0001145549-22-030040.txt : 20220525 0001145549-22-030040.hdr.sgml : 20220525 20220525092841 ACCESSION NUMBER: 0001145549-22-030040 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220331 FILED AS OF DATE: 20220525 PERIOD START: 20221231 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: 22959461 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 S000009185 Columbia Acorn International C000024958 Columbia Acorn International Class A LAIAX C000024960 Columbia Acorn International Class C LAICX C000024961 Columbia Acorn International Institutional Class ACINX C000097732 Columbia Acorn International Class R CACRX C000097733 Columbia Acorn International Institutional 2 Class CAIRX C000122738 Columbia Acorn International Advisor Class CCIRX C000122739 Columbia Acorn International Institutional 3 Class CCYIX NPORT-P 1 primary_doc.xml NPORT-P false 0000002110 XXXXXXXX S000009185 C000122738 C000024958 C000024960 C000097732 C000024961 C000097733 C000122739 Columbia Acorn Trust 811-01829 0000002110 549300DX0CWIN8VE1908 71 S Wacker Dr. Suite 2500 Chicago 60606 312-634-9200 Columbia Acorn International S000009185 5493004K6O04MY5NT292 2022-12-31 2022-03-31 N 1856464837.430000000000 2492286.490000000000 1853972550.940000000000 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 6235140.060000000000 N Abcam PLC 213800B9N83DSNT33F79 Abcam PLC 000000000 808940.000000000000 NS 14621657.720000000000 0.7886663539 Long EC CORP GB N 2 N N N Amplifon ZYXJDNVM2JI3VBM8G556 Amplifon SpA 000000000 960256.000000000000 NS 42736069.560000000000 2.3051079984 Long EC CORP IT N 2 N N N ARGENX SE 7245009C5FZE6G9ODQ71 Argenx SE 04016X101 92665.000000000000 NS USD 29218201.150000000000 1.5759780874 Long EC CORP NL N 1 N N N COLUMBIA SHORT TERM CASH FUND N/A COLUMBIA SHORT TERM CASH FUND 19766H239 44961276.812000000000 NS USD 44943292.300000000000 2.4241616888 Long STIV CORP US N 1 N N N CYBERAGENT INC 3538006T5KZABPGS8Q08 CyberAgent Inc 000000000 1847900.000000000000 NS 22867035.360000000000 1.2334074390 Long EC CORP JP N 2 N N N Daifuku Co Ltd N/A Daifuku Co Ltd 000000000 401200.000000000000 NS 28626213.140000000000 1.5440473013 Long EC CORP JP N 2 N N N DAISEKI CO LTD N/A Daiseki Co Ltd 000000000 880119.000000000000 NS 33104123.900000000000 1.7855778870 Long EC CORP JP N 2 N N N DECHRA PHARMACEUTICALS 213800J4UVB5OWG8VX82 Dechra Pharmaceuticals PLC 000000000 832134.000000000000 NS 44179750.330000000000 2.3829775855 Long EC CORP GB N 2 N N N DIPLOMA PLC 2138008OGI7VYG8FGR19 Diploma PLC 000000000 807269.000000000000 NS 27714180.260000000000 1.4948538610 Long EC CORP GB N 2 N N N DISCO CORP N/A Disco Corp 000000000 62300.000000000000 NS 17421412.620000000000 0.9396801809 Long EC CORP JP N 2 N N N FISHER & PAYKEL HEALTHCARE CORPORATION LTD N/A Fisher & Paykel Healthcare Corp Ltd 000000000 1626544.000000000000 NS 27293716.820000000000 1.4721748068 Long EC CORP NZ N 2 N N N HALMA PLC 2138007FRGLUR9KGBT40 Halma PLC 000000000 452900.000000000000 NS 14817580.930000000000 0.7992341053 Long EC CORP GB N 2 N N N BE Semiconductor Industries NV 7245007A1YFLI2GNYX06 BE Semiconductor Industries NV 000000000 141617.000000000000 NS 12071906.160000000000 0.6511372649 Long EC CORP NL N 2 N N N HIKARI TSUSHIN INC 3538001SOIIV8U3OXH94 Hikari Tsushin Inc 000000000 401128.000000000000 NS 45602692.530000000000 2.4597285708 Long EC CORP JP N 2 N N N HOSHIZAKI CORP 5299001QAMLGU3SRBG20 Hoshizaki Corp 000000000 218100.000000000000 NS 14961635.530000000000 0.8070041556 Long EC CORP JP N 2 N N N INTER PARFUMS INC N/A Inter Parfums Inc 458334109 400220.000000000000 NS USD 35239371.000000000000 1.9007493386 Long EC CORP US N 1 N N N S&T AG 5299002PSXXMVHB26433 S&T AG 000000000 1130860.000000000000 NS 21131354.510000000000 1.1397878841 Long EC CORP AT N 2 N N INFICON HLDG AG 5067008UT6890I0YM937 Inficon Holding AG 000000000 18222.000000000000 NS 20887307.470000000000 1.1266244184 Long EC CORP CH N 2 N N N JENOPTIK AG 529900P34GDHGXK6VB37 Jenoptik AG 000000000 944806.000000000000 NS 28426246.290000000000 1.5332614431 Long EC CORP DE N 2 N N N JUMBO SA 549300TGIVUUMY40MZ05 JUMBO SA 000000000 437749.000000000000 NS 6522133.920000000000 0.3517923670 Long EC CORP GR N 2 N N N ROBERTET SA 969500EUEC3HIYQOCS92 Robertet SA 000000000 11937.000000000000 NS 11633874.810000000000 0.6275106287 Long EC CORP FR N 2 N N N VIDRALA SA 95980020140005399488 Vidrala SA 000000000 186448.000000000000 NS 13082736.150000000000 0.7056596465 Long EC CORP ES N 2 N N N NEMETSCHEK SE 529900R0S2IX1S358J38 Nemetschek SE 000000000 378062.000000000000 NS 36306751.960000000000 1.9583219796 Long EC CORP DE N 2 N N N MAPLETREE LG TR 549300M9EBZIYH387075 Mapletree Logistics Trust 000000000 7216544.000000000000 NS 9806731.410000000000 0.5289577456 Long EC CORP SG N 2 N N N ECKERT & ZIEGLER STRAHLEN UND MEDIZINTECHNIK AG 391200EUDABLUKXCKG48 Eckert & Ziegler Strahlen- und Medizintechnik AG 000000000 257068.000000000000 NS 16391281.260000000000 0.8841167175 Long EC CORP DE N 2 N N N Secunet Security Networks AG 391200N3TQNVUCU8N039 Secunet Security Networks AG 000000000 22684.000000000000 NS 10487934.860000000000 0.5657006548 Long EC CORP DE N 2 N N N PRO MEDICUS LTD N/A Pro Medicus Ltd 000000000 284776.000000000000 NS 10316522.100000000000 0.5564549537 Long EC CORP AU N 2 N N N FUSO CHEMICAL CO. LTD. N/A Fuso Chemical Co Ltd 000000000 494400.000000000000 NS 18166015.950000000000 0.9798427674 Long EC CORP JP N 2 N N N SINBON ELECTRONICS CO LTD N/A Sinbon Electronics Co Ltd 000000000 2351000.000000000000 NS 21206381.530000000000 1.1438347088 Long EC CORP TW N 2 N N N GIKEN LTD N/A Giken Ltd 000000000 59900.000000000000 NS 1816309.280000000000 0.0979685098 Long EC CORP JP N 2 N N N Balkrishna Indus 3358006BD9NZGXG1I436 Balkrishna Industries Ltd 000000000 100000.000000000000 NS 2804315.680000000000 0.1512598274 Long EC CORP IN N 2 N N N NSD CO LTD N/A NSD Co Ltd 000000000 555300.000000000000 NS 9924826.770000000000 0.5353276005 Long EC CORP JP N 2 N N N NIPPON VALQUA INDUSTRIES LTD N/A Nippon Valqua Industries Ltd 000000000 367600.000000000000 NS 7960063.890000000000 0.4293517661 Long EC CORP JP N 2 N N N Korea Investment Holdings Co Ltd N/A Korea Investment Holdings Co Ltd 000000000 498995.000000000000 NS 32057397.090000000000 1.7291192943 Long EC CORP KR N 2 N N N UNIVERSAL VISION BIOTECHNOLOGY C N/A Universal Vision Biotechnology Co Ltd 000000000 1091000.000000000000 NS 10590688.140000000000 0.5712429849 Long EC CORP TW N 2 N N N OBIC N/A Obic Co Ltd 000000000 131400.000000000000 NS 19680686.980000000000 1.0615414435 Long EC CORP JP N 2 N N N RENTOKIL INITIAL PLC 549300VN4WV7Z6T14K68 Rentokil Initial PLC 000000000 5597778.000000000000 NS 38560180.510000000000 2.0798679296 Long EC CORP GB N 2 N N N SAFESTORE HOLDINGS PLC 213800WGA3YSJC1YOH73 Safestore Holdings PLC 000000000 575692.000000000000 NS 10133854.460000000000 0.5466021843 Long EC CORP GB N 2 N N N Seiren Co Ltd N/A Seiren Co Ltd 000000000 327700.000000000000 NS 5947163.910000000000 0.3207795017 Long EC CORP JP N 2 N N N SEKISUI CHEM CO LTD 529900KQIVT7NWFNMI70 Sekisui Chemical Co Ltd 000000000 2092800.000000000000 NS 29987531.240000000000 1.6174743917 Long EC CORP JP N 2 N N N SHENZHOU INTERNATIONAL GROUP HOL 529900B4W41TCUKJFM73 Shenzhou International Group Holdings Ltd 000000000 950500.000000000000 NS 12548521.190000000000 0.6768450365 Long EC CORP KY N 2 N N N SIMCORP A/S 5299000WVEJNSG42AK88 SimCorp A/S 000000000 257019.000000000000 NS 18847340.800000000000 1.0165922246 Long EC CORP DK N 2 N N N SPIRAX-SARCO ENGINEERING PLC 213800WFVZQMHOZP2W17 Spirax-Sarco Engineering PLC 000000000 121247.000000000000 NS 19821553.840000000000 1.0691395528 Long EC CORP GB N 2 N N N TOTVS SA N/A TOTVS SA 000000000 5392344.000000000000 NS 41407692.980000000000 2.2334577154 Long EC CORP BR N 1 N N N Asia Commercial Bank JSC 5493001VSLUXY7LJS086 ASIA COMMERCIAL BANK 000000000 7808532.000000000000 NS 11253699.940000000000 0.6070046687 Long EC CORP VN N 2 N N N FPT CORP N/A FPT Corp 000000000 1976300.000000000000 NS 9235335.920000000000 0.4981376836 Long EC CORP VN N 2 N N N HYPOPORT SE 391200GNIFXXP6KRYQ46 Hypoport AG 000000000 85481.000000000000 NS 32267851.230000000000 1.7404708184 Long EC CORP DE N 2 N N N KOH YOUNG TECHNOLOGY INC N/A Koh Young Technology Inc 000000000 1138345.000000000000 NS 17670797.590000000000 0.9531315650 Long EC CORP KR N 2 N N N CARSALES.COM LTD 5299009TFWZGH2AN7D11 carsales.com Ltd 000000000 973046.000000000000 NS 15064029.020000000000 0.8125270793 