0001145549-21-067057.txt : 20211123 0001145549-21-067057.hdr.sgml : 20211123 20211123094102 ACCESSION NUMBER: 0001145549-21-067057 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210930 FILED AS OF DATE: 20211123 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 SEC ACT: 1940 Act SEC FILE NUMBER: 811-01829 FILM NUMBER: 211435300 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 S000009186 Columbia Acorn USA C000024962 Columbia Acorn USA Class A LAUAX C000024964 Columbia Acorn USA Class C LAUCX C000024965 Columbia Acorn USA Institutional Class AUSAX C000122740 Columbia Acorn USA Advisor Class CUSAX C000122741 Columbia Acorn USA Institutional 2 Class CYSRX C000122742 Columbia Acorn USA Institutional 3 Class CUSYX NPORT-P 1 primary_doc.xml NPORT-P false 0000002110 XXXXXXXX S000009186 C000122740 C000024962 C000024964 C000024965 C000122741 C000122742 Columbia Acorn Trust 811-01829 0000002110 549300DX0CWIN8VE1908 71 S Wacker Dr. Suite 2500 Chicago 60606 312-634-9200 Columbia Acorn USA S000009186 549300KHJ8TKYZRHYE36 2021-12-31 2021-09-30 N 313287164.650000000000 1620274.610000000000 311666890.040000000000 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 ADVANCED ENERGY INDUSTRIES INC 549300756XI3QLFT2U27 Advanced Energy Industries Inc 007973100 25115.000000000000 NS USD 2203841.250000000000 0.7071143328 Long EC CORP US N 1 N N N Amedisys Inc 5299001RBS9GK9STN379 Amedisys Inc 023436108 38777.000000000000 NS USD 5781650.700000000000 1.8550737614 Long EC CORP US N 1 N N N ANIKA THERAPEUTICS INC 529900R9LS3Z0O6QH455 Anika Therapeutics Inc 035255108 84050.000000000000 NS USD 3577168.000000000000 1.1477536159 Long EC CORP US N 1 N N N ARCUS BIOSCIENCES INC N/A Arcus Biosciences Inc 03969F109 90226.000000000000 NS USD 3146180.620000000000 1.0094689942 Long EC CORP US N 1 N N N Atkore International Group Inc 52990002TI38AM4RPV48 Atkore International Group Inc 047649108 69294.000000000000 NS USD 6023034.480000000000 1.9325230470 Long EC CORP US N 1 N N N Avalara Inc 549300Q16CMW239SS315 Avalara Inc 05338G106 30690.000000000000 NS USD 5363691.300000000000 1.7209692372 Long EC CORP US N 1 N N N AVIENT CORP SM8L9RZYIB34LNTWO040 Avient Corp 05368V106 86200.000000000000 NS USD 3995370.000000000000 1.2819359796 Long EC CORP US N 1 N N N BJS WHOLESALE CLUB INC 549300UCIWH1C93V0J03 BJ's Wholesale Club Holdings Inc 05550J101 99903.000000000000 NS USD 5486672.760000000000 1.7604285009 Long EC CORP US N 1 N N N Badger Meter Inc 5493002JENE20OGTUG20 Badger Meter Inc 056525108 33421.000000000000 NS USD 3380199.940000000000 1.0845553532 Long EC CORP US N 1 N N N TECHNE CORP 54930073RLKQ51TILZ35 Bio-Techne Corp 09073M104 5335.000000000000 NS USD 2585180.950000000000 0.8294692290 Long EC CORP US N 1 N N N BLACKLINE INC 529900P9N7PK9LV5EK56 Blackline Inc 09239B109 82127.000000000000 NS USD 9695913.620000000000 3.1109860976 Long EC CORP US N 1 N N N Boot Barn Holdings Inc 529900QE1BFMYA3N4E71 Boot Barn Holdings Inc 099406100 43535.000000000000 NS USD 3868955.450000000000 1.2413751905 Long EC CORP US N 1 N N N Bright Horizons Family Solutions Inc N/A Bright Horizons Family Solutions Inc 109194100 22625.000000000000 NS USD 3154377.500000000000 1.0120990072 Long EC CORP US N 1 N N N BRUNSWICK CORPORATION YM4O38W15AX4YLLQKU27 Brunswick Corp/DE 117043109 31210.000000000000 NS USD 2973376.700000000000 0.9540239259 Long EC CORP US N 1 N N N Calix Inc 5299002RQRZ4SXSCSJ58 Calix Inc 13100M509 80359.000000000000 NS USD 3972145.370000000000 1.2744842320 Long EC CORP US N 1 N N N CEDAR FAIR LP 549300TUVLNQQ6BVKH61 Cedar Fair LP 150185106 92580.000000000000 NS USD 4293860.400000000000 1.3777082318 Long EC CORP US N 1 N N N CHEMED CORP 54930020031IDJT2IM79 Chemed Corp 16359R103 13474.000000000000 NS USD 6267026.880000000000 2.0108093225 Long EC CORP US N 1 N N N CHOICE HOTELS INTL INC 5493003CYRY5RFGTIR97 Choice Hotels International Inc 169905106 24161.000000000000 NS USD 3053225.570000000000 0.9796438658 Long EC CORP US N 1 N N N CHURCHILL DOWNS INC 529900FODTBQC8MIS994 Churchill Downs Inc 171484108 26036.000000000000 NS USD 6250722.880000000000 2.0055780963 Long EC CORP US N 1 N N N CODEXIS INC N/A Codexis Inc 192005106 139525.000000000000 NS USD 3245351.500000000000 1.0412885050 Long EC CORP US N 1 N N N Colliers International Group Inc D3O8K13PHLEXXD1DT480 Colliers International Group Inc 194693107 33829.000000000000 NS USD 4320301.590000000000 1.3861920300 Long EC CORP CA N 1 N N N COLUMBIA SHORT TERM CASH FUND N/A COLUMBIA SHORT TERM CASH FUND 19766H239 6904705.778000000000 NS USD 6904015.310000000000 2.2151904904 Long STIV CORP US N 1 N N N CURTISS-WRIGHT CORPORATION TEL51ETZWP7D0ZM4X325 Curtiss-Wright Corp 231561101 25527.000000000000 NS USD 3220996.860000000000 1.0334741876 Long EC CORP US N 1 N N N Dorman Products Inc N/A Dorman Products Inc 258278100 37320.000000000000 NS USD 3533084.400000000000 1.1336091555 Long EC CORP US N 1 N N N DOXIMITY INC N/A Doximity Inc 26622P107 34513.000000000000 NS USD 2785199.100000000000 0.8936461296 Long EC CORP US N 1 N N Endava PLC 213800JJ6CRPCWCQVZ25 Endava PLC 29260V105 55370.000000000000 NS USD 7522014.500000000000 2.4134788585 Long EC CORP GB N 1 N N N ENCOMPASS HEALTH CORP 549300FVRPM9DRQZRG64 Encompass Health Corp 29261A100 17875.000000000000 NS USD 1341340.000000000000 0.4303761621 Long EC CORP US N 1 N N N EXPONENT INC. 529900NY3F5Q2NWPUZ42 Exponent Inc 30214U102 35016.000000000000 NS USD 3962060.400000000000 1.2712484151 Long EC CORP US N 1 N N N FATE THERAPEUTICS INC 549300L14Q4UHOODLA90 Fate Therapeutics Inc 31189P102 71320.000000000000 NS USD 4227136.400000000000 1.3562994771 Long EC CORP US N 1 N N N FirstService Corp 5493000XUDIV75BCF118 FirstService Corp 33767E202 13489.000000000000 NS USD 2434494.720000000000 0.7811207407 Long EC CORP CA N 1 N N N Five Below Inc 529900AAXP5Z6BGI7418 Five Below Inc 33829M101 30943.000000000000 NS USD 5471031.830000000000 1.7554100242 Long EC CORP US N 1 N N N Foresight Acquisition Corp N/A Foresight Acquisition Corp 34552Y205 484027.000000000000 NS USD 4905613.650000000000 1.5739925564 Long EC CORP US N 1 N N N GCM Grosvenor Inc N/A GCM Grosvenor Inc 36831E108 399884.000000000000 NS USD 4606663.680000000000 1.4780728487 Long EC CORP US N 1 N N GLAUKOS CORP 5299004JA1LHE21M6T14 Glaukos Corp 377322102 31345.000000000000 NS USD 1509888.650000000000 0.4844559041 Long EC CORP US N 1 N N N GLOBUS MEDICAL INC 5299003M2P4CIK0RF205 Globus Medical Inc 379577208 34005.000000000000 NS USD 2605463.100000000000 0.8359768661 Long EC CORP US N 1 N N N Hamilton Lane Inc 5493006OKN3V1NORM833 Hamilton Lane Inc 407497106 39888.000000000000 NS USD 3383300.160000000000 1.0855500755 Long EC CORP US N 1 N N N Houlihan Lokey Inc 549300S3CNGTQ1QZVY46 Houlihan Lokey Inc 441593100 40858.000000000000 NS USD 3763021.800000000000 1.2073858085 Long EC CORP US N 1 N N N ICF Intnl 5493003KYFDDC5B3WY64 ICF International Inc 44925C103 37423.000000000000 NS USD 3341499.670000000000 1.0721381631 Long EC CORP US N 1 N N N ITT Inc 549300KDSERHTJOXUS80 ITT Inc 45073V108 33134.000000000000 NS USD 2844222.560000000000 0.9125841246 Long EC CORP US N 1 N N N Insmed Inc 529900Q55QAG41CCAC11 Insmed Inc 457669307 140494.000000000000 NS USD 3869204.760000000000 1.2414551830 Long EC CORP US N 1 N N N INTELLIA THERAPEUTICS INC 5493002T5BCPE5DZC723 Intellia Therapeutics Inc 45826J105 14185.000000000000 NS USD 1902917.750000000000 0.6105614073 Long EC CORP US N 1 N N N IOVANCE BIOTHERAPEUTICS INC 549300220Z2GHH33XL82 Iovance Biotherapeutics Inc 462260100 43100.000000000000 NS USD 1062846.000000000000 0.3410198625 Long EC CORP US N 1 N N N J2 Global Inc 5493008OJYGLHD7MXA18 J2 GLOBAL INC 48123V102 39592.000000000000 NS USD 5409059.040000000000 1.7355257208 Long EC CORP US N 1 N N N KURA ONCOLOGY INC 5493005QORQTZCZYOP39 Kura Oncology Inc 50127T109 157311.000000000000 NS USD 2946435.030000000000 0.9453795460 Long EC CORP US N 1 N N N LCI Industries 549300E1B98YNJ1WIQ04 LCI Industries 50189K103 23146.000000000000 NS USD 3116145.980000000000 0.9998322182 Long EC CORP US N 1 N N N LAKELAND FINL CORP N/A Lakeland Financial Corp 511656100 44188.000000000000 NS USD 3147953.120000000000 1.0100377103 Long EC CORP US N 1 N N N MANHATTAN ASSOC INC 529900Q1GJP7KD52SW51 Manhattan Associates Inc 562750109 18114.000000000000 NS USD 2771985.420000000000 0.8894064492 Long EC CORP US N 1 N N N Matador Resources Co 549300CI3Q2UUK5R4G79 Matador Resources Co 576485205 20516.000000000000 NS USD 780428.640000000000 0.2504047318 Long EC CORP US N 1 N N N MIRATI THERAPEUTICS INC 529900GYRW59IDQV6N54 Mirati Therapeutics Inc 60468T105 24861.000000000000 NS USD 4398159.510000000000 1.4111731629 Long EC CORP US N 1 N N N NANOSTRING TECHNOLOGIES INC 549300G4CK0Y3WRDMY89 NanoString Technologies Inc 63009R109 54507.000000000000 NS USD 2616881.070000000000 0.8396403833 Long EC CORP US N 1 N N N Natera Inc N/A Natera Inc 632307104 33190.000000000000 NS USD 3698693.600000000000 1.1867457591 Long EC CORP US N 1 N N N National Research Corp 549300FQIORB6GZCYT15 National Research Corp 637372202 89928.000000000000 NS USD 3792263.760000000000 1.2167682488 Long EC CORP US N 1 N N N NeoGenomics Inc N/A NeoGenomics Inc 64049M209 70000.000000000000 NS USD 3376800.000000000000 1.0834644641 Long EC CORP US N 1 N N N NUVATION BIO N/A Nuvation Bio Inc 67080N101 225836.000000000000 NS USD 2244809.840000000000 0.7202593255 Long EC CORP US N 1 N N OLO INC N/A Olo Inc 68134L109 148321.000000000000 NS USD 4454079.630000000000 1.4291154346 Long EC CORP US N 1 N N N Open Lending Corp N/A Open Lending Corp 68373J104 103125.000000000000 NS USD 3719718.750000000000 1.1934917917 Long EC CORP US N 1 N N N Pacific Biosciences of California Inc N/A Pacific Biosciences of California Inc 69404D108 160030.000000000000 NS USD 4088766.500000000000 1.3119027496 Long EC CORP US N 1 N N N Planet Fitness Inc 549300LLE5HUPF6H8G33 Planet Fitness Inc 72703H101 102132.000000000000 NS USD 8022468.600000000000 2.5740522514 Long EC CORP US N 1 N N N Plug Power Inc 549300JPDKRSJ8JSM954 Plug Power Inc 72919P202 155838.000000000000 NS USD 3980102.520000000000 1.2770373265 Long EC CORP US N 1 N N N Poshmark Inc N/A Poshmark Inc 73739W104 126707.000000000000 NS USD 3010558.320000000000 0.9659538489 Long EC CORP US N 1 N N REPLIGEN CORP 54930006QJ0T5AUO1E71 Repligen Corp 759916109 31921.000000000000 NS USD 9224849.790000000000 2.9598427311 Long EC CORP US N 1 N N N Saia Inc 549300WNPG4N9GBOYB29 Saia Inc 78709Y105 13928.000000000000 NS USD 3315281.840000000000 1.0637260312 Long EC CORP US N 1 N N N SCHRODINGER INC N/A Schrodinger Inc/United States 80810D103 46765.000000000000 NS USD 2557110.200000000000 0.8204625777 Long EC CORP US N 1 N N N Shoals Technologies Group Inc N/A Shoals Technologies Group Inc 82489W107 194351.000000000000 NS USD 5418505.880000000000 1.7385567903 Long EC CORP US N 1 N N N SiteOne Landscape Supply Inc 5299008LX7SBD4HIAU03 SiteOne Landscape Supply Inc 82982L103 48868.000000000000 NS USD 9747699.960000000000 3.1276020237 Long EC CORP US N 1 N N N Skyline Champion Corp N/A Skyline Champion Corp 830830105 122670.000000000000 NS USD 7367560.200000000000 2.3639213646 Long EC CORP US N 1 N N N Sprout Social Inc N/A Sprout Social Inc 85209W109 17620.000000000000 NS USD 2148759.000000000000 0.6894408962 Long EC CORP US N 1 N N N Sunrun Inc 54930007SJ77CI66U531 Sunrun Inc 86771W105 111115.000000000000 NS USD 4889060.000000000000 1.5686812287 Long EC CORP US N 1 N N N VISTEON CORP 549300MOVLYHRW4GGW78 Visteon Corp 92839U206 27625.000000000000 NS USD 2607523.750000000000 0.8366380367 Long EC CORP US N 1 N N N Vroom Inc N/A Vroom Inc 92918V109 162478.000000000000 NS USD 3585889.460000000000 1.1505519433 Long EC CORP US N 1 N N WD-40 CO 549300UZHTN0CNKBOB19 WD-40 Co 929236107 12497.000000000000 NS USD 2892805.560000000000 0.9281722417 Long EC CORP US N 1 N N N WATTS WATER TECHNOLOGIES INC 549300REJOO94ERQN318 Watts Water Technologies Inc 942749102 18353.000000000000 NS USD 3084955.770000000000 0.9898246713 Long EC CORP US N 1 N N N WENDYS CO 529900M0JIUCMWVKHG76 Wendy's Co/The 95058W100 126471.000000000000 NS USD 2741891.280000000000 0.8797505823 Long EC CORP US N 1 N N N WINGSTOP INC 549300SSH3F8HPIM3Q47 Wingstop Inc 974155103 38710.000000000000 NS USD 6345730.300000000000 2.0360617386 Long EC CORP US N 1 N N N Voyager Digital Ltd 89450014YCEFUBAZJM38 Voyager Digital Ltd 000000000 303399.000000000000 NS 3054111.200000000000 0.9799280250 Long EC CORP CA N 1 N N N Mimecast Ltd 254900ELSYFSTT9X2740 Mimecast Ltd G14838109 35934.000000000000 NS USD 2285402.400000000000 0.7332836670 Long EC CORP JE N 1 N N N CRISPR THERAPEUTICS AG 506700O6IRRIQLT3W370 CRISPR Therapeutics AG H17182108 13354.000000000000 NS USD 1494713.220000000000 0.4795867857 Long EC CORP CH N 1 N N N Elastic NV N/A Elastic NV N14506104 33701.000000000000 NS USD 5021111.990000000000 1.6110508208 Long EC CORP NL N 1 N N N DREYFUS GOVERNMENT CASH MANAGE N/A Dreyfus Government Cash Management Fund, Institutional Shares 262006208 8028475.000000000000 NS USD 8028475.000000000000 2.5759794372 Long STIV CORP US N 1 N N 2021-10-12 Columbia Acorn Trust Martha Skinner Martha Skinner Assistant Treasurer XXXX NPORT-EX 2 nportpoi_acorn.htm
Portfolio of Investments
Columbia Acorn® Fund, September 30, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 99.1%
Issuer Shares Value ($)
Communication Services 3.4%
Entertainment 3.4%
Roblox Corp., Class A(a) 601,850 45,469,768
Roku, Inc., Class A(a) 116,894 36,628,735
Take-Two Interactive Software, Inc.(a) 211,000 32,508,770
Zynga, Inc., Class A(a) 5,912,599 44,521,870
Total   159,129,143
Total Communication Services 159,129,143
Consumer Discretionary 19.8%
Auto Components 1.3%
Visteon Corp.(a) 652,503 61,589,758
Diversified Consumer Services 2.8%
Bright Horizons Family Solutions, Inc.(a) 342,825 47,796,661
Chegg, Inc.(a) 1,215,143 82,654,027
Total   130,450,688
Hotels, Restaurants & Leisure 6.4%
Churchill Downs, Inc. 227,000 54,498,160
DraftKings, Inc., Class A(a) 812,500 39,130,000
Planet Fitness, Inc., Class A(a) 1,589,146 124,827,418
Wingstop, Inc. 482,304 79,064,095
Total   297,519,673
Household Durables 1.5%
NVR, Inc.(a) 7,090 33,990,027
Skyline Champion Corp.(a) 591,605 35,531,796
Total   69,521,823
Internet & Direct Marketing Retail 3.0%
Etsy, Inc.(a) 590,225 122,743,191
Poshmark, Inc., Class A(a),(b),(c) 730,960 17,367,610
Total   140,110,801
Leisure Products 0.7%
Brunswick Corp. 353,000 33,630,310
Common Stocks (continued)
Issuer Shares Value ($)
Specialty Retail 4.1%
Five Below, Inc.(a) 357,225 63,160,952
Floor & Decor Holdings, Inc.(a) 518,000 62,569,220
Vroom, Inc.(a),(c) 1,415,207 31,233,619
Williams-Sonoma, Inc. 186,700 33,107,511
Total   190,071,302
Total Consumer Discretionary 922,894,355
Consumer Staples 1.9%
Food & Staples Retailing 1.0%
BJ’s Wholesale Club Holdings, Inc.(a) 824,000 45,254,080
Household Products 0.9%
WD-40 Co. 184,759 42,768,013
Total Consumer Staples 88,022,093
Energy 1.4%
Oil, Gas & Consumable Fuels 1.4%
Devon Energy Corp. 669,600 23,777,496
Diamondback Energy, Inc. 247,600 23,440,292
Matador Resources Co. 408,166 15,526,635
Total   62,744,423
Total Energy 62,744,423
Financials 5.4%
Banks 1.6%
Lakeland Financial Corp. 586,115 41,754,833
SVB Financial Group(a) 33,614 21,744,224
Western Alliance Bancorp 121,951 13,270,708
Total   76,769,765
Capital Markets 3.8%
Ares Management Corp., Class A 459,290 33,909,381
Foresight Acquisition Corp. PIPE(a),(d),(e),(f),(g),(h) 2,500,000 22,800,000
GCM Grosvenor, Inc., Class A(b),(c) 2,226,000 25,643,520
Hamilton Lane, Inc., Class A(b) 387,300 32,850,786
Houlihan Lokey, Inc., Class A 413,900 38,120,190
Open Lending Corp., Class A(a) 601,000 21,678,070
Total   175,001,947
Total Financials 251,771,712
Columbia Acorn® Fund | Quarterly Report 2021
1

