0001145549-21-029460.txt : 20210525 0001145549-21-029460.hdr.sgml : 20210525 20210525134344 ACCESSION NUMBER: 0001145549-21-029460 CONFORMED SUBMISSION TYPE: NPORT-P/A PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210331 FILED AS OF DATE: 20210525 PERIOD START: 20211231 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/A SEC ACT: 1940 Act SEC FILE NUMBER: 811-01829 FILM NUMBER: 21959275 BUSINESS ADDRESS: STREET 1: 71 S. WACKER DRIVE, SUITE 2500 CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 3126349200 MAIL ADDRESS: STREET 1: 71 S. WACKER DRIVE, SUITE 2500 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/A 1 primary_doc.xml NPORT-P/A false 0001145549-21-028954 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 2021-12-31 2021-03-31 N 4854402690.220000000000 18458875.460000000000 4835943814.760000000000 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 ACADIA PHARMACEUTICALS INC 529900O3044NO0PEA039 ACADIA Pharmaceuticals Inc 004225108 1293490.000000000000 NS USD 33372042.000000000000 0.6900833276 Long EC CORP US N 1 N N N ACCELERON PHARMA INC 529900TQRID2UY164805 Acceleron Pharma Inc 00434H108 385693.000000000000 NS USD 52303827.730000000000 1.0815640076 Long EC CORP US N 1 N N N Amedisys Inc 5299001RBS9GK9STN379 Amedisys Inc 023436108 232300.000000000000 NS USD 61510717.000000000000 1.2719485452 Long EC CORP US N 1 N N N Anaplan Inc N/A Anaplan Inc 03272L108 732950.000000000000 NS USD 39469357.500000000000 0.8161665853 Long EC CORP US N 1 N N N ANIKA THERAPEUTICS INC 529900R9LS3Z0O6QH455 Anika Therapeutics Inc 035255108 648943.000000000000 NS USD 26470384.970000000000 0.5473675043 Long EC CORP US N 1 N N N ARCUS BIOSCIENCES INC N/A Arcus Biosciences Inc 03969F109 1072015.000000000000 NS USD 30102181.200000000000 0.6224675545 Long EC CORP US N 1 N N N Ares Management Corp 529900JUV61FH7B8VW38 Ares Management Corp 03990B101 1010290.000000000000 NS USD 56606548.700000000000 1.1705377661 Long EC CORP US N 1 N N N ARGENX SE 7245009C5FZE6G9ODQ71 Argenx SE 04016X101 114951.000000000000 NS USD 31656355.890000000000 0.6546055352 Long EC CORP NL N 1 N N N Atkore International Group Inc 52990002TI38AM4RPV48 Atkore International Group Inc 047649108 973982.000000000000 NS USD 70029305.800000000000 1.4481000707 Long EC CORP US N 1 N N N AVERY DENNISON CORP 549300PW7VPFCYKLIV37 Avery Dennison Corp 053611109 192696.000000000000 NS USD 35388620.400000000000 0.7317831173 Long EC CORP US N 1 N N N AVIENT CORP SM8L9RZYIB34LNTWO040 Avient Corp 05368V106 958000.000000000000 NS USD 45284660.000000000000 0.9364182409 Long EC CORP US N 1 N N N BJS WHOLESALE CLUB INC 549300UCIWH1C93V0J03 BJ's Wholesale Club Holdings Inc 05550J101 824000.000000000000 NS USD 36964640.000000000000 0.7643728177 Long EC CORP US N 1 N N N Beyond Meat Inc 549300XQ946NCE51DR09 Beyond Meat Inc 08862E109 252000.000000000000 NS USD 32790240.000000000000 0.6780525427 Long EC CORP US N 1 N N BIOMARIN PHARMACEUTICAL INC. NSLL8ITTRR0J5HEMR848 BioMarin Pharmaceutical Inc 09061G101 468700.000000000000 NS USD 35391537.000000000000 0.7318434282 Long EC CORP US N 1 N N N TECHNE CORP 54930073RLKQ51TILZ35 Bio-Techne Corp 09073M104 132002.000000000000 NS USD 50415523.860000000000 1.0425167411 Long EC CORP US N 1 N N N BLACKLINE INC 529900P9N7PK9LV5EK56 Blackline Inc 09239B109 426525.000000000000 NS USD 46235310.000000000000 0.9560762443 Long EC CORP US N 1 N N N CDW CORP 9845001B052ABF0B6755 CDW Corp/DE 12514G108 433122.000000000000 NS USD 71789971.500000000000 1.4845079730 Long EC CORP US N 1 N N N CADENCE DESIGN SYST INC GCT7RXJOGLXPV0NXZY22 Cadence Design Systems Inc 127387108 331775.000000000000 NS USD 45449857.250000000000 0.9398342700 Long EC CORP US N 1 N N N Calix Inc 5299002RQRZ4SXSCSJ58 Calix Inc 13100M509 922854.000000000000 NS USD 31986119.640000000000 0.6614245505 Long EC CORP US N 1 N N N CEDAR FAIR LP 549300TUVLNQQ6BVKH61 Cedar Fair LP 150185106 623000.000000000000 NS USD 30950640.000000000000 0.6400123985 Long EC CORP US N 1 N N N CELANESE CORP 549300FHJQTDPPN41627 Celanese Corp 150870103 356000.000000000000 NS USD 53332360.000000000000 1.1028324985 Long EC CORP US N 1 N N N Chegg Inc 549300AKX7O8JG0O3G77 Chegg Inc 163092109 459443.000000000000 NS USD 39355887.380000000000 0.8138201949 Long EC CORP US N 1 N N N CHEMED CORP 54930020031IDJT2IM79 Chemed Corp 16359R103 92296.000000000000 NS USD 42439546.720000000000 0.8775856037 Long EC CORP US N 1 N N N CHURCHILL DOWNS INC 529900FODTBQC8MIS994 Churchill Downs Inc 171484108 227000.000000000000 NS USD 51624340.000000000000 1.0675132296 Long EC CORP US N 1 N N N Colliers International Group Inc D3O8K13PHLEXXD1DT480 Colliers International Group Inc 194693107 336817.000000000000 NS USD 33088902.080000000000 0.6842284226 Long EC CORP CA N 1 N N N COLUMBIA SHORT TERM CASH FUND N/A COLUMBIA SHORT TERM CASH FUND 19766H239 89832261.183100000000 NS USD 89823277.960000000000 1.8574094613 Long STIV CORP US N 1 N N N CONTEXTLOGIC INC 549300YZDCRQ367LIE74 ContextLogic Inc 21077C107 1973000.000000000000 NS USD 31173400.000000000000 0.6446187382 Long EC CORP US N 1 N N DIGITALOCEAN HOLDINGS INC N/A DigitalOcean Holdings Inc 25402D102 617000.000000000000 NS USD 25994210.000000000000 0.5375209265 Long EC CORP US N 1 N N N DOLBY LABS 549300X04FB2QPCJ5J24 Dolby Laboratories Inc 25659T107 637000.000000000000 NS USD 62884640.000000000000 1.3003591938 Long EC CORP US N 1 N N N DRAFTKINGS INC 5493008P45UYYL683Z97 DraftKings Inc 26142R104 812500.000000000000 NS USD 49830625.000000000000 1.0304219178 Long EC CORP US N 1 N N N EARGO INC N/A Eargo Inc 270087109 630706.000000000000 NS USD 31503764.700000000000 0.6514501803 Long EC CORP US N 1 N N N Endava PLC 213800JJ6CRPCWCQVZ25 Endava PLC 29260V105 688725.000000000000 NS USD 58328120.250000000000 1.2061372606 Long EC CORP GB N 1 N N N ENCOMPASS HEALTH CORP 549300FVRPM9DRQZRG64 Encompass Health Corp 29261A100 840663.000000000000 NS USD 68850299.700000000000 1.4237200087 Long EC CORP US N 1 N N N EPAM Systems Inc 549300XCR4R530HJP604 EPAM Systems Inc 29414B104 133437.000000000000 NS USD 52933123.530000000000 1.0945768925 Long EC CORP US N 1 N N N EPLUS, INC. 529900FFY8AAFJ21NE91 ePlus Inc 294268107 574772.000000000000 NS USD 57270282.080000000000 1.1842627680 Long EC CORP US N 1 N N N Etsy Inc 54930089Q7XT501AEA40 Etsy Inc 29786A106 331650.000000000000 NS USD 66883855.500000000000 1.3830569184 Long EC CORP US N 1 N N N EXACT SCIENCES CORP 549300VM3X1FYD4N9Z14 Exact Sciences Corp 30063P105 341400.000000000000 NS USD 44989692.000000000000 0.9303187490 Long EC CORP US N 1 N N N EXPONENT INC. 529900NY3F5Q2NWPUZ42 Exponent Inc 30214U102 396300.000000000000 NS USD 38619435.000000000000 0.7985914742 Long EC CORP US N 1 N N N FATE THERAPEUTICS INC 549300L14Q4UHOODLA90 Fate Therapeutics Inc 31189P102 368000.000000000000 NS USD 30341600.000000000000 0.6274183730 Long EC CORP US N 1 N N N FirstService Corp 5493000XUDIV75BCF118 FirstService Corp 33767E202 132500.000000000000 NS USD 19635175.000000000000 0.4060257057 Long EC CORP CA N 1 N N N Five Below Inc 529900AAXP5Z6BGI7418 Five Below Inc 33829M101 278000.000000000000 NS USD 53039620.000000000000 1.0967790783 Long EC CORP US N 1 N N N Floor & Decor Holdings Inc 549300M5FR3N688XGQ36 Floor & Decor Holdings Inc 339750101 518000.000000000000 NS USD 49458640.000000000000 1.0227298309 Long EC CORP US N 1 N N N GCM Grosvenor Inc N/A GCM Grosvenor Inc 36831E108 2226000.000000000000 NS USD 26489400.000000000000 0.5477607064 Long EC CORP US N 1 N N N GENERAC HOLDINGS INC 529900S2H2AHJHSFFI84 Generac Holdings Inc 368736104 241350.000000000000 NS USD 79030057.500000000000 1.6342219953 Long EC CORP US N 1 N N N GLOBUS MEDICAL INC 5299003M2P4CIK0RF205 Globus Medical Inc 379577208 760100.000000000000 NS USD 46875367.000000000000 0.9693116545 Long EC CORP US N 1 N N N GoDaddy Inc N/A GoDaddy Inc 380237107 892997.000000000000 NS USD 69314427.140000000000 1.4333174618 Long EC CORP US N 1 N N N HAEMONETICS CORP 549300ZEL6TXZS6F5F95 Haemonetics Corp 405024100 526750.000000000000 NS USD 58474517.500000000000 1.2091645342 Long EC CORP US N 1 N N N Hamilton Lane Inc 5493006OKN3V1NORM833 Hamilton Lane Inc 407497106 864000.000000000000 NS USD 76515840.000000000000 1.5822317821 Long EC CORP US N 1 N N N Jack Henry & Associates Inc 529900X1QS8C54W0JB21 Jack Henry & Associates Inc 426281101 253575.000000000000 NS USD 38472399.000000000000 0.7955509922 Long EC CORP US N 1 N N N Houlihan Lokey Inc 549300S3CNGTQ1QZVY46 Houlihan Lokey Inc 441593100 521000.000000000000 NS USD 34651710.000000000000 0.7165449254 Long EC CORP US N 1 N N N HubSpot Inc 529900BLNVEW0MVKJB37 HubSpot Inc 443573100 157700.000000000000 NS USD 71628917.000000000000 1.4811776097 Long EC CORP US N 1 N N N ICF Intnl 5493003KYFDDC5B3WY64 ICF International Inc 44925C103 441000.000000000000 NS USD 38543400.000000000000 0.7970191854 Long EC CORP US N 1 N N N ITT Inc 549300KDSERHTJOXUS80 ITT Inc 45073V108 440311.000000000000 NS USD 40028673.010000000000 0.8277323837 Long EC CORP US N 1 N N N IDEX CORP 549300U5Y5EL6PHYLF13 IDEX Corp 45167R104 133500.000000000000 NS USD 27944220.000000000000 0.5778441824 Long EC CORP US N 1 N N N ImmunoGen Inc 54930084U0R1OP766Y02 ImmunoGen Inc 45253H101 3461492.000000000000 NS USD 28038085.200000000000 0.5797851727 Long EC CORP US N 1 N N N Insmed Inc 529900Q55QAG41CCAC11 Insmed Inc 457669307 1675370.000000000000 NS USD 57063102.200000000000 1.1799786016 Long EC CORP US N 1 N N N J2 Global Inc 5493008OJYGLHD7MXA18 J2 GLOBAL INC 48123V102 440700.000000000000 NS USD 52822302.000000000000 1.0922852709 Long EC CORP US N 1 N N N KURA ONCOLOGY INC 5493005QORQTZCZYOP39 Kura Oncology Inc 50127T109 1711127.000000000000 NS USD 48373560.290000000000 1.0002920245 Long EC CORP US N 1 N N N LAKELAND FINL CORP N/A Lakeland Financial Corp 511656100 603621.000000000000 NS USD 41764536.990000000000 0.8636274239 Long EC CORP US N 1 N N N MANHATTAN ASSOC INC 529900Q1GJP7KD52SW51 Manhattan Associates Inc 562750109 374660.000000000000 NS USD 43977590.800000000000 0.9093900278 Long EC CORP US N 1 N N N Masimo Corp 549300Q4A8JK0PIYCU29 Masimo Corp 574795100 246100.000000000000 NS USD 56519326.000000000000 1.1687341327 Long EC CORP US N 1 N N N Medallia Inc 5493009P6W6C5BK60J60 Medallia Inc 584021109 1030894.000000000000 NS USD 28751633.660000000000 0.5945402751 Long EC CORP US N 1 N N N MIRATI THERAPEUTICS INC 529900GYRW59IDQV6N54 Mirati Therapeutics Inc 60468T105 187230.000000000000 NS USD 32072499.000000000000 0.6632107450 Long EC CORP US N 1 N N N MongoDB Inc 549300TPTG69WKWE1Z37 MongoDB Inc 60937P106 224975.000000000000 NS USD 60165064.250000000000 1.2441224827 Long EC CORP US N 1 N N N NVR INC 529900RWXR4JI3JYTV70 NVR Inc 62944T105 12000.000000000000 NS USD 56531160.000000000000 1.1689788419 Long EC CORP US N 1 N N N Natera Inc N/A Natera Inc 632307104 667000.000000000000 NS USD 67727180.000000000000 1.4004955929 Long EC CORP US N 1 N N N NEKTAR THERAPEUTICS 5299005I24806IOIYE03 Nektar Therapeutics 640268108 1313000.000000000000 NS USD 26260000.000000000000 0.5430170615 Long EC CORP US N 1 N N N Old Dominion Freight Line Inc 5299009TWK32WE417T96 Old Dominion Freight Line Inc 679580100 156310.000000000000 NS USD 37578487.100000000000 0.7770662468 Long EC CORP US N 1 N N N OLO INC N/A Olo Inc 68134L109 746050.000000000000 NS USD 19688259.500000000000 0.4071234128 Long EC CORP US N 1 N N N ON24 Inc N/A ON24 Inc 68339B104 713900.000000000000 NS USD 34631289.000000000000 0.7161226500 Long EC CORP US N 1 N N Pacific Biosciences of California Inc N/A Pacific Biosciences of California Inc 69404D108 1316600.000000000000 NS USD 43855946.000000000000 0.9068745974 Long EC CORP US N 1 N N N PENUMBRA INC 549300RGE06P3ECANU72 Penumbra Inc 70975L107 153628.000000000000 NS USD 41568664.240000000000 0.8595770719 Long EC CORP US N 1 N N N Planet Fitness Inc 549300LLE5HUPF6H8G33 Planet Fitness Inc 72703H101 958817.000000000000 NS USD 74116554.100000000000 1.5326181804 Long EC CORP US N 1 N N N Plug Power Inc 549300JPDKRSJ8JSM954 Plug Power Inc 72919P202 1723000.000000000000 NS USD 61752320.000000000000 1.2769445297 Long EC CORP US N 1 N N N Poshmark Inc N/A Poshmark Inc 73739W104 433960.000000000000 NS USD 17618776.000000000000 0.3643296257 Long EC CORP US N 1 N N SPX CORP P761FCI0CPOG24I8JE10 SPX Corp 784635104 1233872.000000000000 NS USD 71897721.440000000000 1.4867360787 Long EC CORP US N 1 N N N SVB FINANCIAL GROUP 549300D2KJ20JMXE7542 SVB Financial Group 78486Q101 50000.000000000000 NS USD 24683000.000000000000 0.5104070880 Long EC CORP US N 1 N N N Skyline Champion Corp N/A Skyline Champion Corp 830830105 559105.000000000000 NS USD 25305092.300000000000 0.5232710153 Long EC CORP US N 1 N N N SolarEdge Technologies Inc 5493000K6Y58XXPDF853 SolarEdge Technologies Inc 83417M104 198519.000000000000 NS USD 57062301.360000000000 1.1799620414 Long EC CORP US N 1 N N N Sprout Social Inc N/A Sprout Social Inc 85209W109 996070.000000000000 NS USD 57533003.200000000000 1.1896954432 Long EC CORP US N 1 N N N TAKE-TWO INTERACTIVE SOFTWARE INC. BOMSTHHJK882EWYX3334 Take-Two Interactive Software Inc 874054109 211000.000000000000 NS USD 37283700.000000000000 0.7709704957 Long EC CORP US N 1 N N N 10X GENOMICS INC 5493003Z6741WNLG7H43 10X Genomics Inc 88025U109 325453.000000000000 NS USD 58906993.000000000000 1.2181074730 Long EC CORP US N 1 N N N TERADYNE INC C3X4YJ278QNZHRJULN75 Teradyne Inc 880770102 688086.000000000000 NS USD 83726304.480000000000 1.7313332761 Long EC CORP US N 1 N N N Tractor Supply Co 549300OJ9VZHZRO6I137 Tractor Supply Co 892356106 132773.000000000000 NS USD 23511442.840000000000 0.4861810588 Long EC CORP US N 1 N N N UniFirst Corp/MA 5493003XBTNWBC8UK019 UniFirst Corp/MA 904708104 84000.000000000000 NS USD 18791640.000000000000 0.3885826784 Long EC CORP US N 1 N N N Upstart Holdings Inc N/A Upstart Holdings Inc 91680M107 315803.000000000000 NS USD 40694374.580000000000 0.8414980847 Long EC CORP US N 1 N N VERISIGN INC LMPL4N8ZOJRMF0KOF759 VeriSign Inc 92343E102 133000.000000000000 NS USD 26435080.000000000000 0.5466374510 Long EC CORP US N 1 N N N VISTEON CORP 549300MOVLYHRW4GGW78 Visteon Corp 92839U206 652503.000000000000 NS USD 79572740.850000000000 1.6454438657 Long EC CORP US N 1 N N N Vroom Inc N/A Vroom Inc 92918V109 750207.000000000000 NS USD 29250570.930000000000 0.6048575428 Long EC CORP US N 1 N N N Voyager Digital Ltd 89450014YCEFUBAZJM38 Voyager Digital Ltd 92919V108 1208848.000000000000 NS USD 31260809.280000000000 0.6464262299 Long EC CORP CA N 2 N N N WD-40 CO 549300UZHTN0CNKBOB19 WD-40 Co 929236107 92659.000000000000 NS USD 28370332.620000000000 0.5866555466 Long EC CORP US N 1 N N N Watsco Inc 549300F1Y3LN5BX5WN75 Watsco Inc 942622200 185652.000000000000 NS USD 48408759.000000000000 1.0010198806 Long EC CORP US N 1 N N N Williams-Sonoma Inc 549300IARG6YWVTZ1I92 Williams-Sonoma Inc 969904101 230000.000000000000 NS USD 41216000.000000000000 0.8522845091 Long EC CORP US N 1 N N N WINGSTOP INC 549300SSH3F8HPIM3Q47 Wingstop Inc 974155103 482304.000000000000 NS USD 61334599.680000000000 1.2683067056 Long EC CORP US N 1 N N N Zendesk Inc 549300SLI6BN94BKKO36 Zendesk Inc 98936J101 504800.000000000000 NS USD 66946576.000000000000 1.3843538834 Long EC CORP US N 1 N N N Zscaler Inc 529900MZ0RTK1BWRNF46 Zscaler Inc 98980G102 268451.000000000000 NS USD 46084983.170000000000 0.9529677129 Long EC CORP US N 1 N N N Zynga Inc 549300XNQ0U2EL088Z74 Zynga Inc 98986T108 8276599.000000000000 NS USD 84504075.790000000000 1.7474164098 Long EC CORP US N 1 N N N Mimecast Ltd 254900ELSYFSTT9X2740 Mimecast Ltd G14838109 1013786.000000000000 NS USD 40764335.060000000000 0.8429447616 Long EC CORP JE N 1 N N N HORIZON THERAPEUTICS PLC 529900P0GSQ79OOZEV53 Horizon Therapeutics Plc G46188101 886589.000000000000 NS USD 81601651.560000000000 1.6873986689 Long EC CORP IE N 1 N N N KINIKSA PHARMACEUTICALS LTD N/A KINIKSA PHARMACEUTICALS-A G5269C101 978717.000000000000 NS USD 18116051.670000000000 0.3746125341 Long EC CORP BM N 1 N N N CRISPR THERAPEUTICS AG 506700O6IRRIQLT3W370 CRISPR Therapeutics AG H17182108 340199.000000000000 NS USD 41453248.150000000000 0.8571904418 Long EC CORP CH N 1 N N N CyberArk Software Ltd 529900YEXNDM894PWS93 CyberArk Software Ltd M2682V108 201788.000000000000 NS USD 26099259.920000000000 0.5396931999 Long EC CORP IL N 1 N N N JFROG LTD N/A JFrog Ltd M6191J100 654694.000000000000 NS USD 29048772.780000000000 0.6006846625 Long EC CORP IL N 1 N N N WIX.COM LTD 5493008P6N29Q1AG9464 Wix.com Ltd M98068105 160950.000000000000 NS USD 44940459.000000000000 0.9293006851 Long EC CORP IL N 1 N N N Elastic NV N/A Elastic NV N14506104 509675.000000000000 NS USD 56675860.000000000000 1.1719710189 Long EC CORP NL N 1 N N N DREYFUS GOVERNMENT CASH MANAGE N/A Dreyfus Government Cash Management Fund, Institutional Shares 262006208 44632730.000000000000 NS USD 44632730.000000000000 0.9229373150 Long STIV CORP US N 1 N N 2021-04-22 Columbia Acorn Trust Martha Skinner Martha Skinner Assistant Treasurer XXXX NPORT-EX 2 nportpoi_acorn.htm
Portfolio of Investments
Columbia Acorn® Fund, March 31, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 97.7%
Issuer Shares Value ($)
Communication Services 2.5%
Entertainment 2.5%
Take-Two Interactive Software, Inc.(a) 211,000 37,283,700
Zynga, Inc., Class A(a) 8,276,599 84,504,076
Total   121,787,776
Total Communication Services 121,787,776
Consumer Discretionary 15.5%
Auto Components 1.6%
Visteon Corp.(a) 652,503 79,572,741
Diversified Consumer Services 0.8%
Chegg, Inc.(a) 459,443 39,355,887
Hotels, Restaurants & Leisure 4.9%
Churchill Downs, Inc. 227,000 51,624,340
DraftKings, Inc., Class A(a) 812,500 49,830,625
Planet Fitness, Inc., Class A(a) 958,817 74,116,554
Wingstop, Inc. 482,304 61,334,600
Total   236,906,119
Household Durables 1.7%
NVR, Inc.(a) 12,000 56,531,160
Skyline Champion Corp.(a) 559,105 25,305,092
Total   81,836,252
Internet & Direct Marketing Retail 2.4%
ContextLogic, Inc., Class A(a),(b) 1,973,000 31,173,400
Etsy, Inc.(a) 331,650 66,883,856
Poshmark, Inc., Class A(a),(b),(c) 433,960 17,618,776
Total   115,676,032
Specialty Retail 4.1%
Five Below, Inc.(a) 278,000 53,039,620
Floor & Decor Holdings, Inc.(a) 518,000 49,458,640
Tractor Supply Co. 132,773 23,511,443
Vroom, Inc.(a) 750,207 29,250,571
Williams-Sonoma, Inc. 230,000 41,216,000
Total   196,476,274
Total Consumer Discretionary 749,823,305
Common Stocks (continued)
Issuer Shares Value ($)
Consumer Staples 2.0%
Food & Staples Retailing 0.7%
BJ’s Wholesale Club Holdings, Inc.(a) 824,000 36,964,640
Food Products 0.7%
Beyond Meat, Inc.(a),(b) 252,000 32,790,240
Household Products 0.6%
WD-40 Co. 92,659 28,370,333
Total Consumer Staples 98,125,213
Financials 6.2%
Banks 1.4%
Lakeland Financial Corp. 603,621 41,764,537
SVB Financial Group(a) 50,000 24,683,000
Total   66,447,537
Capital Markets 4.0%
Ares Management Corp., Class A 1,010,290 56,606,549
GCM Grosvenor, Inc., Class A 2,226,000 26,489,400
Hamilton Lane, Inc., Class A(c) 864,000 76,515,840
Houlihan Lokey, Inc. 521,000 34,651,710
Total   194,263,499
Consumer Finance 0.8%
Upstart Holdings, Inc.(a),(b) 315,803 40,694,374
Total Financials 301,405,410
Health Care 25.8%
Biotechnology 11.9%
ACADIA Pharmaceuticals, Inc.(a) 1,293,490 33,372,042
Acceleron Pharma, Inc.(a) 385,693 52,303,828
Anika Therapeutics, Inc.(a) 648,943 26,470,385
Arcus Biosciences, Inc.(a) 1,072,015 30,102,181
Argenx SE, ADR(a) 114,951 31,656,356
BioMarin Pharmaceutical, Inc.(a) 468,700 35,391,537
CRISPR Therapeutics AG(a) 340,199 41,453,248
Exact Sciences Corp.(a) 341,400 44,989,692
Fate Therapeutics, Inc.(a) 368,000 30,341,600
Immunogen, Inc.(a) 3,461,492 28,038,085
Insmed, Inc.(a) 1,675,370 57,063,102
Kiniksa Pharmaceuticals Ltd., Class A(a),(c) 978,717 18,116,052
Columbia Acorn® Fund | Quarterly Report 2021
1