Long EC CORP AU N 2 N N N Altus Group Ltd/Canada 54930041VO1EIY4IV355 Altus Group Ltd/Canada 000000000 456750.000000000000 NS 18450485.940000000000 0.9951865755 Long EC CORP CA N 1 N N N PARADE TECHNOLOGIES LTD 529900D9FDQHQKAQLY02 Parade Technologies Ltd 000000000 743000.000000000000 NS 46435985.060000000000 2.5046748959 Long EC CORP KY N 2 N N N Corp Inmobiliaria Vesta SAB de CV 4469000001BIRIFZJ959 Corp Inmobiliaria Vesta SAB de CV 000000000 12347824.000000000000 NS 23584405.920000000000 1.2721011381 Long EC CORP MX N 1 N N N VOLTRONIC POWER TECHNOLOGY CORP N/A Voltronic Power Technology Corp 000000000 544408.000000000000 NS 27473825.470000000000 1.4818895488 Long EC CORP TW N 2 N N N SOLASTO CORP N/A Solasto Corp 000000000 1944000.000000000000 NS 15636486.730000000000 0.8434044356 Long EC CORP JP N 2 N N N IDP EDUCATION LTD N/A IDP Education Ltd 000000000 1459389.000000000000 NS 34155671.090000000000 1.8422964824 Long EC CORP AU N 2 N N N HAPVIDA PARTICIPACOES E INVESTIMENTOS SA N/A Hapvida Participacoes e Investimentos SA 000000000 9049063.820000000000 NS 22655683.250000000000 1.2220074800 Long EC CORP BR N 1 N N N Carel Industries SpA 815600115DA6E507AE33 CAREL INDUSTRIES SPA 000000000 284125.000000000000 NS 7252518.090000000000 0.3911879972 Long EC CORP IT N 2 N N N RIGHTMOVE PLC 2138001JXGCFKBXYB828 RIGHTMOVE PLC 000000000 4706536.000000000000 NS 38897837.140000000000 2.0980805309 Long EC CORP GB N 2 N N N SILERGY CORP N/A Silergy Corp 000000000 228000.000000000000 NS 26733185.050000000000 1.4419407146 Long EC CORP KY N 2 N N N VALMET OYJ 213800D9O7FUQDH83V62 Valmet Oyj 000000000 527201.000000000000 NS 16363503.670000000000 0.8826184434 Long EC CORP FI N 2 N N NEXI SPA 5493000P70CQRQG8SN85 Nexi SpA 000000000 2088223.000000000000 NS 24097508.010000000000 1.2997769572 Long EC CORP IT N 2 N N N SECTRA AB 549300R9ZBT8YSFFK266 Sectra AB 000000000 1290353.000000000000 NS 19710379.360000000000 1.0631429980 Long EC CORP SE N 2 N N N BAPCOR LTD N/A Bapcor Ltd 000000000 6840100.000000000000 NS 32604127.550000000000 1.7586089683 Long EC CORP AU N 2 N N N ADDTECH AB 549300QZ5U2IDRHPWL60 AddTech AB 000000000 1996485.000000000000 NS 38329156.000000000000 2.0674068761 Long EC CORP SE N 2 N N N SWECO AB 549300Q4Y55VICYV6U90 Sweco AB 000000000 823197.000000000000 NS 11968177.900000000000 0.6455423460 Long EC CORP SE N 2 N N N MONTANA AEROSPACE AG N/A Montana Aerospace AG 000000000 391115.000000000000 NS 6879835.810000000000 0.3710861742 Long EC CORP CH N 2 N N N GVS SPA 81560013EACB40B52D17 GVS SpA 000000000 1127028.000000000000 NS 10194879.420000000000 0.5498937627 Long EC CORP IT N 2 N N N OSISKO GOLD ROYALTIES LTD 549300TJZTXZMPQ6K004 Osisko Gold Royalties Ltd 000000000 1995675.000000000000 NS 26323785.750000000000 1.4198584405 Long EC CORP CA N 1 N N N SIMPLEX HOLDINGS INC N/A Simplex Holdings Inc 000000000 1053200.000000000000 NS 16428547.350000000000 0.8861267844 Long EC CORP JP N 2 N N N IMCD NV 724500NSJPNFJPDAUP02 IMCD NV 000000000 233202.000000000000 NS 39782501.730000000000 2.1457977741 Long EC CORP NL N 2 N N N ALK ABELLO A/S 529900SGCREUZCZ7P020 ALK-Abello A/S 000000000 1506440.000000000000 NS 33209404.940000000000 1.7912565600 Long EC CORP DK N 2 N N N HEXAGON AB 549300WJFW6ILNI4TA80 Hexagon AB 000000000 3780063.000000000000 NS 52961709.530000000000 2.8566609308 Long EC CORP SE N 2 N N N BELIMO HOLDING AG 506700339DLX749VEM23 Belimo Holding AG 000000000 65213.000000000000 NS 34538103.340000000000 1.8629242015 Long EC CORP CH N 2 N N N AUTO TRADER GROUP PLC 213800QLK9BZILB1DI86 Auto Trader Group PLC 000000000 2652622.000000000000 NS 21898147.930000000000 1.1811473648 Long EC CORP GB N 2 N N N JOHNS LYNG GROUP LTD N/A Johns Lyng Group Ltd 000000000 2570021.000000000000 NS 16636471.050000000000 0.8973418210 Long EC CORP AU N 2 N N N DOMETIC GROUP AB (PUBL) 549300STIPMK5VSA7Y59 Dometic Group AB 000000000 2125342.000000000000 NS 18288693.140000000000 0.9864597580 Long EC CORP SE N 2 N N N KINDRED GROUP PLC 213800D1MJVOT6SNBX11 Unibet Group PLC 000000000 1050876.000000000000 NS 11465666.960000000000 0.6184377948 Long EC CORP MT N 2 N N N INTERMEDIATE CAPITAL GROUP 549300OGASR5WRKJ8R68 Intermediate Capital Group PLC 000000000 1911609.000000000000 NS 44381978.390000000000 2.3938854093 Long EC CORP GB N 2 N N N ICICI Prudential Life Insurance Co Ltd 2138006W2MGOSH69C607 ICICI Prudential Life Insurance Co Ltd 000000000 876752.000000000000 NS 5763204.880000000000 0.3108570770 Long EC CORP IN N 2 N N N MUNTERS GROUP AB 549300KYCB37YAVUV523 Munters Group AB 000000000 3087087.000000000000 NS 19124317.150000000000 1.0315318390 Long EC CORP SE N 2 N N N Genus 54930022EOITNKSIGH56 Genus PLC 000000000 421429.000000000000 NS 15622880.000000000000 0.8426705127 Long EC CORP GB N 2 N N N BEFESA SA 222100VXGA8L6J4ZWG61 Befesa SA 000000000 274625.000000000000 NS 21583835.110000000000 1.1641938873 Long EC CORP LU N 2 N N N ARUHI CORP 549300HA73OUOVZQJP84 Aruhi Corp 000000000 1601600.000000000000 NS 13035403.640000000000 0.7031066147 Long EC CORP JP N 2 N N N JPMorgan ZBUT11V806EZRVTWT807 MSCI EMER MKT INDEX (ICE) JUN 22 000000000 375.000000000000 NC USD 212608.970000000000 0.0114677518 N/A DE CORP US N 1 JPMorgan ZBUT11V806EZRVTWT807 Long MSCI EMER MKT INDEX (ICE) JUN 22 MSCI EMER MKT INDEX (ICE) JUN 22 2022-06-17 20890516.030000000000 USD 212608.970000000000 N N N JPMorgan ZBUT11V806EZRVTWT807 MSCI EAFE INDEX JUN 22 000000000 102.000000000000 NC USD -19821.150000000000 -0.0010691178 N/A DE CORP US N 1 JPMorgan ZBUT11V806EZRVTWT807 Long MSCI EAFE INDEX JUN 22 MSCI EAFE INDEX JUN 22 2022-06-17 10956261.150000000000 USD -19821.150000000000 N N N DREYFUS GOVERNMENT CASH MANAGE N/A Dreyfus Government Cash Management Fund, Institutional Shares 262006208 17603601.900000000000 NS USD 17603601.900000000000 0.9495071484 Long STIV CORP US N 1 N N 2022-04-20 Columbia Acorn Trust Martha Skinner Martha Skinner Assistant Treasurer XXXX NPORT-EX 2 nportpoi_acorn.htm
Portfolio of Investments
Columbia Acorn® Fund, March 31, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 99.3%
Issuer Shares Value ($)
Communication Services 2.8%
Entertainment 2.8%
Roblox Corp., Class A(a) 482,393 22,305,852
Take-Two Interactive Software, Inc.(a) 211,000 32,439,140
Zynga, Inc., Class A(a) 4,911,183 45,379,331
Total   100,124,323
Total Communication Services 100,124,323
Consumer Discretionary 16.8%
Auto Components 0.9%
Dorman Products, Inc.(a) 113,979 10,831,424
Visteon Corp.(a) 212,742 23,216,535
Total   34,047,959
Diversified Consumer Services 3.4%
Bright Horizons Family Solutions, Inc.(a) 371,928 49,351,126
Chegg, Inc.(a) 1,965,290 71,300,721
Total   120,651,847
Hotels, Restaurants & Leisure 5.6%
Churchill Downs, Inc. 227,000 50,344,060
DraftKings, Inc., Class A(a) 433,250 8,435,378
Planet Fitness, Inc., Class A(a) 979,992 82,789,724
Wendy’s Co. (The) 646,638 14,206,637
Wingstop, Inc. 394,683 46,316,050
Total   202,091,849
Household Durables 1.5%
Skyline Champion Corp.(a) 1,013,714 55,632,624
Internet & Direct Marketing Retail 1.4%
Etsy, Inc.(a) 396,165 49,235,386
Leisure Products 0.4%
Brunswick Corp. 164,612 13,315,465
Specialty Retail 3.6%
Five Below, Inc.(a) 382,265 60,539,308
Floor & Decor Holdings, Inc.(a) 479,337 38,826,297
Vroom, Inc.(a) 1,565,655 4,164,642
Williams-Sonoma, Inc. 186,700 27,071,500
Total   130,601,747
Total Consumer Discretionary 605,576,877
Common Stocks (continued)
Issuer Shares Value ($)
Consumer Staples 3.4%
Food & Staples Retailing 1.6%
BJ’s Wholesale Club Holdings, Inc.(a) 824,000 55,710,640
Household Products 1.8%
Church & Dwight Co., Inc. 238,711 23,723,099
WD-40 Co. 231,394 42,398,323
Total   66,121,422
Total Consumer Staples 121,832,062
Energy 1.1%
Oil, Gas & Consumable Fuels 1.1%
Devon Energy Corp. 669,600 39,593,448
Total Energy 39,593,448
Financials 5.1%
Banks 1.3%
Lakeland Financial Corp. 619,920 45,254,160
Capital Markets 3.8%
Ares Management Corp., Class A 965,986 78,467,043
GCM Grosvenor, Inc., Class A(b) 2,226,000 21,614,460
Houlihan Lokey, Inc., Class A 176,459 15,493,100
Open Lending Corp., Class A(a) 1,233,417 23,323,915
Total   138,898,518
Total Financials 184,152,678
Health Care 20.4%
Biotechnology 3.0%
Argenx SE, ADR(a) 95,205 30,019,088
Insmed, Inc.(a) 842,546 19,799,831
Intellia Therapeutics, Inc.(a) 183,000 13,298,610
Iovance Biotherapeutics, Inc.(a) 650,700 10,834,155
Mirati Therapeutics, Inc.(a) 187,230 15,394,051
Natera, Inc.(a) 464,970 18,914,980
Total   108,260,715
Columbia Acorn® Fund | First Quarter Report 2022
1