Portfolio of Investments   (continued)
Columbia Acorn® Fund, September 30, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Health Care 22.7%
Biotechnology 9.8%
Anika Therapeutics, Inc.(a) 648,943 27,619,014
Argenx SE, ADR(a) 114,951 34,715,202
BioMarin Pharmaceutical, Inc.(a) 468,700 36,225,823
CRISPR Therapeutics AG(a) 152,449 17,063,617
Exact Sciences Corp.(a) 341,400 32,586,630
Fate Therapeutics, Inc.(a) 279,750 16,580,782
Horizon Therapeutics PLC(a) 886,589 97,116,959
Insmed, Inc.(a) 1,675,370 46,139,690
Intellia Therapeutics, Inc.(a) 183,000 24,549,450
Iovance Biotherapeutics, Inc.(a) 650,700 16,046,262
Kura Oncology, Inc.(a) 1,165,552 21,830,789
Mirati Therapeutics, Inc.(a) 187,230 33,122,859
Natera, Inc.(a) 467,100 52,053,624
Total   455,650,701
Health Care Equipment & Supplies 3.9%
Align Technology, Inc.(a) 102,250 68,040,217
Globus Medical, Inc., Class A(a) 433,100 33,184,122
Masimo Corp.(a) 299,100 80,969,361
Total   182,193,700
Health Care Providers & Services 3.5%
Amedisys, Inc.(a) 584,055 87,082,600
Chemed Corp. 92,296 42,928,716
Encompass Health Corp. 479,663 35,993,912
Total   166,005,228
Health Care Technology 1.3%
Doximity, Inc., Class A(a),(c) 518,036 41,805,505
Schrodinger, Inc.(a) 315,300 17,240,604
Total   59,046,109
Life Sciences Tools & Services 4.2%
10X Genomics, Inc., Class A(a) 325,453 47,379,448
Bio-Techne Corp. 159,302 77,192,970
Pacific Biosciences of California, Inc.(a) 1,316,600 33,639,130
Repligen Corp.(a) 133,000 38,435,670
Total   196,647,218
Total Health Care 1,059,542,956
Common Stocks (continued)
Issuer Shares Value ($)
Industrials 12.3%
Electrical Equipment 5.1%
Atkor, Inc.(a) 962,684 83,676,493
Generac Holdings, Inc.(a) 131,180 53,609,331
Plug Power, Inc.(a) 1,723,000 44,005,420
Shoals Technologies Group, Inc., Class A(a) 1,267,675 35,342,779
Sunrun, Inc.(a) 452,000 19,888,000
Total   236,522,023
Machinery 3.1%
IDEX Corp. 133,500 27,627,825
ITT, Inc. 600,721 51,565,891
SPX Corp.(a) 1,233,872 65,950,458
Total   145,144,174
Professional Services 1.8%
Exponent, Inc. 396,300 44,841,345
ICF International, Inc. 441,000 39,376,890
Total   84,218,235
Road & Rail 0.3%
Old Dominion Freight Line, Inc. 50,840 14,539,223
Trading Companies & Distributors 2.0%
SiteOne Landscape Supply, Inc.(a) 470,826 93,915,662
Total Industrials 574,339,317
Information Technology 28.6%
Communications Equipment 1.0%
Calix, Inc.(a) 922,854 45,616,673
Electronic Equipment, Instruments & Components 1.0%
CDW Corp. 270,622 49,258,617
IT Services 6.4%
Endava PLC, ADR(a) 688,725 93,563,291
EPAM Systems, Inc.(a) 87,787 50,080,728
MongoDB, Inc.(a) 166,250 78,388,537
VeriSign, Inc.(a) 217,675 44,625,552
Wix.com Ltd.(a) 165,850 32,501,625
Total   299,159,733
 