Portfolio of Investments   (continued)
Columbia Acorn® Fund, March 31, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Kura Oncology, Inc.(a) 1,711,127 48,373,560
Mirati Therapeutics, Inc.(a) 187,230 32,072,499
Natera, Inc.(a) 667,000 67,727,180
Total   577,471,347
Health Care Equipment & Supplies 4.9%
Eargo, Inc.(a) 630,706 31,503,765
Globus Medical, Inc., Class A(a) 760,100 46,875,367
Haemonetics Corp.(a) 526,750 58,474,517
Masimo Corp.(a) 246,100 56,519,326
Penumbra, Inc.(a) 153,628 41,568,664
Total   234,941,639
Health Care Providers & Services 3.6%
Amedisys, Inc.(a) 232,300 61,510,717
Chemed Corp. 92,296 42,439,547
Encompass Health Corp. 840,663 68,850,299
Total   172,800,563
Life Sciences Tools & Services 3.2%
10X Genomics, Inc., Class A(a) 325,453 58,906,993
Bio-Techne Corp. 132,002 50,415,524
Pacific Biosciences of California, Inc.(a) 1,316,600 43,855,946
Total   153,178,463
Pharmaceuticals 2.2%
Horizon Therapeutics PLC(a) 886,589 81,601,652
Nektar Therapeutics(a) 1,313,000 26,260,000
Total   107,861,652
Total Health Care 1,246,253,664
Industrials 11.0%
Commercial Services & Supplies 0.4%
Unifirst Corp. 84,000 18,791,640
Electrical Equipment 4.3%
Atkor, Inc.(a) 973,982 70,029,306
Generac Holdings, Inc.(a) 241,350 79,030,057
Plug Power, Inc.(a) 1,723,000 61,752,320
Total   210,811,683
Common Stocks (continued)
Issuer Shares Value ($)
Machinery 2.9%
IDEX Corp. 133,500 27,944,220
ITT, Inc. 440,311 40,028,673
SPX Corp.(a) 1,233,872 71,897,722
Total   139,870,615
Professional Services 1.6%
Exponent, Inc. 396,300 38,619,435
ICF International, Inc. 441,000 38,543,400
Total   77,162,835
Road & Rail 0.8%
Old Dominion Freight Line, Inc. 156,310 37,578,487
Trading Companies & Distributors 1.0%
Watsco, Inc. 185,652 48,408,759
Total Industrials 532,624,019
Information Technology 30.8%
Communications Equipment 0.7%
Calix, Inc.(a) 922,854 31,986,120
Electronic Equipment, Instruments & Components 4.0%
CDW Corp. 433,122 71,789,971
Dolby Laboratories, Inc., Class A 637,000 62,884,640
ePlus, Inc.(a),(c) 574,772 57,270,282
Total   191,944,893
IT Services 7.8%
DigitalOcean Holdings, Inc.(a) 617,000 25,994,210
Endava PLC, ADR(a) 688,725 58,328,120
EPAM Systems, Inc.(a) 133,437 52,933,124
GoDaddy, Inc., Class A(a) 892,997 69,314,427
Jack Henry & Associates, Inc. 253,575 38,472,399
MongoDB, Inc.(a) 224,975 60,165,064
VeriSign, Inc.(a) 133,000 26,435,080
Wix.com Ltd.(a) 160,950 44,940,459
Total   376,582,883
Semiconductors & Semiconductor Equipment 2.9%
SolarEdge Technologies, Inc.(a) 198,519 57,062,301
Teradyne, Inc. 688,086 83,726,305
Total   140,788,606
 