Portfolio of Investments   (continued)
Columbia Acorn® Fund, March 31, 2022 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Health Care Equipment & Supplies 3.3%
Axonics, Inc.(a) 229,986 14,397,124
Globus Medical, Inc., Class A(a) 433,100 31,954,118
Insulet Corp.(a) 192,303 51,227,596
Tandem Diabetes Care, Inc.(a) 167,397 19,466,597
Total   117,045,435
Health Care Providers & Services 4.4%
Amedisys, Inc.(a) 483,321 83,271,375
Chemed Corp. 111,357 56,407,888
P3 Health Partners, Inc.(a),(b) 2,500,000 19,550,000
Total   159,229,263
Health Care Technology 2.1%
Doximity, Inc., Class A(a) 1,053,521 54,877,909
Inspire Medical Systems, Inc.(a) 82,250 21,112,752
Total   75,990,661
Life Sciences Tools & Services 6.5%
10X Genomics, Inc., Class A(a) 619,098 47,094,785
Bio-Techne Corp. 223,316 96,704,761
Codexis, Inc.(a) 687,673 14,179,817
Repligen Corp.(a) 414,498 77,962,929
Total   235,942,292
Pharmaceuticals 1.1%
Catalent, Inc.(a) 341,314 37,851,723
Total Health Care 734,320,089
Industrials 16.5%
Air Freight & Logistics 0.6%
GXO Logistics, Inc.(a) 334,066 23,832,269
Commercial Services & Supplies 1.3%
Rollins, Inc. 1,320,165 46,271,783
Electrical Equipment 4.0%
AMETEK, Inc. 343,667 45,769,571
Atkor, Inc.(a) 257,702 25,368,185
Generac Holdings, Inc.(a) 177,266 52,694,091
Shoals Technologies Group, Inc., Class A(a) 1,267,675 21,601,182
Total   145,433,029
Common Stocks (continued)
Issuer Shares Value ($)
Machinery 5.7%
IDEX Corp. 93,235 17,875,947
Ingersoll Rand, Inc. 1,277,033 64,298,612
Kornit Digital Ltd.(a) 539,563 44,616,464
Middleby Corp. (The)(a) 101,561 16,649,910
SPX Corp.(a) 1,233,872 60,965,616
Total   204,406,549
Professional Services 3.0%
CoStar Group, Inc.(a) 1,144,470 76,233,147
ICF International, Inc. 330,012 31,067,329
Total   107,300,476
Trading Companies & Distributors 1.9%
SiteOne Landscape Supply, Inc.(a) 430,151 69,551,115
Total Industrials 596,795,221
Information Technology 28.1%
Electronic Equipment, Instruments & Components 1.4%
CDW Corp. 287,313 51,397,423
IT Services 5.5%
DigitalOcean Holdings, Inc.(a) 383,250 22,171,012
Endava PLC, ADR(a) 474,186 63,080,964
MongoDB, Inc.(a) 166,250 73,746,837
VeriSign, Inc.(a) 185,562 41,280,123
Total   200,278,936
Semiconductors & Semiconductor Equipment 3.8%
Enphase Energy, Inc.(a) 304,253 61,392,170
Marvell Technology, Inc. 213,357 15,299,831
Teradyne, Inc. 510,845 60,397,204
Total   137,089,205
Software 17.4%
Avalara, Inc.(a) 496,000 49,356,960
Bill.com Holdings, Inc.(a) 387,695 87,925,349
Cadence Design Systems, Inc.(a) 244,059 40,137,943
Crowdstrike Holdings, Inc., Class A(a) 185,285 42,074,518
DocuSign, Inc.(a) 130,620 13,992,014
Five9, Inc.(a) 419,315 46,292,376
HubSpot, Inc.(a) 155,743 73,968,581
Paycom Software, Inc.(a) 115,061 39,854,829
Trade Desk, Inc. (The), Class A(a) 1,262,368 87,418,984
 