2 Columbia Acorn® Fund | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Acorn® Fund, September 30, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Semiconductors & Semiconductor Equipment 2.3%
Enphase Energy, Inc.(a) 420,200 63,017,394
Teradyne, Inc. 388,911 42,457,414
Total   105,474,808
Software 17.9%
Avalara, Inc.(a) 496,000 86,685,920
Bill.com Holdings, Inc.(a) 460,720 122,989,204
Blackline, Inc.(a) 426,525 50,355,541
Cadence Design Systems, Inc.(a) 481,775 72,960,006
Crowdstrike Holdings, Inc., Class A(a) 92,200 22,660,916
Dolby Laboratories, Inc., Class A 286,357 25,199,416
Elastic NV(a) 301,732 44,955,051
HubSpot, Inc.(a) 61,850 41,816,167
j2 Global, Inc.(a) 309,450 42,277,059
Manhattan Associates, Inc.(a) 197,483 30,220,823
Olo, Inc., Class A(a) 991,000 29,759,730
Sprout Social, Inc., Class A(a) 210,013 25,611,085
Trade Desk, Inc. (The), Class A(a) 1,198,450 84,251,035
Voyager Digital Ltd.(a) 2,318,173 23,335,470
Zendesk, Inc.(a) 504,800 58,753,672
Zscaler, Inc.(a) 268,451 70,393,221
Total   832,224,316
Total Information Technology 1,331,734,147
Materials 2.2%
Chemicals 2.2%
Albemarle Corp. 268,600 58,815,342
Avient Corp. 958,000 44,403,300
Total   103,218,642
Total Materials 103,218,642
Common Stocks (continued)
Issuer Shares Value ($)
Real Estate 1.4%
Real Estate Management & Development 1.4%
Colliers International Group, Inc. 336,817 43,014,899
FirstService Corp. 132,500 23,913,600
Total   66,928,499
Total Real Estate 66,928,499
Total Common Stocks
(Cost $3,559,199,525)
4,620,325,287
Securities Lending Collateral 0.6%
Dreyfus Government Cash Management Fund, Institutional Shares, 0.030%(i),(j) 27,054,300 27,054,300
Total Securities Lending Collateral
(Cost $27,054,300)
27,054,300
Money Market Funds 1.6%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.065%(b),(i) 73,147,334 73,140,019
Total Money Market Funds
(Cost $73,139,115)
73,140,019
Total Investments in Securities
(Cost: $3,659,392,940)
4,720,519,606
Obligation to Return Collateral for Securities Loaned   (27,054,300)
Other Assets & Liabilities, Net   (34,079,820)
Net Assets 4,659,385,486
 