2 Columbia Acorn® Fund | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Acorn® Fund, March 31, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Software 15.4%
Anaplan, Inc.(a) 732,950 39,469,358
Blackline, Inc.(a) 426,525 46,235,310
Cadence Design Systems, Inc.(a) 331,775 45,449,857
CyberArk Software Ltd.(a) 201,788 26,099,260
Elastic NV(a) 509,675 56,675,860
HubSpot, Inc.(a) 157,700 71,628,917
j2 Global, Inc.(a) 440,700 52,822,302
JFrog Ltd.(a) 654,694 29,048,773
Manhattan Associates, Inc.(a) 374,660 43,977,591
Medallia, Inc.(a) 1,111,736 31,006,317
Mimecast Ltd.(a) 1,013,786 40,764,335
Olo, Inc., Class A(a) 991,000 26,152,490
ON24, Inc.(a),(b) 713,900 34,631,289
Sprout Social, Inc., Class A(a) 996,070 57,533,003
Voyager Digital Ltd.(a) 1,208,848 31,260,809
Zendesk, Inc.(a) 504,800 66,946,576
Zscaler, Inc.(a) 268,451 46,084,983
Total   745,787,030
Total Information Technology 1,487,089,532
Materials 2.8%
Chemicals 2.1%
Avient Corp. 958,000 45,284,660
Celanese Corp., Class A 356,000 53,332,360
Total   98,617,020
Containers & Packaging 0.7%
Avery Dennison Corp. 192,696 35,388,620
Total Materials 134,005,640
Real Estate 1.1%
Real Estate Management & Development 1.1%
Colliers International Group, Inc. 336,817 33,088,902
FirstService Corp. 132,500 19,635,175
Total   52,724,077
Total Real Estate 52,724,077
Total Common Stocks
(Cost $3,553,236,875)
4,723,838,636
Limited Partnerships 0.6%
Issuer Shares Value ($)
Consumer Discretionary 0.6%
Hotels, Restaurants & Leisure 0.6%
Cedar Fair LP(a) 623,000 30,950,640
Total Consumer Discretionary 30,950,640
Total Limited Partnerships
(Cost $22,095,257)
30,950,640
Securities Lending Collateral 0.9%
Dreyfus Government Cash Management Fund, Instutional Shares, 0.030%(d),(e) 44,632,730 44,632,730
Total Securities Lending Collateral
(Cost $44,632,730)
44,632,730
Money Market Funds 1.9%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.067%(c),(d) 89,832,261 89,823,278
Total Money Market Funds
(Cost $89,822,374)
89,823,278
Total Investments in Securities
(Cost: $3,709,787,236)
4,889,245,284
Obligation to Return Collateral for Securities Loaned   (44,632,730)
Other Assets & Liabilities, Net   (10,863,234)
Net Assets 4,833,749,320
 