2 Columbia Acorn® Fund | First Quarter Report 2022

Portfolio of Investments   (continued)
Columbia Acorn® Fund, March 31, 2022 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Voyager Digital Ltd.(a),(c) 1,953,276 10,483,928
Workiva, Inc., Class A(a) 417,759 49,295,562
Zendesk, Inc.(a) 300,615 36,160,978
Zscaler, Inc.(a) 202,044 48,749,176
Total   625,711,198
Total Information Technology 1,014,476,762
Materials 2.7%
Chemicals 2.7%
Albemarle Corp. 234,680 51,899,482
Avient Corp. 958,000 45,984,000
Total   97,883,482
Total Materials 97,883,482
Real Estate 2.4%
Real Estate Management & Development 2.4%
Colliers International Group, Inc. 419,917 54,757,177
FirstService Corp. 209,311 30,324,978
Total   85,082,155
Total Real Estate 85,082,155
Total Common Stocks
(Cost $3,385,811,818)
3,579,837,097
Securities Lending Collateral 0.1%
Issuer Shares Value ($)
Dreyfus Government Cash Management Fund, Institutional Shares, 0.194%(d),(e) 2,002,007 2,002,007
Total Securities Lending Collateral
(Cost $2,002,007)
2,002,007
Money Market Funds 1.0%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.308%(b),(d) 37,998,947 37,983,748
Total Money Market Funds
(Cost $37,983,522)
37,983,748
Total Investments in Securities
(Cost: $3,425,797,347)
3,619,822,852
Obligation to Return Collateral for Securities Loaned   (2,002,007)
Other Assets & Liabilities, Net   (13,832,037)
Net Assets 3,603,988,808
 
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 March 31, 2022 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, 0.308%
  81,660,901 245,653,508 (289,330,209) (452) 37,983,748 1,295 18,307 37,998,947
GCM Grosvenor, Inc., Class A
  23,373,000 (1,758,540) 21,614,460 222,600 2,226,000
P3 Health Partners, Inc.
  25,000,000 (5,450,000) 19,550,000 2,500,000
Total 105,033,901     (7,208,992) 79,148,208 1,295 240,907  
    
Issuer was not an affiliate at the beginning of period.
    