Columbia Acorn® Fund | Quarterly Report 2021
3

Portfolio of Investments   (continued)
Columbia Acorn® Fund, September 30, 2021 (Unaudited)
Notes to Portfolio of Investments
(a) Non-income producing investment.
(b) 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 September 30, 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, 0.065%
  39,795,717 1,266,128,846 (1,232,780,244) (4,300) 73,140,019 4,301 42,549 73,147,334
ePlus, Inc.‡,†
  47,101,170 (79,036,447) 7,473,170
GCM Grosvenor, Inc., Class A
  2,341,158 25,643,520 511,980 2,226,000
Hamilton Lane, Inc., Class A‡,†
  48,305,512 (44,288,825) (2,061,166) 707,955
Kiniksa Pharmaceuticals Ltd., Class A
  28,164,513 (31,166,940) 3,002,427 (4,332,697)
Poshmark, Inc., Class A‡,†
  57,202,730 (11,237,810) (4,973,855)
Total 67,960,230     5,339,285 98,783,539 (3,890,247) 1,262,484  
    
Issuer was not an affiliate at the beginning of period.
Issuer was not an affiliate at the end of period.
    
(c) All or a portion of this security was on loan at September 30, 2021. The total market value of securities on loan at September 30, 2021 was $25,998,771.
(d) Represents fair value as determined in good faith under procedures approved by the Board of Trustees. At September 30, 2021, the total value of these securities amounted to $22,800,000, which represents 0.49% of total net assets.
(e) At September 30, 2021, the Fund had unfunded commitments to purchase shares for the securities shown below:
    
Security Shares Cost ($)
Foresight Acquisition Corp. PIPE 2,500,000 25,000,000
    
(f) Denotes a restricted security, which is subject to legal or contractual restrictions on resale under federal securities laws. Disposal of a restricted investment may involve time-consuming negotiations and expenses, and prompt sale at an acceptable price may be difficult to achieve. Private placement securities are generally considered to be restricted, although certain of those securities may be traded between qualified institutional investors under the provisions of Section 4(a)(2) and Rule 144A. The Fund will not incur any registration costs upon such a trade. These securities are valued at fair value determined in good faith under consistently applied procedures established by the Fund’s Board of Trustees. At September 30, 2021, the total market value of these securities amounted to $22,800,000, which represents 0.49% of total net assets. Additional information on these securities is as follows:
    
Security Acquisition
Dates
Shares Cost ($) Value ($)
Foresight Acquisition Corp. PIPE 05/26/021 2,500,000 25,000,000 22,800,000
    