At March 31, 2021, securities and/or cash totaling $7,201,500 were pledged as collateral.
Columbia Acorn® Fund | Quarterly Report 2021
3

Portfolio of Investments   (continued)
Columbia Acorn® Fund, March 31, 2021 (Unaudited)
Notes to Portfolio of Investments
(a) Non-income producing investment.
(b) All or a portion of this security was on loan at March 31, 2021. The total market value of securities on loan at March 31, 2021 was $47,009,741.
(c) As defined in the Investment Company Act of 1940, as amended, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. The value of the holdings and transactions in these affiliated companies during the period ended March 31, 2021 are as follows:
    
Affiliated issuers Beginning
of period($)
Purchases($) Sales($) Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Realized gain
(loss)($)
Dividends($) End of
period shares
Columbia Short-Term Cash Fund, 0.067%
  39,795,717 574,098,174 (524,066,313) (4,300) 89,823,278 4,301 17,993 89,832,261
ePlus, Inc.‡,†
  47,101,170 (32,575,497) 3,114,795
Hamilton Lane, Inc., Class A‡,†
  48,305,512 270,000
Kiniksa Pharmaceuticals Ltd., Class A
  28,164,513 (13,062,908) 3,002,426 438,624
Poshmark, Inc., Class A‡,†
  44,707,369 (11,237,810) (4,973,855)
Total 67,960,230     2,998,126 89,823,278 (1,416,135) 287,993  
    
Issuer was not an affiliate at the beginning of period.
Issuer was not an affiliate at the end of period.
    