(c) All or a portion of this security was on loan at March 31, 2022. The total market value of securities on loan at March 31, 2022 was $1,991,657.
(d) The rate shown is the seven-day current annualized yield at March 31, 2022.
(e) Investment made with cash collateral received from securities lending activity.
Columbia Acorn® Fund | First Quarter Report 2022
3

Portfolio of Investments   (continued)
Columbia Acorn® Fund, March 31, 2022 (Unaudited)
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 | First Quarter Report 2022

Portfolio of Investments
Columbia Acorn International®, March 31, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 97.0%
Issuer Shares Value ($)
Australia 5.9%
Bapcor Ltd. 6,840,100 32,604,128
carsales.com Ltd. 973,046 15,064,029
IDP Education Ltd. 1,459,389 34,155,671
Johns Lyng Group Ltd. 2,570,021 16,636,471
Pro Medicus Ltd. 284,776 10,316,522
Total 108,776,821
Austria 1.1%
S&T AG(a) 1,130,860 21,131,354
Brazil 3.5%
Hapvida Participacoes e Investimentos SA 9,049,064 22,655,683
TOTVS SA 5,392,344 41,407,693
Total 64,063,376
Canada 2.4%
Altus Group Ltd. 456,750 18,450,486
Osisko Gold Royalties Ltd. 1,995,675 26,323,786
Total 44,774,272
China 2.1%
Shenzhou International Group Holdings Ltd. 950,500 12,548,521
Silergy Corp. 228,000 26,733,185
Total 39,281,706
Denmark 2.8%
ALK-Abello A/S(b) 1,506,440 33,209,405
SimCorp AS 257,019 18,847,341
Total 52,056,746
Finland 0.9%
Valmet OYJ(a) 527,201 16,363,504
France 0.6%
Robertet SA 11,937 11,633,875
Germany 6.7%
Eckert & Ziegler Strahlen- und Medizintechnik AG 257,068 16,391,281
Hypoport SE(b) 85,481 32,267,851
Jenoptik AG 944,806 28,426,247
Nemetschek SE 378,062 36,306,752
Secunet Security Networks AG 22,684 10,487,935
Total 123,880,066
Common Stocks (continued)
Issuer Shares Value ($)
Greece 0.3%
JUMBO SA 387,931 5,779,883
India 0.6%
Balkrishna Industries Ltd. 185,496 5,201,893
ICICI Prudential Life Insurance Co., Ltd. 876,752 5,763,205
Total 10,965,098
Italy 4.5%
Amplifon SpA 960,256 42,736,070
Carel Industries SpA 284,125 7,252,518
GVS SpA 1,127,028 10,194,879
Nexi SpA(b) 2,088,223 24,097,508
Total 84,280,975
Japan 16.2%
Aruhi Corp. 1,601,600 13,035,404
CyberAgent, Inc. 1,847,900 22,867,035
Daifuku Co., Ltd. 401,200 28,626,213
Daiseki Co., Ltd. 880,119 33,104,124
Disco Corp. 62,300 17,421,413
Fuso Chemical Co., Ltd. 494,400 18,166,016
Giken Ltd. 59,900 1,816,309
Hikari Tsushin, Inc. 401,128 45,602,692
Hoshizaki Corp. 218,100 14,961,636
NSD Co., Ltd. 555,300 9,924,827
Obic Co., Ltd. 131,400 19,680,687
Seiren Co., Ltd. 327,700 5,947,164
Sekisui Chemical Co., Ltd. 1,992,300 28,547,476
Simplex Holdings, Inc. 1,053,200 16,428,547
Solasto Corp. 1,944,000 15,636,487
Valqua Ltd. 367,600 7,960,064
Total 299,726,094
Malta 0.6%
Kindred Group PLC 1,050,876 11,465,667
Mexico 1.3%
Corporación Inmobiliaria Vesta SAB de CV 12,347,824 23,584,406
Columbia Acorn International® | First Quarter Report 2022
5

Portfolio of Investments   (continued)
Columbia Acorn International®, March 31, 2022 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Netherlands 4.4%
Argenx SE, ADR(b) 92,665 29,218,201
BE Semiconductor Industries NV 141,617 12,071,906
IMCD NV 233,202 39,782,502
Total 81,072,609
New Zealand 1.5%
Fisher & Paykel Healthcare Corp., Ltd. 1,626,544 27,293,717
Singapore 0.5%
Mapletree Logistics Trust 7,216,544 9,806,731
South Korea 2.7%
Koh Young Technology, Inc. 1,138,345 17,670,798
Korea Investment Holdings Co., Ltd. 498,995 32,057,397
Total 49,728,195
Spain 1.9%
Befesa SA 274,625 21,583,835
Vidrala SA 186,448 13,082,736
Total 34,666,571
Sweden 8.7%
AddTech AB, B Shares 1,996,485 38,329,156
Dometic Group AB 2,125,342 18,288,693
Hexagon AB, Class B 3,780,063 52,961,710
Munters Group AB 3,087,087 19,124,317
Sectra AB, Class B(b) 1,290,353 19,710,379
Sweco AB, Class B 823,197 11,968,178
Total 160,382,433
Switzerland 3.4%
Belimo Holding AG, Registered Shares 65,213 34,538,103
Inficon Holding AG 18,222 20,887,308
Montana Aerospace AG(b),(c) 391,115 6,879,836
Total 62,305,247
Taiwan 5.7%
Parade Technologies Ltd. 743,000 46,435,985
Sinbon Electronics Co., Ltd. 2,351,000 21,206,382
Universal Vision Biotechnology Co., Ltd. 1,091,000 10,590,688
Voltronic Power Technology Corp. 544,408 27,473,825
Total 105,706,880
Common Stocks (continued)
Issuer Shares Value ($)
United Kingdom 15.7%
Abcam PLC(b) 808,940 14,621,658
Auto Trader Group PLC 2,652,622 21,898,148
Dechra Pharmaceuticals PLC 832,134 44,179,750
Diploma PLC 807,269 27,714,180
Genus PLC 421,429 15,622,880
Halma PLC 452,900 14,817,581
Intermediate Capital Group PLC 1,911,609 44,381,978
Rentokil Initial PLC 5,597,778 38,560,181
Rightmove PLC 4,706,536 38,897,837
Safestore Holdings PLC 575,692 10,133,854
Spirax-Sarco Engineering PLC 121,247 19,821,554
Total 290,649,601
United States 1.9%
Inter Parfums, Inc. 400,220 35,239,371
Vietnam 1.1%
Asia Commercial Bank JSC(b) 7,808,532 11,253,700
FPT Corp. 2,095,200 9,790,961
Total 21,044,661
Total Common Stocks
(Cost $1,322,819,869)
1,795,659,859
Securities Lending Collateral 1.0%
Dreyfus Government Cash Management Fund, Institutional Shares, 0.194%(d),(e) 17,603,602 17,603,602
Total Securities Lending Collateral
(Cost $17,603,602)
17,603,602
Money Market Funds 2.4%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.308%(d),(f) 44,961,277 44,943,292
Total Money Market Funds
(Cost $44,943,292)
44,943,292
Total Investments in Securities
(Cost $1,385,366,763)
1,858,206,753
Obligation to Return Collateral for Securities Loaned   (17,603,602)
Other Assets & Liabilities, Net   10,945,768
Net Assets $1,851,548,919
 
At March 31, 2022, securities and/or cash totaling $2,381,002 were pledged as collateral.
6 Columbia Acorn International® | First Quarter Report 2022

Portfolio of Investments   (continued)
Columbia Acorn International®, March 31, 2022 (Unaudited)
Investments in derivatives
Long futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
MSCI EAFE Index 102 06/2022 USD 10,936,440 (19,821)
MSCI Emerging Markets Index 375 06/2022 USD 21,103,125 212,609
Total         212,609 (19,821)
Notes to Portfolio of Investments
(a) All or a portion of this security was on loan at March 31, 2022. The total market value of securities on loan at March 31, 2022 was $16,675,927.
(b) Non-income producing investment.
(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, 2022, the total value of these securities amounted to $6,879,836, which represents 0.37% of total net assets.
(d) The rate shown is the seven-day current annualized yield at March 31, 2022.
(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, 2022 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, 0.308%
  22,664,312 110,429,529 (88,150,549) 44,943,292 (915) 8,383 44,961,277
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 International® | First Quarter Report 2022
7