(g) Valuation based on significant unobservable inputs.
(h) Represents a security purchased on a when-issued basis.
(i) The rate shown is the seven-day current annualized yield at September 30, 2021.
(j) Investment made with cash collateral received from securities lending activity.
Abbreviation Legend
ADR American Depositary Receipt
PIPE Private Investment in Public Equity
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®, September 30, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 98.7%
Issuer Shares Value ($)
Australia 4.8%
Bapcor Ltd. 6,204,896 33,469,115
carsales.com Ltd. 1,015,457 18,226,974
Evolution Mining Ltd. 3,069,061 7,760,177
IDP Education Ltd. 1,223,631 29,627,902
Temple & Webster Group Ltd.(a) 2,918,562 26,070,333
Total 115,154,501
Austria 1.0%
S&T AG(b) 900,351 23,397,873
Brazil 2.1%
Notre Dame Intermedica Participacoes SA 1,396,476 19,073,568
TOTVS SA 4,813,065 31,852,888
Total 50,926,456
Cambodia 0.5%
NagaCorp Ltd. 14,981,000 12,781,142
Canada 1.9%
CCL Industries, Inc. 325,951 16,881,719
Osisko Gold Royalties Ltd. 2,541,914 28,557,900
Total 45,439,619
China 2.3%
Shenzhou International Group Holdings Ltd. 1,223,000 25,956,305
Silergy Corp. 199,000 28,945,261
Total 54,901,566
Denmark 3.4%
ALK-Abello AS(a) 78,605 32,980,558
SimCorp AS 404,312 47,771,071
Total 80,751,629
Finland 0.6%
Valmet OYJ 419,361 15,140,637
France 0.6%
Robertet SA 12,457 14,342,989
Germany 8.0%
Eckert & Ziegler Strahlen- und Medizintechnik AG 277,217 35,682,354
Hypoport SE(a) 83,056 55,720,110
Jenoptik AG 1,100,889 37,100,020
Common Stocks (continued)
Issuer Shares Value ($)
Nemetschek SE 457,293 47,764,205
TeamViewer AG(a) 528,734 15,468,429
Total 191,735,118
Greece 0.6%
JUMBO SA 905,070 14,736,969
Italy 4.7%
Amplifon SpA 1,002,109 47,625,772
Carel Industries SpA 296,509 8,088,511
GVS SpA 1,176,151 16,691,837
Nexi SpA(a) 2,179,242 40,637,795
Total 113,043,915
Japan 17.3%
Aruhi Corp. 1,130,300 13,177,451
Daifuku Co., Ltd. 582,500 54,630,233
Daiseki Co., Ltd. 955,720 41,739,379
Disco Corp. 54,600 15,292,789
Elecom Co., Ltd. 1,210,600 19,451,934
Fuso Chemical Co., Ltd. 576,000 26,092,917
Hikari Tsushin, Inc. 399,128 67,460,203
NSD Co., Ltd. 751,500 13,693,231
Obic Co., Ltd. 130,100 24,739,553
Seiren Co., Ltd. 882,800 16,607,674
Sekisui Chemical Co., Ltd. 3,846,100 66,084,399
Shima Seiki Manufacturing Ltd. 325,900 6,556,091
Simplex Holdings, Inc.(a) 799,700 14,485,783
Solasto Corp. 1,849,000 24,915,277
Valqua Ltd. 417,900 8,029,291
Total 412,956,205
Malta 0.7%
Kindred Group PLC 1,096,680 16,445,820
Mexico 0.9%
Corporación Inmobiliaria Vesta SAB de CV 12,567,607 21,955,183
Netherlands 4.4%
Argenx SE, ADR(a) 117,667 35,535,434
BE Semiconductor Industries NV 147,790 11,757,516
Columbia Acorn International® | Quarterly Report 2021
5

Portfolio of Investments   (continued)
Columbia Acorn International®, September 30, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
IMCD NV 294,975 56,452,336
Total 103,745,286
New Zealand 1.9%
Fisher & Paykel Healthcare Corp., Ltd. 2,028,643 44,621,391
Russian Federation 2.1%
TCS Group Holding PLC, GDR 535,514 48,695,120
Singapore 2.2%
Mapletree Commercial Trust 14,011,900 21,234,653
Mapletree Logistics Trust 20,623,244 30,830,383
Total 52,065,036
South Korea 2.3%
Koh Young Technology, Inc. 1,445,508 23,588,372
Korea Investment Holdings Co., Ltd. 436,984 31,402,561
Total 54,990,933
Spain 2.1%
Befesa SA 357,441 27,184,750
Vidrala SA 208,077 22,704,648
Total 49,889,398
Sweden 9.6%
AddTech AB, B Shares 2,440,990 43,497,492
Dometic Group AB 2,217,978 33,492,828
Hexagon AB, Class B 4,383,144 67,798,447
Munters Group AB 3,221,647 26,422,628
Sectra AB, Class B(a) 1,203,895 24,203,317
Sweco AB, Class B 2,087,397 32,952,374
Total 228,367,086
Switzerland 3.5%
Belimo Holding AG, Registered Shares 68,055 36,074,006
Gurit Holding AG 6,659 12,475,577
Inficon Holding AG 19,016 22,205,574
Montana Aerospace AG(a),(c) 333,954 11,910,430
Total 82,665,587
Common Stocks (continued)
Issuer Shares Value ($)
Taiwan 5.1%
Parade Technologies Ltd. 860,000 50,340,436
Sinbon Electronics Co., Ltd. 2,454,000 20,635,575
Universal Vision Biotechnology Co., Ltd. 1,139,000 12,517,292
Voltronic Power Technology Corp. 628,408 38,320,121
Total 121,813,424
United Kingdom 14.2%
Abcam PLC(a) 640,980 12,937,574
Auto Trader Group PLC 2,123,901 16,749,517
Dechra Pharmaceuticals PLC 792,600 51,795,538
Diploma PLC 705,911 26,842,427
Genus PLC 377,633 27,607,423
Halma PLC 472,639 18,028,121
Intermediate Capital Group PLC 1,810,459 49,575,179
Rentokil Initial PLC 5,213,066 40,937,162
Rightmove PLC 4,911,687 45,124,828
Safestore Holdings PLC 1,627,465 23,002,958
Spirax-Sarco Engineering PLC 126,531 25,458,775
Total 338,059,502
United States 1.9%
Inter Parfums, Inc. 591,449 44,222,642
Vietnam 0.0%
Asia Commercial Bank JSC(a) 320,000 443,208
Total Common Stocks
(Cost $1,465,713,887)
2,353,288,235
Securities Lending Collateral 0.8%
Dreyfus Government Cash Management Fund, Institutional Shares, 0.030%(d),(e) 20,088,950 20,088,950
Total Securities Lending Collateral
(Cost $20,088,950)
20,088,950
 