(d) The rate shown is the seven-day current annualized yield at March 31, 2021.
(e) Investment made with cash collateral received from securities lending activity.
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 2021

Portfolio of Investments
Columbia Acorn International®, March 31, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 96.0%
Issuer Shares Value ($)
Australia 5.3%
Bapcor Ltd. 5,398,500 30,859,981
carsales.com Ltd. 2,152,027 29,265,687
Evolution Mining Ltd. 3,232,513 10,070,625
IDP Education Ltd. 1,288,800 23,450,893
Technology One Ltd. 2,125,116 15,150,182
Temple & Webster Group Ltd.(a),(b) 3,074,000 21,347,817
Total 130,145,185
Austria 1.0%
S&T AG(a),(b) 948,301 23,591,318
Brazil 2.5%
Notre Dame Intermedica Participacoes SA(a) 2,323,600 34,222,494
TOTVS SA 5,069,400 26,118,625
Total 60,341,119
Cambodia 0.8%
NagaCorp Ltd. 15,779,000 18,706,933
Canada 2.9%
CCL Industries, Inc. 399,673 22,109,706
Osisko Gold Royalties Ltd. 3,334,316 36,720,724
Parex Resources, Inc.(a) 657,910 11,732,126
Total 70,562,556
China 3.0%
A-Living Smart City Services Co., Ltd. 5,100,750 22,706,977
Shenzhou International Group Holdings Ltd. 1,288,100 26,942,610
Silergy Corp. 288,000 23,754,691
Total 73,404,278
Denmark 2.8%
ALK-Abello AS(a) 64,528 24,503,231
SimCorp AS 359,967 44,569,799
Total 69,073,030
France 0.6%
Robertet SA 13,120 14,231,887
Germany 6.5%
Eckert & Ziegler Strahlen- und Medizintechnik AG 291,981 23,310,733
Hypoport SE(a) 69,579 36,902,556
Jenoptik AG 932,392 28,023,128
Common Stocks (continued)
Issuer Shares Value ($)
Nemetschek SE 574,097 36,646,900
TeamViewer AG(a) 806,680 34,498,706
Total 159,382,023
Greece 0.7%
JUMBO SA 953,271 17,490,963
Hong Kong 0.9%
Vitasoy International Holdings Ltd. 5,666,000 21,809,324
Ireland 0.2%
UDG Healthcare PLC 340,000 3,681,718
Italy 3.4%
Amplifon SpA(a) 1,055,478 39,275,032
GVS SpA(a) 1,238,790 19,483,950
Nexi SpA(a) 1,370,486 23,911,215
Total 82,670,197
Japan 18.8%
Aruhi Corp. 1,190,500 19,439,386
Daifuku Co., Ltd. 444,400 43,670,854
Daiseki Co., Ltd. 838,833 30,465,330
Disco Corp. 57,500 18,170,231
Elecom Co., Ltd. 1,275,000 28,342,192
Fuso Chemical Co., Ltd. 606,800 22,339,191
Hikari Tsushin, Inc. 375,828 75,773,247
Invesco Office J-REIT, Inc. 151,630 23,949,754
Nihon M&A Center, Inc. 143,000 3,878,672
Nihon Unisys Ltd. 851,400 26,330,662
NSD Co., Ltd. 731,900 12,211,234
Obic Co., Ltd. 137,000 25,138,353
Seiren Co., Ltd. 929,900 16,394,553
Sekisui Chemical Co., Ltd. 4,050,900 78,001,481
Shima Seiki Manufacturing Ltd. 341,100 7,920,933
Solasto Corp. 1,521,600 19,669,184
Valqua Ltd. 440,100 8,497,855
Total 460,193,112
Malta 1.5%
Kindred Group PLC(a) 2,138,257 37,573,398
Columbia Acorn International® | Quarterly Report 2021
5

Portfolio of Investments   (continued)
Columbia Acorn International®, March 31, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Mexico 0.8%
Corporación Inmobiliaria Vesta SAB de CV 9,640,081 20,186,182
Netherlands 4.1%
Argenx SE, ADR(a) 123,933 34,129,909
BE Semiconductor Industries NV 155,660 13,002,710
IMCD NV 391,434 54,264,922
Total 101,397,541
New Zealand 1.9%
Fisher & Paykel Healthcare Corp., Ltd. 2,013,595 45,210,310
Russian Federation 1.3%
TCS Group Holding PLC, GDR(c) 564,034 32,689,335
Singapore 2.3%
Mapletree Commercial Trust 18,056,300 28,528,793
Mapletree Logistics Trust 19,842,744 28,531,969
Total 57,060,762
South Korea 2.6%
Koh Young Technology, Inc. 323,695 33,014,813
Korea Investment Holdings Co., Ltd. 401,665 30,516,662
Total 63,531,475
Spain 2.1%
Befesa SA 415,662 27,852,007
Vidrala SA 219,159 24,081,628
Total 51,933,635
Sweden 8.9%
AddTech AB, B Shares 2,727,260 40,592,983
Dometic Group AB(a) 2,028,960 29,492,008
Hexagon AB, Class B 659,512 60,878,459
Munters Group AB(a) 3,393,226 28,168,580
Sectra AB, Class B(a) 252,016 15,842,168
Sweco AB, Class B 1,834,118 29,933,197
Trelleborg AB, Class B(a) 474,941 12,079,342
Total 216,986,737
Switzerland 2.8%
Belimo Holding AG, Registered Shares 3,584 28,976,449
Gurit Holding AG 7,014 17,791,592
Inficon Holding AG 20,029 21,056,412
Total 67,824,453
Common Stocks (continued)
Issuer Shares Value ($)
Taiwan 3.7%
Parade Technologies Ltd. 905,000 39,079,157
Sinbon Electronics Co., Ltd. 2,584,000 24,013,956
Voltronic Power Technology Corp. 729,408 28,448,266
Total 91,541,379
Thailand 0.9%
Muangthai Capital PCL, Foreign Registered Shares 9,594,300 21,762,425
United Kingdom 12.2%
Abcam PLC(a) 920,246 17,646,927
Auto Trader Group PLC(a) 1,575,341 12,045,097
Dechra Pharmaceuticals PLC 834,811 39,474,833
Diploma PLC 743,506 26,141,285
Genus PLC 397,744 26,634,632
Halma PLC 530,883 17,368,727
Intermediate Capital Group PLC 1,873,853 47,575,906
Rentokil Initial PLC(a) 5,490,705 36,658,075
Rightmove PLC(a) 4,942,614 39,662,703
Safestore Holdings PLC 1,705,112 18,699,548
Spirax-Sarco Engineering PLC 109,638 17,226,113
Total 299,133,846
United States 1.5%
Inter Parfums, Inc. 510,745 36,227,143
Total Common Stocks
(Cost $1,562,059,317)
2,348,342,264
Securities Lending Collateral 1.0%
Dreyfus Government Cash Management Fund, Instutional Shares, 0.030%(d),(e) 24,606,463 24,606,463
Total Securities Lending Collateral
(Cost $24,606,463)
24,606,463
 
6 Columbia Acorn International® | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Acorn International®, March 31, 2021 (Unaudited)
Money Market Funds 2.9%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.067%(d),(f) 70,142,590 70,135,576
Total Money Market Funds
(Cost $70,135,576)
70,135,576
Total Investments in Securities
(Cost $1,656,801,356)
2,443,084,303
Obligation to Return Collateral for Securities Loaned   (24,606,463)
Other Assets & Liabilities, Net   26,689,317
Net Assets $2,445,167,157
At March 31, 2021, securities and/or cash totaling $3,303,423 were pledged as collateral.
Long futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
MSCI EAFE Index 259 06/2021 USD 28,386,400 (57,694)
MSCI Emerging Markets Index 489 06/2021 USD 32,335,125 (14,785)
Total         (72,479)
Notes to Portfolio of Investments
(a) Non-income producing investment.
(b) All or a portion of this security was on loan at March 31, 2021. The total market value of securities on loan at March 31, 2021 was $23,550,656.
(c) 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. At March 31, 2021, the total value of these securities amounted to $32,689,335, which represents 1.34% of total net assets.
(d) The rate shown is the seven-day current annualized yield at March 31, 2021.
(e) Investment made with cash collateral received from securities lending activity.
(f) As defined in the Investment Company Act of 1940, as amended, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. The value of the holdings and transactions in these affiliated companies during the period ended March 31, 2021 are as follows:
    