Portfolio of Investments
Columbia Acorn USA®, March 31, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 99.4%
Issuer Shares Value ($)
Consumer Discretionary 19.4%
Auto Components 2.3%
Dorman Products, Inc.(a) 37,320 3,546,520
Visteon Corp.(a) 14,530 1,585,659
Total   5,132,179
Diversified Consumer Services 3.5%
Bright Horizons Family Solutions, Inc.(a) 22,625 3,002,111
Chegg, Inc.(a) 130,704 4,741,941
Total   7,744,052
Hotels, Restaurants & Leisure 8.1%
Churchill Downs, Inc. 20,741 4,599,939
First Watch Restaurant Group, Inc.(a) 14,456 188,651
Planet Fitness, Inc., Class A(a) 85,292 7,205,468
Wendy’s Co. (The) 126,471 2,778,568
Wingstop, Inc. 27,399 3,215,272
Total   17,987,898
Household Durables 2.3%
Skyline Champion Corp.(a) 91,970 5,047,314
Leisure Products 1.2%
Brunswick Corp. 31,210 2,524,577
Specialty Retail 2.0%
Five Below, Inc.(a) 26,340 4,171,466
Vroom, Inc.(a) 109,388 290,972
Total   4,462,438
Total Consumer Discretionary 42,898,458
Consumer Staples 5.6%
Food & Staples Retailing 2.9%
BJ’s Wholesale Club Holdings, Inc.(a) 95,799 6,476,971
Household Products 2.7%
Church & Dwight Co., Inc. 26,034 2,587,259
WD-40 Co. 17,745 3,251,416
Total   5,838,675
Total Consumer Staples 12,315,646
Financials 8.3%
Banks 2.3%
Lakeland Financial Corp. 71,141 5,193,293
Common Stocks (continued)
Issuer Shares Value ($)
Capital Markets 6.0%
Ares Management Corp., Class A 59,417 4,826,443
GCM Grosvenor, Inc., Class A 492,480 4,781,981
Houlihan Lokey, Inc., Class A 13,029 1,143,946
Open Lending Corp., Class A(a) 133,304 2,520,778
Total   13,273,148
Total Financials 18,466,441
Health Care 25.4%
Biotechnology 3.2%
Insmed, Inc.(a) 140,494 3,301,609
Intellia Therapeutics, Inc.(a) 14,185 1,030,824
Iovance Biotherapeutics, Inc.(a) 43,100 717,615
Mirati Therapeutics, Inc.(a) 16,049 1,319,549
Natera, Inc.(a) 20,515 834,550
Total   7,204,147
Health Care Equipment & Supplies 3.2%
Globus Medical, Inc., Class A(a) 34,005 2,508,889
Insulet Corp.(a) 12,254 3,264,343
Tandem Diabetes Care, Inc.(a) 11,434 1,329,660
Total   7,102,892
Health Care Providers & Services 7.9%
Amedisys, Inc.(a) 38,777 6,680,889
Chemed Corp. 13,887 7,034,460
P3 Health Partners, Inc.(a),(b) 484,027 3,785,091
Total   17,500,440
Health Care Technology 2.4%
Doximity, Inc., Class A(a) 74,307 3,870,652
Inspire Medical Systems, Inc.(a) 5,587 1,434,127
Total   5,304,779
Life Sciences Tools & Services 8.3%
10X Genomics, Inc., Class A(a) 34,412 2,617,721
Bio-Techne Corp. 13,443 5,821,357
Codexis, Inc.(a) 139,525 2,877,005
DNA Script(a),(c),(d),(e) 1,139 603,536
Repligen Corp.(a) 33,935 6,382,834
Total   18,302,453
8 Columbia Acorn USA® | First Quarter Report 2022

Portfolio of Investments   (continued)
Columbia Acorn USA®, March 31, 2022 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Pharmaceuticals 0.4%
Catalent, Inc.(a) 8,404 932,004
Total Health Care 56,346,715
Industrials 16.9%
Air Freight & Logistics 0.4%
GXO Logistics, Inc.(a) 11,943 852,014
Commercial Services & Supplies 1.2%
Rollins, Inc. 78,567 2,753,773
Electrical Equipment 4.7%
Atkor, Inc.(a) 48,782 4,802,100
Generac Holdings, Inc.(a) 7,505 2,230,936
Shoals Technologies Group, Inc., Class A(a) 194,351 3,311,741
Total   10,344,777
Machinery 5.6%
Ingersoll Rand, Inc. 78,963 3,975,787
Kornit Digital Ltd.(a) 33,162 2,742,166
Middleby Corp. (The)(a) 13,744 2,253,191
SPX Corp.(a) 68,525 3,385,820
Total   12,356,964
Professional Services 2.9%
CoStar Group, Inc.(a) 43,212 2,878,352
ICF International, Inc. 37,423 3,523,001
Total   6,401,353
Trading Companies & Distributors 2.1%
SiteOne Landscape Supply, Inc.(a) 29,213 4,723,450
Total Industrials 37,432,331
Information Technology 19.0%
Electronic Equipment, Instruments & Components 1.5%
Badger Meter, Inc. 33,421 3,332,408
IT Services 5.1%
DigitalOcean Holdings, Inc.(a) 26,286 1,520,645
Endava PLC, ADR(a) 40,620 5,403,679
MongoDB, Inc.(a) 9,914 4,397,751
Total   11,322,075
Common Stocks (continued)
Issuer Shares Value ($)
Software 12.4%
Avalara, Inc.(a) 30,690 3,053,962
Bill.com Holdings, Inc.(a) 23,752 5,386,716
Five9, Inc.(a) 39,690 4,381,776
HubSpot, Inc.(a) 9,393 4,461,111
Trade Desk, Inc. (The), Class A(a) 75,915 5,257,114
Voyager Digital Ltd.(a) 258,787 1,389,002
Workiva, Inc., Class A(a) 30,579 3,608,322
Total   27,538,003
Total Information Technology 42,192,486
Materials 1.9%
Chemicals 1.9%
Avient Corp. 86,200 4,137,600
Total Materials 4,137,600
Real Estate 2.9%
Real Estate Management & Development 2.9%
Colliers International Group, Inc. 33,829 4,411,302
FirstService Corp. 13,489 1,954,286
Total   6,365,588
Total Real Estate 6,365,588
Total Common Stocks
(Cost $209,421,608)
220,155,265
Limited Partnerships 0.3%
Consumer Discretionary 0.3%
Hotels, Restaurants & Leisure 0.3%
Cedar Fair LP(a) 13,740 752,952
Total Consumer Discretionary 752,952
Total Limited Partnerships
(Cost $359,665)
752,952
Securities Lending Collateral 0.7%
Dreyfus Government Cash Management Fund, Institutional Shares, 0.194%(f),(g) 1,592,000 1,592,000
Total Securities Lending Collateral
(Cost $1,592,000)
1,592,000
 
Columbia Acorn USA® | First Quarter Report 2022
9

Portfolio of Investments   (continued)
Columbia Acorn USA®, March 31, 2022 (Unaudited)
Money Market Funds 0.4%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.308%(f),(h) 789,975 789,659
Total Money Market Funds
(Cost $789,659)
789,659
Total Investments in Securities
(Cost: $212,162,932)
223,289,876
Obligation to Return Collateral for Securities Loaned   (1,592,000)
Other Assets & Liabilities, Net   (235,540)
Net Assets 221,462,336
Notes to Portfolio of Investments
(a) Non-income producing investment.
(b) All or a portion of this security was on loan at March 31, 2022. The total market value of securities on loan at March 31, 2022 was $1,556,180.
(c) Represents fair value as determined in good faith under procedures approved by the Board of Trustees. At March 31, 2022, the total value of these securities amounted to $603,536, which represents 0.27% of total net assets.
(d) 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 March 31, 2022, the total market value of these securities amounted to $603,536, which represents 0.27% of total net assets. Additional information on these securities is as follows:
    