6 Columbia Acorn International® | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Acorn International®, September 30, 2021 (Unaudited)
Money Market Funds 1.3%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.065%(d),(f) 29,941,583 29,938,589
Total Money Market Funds
(Cost $29,938,589)
29,938,589
Total Investments in Securities
(Cost $1,515,741,426)
2,403,315,774
Obligation to Return Collateral for Securities Loaned   (20,088,950)
Other Assets & Liabilities, Net   1,812,570
Net Assets $2,385,039,394
At September 30, 2021, securities and/or cash totaling $1,346,481 were pledged as collateral.
Investments in derivatives
Long futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
MSCI Emerging Markets Index 369 12/2021 USD 22,981,320 (680,243)
Notes to Portfolio of Investments
(a) Non-income producing investment.
(b) All or a portion of this security was on loan at September 30, 2021. The total market value of securities on loan at September 30, 2021 was $19,043,472.
(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 September 30, 2021, the total value of these securities amounted to $11,910,430, which represents 0.50% of total net assets.
(d) The rate shown is the seven-day current annualized yield at September 30, 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 September 30, 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, 0.065%
  61,934,514 450,795,908 (482,791,833) 29,938,589 30,199 29,941,583
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®, September 30, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 96.3%
Issuer Shares Value ($)
Consumer Discretionary 20.1%
Auto Components 3.0%
Dorman Products, Inc.(a) 37,320 3,533,084
LCI Industries 23,146 3,116,146
Visteon Corp.(a) 27,625 2,607,524
Total   9,256,754
Diversified Consumer Services 1.0%
Bright Horizons Family Solutions, Inc.(a) 22,625 3,154,377
Hotels, Restaurants & Leisure 8.3%
Choice Hotels International, Inc. 24,161 3,053,226
Churchill Downs, Inc. 23,276 5,588,102
Planet Fitness, Inc., Class A(a) 102,132 8,022,469
Wendy’s Co. (The) 126,471 2,741,891
Wingstop, Inc. 38,710 6,345,730
Total   25,751,418
Household Durables 1.8%
Skyline Champion Corp.(a) 91,970 5,523,718
Internet & Direct Marketing Retail 1.0%
Poshmark, Inc., Class A(a),(b) 126,707 3,010,558
Leisure Products 0.9%
Brunswick Corp. 31,210 2,973,377
Specialty Retail 4.1%
Boot Barn Holdings, Inc.(a) 43,535 3,868,955
Five Below, Inc.(a) 30,943 5,471,032
Vroom, Inc.(a),(b) 162,478 3,585,890
Total   12,925,877
Total Consumer Discretionary 62,596,079
Consumer Staples 2.7%
Food & Staples Retailing 1.8%
BJ’s Wholesale Club Holdings, Inc.(a) 99,903 5,486,673
Household Products 0.9%
WD-40 Co. 12,497 2,892,805
Total Consumer Staples 8,379,478
Common Stocks (continued)
Issuer Shares Value ($)
Energy 0.7%
Oil, Gas & Consumable Fuels 0.7%
Matador Resources Co. 54,646 2,078,734
Total Energy 2,078,734
Financials 7.6%
Banks 1.1%
Lakeland Financial Corp. 48,245 3,436,974
Capital Markets 6.5%
Foresight Acquisition Corp.(a) 484,027 4,905,613
GCM Grosvenor, Inc., Class A(b) 399,884 4,606,664
Hamilton Lane, Inc., Class A 39,888 3,383,300
Houlihan Lokey, Inc., Class A 40,858 3,763,022
Open Lending Corp., Class A(a) 103,125 3,719,719
Total   20,378,318
Total Financials 23,815,292
Health Care 27.0%
Biotechnology 9.7%
Anika Therapeutics, Inc.(a) 84,050 3,577,168
Arcus Biosciences, Inc.(a) 90,226 3,146,181
CRISPR Therapeutics AG(a) 13,354 1,494,713
Fate Therapeutics, Inc.(a) 71,320 4,227,136
Insmed, Inc.(a) 140,494 3,869,205
Intellia Therapeutics, Inc.(a) 14,185 1,902,918
Iovance Biotherapeutics, Inc.(a) 43,100 1,062,846
Kura Oncology, Inc.(a) 157,311 2,946,435
Mirati Therapeutics, Inc.(a) 24,861 4,398,159
Natera, Inc.(a) 33,190 3,698,694
Total   30,323,455
Health Care Equipment & Supplies 1.3%
Glaukos Corp.(a) 31,345 1,509,889
Globus Medical, Inc., Class A(a) 34,005 2,605,463
Total   4,115,352
8 Columbia Acorn USA® | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Acorn USA®, September 30, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Health Care Providers & Services 5.5%
Amedisys, Inc.(a) 38,777 5,781,650
Chemed Corp. 13,474 6,267,027
Encompass Health Corp. 17,875 1,341,340
National Research Corp., Class A 89,928 3,792,264
Total   17,182,281
Health Care Technology 1.7%
Doximity, Inc., Class A(a),(b) 34,513 2,785,199
Schrodinger, Inc.(a) 46,765 2,557,110
Total   5,342,309
Life Sciences Tools & Services 8.1%
Bio-Techne Corp. 5,335 2,585,181
Codexis, Inc.(a) 139,525 3,245,352
NanoString Technologies, Inc.(a) 54,507 2,616,881
NeoGenomics, Inc.(a) 70,000 3,376,800
Pacific Biosciences of California, Inc.(a) 160,030 4,088,766
Repligen Corp.(a) 31,921 9,224,850
Total   25,137,830
Pharmaceuticals 0.7%
Nuvation Bio, Inc.(a),(b) 225,836 2,244,810
Total Health Care 84,346,037
Industrials 15.8%
Aerospace & Defense 0.7%
Curtiss-Wright Corp. 17,702 2,233,638
Electrical Equipment 6.5%
Atkor, Inc.(a) 69,294 6,023,034
Plug Power, Inc.(a) 155,838 3,980,103
Shoals Technologies Group, Inc., Class A(a) 194,351 5,418,506
Sunrun, Inc.(a) 111,115 4,889,060
Total   20,310,703
Machinery 2.1%
ITT, Inc. 40,315 3,460,640
Watts Water Technologies, Inc., Class A 18,353 3,084,956
Total   6,545,596
Common Stocks (continued)
Issuer Shares Value ($)
Professional Services 2.3%
Exponent, Inc. 35,016 3,962,060
ICF International, Inc. 37,423 3,341,500
Total   7,303,560
Road & Rail 1.1%
Saia, Inc.(a) 13,928 3,315,282
Trading Companies & Distributors 3.1%
SiteOne Landscape Supply, Inc.(a) 48,868 9,747,700
Total Industrials 49,456,479
Information Technology 18.9%
Communications Equipment 1.3%
Calix, Inc.(a) 80,359 3,972,145
Electronic Equipment, Instruments & Components 1.8%
Advanced Energy Industries, Inc. 25,115 2,203,841
Badger Meter, Inc. 33,421 3,380,200
Total   5,584,041
IT Services 2.4%
Endava PLC, ADR(a) 55,370 7,522,015
Software 13.4%
Avalara, Inc.(a) 30,690 5,363,691
Blackline, Inc.(a) 82,127 9,695,914
Elastic NV(a) 33,701 5,021,112
Five9, Inc.(a) 9,800 1,565,452
j2 Global, Inc.(a) 39,592 5,409,059
Manhattan Associates, Inc.(a) 18,114 2,771,986
Mimecast Ltd.(a) 35,934 2,285,402
Olo, Inc., Class A(a) 148,321 4,454,080
Sprout Social, Inc., Class A(a) 17,620 2,148,759
Voyager Digital Ltd.(a) 303,399 3,054,111
Total   41,769,566
Total Information Technology 58,847,767
Materials 1.3%
Chemicals 1.3%
Avient Corp. 86,200 3,995,370
Total Materials 3,995,370
 
Columbia Acorn USA® | Quarterly Report 2021
9

Portfolio of Investments   (continued)
Columbia Acorn USA®, September 30, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Real Estate 2.2%
Real Estate Management & Development 2.2%
Colliers International Group, Inc. 33,829 4,320,301
FirstService Corp. 13,489 2,434,495
Total   6,754,796
Total Real Estate 6,754,796
Total Common Stocks
(Cost $234,618,358)
300,270,032
Limited Partnerships 1.4%
Consumer Discretionary 1.4%
Hotels, Restaurants & Leisure 1.4%
Cedar Fair LP(a) 92,580 4,293,861
Total Consumer Discretionary 4,293,861
Total Limited Partnerships
(Cost $3,167,883)
4,293,861
Securities Lending Collateral 2.6%
Issuer Shares Value ($)
Dreyfus Government Cash Management Fund, Institutional Shares, 0.030%(c),(d) 8,028,475 8,028,475
Total Securities Lending Collateral
(Cost $8,028,475)
8,028,475
Money Market Funds 2.2%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.065%(c),(e) 6,904,706 6,904,015
Total Money Market Funds
(Cost $6,903,988)
6,904,015
Total Investments in Securities
(Cost: $252,718,704)
319,496,383
Obligation to Return Collateral for Securities Loaned   (8,028,475)
Other Assets & Liabilities, Net   260,514
Net Assets 311,728,422
 
