCorp AS 23,383 1,949,631
TeamViewer AG(a) 29,416 1,196,083
Total   4,981,114
Total Information Technology 13,169,602
Common Stocks (continued)
Issuer Shares Value ($)
Materials 3.9%
Chemicals 2.7%
Robertet SA 1,932 1,639,507
Containers & Packaging 1.2%
Vidrala SA 7,838 698,154
Total Materials 2,337,661
Real Estate 2.2%
Equity Real Estate Investment Trusts (REITS) 1.2%
Safestore Holdings PLC 92,753 733,455
Real Estate Management & Development 1.0%
Corestate Capital Holding SA(a) 19,098 557,996
Total Real Estate 1,291,451
Total Common Stocks
(Cost: $54,476,521)
58,940,533
Securities Lending Collateral 0.3%
  Shares Value ($)
Dreyfus Government Cash Manangement Fund, Institutional Shares 0.285%(c),(d)
191,219 191,219
Total Securities Lending Collateral
(Cost: $191,219)
191,219
Money Market Funds 1.5%
Columbia Short-Term Cash Fund, 0.787%(c),(e) 899,471 899,022
Total Money Market Funds
(Cost: $899,022)
899,022
Total Investments in Securities
(Cost $55,566,762)
60,030,774
Obligation to Return Collateral for Securities Loaned   (191,219)
Other Assets & Liabilities, Net   (358,779)
Net Assets $59,480,776
 
Columbia Acorn European FundSM | Quarterly Report 2020
23

Portfolio of Investments   (continued)
Columbia Acorn European FundSM, March 31, 2020 (Unaudited)
Notes to Portfolio of Investments
(a) Non-income producing security.
(b) All or a portion of this security was on loan at March 31, 2020. The total market value of securities on loan at March 31, 2020 was $173,967.
(c) The rate shown is the seven-day current annualized yield at March 31, 2020.
(d) Investment made with cash collateral received from securities lending activity.
(e) As defined in the Investment Company Act of 1940, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. Holdings and transactions in these affiliated companies during the period ended March 31, 2020 are as follows:
    
Issuer Beginning
shares
Shares
purchased
Shares
sold
Ending
shares
Realized gain
(loss) —
affiliated
issuers ($)
Net change in
unrealized
appreciation
(depreciation) —
affiliated
issuers ($)
Dividend —
affiliated issuers
($)
Value —
affiliated
issuers
at end of
period ($)
Columbia Short-Term Cash Fund, 0.787%
  3,469,459 7,858,943 (10,428,931) 899,471 (319) 8,820 899,022
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
24 Columbia Acorn European FundSM | Quarterly Report 2020