Affiliated issuers Beginning
of period($)
Purchases($) Sales($) Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Realized gain
(loss)($)
Dividends($) End of
period shares
Columbia Short-Term Cash Fund, 0.067%
  61,934,514 168,900,714 (160,699,652) 70,135,576 13,762 70,142,590
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.
Columbia Acorn International® | Quarterly Report 2021
7

Portfolio of Investments
Columbia Acorn USA®, March 31, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 96.5%
Issuer Shares Value ($)
Consumer Discretionary 12.6%
Auto Components 2.2%
Dorman Products, Inc.(a) 37,320 3,830,525
LCI Industries 23,146 3,061,753
Total   6,892,278
Hotels, Restaurants & Leisure 4.8%
Choice Hotels International, Inc. 24,161 2,592,234
Churchill Downs, Inc. 20,786 4,727,152
Planet Fitness, Inc., Class A(a) 33,922 2,622,171
Wendy’s Co. (The) 92,771 1,879,540
Wingstop, Inc. 27,185 3,457,116
Total   15,278,213
Household Durables 0.9%
Skyline Champion Corp.(a) 67,124 3,038,032
Internet & Direct Marketing Retail 0.4%
Poshmark, Inc., Class A(a),(b) 33,982 1,379,669
Leisure Products 0.9%
Brunswick Corp. 31,210 2,976,498
Specialty Retail 3.4%
Boot Barn Holdings, Inc.(a) 65,235 4,064,793
Five Below, Inc.(a) 23,253 4,436,440
Vroom, Inc.(a) 60,528 2,359,987
Total   10,861,220
Total Consumer Discretionary 40,425,910
Consumer Staples 2.7%
Food & Staples Retailing 1.1%
BJ’s Wholesale Club Holdings, Inc.(a) 78,153 3,505,944
Household Products 1.1%
WD-40 Co. 11,522 3,527,806
Personal Products 0.5%
Inter Parfums, Inc. 21,726 1,541,025
Total Consumer Staples 8,574,775
Financials 7.5%
Banks 0.8%
Lakeland Financial Corp. 34,077 2,357,788
Common Stocks (continued)
Issuer Shares Value ($)
Capital Markets 4.0%
Foresight Acquisition Corp.(a) 484,027 4,811,228
GCM Grosvenor, Inc., Class A 148,059 1,761,902
Hamilton Lane, Inc., Class A 27,738 2,456,477
Houlihan Lokey, Inc. 57,658 3,834,834
Total   12,864,441
Consumer Finance 1.9%
FirstCash, Inc. 37,907 2,489,353
Upstart Holdings, Inc.(a) 27,620 3,559,113
Total   6,048,466
Thrifts & Mortgage Finance 0.8%
Merchants Bancorp 63,302 2,654,886
Total Financials 23,925,581
Health Care 32.4%
Biotechnology 13.9%
ACADIA Pharmaceuticals, Inc.(a) 86,362 2,228,140
Acceleron Pharma, Inc.(a) 39,069 5,298,147
Anika Therapeutics, Inc.(a) 84,050 3,428,399
Arcus Biosciences, Inc.(a) 90,226 2,533,546
CRISPR Therapeutics AG(a) 22,529 2,745,159
Fate Therapeutics, Inc.(a) 71,320 5,880,334
Immunogen, Inc.(a) 551,003 4,463,124
Insmed, Inc.(a) 140,494 4,785,226
Kiniksa Pharmaceuticals Ltd., Class A(a) 119,965 2,220,552
Kura Oncology, Inc.(a) 157,311 4,447,182
Mirati Therapeutics, Inc.(a) 19,711 3,376,494
Natera, Inc.(a) 33,190 3,370,113
Total   44,776,416
Health Care Equipment & Supplies 5.9%
Atrion Corp. 4,173 2,676,186
Eargo, Inc.(a) 91,220 4,556,439
Globus Medical, Inc., Class A(a) 71,055 4,381,962
Haemonetics Corp.(a) 35,414 3,931,308
SI-BONE, Inc.(a) 104,495 3,323,986
Total   18,869,881
8 Columbia Acorn USA® | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Acorn USA®, March 31, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Health Care Providers & Services 6.6%
Amedisys, Inc.(a) 15,067 3,989,591
Chemed Corp. 9,944 4,572,450
Corvel Corp.(a) 38,322 3,931,454
LHC Group, Inc.(a) 23,484 4,490,376
National Research Corp., Class A(a) 89,928 4,211,328
Total   21,195,199
Health Care Technology 0.6%
American Well Corp., Class A(a) 104,234 1,810,545
Life Sciences Tools & Services 3.0%
NanoString Technologies, Inc.(a) 54,507 3,581,655
Pacific Biosciences of California, Inc.(a) 129,130 4,301,320
Repligen Corp.(a) 8,646 1,680,869
Total   9,563,844
Pharmaceuticals 2.4%
Nektar Therapeutics(a) 113,000 2,260,000
Nuvation Bio, Inc.(a) 225,836 2,359,986
Reata Pharmaceuticals, Inc., Class A(a) 32,600 3,250,220
Total   7,870,206
Total Health Care 104,086,091
Industrials 14.8%
Aerospace & Defense 2.1%
BWX Technologies, Inc. 57,137 3,767,614
Curtiss-Wright Corp. 25,527 3,027,502
Total   6,795,116
Commercial Services & Supplies 0.6%
Unifirst Corp. 8,329 1,863,281
Construction & Engineering 0.1%
Comfort Systems U.S.A., Inc. 6,177 461,854
Electrical Equipment 3.9%
Atkor, Inc.(a) 44,463 3,196,890
Plug Power, Inc.(a) 125,188 4,486,738
Shoals Technologies Group, Inc., Class A(a) 134,176 4,666,641
Total   12,350,269
Common Stocks (continued)
Issuer Shares Value ($)
Machinery 2.3%
ITT, Inc. 53,365 4,851,412
SPX Corp.(a) 7,509 437,549
Watts Water Technologies, Inc., Class A 18,353 2,180,520
Total   7,469,481
Professional Services 3.1%
Exponent, Inc. 68,491 6,674,448
ICF International, Inc. 37,423 3,270,770
Total   9,945,218
Road & Rail 1.5%
Saia, Inc.(a) 20,828 4,802,520
Trading Companies & Distributors 1.2%
SiteOne Landscape Supply, Inc.(a) 22,343 3,814,844
Total Industrials 47,502,583
Information Technology 22.5%
Communications Equipment 0.9%
Calix, Inc.(a) 80,359 2,785,243
Electronic Equipment, Instruments & Components 2.1%
Badger Meter, Inc. 40,871 3,803,864
ePlus, Inc.(a) 30,734 3,062,336
Total   6,866,200
IT Services 1.9%
DigitalOcean Holdings, Inc.(a) 68,641 2,891,845
Endava PLC, ADR(a) 32,820 2,779,526
LiveRamp Holdings, Inc.(a) 7,327 380,125
Total   6,051,496
Semiconductors & Semiconductor Equipment 1.8%
Advanced Energy Industries, Inc. 25,115 2,741,804
Inphi Corp.(a) 16,941 3,022,444
Total   5,764,248
Software 15.8%
Blackline, Inc.(a) 39,427 4,273,887
CyberArk Software Ltd.(a) 12,691 1,641,454
Elastic NV(a) 17,826 1,982,251
j2 Global, Inc.(a) 39,592 4,745,497
JFrog Ltd.(a) 68,248 3,028,164
Manhattan Associates, Inc.(a) 52,889 6,208,111
 
Columbia Acorn USA® | Quarterly Report 2021
9

Portfolio of Investments   (continued)
Columbia Acorn USA®, March 31, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Medallia, Inc.(a) 92,115 2,569,087
Mimecast Ltd.(a) 70,809 2,847,230
Olo, Inc., Class A(a) 101,606 2,681,382
ON24, Inc.(a),(b) 51,446 2,495,646
Q2 Holdings, Inc.(a) 32,517 3,258,203
Qualys, Inc.(a) 55,409 5,805,755
Sprout Social, Inc., Class A(a) 111,614 6,446,825
Voyager Digital Ltd.(a) 108,299 2,800,612
Total   50,784,104
Total Information Technology 72,251,291
Materials 1.3%
Chemicals 1.3%
Avient Corp. 86,200 4,074,674
Total Materials 4,074,674
Real Estate 2.7%
Real Estate Management & Development 2.7%
Colliers International Group, Inc. 33,829 3,323,361
FirstService Corp. 13,489 1,998,935
Redfin Corp.(a) 49,780 3,314,850
Total   8,637,146
Total Real Estate 8,637,146
Total Common Stocks
(Cost $215,442,641)
309,478,051
Limited Partnerships 0.8%
Issuer Shares Value ($)
Consumer Discretionary 0.8%
Hotels, Restaurants & Leisure 0.8%
Cedar Fair LP(a) 52,945 2,630,307
Total Consumer Discretionary 2,630,307
Total Limited Partnerships
(Cost $1,387,524)
2,630,307
Securities Lending Collateral 1.0%
Dreyfus Government Cash Management Fund, Instutional Shares, 0.030%(c),(d) 3,258,530 3,258,530
Total Securities Lending Collateral
(Cost $3,258,530)
3,258,530
Money Market Funds 3.4%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.067%(c),(e) 10,660,857 10,659,791
Total Money Market Funds
(Cost $10,659,763)
10,659,791
Total Investments in Securities
(Cost: $230,748,458)
326,026,679
Obligation to Return Collateral for Securities Loaned   (3,258,530)
Other Assets & Liabilities, Net   (2,095,955)
Net Assets 320,672,194
 