Notes to Portfolio of Investments
(a) Non-income producing investment.
(b) All or a portion of this security was on loan at September 30, 2021. The total market value of securities on loan at September 30, 2021 was $7,753,409.
(c) The rate shown is the seven-day current annualized yield at September 30, 2021.
(d) Investment made with cash collateral received from securities lending activity.
(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 September 30, 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, 0.065%
  3,540,814 111,945,633 (108,581,636) (796) 6,904,015 796 4,703 6,904,706
Abbreviation Legend
ADR American Depositary Receipt
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
10 Columbia Acorn USA® | Quarterly Report 2021

Portfolio of Investments
Columbia Acorn International SelectSM, September 30, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 99.0%
Issuer Shares Value ($)
Australia 2.3%
carsales.com Ltd. 602,427 10,813,280
Brazil 2.2%
TOTVS SA 1,558,223 10,312,327
Canada 1.8%
CCL Industries, Inc. 161,902 8,385,261
China 5.9%
NetEase, Inc., ADR 156,156 13,335,722
Shenzhou International Group Holdings Ltd. 690,700 14,659,052
Total 27,994,774
Denmark 3.3%
SimCorp AS 135,038 15,955,277
Finland 1.9%
Valmet OYJ 247,415 8,932,687
Germany 4.1%
Nemetschek SE 187,919 19,628,120
Italy 5.0%
Amplifon SpA 219,950 10,453,243
Nexi SpA(a) 715,351 13,339,632
Total 23,792,875
Japan 14.8%
Daifuku Co., Ltd. 144,600 13,561,428
Hikari Tsushin, Inc. 77,100 13,031,362
Obic Co., Ltd. 54,100 10,287,547
Recruit Holdings Co., Ltd. 309,600 18,924,565
Sekisui Chemical Co., Ltd. 855,200 14,694,204
Total 70,499,106
Malta 0.0%
BGP Holdings PLC(a),(b),(c) 2,232,232 2
Netherlands 7.0%
IMCD NV 94,707 18,125,032
Koninklijke Philips NV 345,242 15,338,040
Total 33,463,072
New Zealand 3.4%
Fisher & Paykel Healthcare Corp., Ltd. 739,517 16,266,183
Common Stocks (continued)
Issuer Shares Value ($)
Singapore 2.0%
Mapletree Logistics Trust 6,514,900 9,739,344
South Korea 1.9%
Koh Young Technology, Inc. 40,000 652,736
Korea Investment Holdings Co., Ltd. 114,612 8,236,252
Total 8,888,988
Sweden 12.0%
Hexagon AB, Class B 1,722,866 26,649,282
Sectra AB, Class B(a) 923,940 18,575,052
Sweco AB, Class B 761,755 12,025,329
Total 57,249,663
Switzerland 10.5%
Belimo Holding AG, Registered Shares 28,208 14,952,253
Lonza Group AG, Registered Shares 25,036 18,779,749
Partners Group Holding AG 10,574 16,502,201
Total 50,234,203
Taiwan 6.9%
Parade Technologies Ltd. 283,000 16,565,516
Voltronic Power Technology Corp. 267,852 16,333,530
Total 32,899,046
United Kingdom 14.0%
Dechra Pharmaceuticals PLC 312,084 20,394,346
Intermediate Capital Group PLC 409,621 11,216,512
Rentokil Initial PLC 2,295,723 18,027,852
Rightmove PLC 1,891,156 17,374,497
Total 67,013,207
Total Common Stocks
(Cost $333,427,242)
472,067,415
Columbia Acorn International SelectSM | Quarterly Report 2021
11

Portfolio of Investments   (continued)
Columbia Acorn International SelectSM, September 30, 2021 (Unaudited)
Money Market Funds 1.3%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.065%(d),(e) 6,069,550 6,068,943
Total Money Market Funds
(Cost $6,068,943)
6,068,943
Total Investments in Securities
(Cost $339,496,185)
478,136,358
Other Assets & Liabilities, Net   (1,245,328)
Net Assets $476,891,030
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 September 30, 2021, the total value of these securities amounted to $2, 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 September 30, 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 September 30, 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, 0.065%
  3,594,978 79,226,030 (76,752,065) 6,068,943 2,753 6,069,550
Abbreviation Legend
ADR American Depositary Receipt
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
12 Columbia Acorn International SelectSM | Quarterly Report 2021

Portfolio of Investments
Columbia Thermostat FundSM, September 30, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Equity Funds 8.9%
  Shares Value ($)
International 1.0%
Columbia Emerging Markets Fund, Institutional 3 Class(a) 1,130,678 21,109,753
U.S. Large Cap 5.9%
Columbia Contrarian Core Fund, Institutional 3 Class(a) 882,067 31,551,552
Columbia Large Cap Enhanced Core Fund, Institutional 3 Class(a) 1,047,347 31,357,568
Columbia Large Cap Index Fund, Institutional 3 Class(a) 1,015,382 62,943,546
Total 125,852,666
U.S. Mid Cap 1.0%
Columbia Select Mid Cap Value Fund, Institutional 3 Class(a) 1,618,613 21,478,992
U.S. Small Mid Cap 1.0%
Columbia Acorn® Fund, Institutional 3 Class(a),(b) 1,128,907 20,907,365
Total Equity Funds
(Cost $141,479,138)
189,348,776
Exchange-Traded Equity Funds 1.0%
U.S. Large Cap 1.0%
Columbia Research Enhanced Core ETF(a) 710,779 20,879,062
Total Exchange-Traded Equity Funds
(Cost $14,426,187)
20,879,062
Exchange-Traded Fixed Income Funds 9.0%
Multisector 9.0%
Columbia Diversified Fixed Income Allocation ETF(a) 8,940,865 190,976,877
Total Exchange-Traded Fixed Income Funds
(Cost $187,918,339)
190,976,877
Fixed Income Funds 80.8%
  Shares Value ($)
Investment Grade 80.8%
Columbia Corporate Income Fund, Institutional 3 Class(a) 17,514,018 191,253,075
Columbia Quality Income Fund, Institutional 3 Class(a) 17,068,235 383,011,194
Columbia Short Term Bond Fund, Institutional 3 Class(a) 28,444,845 287,008,489
Columbia Total Return Bond Fund, Institutional 3 Class(a) 5,083,797 191,455,797
Columbia U.S. Treasury Index Fund, Institutional 3 Class(a) 57,464,148 669,457,324
Total 1,722,185,879
Total Fixed Income Funds
(Cost $1,725,147,716)
1,722,185,879
Money Market Funds 0.9%
Columbia Short-Term Cash Fund, 0.065%(a),(c) 20,387,496 20,385,457
Total Money Market Funds
(Cost $20,385,457)
20,385,457
Total Investments in Securities
(Cost: $2,089,356,837)
2,143,776,051
Other Assets & Liabilities, Net   (11,957,919)
Net Assets 2,131,818,132
Columbia Thermostat FundSM | Quarterly Report 2021
13