Security Acquisition
Dates
Shares Cost ($) Value ($)
DNA Script 10/01/2021 1,139 993,179 603,536
    
(e) Valuation based on significant unobservable inputs.
(f) The rate shown is the seven-day current annualized yield at March 31, 2022.
(g) Investment made with cash collateral received from securities lending activity.
(h) 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, 2022 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, 0.308%
  8,759,126 17,034,303 (25,003,772) 2 789,659 (241) 1,267 789,975
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® | First Quarter Report 2022

Portfolio of Investments
Columbia Acorn International SelectSM, March 31, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 98.3%
Issuer Shares Value ($)
Australia 2.5%
IDP Education Ltd. 390,359 9,135,997
Brazil 4.2%
TOTVS SA 2,023,405 15,537,683
Canada 1.9%
CCL Industries, Inc. 156,747 7,071,576
China 6.4%
NetEase, Inc., ADR 87,597 7,856,575
Shenzhou International Group Holdings Ltd. 647,000 8,541,708
Silergy Corp. 62,000 7,269,550
Total 23,667,833
Denmark 1.7%
SimCorp AS 84,242 6,177,511
Finland 2.0%
Valmet OYJ 241,094 7,483,185
Germany 4.0%
Nemetschek SE 153,582 14,749,072
Italy 4.7%
Amplifon SpA 212,945 9,477,090
Nexi SpA(a) 692,571 7,992,075
Total 17,469,165
Japan 13.2%
Daifuku Co., Ltd. 122,800 8,761,962
Hikari Tsushin, Inc. 74,600 8,480,986
Obic Co., Ltd. 52,400 7,848,311
Recruit Holdings Co., Ltd. 385,300 16,740,147
Sekisui Chemical Co., Ltd. 501,700 7,188,811
Total 49,020,217
Malta 0.0%
BGP Holdings PLC(a),(b),(c) 2,232,232 2
Netherlands 5.3%
IMCD NV 73,441 12,528,481
Koninklijke Philips NV 228,591 6,970,584
Total 19,499,065
Common Stocks (continued)
Issuer Shares Value ($)
New Zealand 2.7%
Fisher & Paykel Healthcare Corp., Ltd. 598,180 10,037,574
Singapore 2.1%
Mapletree Logistics Trust 5,886,100 7,998,760
South Korea 2.2%
Korea Investment Holdings Co., Ltd. 127,888 8,216,027
Sweden 10.1%
Hexagon AB, Class B 1,318,011 18,466,389
Sectra AB, Class B(a) 767,192 11,718,999
Sweco AB, Class B 502,344 7,303,407
Total 37,488,795
Switzerland 11.2%
Belimo Holding AG, Registered Shares 25,396 13,450,227
Lonza Group AG, Registered Shares 20,953 15,182,627
Partners Group Holding AG 10,305 12,759,678
Total 41,392,532
Taiwan 7.4%
Parade Technologies Ltd. 240,000 14,999,511
Voltronic Power Technology Corp. 246,852 12,457,511
Total 27,457,022
United Kingdom 16.7%
Dechra Pharmaceuticals PLC 278,865 14,805,531
Diploma PLC 237,345 8,148,241
Intermediate Capital Group PLC 461,769 10,720,927
Rentokil Initial PLC 2,131,311 14,681,493
Rightmove PLC 1,661,620 13,732,695
Total 62,088,887
Total Common Stocks
(Cost $304,923,217)
364,490,903
Columbia Acorn International SelectSM | First Quarter Report 2022
11

Portfolio of Investments   (continued)
Columbia Acorn International SelectSM, March 31, 2022 (Unaudited)
Money Market Funds 1.3%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.308%(d),(e) 4,925,931 4,923,961
Total Money Market Funds
(Cost $4,923,961)
4,923,961
Total Investments in Securities
(Cost $309,847,178)
369,414,864
Other Assets & Liabilities, Net   1,545,525
Net Assets $370,960,389
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, 2022, 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 March 31, 2022.
(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, 2022 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, 0.308%
  4,210,604 20,300,702 (19,587,345) 4,923,961 (462) 1,091 4,925,931
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 | First Quarter Report 2022

Portfolio of Investments
Columbia Thermostat FundSM, March 31, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Equity Funds 8.8%
  Shares Value ($)
International 0.9%
Columbia Emerging Markets Fund, Institutional 3 Class(a) 1,198,845 16,963,657
U.S. Large Cap 5.9%
Columbia Contrarian Core Fund, Institutional 3 Class(a) 859,079 28,401,164
Columbia Large Cap Enhanced Core Fund, Institutional 3 Class(a) 1,075,380 28,379,273
Columbia Large Cap Index Fund, Institutional 3 Class(a) 978,660 56,409,939
Total 113,190,376
U.S. Mid Cap 1.0%
Columbia Select Mid Cap Value Fund, Institutional 3 Class(a) 1,398,382 19,045,969
U.S. Small Mid Cap 1.0%
Columbia Acorn® Fund, Institutional 3 Class(a) 1,425,667 18,661,984
Total Equity Funds
(Cost $141,828,010)
167,861,986
Exchange-Traded Equity Funds 1.0%
U.S. Large Cap 1.0%
Columbia Research Enhanced Core ETF(a) 737,386 19,122,115
Total Exchange-Traded Equity Funds
(Cost $15,223,942)
19,122,115
Exchange-Traded Fixed Income Funds 9.1%
Multisector 9.1%
Columbia Diversified Fixed Income Allocation ETF(a) 8,832,230 172,140,163
Total Exchange-Traded Fixed Income Funds
(Cost $185,310,955)
172,140,163
Fixed Income Funds 81.0%
  Shares Value ($)
Investment Grade 81.0%
Columbia Corporate Income Fund, Institutional 3 Class(a) 17,674,741 173,212,465
Columbia Quality Income Fund, Institutional 3 Class(a) 16,491,185 339,223,674
Columbia Short Term Bond Fund, Institutional 3 Class(a) 26,530,877 258,145,430
Columbia Total Return Bond Fund, Institutional 3 Class(a) 4,992,398 172,087,962
Columbia U.S. Treasury Index Fund, Institutional 3 Class(a) 54,623,238 597,031,995
Total 1,539,701,526
Total Fixed Income Funds
(Cost $1,654,443,056)
1,539,701,526
Money Market Funds 0.2%
Columbia Short-Term Cash Fund, 0.308%(a),(b) 3,707,182 3,705,699
Total Money Market Funds
(Cost $3,705,699)
3,705,699
Total Investments in Securities
(Cost: $2,000,511,662)
1,902,531,489
Other Assets & Liabilities, Net   (1,105,102)
Net Assets 1,901,426,387
Columbia Thermostat FundSM | First Quarter Report 2022
13