At March 31, 2021, securities and/or cash totaling $643,500 were pledged as collateral.
Long futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
Russell 2000 Index E-mini 37 06/2021 USD 4,111,625 109,741
Notes to Portfolio of Investments
(a) Non-income producing investment.
(b) All or a portion of this security was on loan at March 31, 2021. The total market value of securities on loan at March 31, 2021 was $3,484,313.
(c) The rate shown is the seven-day current annualized yield at March 31, 2021.
(d) Investment made with cash collateral received from securities lending activity.
10 Columbia Acorn USA® | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Acorn USA®, March 31, 2021 (Unaudited)
Notes to Portfolio of Investments  (continued)
(e) As defined in the Investment Company Act of 1940, as amended, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. The value of the holdings and transactions in these affiliated companies during the period ended March 31, 2021 are as follows:
    
Affiliated issuers Beginning
of period($)
Purchases($) Sales($) Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Realized gain
(loss)($)
Dividends($) End of
period shares
Columbia Short-Term Cash Fund, 0.067%
  3,540,814 53,446,717 (46,326,945) (795) 10,659,791 796 2,435 10,660,857
Abbreviation Legend
ADR American 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.
Columbia Acorn USA® | Quarterly Report 2021
11

Portfolio of Investments
Columbia Acorn International SelectSM, March 31, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 97.9%
Issuer Shares Value ($)
Australia 2.2%
carsales.com Ltd. 729,186 9,916,292
Brazil 2.1%
TOTVS SA 1,841,464 9,487,613
Canada 3.4%
CCL Industries, Inc. 279,844 15,480,827
China 10.2%
NetEase, Inc., ADR 145,758 15,050,971
New Oriental Education & Technology Group, Inc., ADR(a) 1,028,688 14,401,632
Shenzhou International Group Holdings Ltd. 839,300 17,555,262
Total 47,007,865
Denmark 3.0%
SimCorp AS 112,561 13,936,892
Germany 4.9%
Nemetschek SE 215,416 13,750,862
TeamViewer AG(a) 204,119 8,729,411
Total 22,480,273
Italy 4.2%
Amplifon SpA(a) 275,031 10,234,085
Nexi SpA(a) 527,377 9,201,279
Total 19,435,364
Japan 16.8%
Daifuku Co., Ltd. 97,000 9,532,117
Hikari Tsushin, Inc. 83,800 16,895,490
Lasertec Corp. 64,600 8,531,171
Obic Co., Ltd. 62,600 11,486,576
Recruit Holdings Co., Ltd. 289,400 14,211,338
Sekisui Chemical Co., Ltd. 866,400 16,682,832
Total 77,339,524
Malta 0.0%
BGP Holdings PLC(a),(b),(c) 2,232,232 3
Netherlands 6.5%
IMCD NV 106,171 14,718,601
Koninklijke Philips NV(a) 266,907 15,220,475
Total 29,939,076
Common Stocks (continued)
Issuer Shares Value ($)
New Zealand 3.1%
Fisher & Paykel Healthcare Corp., Ltd. 627,579 14,090,739
Singapore 2.1%
Mapletree Logistics Trust 6,600,900 9,491,463
South Korea 4.3%
Koh Young Technology, Inc. 101,539 10,356,327
Korea Investment Holdings Co., Ltd. 124,740 9,477,172
Total 19,833,499
Sweden 10.4%
Hexagon AB, Class B 255,355 23,571,396
Sectra AB, Class B(a) 181,044 11,380,744
Sweco AB, Class B 620,763 10,130,984
Trelleborg AB, Class B(a) 99,500 2,530,619
Total 47,613,743
Switzerland 7.2%
Belimo Holding AG, Registered Shares 1,429 11,553,389
Lonza Group AG, Registered Shares 17,974 10,052,849
Partners Group Holding AG 8,904 11,378,652
Total 32,984,890
Taiwan 5.3%
Parade Technologies Ltd. 287,000 12,393,059
Voltronic Power Technology Corp. 312,852 12,201,809
Total 24,594,868
United Kingdom 12.2%
Dechra Pharmaceuticals PLC 316,203 14,951,960
Intermediate Capital Group PLC 407,784 10,353,370
Rentokil Initial PLC(a) 2,326,028 15,529,465
Rightmove PLC(a) 1,916,122 15,376,191
Total 56,210,986
Total Common Stocks
(Cost $348,446,920)
449,843,917
12 Columbia Acorn International SelectSM | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Acorn International SelectSM, March 31, 2021 (Unaudited)
Money Market Funds 1.9%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.067%(d),(e) 8,868,085 8,867,199
Total Money Market Funds
(Cost $8,867,199)
8,867,199
Total Investments in Securities
(Cost $357,314,119)
458,711,116
Other Assets & Liabilities, Net   1,020,075
Net Assets $459,731,191
Notes to Portfolio of Investments
(a) Non-income producing investment.
(b) Represents fair value as determined in good faith under procedures approved by the Board of Trustees. At March 31, 2021, the total value of these securities amounted to $3, which represents less than 0.01% of total net assets.
(c) Valuation based on significant unobservable inputs.
(d) The rate shown is the seven-day current annualized yield at March 31, 2021.
(e) As defined in the Investment Company Act of 1940, as amended, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. The value of the holdings and transactions in these affiliated companies during the period ended March 31, 2021 are as follows:
    
Affiliated issuers Beginning
of period($)
Purchases($) Sales($) Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Realized gain
(loss)($)
Dividends($) End of
period shares
Columbia Short-Term Cash Fund, 0.067%
  3,594,978 31,085,196 (25,812,975) 8,867,199 1,093 8,868,085
Abbreviation Legend
ADR American Depositary Receipt
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
Columbia Acorn International SelectSM | Quarterly Report 2021
13

Portfolio of Investments
Columbia Thermostat FundSM, March 31, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Equity Funds 44.9%
  Shares Value ($)
Dividend Income 5.1%
Columbia Dividend Income Fund, Institutional 3 Class(a) 3,424,448 97,631,001
International Small Mid Cap 4.8%
Columbia Acorn International®, Institutional 3 Class(a) 2,668,243 93,281,781
U.S. Large Cap 24.9%
Columbia Contrarian Core Fund, Institutional 3 Class(a) 2,844,370 94,888,201
Columbia Large Cap Enhanced Core Fund, Institutional 3 Class(a) 3,313,446 96,156,193
Columbia Large Cap Index Fund, Institutional 3 Class(a) 4,870,863 286,942,547
Total 477,986,941
U.S. Mid Cap 5.2%
Columbia Select Mid Cap Value Fund, Institutional 3 Class(a) 7,592,432 99,612,709
U.S. Small Mid Cap 4.9%
Columbia Acorn® Fund, Institutional 3 Class(a),(b) 5,055,050 93,417,319
Total Equity Funds
(Cost $641,348,389)
861,929,751
Exchange-Traded Equity Funds 5.0%
U.S. Large Cap 5.0%
Columbia Research Enhanced Core ETF(a) 3,623,435 96,711,292
Total Exchange-Traded Equity Funds
(Cost $73,038,171)
96,711,292
Exchange-Traded Fixed Income Funds 5.0%
  Shares Value ($)
Multisector 5.0%
Columbia Diversified Fixed Income Allocation ETF(a) 4,509,165 95,233,565
Total Exchange-Traded Fixed Income Funds
(Cost $93,123,610)
95,233,565
Fixed Income Funds 44.6%
Investment Grade 44.6%
Columbia Corporate Income Fund, Institutional 3 Class(a) 8,922,267 95,379,036
Columbia Quality Income Fund, Institutional 3 Class(a) 8,331,630 190,294,427
Columbia Short Term Bond Fund, Institutional 3 Class(a) 14,128,698 142,558,565
Columbia Total Return Bond Fund, Institutional 3 Class(a) 2,531,175 95,197,498
Columbia U.S. Treasury Index Fund, Institutional 3 Class(a) 28,820,107 332,007,629
Total 855,437,155
Total Fixed Income Funds
(Cost $860,870,851)
855,437,155
Money Market Funds 0.4%
Columbia Short-Term Cash Fund, 0.067%(a),(c) 7,076,963 7,076,256
Total Money Market Funds
(Cost $7,076,253)
7,076,256
Total Investments in Securities
(Cost: $1,675,457,274)
1,916,388,019
Other Assets & Liabilities, Net   2,665,231
Net Assets 1,919,053,250
Notes to Portfolio of Investments
(a) As defined in the Investment Company Act of 1940, as amended, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. The value of the holdings and transactions in these affiliated companies during the period ended March 31, 2021 are as follows:
    