Portfolio of Investments   (continued)
Columbia Thermostat FundSM, September 30, 2021 (Unaudited)
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 September 30, 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 7,937,567 (75,823,509) (18,200,398) 24,867,255
Columbia Acorn® Fund, Institutional 3 Class
  84,751,736 15,023,970 (64,355,679) (14,512,662) 20,907,365 824,033 18,371,782 1,128,907
Columbia Contrarian Core Fund, Institutional 3 Class
  85,172,403 4,983,144 (50,083,262) (8,520,733) 31,551,552 20,489,089 882,067
Columbia Corporate Income Fund, Institutional 3 Class
  84,644,993 114,230,096 (6,977,120) (644,894) 191,253,075 (238,527) 2,500,149 17,514,018
Columbia Diversified Fixed Income Allocation ETF
  84,444,150 115,859,957 (6,200,742) (3,126,488) 190,976,877 (83,901) 2,338,300 8,940,865
Columbia Dividend Income Fund, Institutional 3 Class
  83,970,346 6,162,809 (70,514,613) (19,618,542) 30,600,431 412,805
Columbia Emerging Markets Fund, Institutional 3 Class
  22,239,378 (1,129,625) 21,109,753 1,130,678
Columbia Large Cap Enhanced Core Fund, Institutional 3 Class
  84,343,847 7,479,800 (51,686,638) (8,779,441) 31,357,568 1,606,765 20,249,078 62,300 1,047,347
Columbia Large Cap Index Fund, Institutional 3 Class
  254,114,521 21,816,833 (174,465,683) (38,522,125) 62,943,546 2,106,705 70,579,252 111,633 1,015,382
Columbia Quality Income Fund, Institutional 3 Class
  169,430,970 228,769,942 (10,990,895) (4,198,823) 383,011,194 (143,381) 5,427,703 17,068,235
Columbia Research Enhanced Core ETF
  83,125,929 6,453,488 (58,950,197) (9,750,158) 20,879,062 23,684,348 710,779
Columbia Select Mid Cap Value Fund, Institutional 3 Class
  87,709,618 2,209,511 (54,956,121) (13,484,016) 21,478,992 270,626 29,525,970 227,896 1,618,613
Columbia Short Term Bond Fund, Institutional 3 Class
  126,683,822 169,306,028 (8,536,789) (444,572) 287,008,489 (14,022) 2,669,697 28,444,845
Columbia Short-Term Cash Fund, 0.061%
  6,901,030 313,422,882 (299,938,453) (2) 20,385,457 2 4,226 20,387,496
Columbia Total Return Bond Fund, Institutional 3 Class
  84,645,589 114,804,651 (6,063,671) (1,930,772) 191,455,797 (268,025) 3,384,673 5,083,797
Columbia U.S. Treasury Index Fund, Institutional 3 Class
  295,666,771 405,146,088 (22,478,998) (8,876,537) 669,457,324 (815,954) 4,478,714 57,464,148
Total 1,701,692,065     (151,739,788) 2,143,776,051 4,808,129 236,803,397 21,618,096  
    
(b) Non-income producing investment.
(c) The rate shown is the seven-day current annualized yield at September 30, 2021.
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
14 Columbia Thermostat FundSM | Quarterly Report 2021

Portfolio of Investments
Columbia Acorn European FundSM, September 30, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 98.2%
Issuer Shares Value ($)
Austria 1.4%
S&T AG 106,730 2,773,646
Cyprus 1.3%
TCS Group Holding PLC GDR(a) 27,573 2,507,256
Denmark 4.8%
ALK-Abello AS(b) 9,644 4,046,365
SimCorp AS 45,885 5,421,495
Total 9,467,860
Finland 1.5%
Valmet OYJ 82,297 2,971,256
France 1.4%
Robertet SA 2,409 2,773,722
Germany 13.9%
Eckert & Ziegler Strahlen- und Medizintechnik AG 32,026 4,122,269
Exasol AG(b) 97,562 1,338,050
Hypoport SE(b) 9,701 6,508,148
Jenoptik AG 129,392 4,360,517
Nemetschek SE 57,220 5,976,623
TeamViewer AG(b) 64,304 1,881,252
Washtec AG 54,954 3,453,447
Total 27,640,306
Greece 1.2%
JUMBO SA 146,853 2,391,161
Italy 8.4%
Amplifon SpA 108,568 5,159,753
Carel Industries SpA 135,475 3,695,642
GVS SpA 162,872 2,311,466
Nexi SpA(b) 301,175 5,616,213
Total 16,783,074
Malta 1.3%
Kindred Group PLC 171,093 2,565,712
Netherlands 5.6%
Argenx SE(b) 5,774 1,744,805
BE Semiconductor Industries NV 22,045 1,753,802
IMCD NV 31,933 6,111,340
Common Stocks (continued)
Issuer Shares Value ($)
Koninklijke Philips NV 36,808 1,635,266
Total 11,245,213
Spain 3.0%
Befesa SA 34,456 2,620,510
Vidrala SA 30,780 3,358,608
Total 5,979,118
Sweden 17.9%
AddTech AB, B Shares 313,779 5,591,420
Dometic Group AB 246,007 3,714,856
Dustin Group AB 262,789 2,826,188
Hexagon AB, Class B 493,821 7,638,420
Munters Group AB 478,491 3,924,387
Sectra AB, Class B(b) 380,995 7,659,591
Sweco AB, Class B 275,140 4,343,456
Total 35,698,318
Switzerland 8.6%
Belimo Holding AG, Registered Shares 8,839 4,685,301
Gurit Holding AG 861 1,613,076
Inficon Holding AG 2,081 2,430,048
Kardex Energy AG 10,723 3,019,402
Montana Aerospace AG(a),(b) 61,136 2,180,408
Partners Group Holding AG 2,087 3,257,055
Total 17,185,290
United Kingdom 25.1%
Abcam PLC(b) 88,535 1,786,995
Auto Trader Group PLC 409,294 3,227,776
Dechra Pharmaceuticals PLC 108,905 7,116,822
Diploma PLC 135,163 5,139,604
Genus PLC 50,052 3,659,126
Halma PLC 78,037 2,976,607
Intermediate Capital Group PLC 202,012 5,531,625
Rentokil Initial PLC 791,522 6,215,664
Rightmove PLC 671,041 6,165,012
Safestore Holdings PLC 254,109 3,591,634
Spirax-Sarco Engineering PLC 22,113 4,449,265
Total 49,860,130
Columbia Acorn European FundSM | Quarterly Report 2021
15

Portfolio of Investments   (continued)
Columbia Acorn European FundSM, September 30, 2021 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
United States 2.8%
Inter Parfums, Inc. 73,769 5,515,708
Total Common Stocks
(Cost $140,561,607)
195,357,770
Money Market Funds 1.4%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.065%(c),(d) 2,804,667 2,804,387
Total Money Market Funds
(Cost $2,804,387)
2,804,387
Total Investments in Securities
(Cost $143,365,994)
198,162,157
Other Assets & Liabilities, Net   749,172
Net Assets $198,911,329
Notes to Portfolio of Investments
(a) 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 September 30, 2021, the total value of these securities amounted to $4,687,664, which represents 2.36% of total net assets.
(b) Non-income producing investment.
(c) The rate shown is the seven-day current annualized yield at September 30, 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 September 30, 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, 0.065%
  2,989,602 75,457,422 (75,642,637) 2,804,387 1,796 2,804,667
Abbreviation Legend
GDR Global Depositary Receipt
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
16 Columbia Acorn European FundSM | Quarterly Report 2021

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