Portfolio of Investments   (continued)
Columbia Thermostat FundSM, March 31, 2022 (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 March 31, 2022 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® Fund, Institutional 3 Class
  21,041,129 2,545,727 (1,648,823) (3,276,049) 18,661,984 (394,507) 1,425,667
Columbia Contrarian Core Fund, Institutional 3 Class
  31,401,672 (2,095,276) (905,232) 28,401,164 (14,862) 859,079
Columbia Corporate Income Fund, Institutional 3 Class
  186,858,848 4,537,238 (3,508,648) (14,674,973) 173,212,465 (318,232) 1,175,441 17,674,741
Columbia Diversified Fixed Income Allocation ETF
  186,759,029 2,884,588 (1,561,914) (15,941,540) 172,140,163 (74,083) 750,511 8,832,230
Columbia Emerging Markets Fund, Institutional 3 Class
  21,148,316 177,141 (609,155) (3,752,645) 16,963,657 (94,840) 1,198,845
Columbia Large Cap Enhanced Core Fund, Institutional 3 Class
  31,422,661 (1,993,677) (1,049,711) 28,379,273 (31,352) 1,075,380
Columbia Large Cap Index Fund, Institutional 3 Class
  62,412,872 1,348,561 (4,608,207) (2,743,287) 56,409,939 (147,654) 978,660
Columbia Quality Income Fund, Institutional 3 Class
  373,669,379 6,611,703 (17,595,502) (23,461,906) 339,223,674 (998,335) 1,770,286 16,491,185
Columbia Research Enhanced Core ETF
  18,034,082 2,563,843 (830,347) (645,463) 19,122,115 5,330 737,386
Columbia Select Mid Cap Value Fund, Institutional 3 Class
  21,178,767 39,359 (1,196,767) (975,390) 19,045,969 435,455 39,359 1,398,382
Columbia Short Term Bond Fund, Institutional 3 Class
  280,062,035 3,525,212 (17,953,502) (7,488,315) 258,145,430 (411,963) 1,074,599 26,530,877
Columbia Short-Term Cash Fund, 0.308%
  3,640,167 75,952,197 (75,886,665) 3,705,699 (2,094) 1,462 3,707,182
Columbia Total Return Bond Fund, Institutional 3 Class
  186,937,454 4,154,447 (5,257,918) (13,746,021) 172,087,962 (289,433) 1,241,766 4,992,398
Columbia U.S. Treasury Index Fund, Institutional 3 Class
  653,104,595 10,216,658 (30,559,862) (35,729,396) 597,031,995 (1,437,892) 1,916,668 54,623,238
Total 2,077,671,006     (124,389,928) 1,902,531,489 (3,774,462) 7,970,092  
    
(b) The rate shown is the seven-day current annualized yield at March 31, 2022.
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
14 Columbia Thermostat FundSM | First Quarter Report 2022

Portfolio of Investments
Columbia Acorn European FundSM, March 31, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 98.7%
Issuer Shares Value ($)
Austria 1.3%
S&T AG(a) 106,060 1,981,847
Denmark 4.5%
ALK-Abello A/S(b) 196,780 4,338,007
SimCorp AS 33,319 2,443,300
Total 6,781,307
Finland 1.8%
Valmet OYJ 88,132 2,735,481
France 1.5%
Robertet SA 2,227 2,170,448
Germany 11.9%
Eckert & Ziegler Strahlen- und Medizintechnik AG 32,492 2,071,769
Hypoport SE(b) 7,724 2,915,699
Jenoptik AG 119,382 3,591,829
Nemetschek SE 49,033 4,708,828
Secunet Security Networks AG 2,003 926,086
Washtec AG 68,619 3,629,147
Total 17,843,358
Greece 0.7%
JUMBO SA 72,460 1,079,600
Italy 10.9%
Amplifon SpA 116,831 5,199,549
Carel Industries SpA 160,269 4,090,995
GVS SpA 139,567 1,262,496
Intercos SpA(b) 127,066 1,751,450
Nexi SpA(b) 359,411 4,147,502
Total 16,451,992
Malta 1.0%
Kindred Group PLC 143,487 1,565,526
Netherlands 5.2%
Argenx SE(b) 4,948 1,548,087
BE Semiconductor Industries NV 18,890 1,610,247
IMCD NV 27,365 4,668,262
Total 7,826,596
Common Stocks (continued)
Issuer Shares Value ($)
Russian Federation —%
TCS Group Holding PLC GDR(b),(c),(d),(e) 17,858 0
Spain 3.0%
Befesa SA 27,953 2,196,934
Vidrala SA 32,875 2,306,782
Total 4,503,716
Sweden 17.2%
AddTech AB, B Shares 268,878 5,162,006
Dometic Group AB 298,540 2,568,954
Dustin Group AB 289,415 2,479,137
Hexagon AB, Class B 403,845 5,658,192
Munters Group AB 538,426 3,335,517
Sectra AB, Class B(b) 283,929 4,337,068
Sweco AB, Class B 159,700 2,321,823
Total 25,862,697
Switzerland 8.1%
Belimo Holding AG, Registered Shares 7,575 4,011,871
Inficon Holding AG 1,939 2,222,615
Kardex Energy AG 10,407 2,396,608
Montana Aerospace AG(b),(c) 64,935 1,142,227
Partners Group Holding AG 1,935 2,395,922
Total 12,169,243
United Kingdom 28.6%
Abcam PLC(b) 196,324 3,548,572
Auto Trader Group PLC 447,445 3,693,785
Dechra Pharmaceuticals PLC 102,126 5,422,085
Diploma PLC 133,251 4,574,612
Genus PLC 59,108 2,191,205
Halma PLC 66,871 2,187,826
Intermediate Capital Group PLC 212,728 4,938,923
Rentokil Initial PLC 678,256 4,672,153
Rightmove PLC 603,214 4,985,348
Safestore Holdings PLC 169,780 2,988,622
Spirax-Sarco Engineering PLC 23,430 3,830,355
Total 43,033,486
Columbia Acorn European FundSM | First Quarter Report 2022
15

Portfolio of Investments   (continued)
Columbia Acorn European FundSM, March 31, 2022 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
United States 3.0%
Inter Parfums, Inc. 51,626 4,545,669
Total Common Stocks
(Cost $118,477,927)
148,550,966
Securities Lending Collateral 0.6%
Dreyfus Government Cash Management Fund, Institutional Shares, 0.194%(f),(g) 879,673 879,673
Total Securities Lending Collateral
(Cost $879,673)
879,673
Money Market Funds 0.3%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.308%(f),(h) 433,820 433,647
Total Money Market Funds
(Cost $433,647)
433,647
Total Investments in Securities
(Cost $119,791,247)
149,864,286
Obligation to Return Collateral for Securities Loaned   (879,673)
Other Assets & Liabilities, Net   1,552,566
Net Assets $150,537,179
 
Notes to Portfolio of Investments
(a) All or a portion of this security was on loan at March 31, 2022. The total market value of securities on loan at March 31, 2022 was $836,760.
(b) Non-income producing investment.
(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, 2022, the total value of these securities amounted to $1,142,227, which represents 0.76% of total net assets.
(d) Represents fair value as determined in good faith under procedures approved by the Board of Trustees. At March 31, 2022, the total value of these securities amounted to $0, which represents less than 0.01% of total net assets.
(e) Valuation based on significant unobservable inputs.
(f) The rate shown is the seven-day current annualized yield at March 31, 2022.
(g) Investment made with cash collateral received from securities lending activity.
(h) 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, 2022 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, 0.308%
  2,948,499 38,254,355 (40,769,207) 433,647 (220) 1,069 433,820
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 | First Quarter Report 2022

[THIS PAGE INTENTIONALLY LEFT BLANK]

You may at any time request, free of charge, to receive a paper copy of this report by calling 800.345.6611.
1QT110_12_M01_(05/22)