Affiliated issuers Beginning
of period($)
Purchases($) Sales($) Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Capital gain
distributions($)
Realized gain
(loss)($)
Dividends —
affiliated
issuers ($)
End of
period shares
Columbia Acorn International®, Institutional 3 Class
  86,086,340 7,363,294 (167,853) 93,281,781 2,668,243
Columbia Acorn® Fund, Institutional 3 Class
  84,751,736 7,010,458 1,655,125 93,417,319 5,055,050
14 Columbia Thermostat FundSM | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Thermostat FundSM, March 31, 2021 (Unaudited)
Notes to Portfolio of Investments  (continued)
Affiliated issuers Beginning
of period($)
Purchases($) Sales($) Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Capital gain
distributions($)
Realized gain
(loss)($)
Dividends —
affiliated
issuers ($)
End of
period shares
Columbia Contrarian Core Fund, Institutional 3 Class
  85,172,403 3,505,536 6,210,262 94,888,201 2,844,370
Columbia Corporate Income Fund, Institutional 3 Class
  84,644,993 14,826,266 (4,092,223) 95,379,036 526,923 8,922,267
Columbia Diversified Fixed Income Allocation ETF
  84,444,150 14,864,486 (4,075,071) 95,233,565 351,075 4,509,165
Columbia Dividend Income Fund, Institutional 3 Class
  83,970,346 6,162,808 7,497,847 97,631,001 412,805 3,424,448
Columbia Large Cap Enhanced Core Fund, Institutional 3 Class
  84,343,847 4,930,845 6,881,501 96,156,193 3,313,446
Columbia Large Cap Index Fund, Institutional 3 Class
  254,114,521 16,710,002 16,118,024 286,942,547 4,870,863
Columbia Quality Income Fund, Institutional 3 Class
  169,430,970 18,561,871 2,301,586 190,294,427 1,406,209 8,331,630
Columbia Research Enhanced Core ETF
  83,125,929 6,115,275 7,470,088 96,711,292 3,623,435
Columbia Select Mid Cap Value Fund, Institutional 3 Class
  87,709,618 153,815 11,749,276 99,612,709 153,814 7,592,432
Columbia Short Term Bond Fund, Institutional 3 Class
  126,683,822 16,039,227 (164,484) 142,558,565 537,240 14,128,698
Columbia Short-Term Cash Fund, 0.067%
  6,901,030 121,074,427 (120,899,201) 7,076,256 2,005 7,076,963
Columbia Total Return Bond Fund, Institutional 3 Class
  84,645,589 12,462,107 (1,910,198) 95,197,498 885,290 2,531,175
Columbia U.S. Treasury Index Fund, Institutional 3 Class
  295,666,771 51,042,995 (14,702,137) 332,007,629 964,952 28,820,107
Total 1,701,692,065     34,771,743 1,916,388,019 5,240,313  
    
(b) Non-income producing investment.
(c) The rate shown is the seven-day current annualized yield at March 31, 2021.
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
Columbia Thermostat FundSM | Quarterly Report 2021
15

Portfolio of Investments
Columbia Acorn European FundSM, March 31, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 96.5%
Issuer Shares Value ($)
Austria 1.7%
S&T AG(a) 78,797 1,960,269
Cyprus 1.1%
TCS Group Holding PLC GDR(b) 22,400 1,298,221
Denmark 5.3%
ALK-Abello AS(a) 7,153 2,716,210
SimCorp AS 29,152 3,609,494
Total 6,325,704
France 1.8%
Robertet SA 1,957 2,122,851
Germany 12.1%
Eckert & Ziegler Strahlen- und Medizintechnik AG 26,016 2,077,026
Exasol AG(a) 63,004 1,595,928
Hypoport SE(a) 4,483 2,377,645
Jenoptik AG 67,911 2,041,071
Nemetschek SE 46,485 2,967,323
TeamViewer AG(a) 39,788 1,701,585
Washtec AG(a) 29,659 1,704,793
Total 14,465,371
Greece 1.7%
JUMBO SA 107,370 1,970,064
Italy 7.3%
Amplifon SpA(a) 67,515 2,512,278
Carel Industries SpA 110,051 2,240,426
GVS SpA(a) 115,021 1,809,075
Nexi SpA(a) 122,815 2,142,784
Total 8,704,563
Malta 2.2%
Kindred Group PLC(a) 146,711 2,578,002
Netherlands 6.1%
Argenx SE(a) 3,935 1,082,022
BE Semiconductor Industries NV 27,842 2,325,719
IMCD NV 28,075 3,892,068
Total 7,299,809
Common Stocks (continued)
Issuer Shares Value ($)
Spain 3.8%
Befesa SA 33,029 2,213,154
Vidrala SA 21,482 2,360,485
Total 4,573,639
Sweden 19.4%
AddTech AB, B Shares 239,339 3,562,361
Dometic Group AB(a) 134,466 1,954,535
Dustin Group AB 168,551 1,720,979
Hexagon AB, Class B 48,972 4,520,524
Munters Group AB(a) 373,373 3,099,525
Sectra AB, Class B(a) 61,901 3,891,206
Sweco AB, Class B 198,160 3,234,013
Trelleborg AB, Class B(a) 46,139 1,173,469
Total 23,156,612
Switzerland 7.7%
Belimo Holding AG, Registered Shares 359 2,902,496
Gurit Holding AG 564 1,430,632
Inficon Holding AG 1,691 1,777,742
Kardex Energy AG 5,800 1,185,542
Partners Group Holding AG 1,493 1,907,943
Total 9,204,355
United Kingdom 24.6%
Abcam PLC(a) 54,262 1,040,545
Auto Trader Group PLC(a) 229,147 1,752,064
Dechra Pharmaceuticals PLC 72,221 3,415,039
Diploma PLC 100,061 3,518,093
Genus PLC 33,650 2,253,347
Halma PLC 63,394 2,074,041
Intermediate Capital Group PLC 108,337 2,750,606
Rentokil Initial PLC(a) 443,866 2,963,421
Rightmove PLC(a) 512,950 4,116,240
Safestore Holdings PLC 205,461 2,253,241
Spirax-Sarco Engineering PLC 20,361 3,199,081
Total 29,335,718
16 Columbia Acorn European FundSM | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Acorn European FundSM, March 31, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
United States 1.7%
Inter Parfums, Inc. 27,827 1,973,769
Total Common Stocks
(Cost $74,806,591)
114,968,947
Money Market Funds 4.0%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.067%(c),(d) 4,755,848 4,755,373
Total Money Market Funds
(Cost $4,755,373)
4,755,373
Total Investments in Securities
(Cost $79,561,964)
119,724,320
Other Assets & Liabilities, Net   (560,459)
Net Assets $119,163,861
Notes to Portfolio of Investments
(a) Non-income producing investment.
(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. At March 31, 2021, the total value of these securities amounted to $1,298,221, which represents 1.09% of total net assets.
(c) The rate shown is the seven-day current annualized yield at March 31, 2021.
(d) As defined in the Investment Company Act of 1940, as amended, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. The value of the holdings and transactions in these affiliated companies during the period ended March 31, 2021 are as follows:
    
Affiliated issuers Beginning
of period($)
Purchases($) Sales($) Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Realized gain
(loss)($)
Dividends($) End of
period shares
Columbia Short-Term Cash Fund, 0.067%
  2,989,602 16,057,847 (14,292,076) 4,755,373 728 4,755,848
Abbreviation Legend
GDR Global Depositary Receipt
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
Columbia Acorn European FundSM | Quarterly Report 2021
17

You may at any time request, free of charge, to receive a paper copy of this report by calling 800.345.6611.
1QT110_12_L01_(05/21)