0001145549-22-070030.txt : 20221125 0001145549-22-070030.hdr.sgml : 20221125 20221125104629 ACCESSION NUMBER: 0001145549-22-070030 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220930 FILED AS OF DATE: 20221125 DATE AS OF CHANGE: 20221125 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: 221418668 BUSINESS ADDRESS: STREET 1: 71 S. WACKER DRIVE, SUITE 2500 CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 3126349200 MAIL ADDRESS: STREET 1: 71 S. WACKER DRIVE, SUITE 2500 CITY: CHICAGO STATE: IL ZIP: 60606 FORMER COMPANY: FORMER CONFORMED NAME: LIBERTY ACORN TRUST DATE OF NAME CHANGE: 20010424 FORMER COMPANY: FORMER CONFORMED NAME: ACORN INVESTMENT TRUST DATE OF NAME CHANGE: 19940204 FORMER COMPANY: FORMER CONFORMED NAME: ACORN FUND INC DATE OF NAME CHANGE: 19920703 0000002110 S000009184 Columbia Acorn Fund C000024954 Columbia Acorn Fund Class A LACAX C000024956 Columbia Acorn Fund Class C LIACX C000024957 Columbia Acorn Fund Institutional Class ACRNX C000122735 Columbia Acorn Fund Advisor Class CEARX C000122736 Columbia Acorn Fund Institutional 2 Class CRBRX C000122737 Columbia Acorn Fund Institutional 3 Class CRBYX NPORT-P 1 primary_doc.xml NPORT-P false 0000002110 XXXXXXXX S000009184 C000122735 C000024954 C000024956 C000024957 C000122736 C000122737 Columbia Acorn Trust 811-01829 0000002110 549300DX0CWIN8VE1908 71 S Wacker Dr. Suite 2500 Chicago 60606 312-634-9200 Columbia Acorn Fund S000009184 549300X3KJ5X2R54O387 2022-12-31 2022-09-30 N 2541933224.560000000000 7089380.050000000000 2534843844.510000000000 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 N/A N/A REPLIGEN CORP 54930006QJ0T5AUO1E71 Repligen Corp 759916109 340265.000000000000 NS USD 63666984.150000000000 2.5116728310 Long EC CORP US N 1 N N N ROBLOX CORP N/A ROBLOX Corp 771049103 640451.000000000000 NS USD 22953763.840000000000 0.9055296992 Long EC CORP US N 1 N N N ROLLINS INC. 549300F2A0BXT4SGWD84 Rollins Inc 775711104 789964.000000000000 NS USD 27395951.520000000000 1.0807747223 Long EC CORP US N 1 N N N RYAN SPECIALTY HOLDINGS INC N/A Ryan Specialty Holdings Inc 78351F107 320538.000000000000 NS USD 13020253.560000000000 0.5136511106 Long EC CORP US N 1 N N N FLOOR & DECOR HOLDINGS INC 549300M5FR3N688XGQ36 Floor & Decor Holdings Inc 339750101 277987.000000000000 NS USD 19531366.620000000000 0.7705155748 Long EC CORP US N 1 N N N GCM GROSVENOR INC N/A GCM Grosvenor Inc 36831E108 3261587.000000000000 NS USD 25733921.430000000000 1.0152073662 Long EC CORP US N 1 N N SPX CORP P761FCI0CPOG24I8JE10 SPX Technologies Inc 78473E103 769417.000000000000 NS USD 42487206.740000000000 1.6761271836 Long EC CORP US N 1 N N N SIMPSON MFG CO INC 529900EJUNNL15LZ8056 Simpson Manufacturing Co Inc 829073105 166499.000000000000 NS USD 13053521.600000000000 0.5149635402 Long EC CORP US N 1 N N N GENERAC HOLDINGS INC 529900S2H2AHJHSFFI84 Generac Holdings Inc 368736104 177266.000000000000 NS USD 31578165.240000000000 1.2457637305 Long EC CORP US N 1 N N N HOULIHAN LOKEY INC 549300S3CNGTQ1QZVY46 Houlihan Lokey Inc 441593100 280792.000000000000 NS USD 21166100.960000000000 0.8350061092 Long EC CORP US N 1 N N N SITEONE LANDSCAPE SUPPLY INC 5299008LX7SBD4HIAU03 SiteOne Landscape Supply Inc 82982L103 473575.000000000000 NS USD 49318100.500000000000 1.9456070482 Long EC CORP US N 1 N N N SKYLINE CHAMPION CORP N/A Skyline Champion Corp 830830105 1104814.000000000000 NS USD 58411516.180000000000 2.3043437688 Long EC CORP US N 1 N N N HUBSPOT INC 529900BLNVEW0MVKJB37 HubSpot Inc 443573100 115063.000000000000 NS USD 31080817.560000000000 1.2261432840 Long EC CORP US N 1 N N N ICF Intnl 5493003KYFDDC5B3WY64 ICF International Inc 44925C103 330012.000000000000 NS USD 35977908.240000000000 1.4193343041 Long EC CORP US N 1 N N N INGERSOLL RAND INC 5299004C02FMZCUOIR50 Gardner Denver Holdings Inc 000000000 606717.000000000000 NS USD 26246577.420000000000 1.0354317279 Long EC CORP US N 1 N N N INSMED 529900Q55QAG41CCAC11 Insmed Inc 457669307 842546.000000000000 NS USD 18148440.840000000000 0.7159589290 Long EC CORP US N 1 N N N INSPIRE MEDICAL SYSTEMS INC 549300XQQCQ7HCJKTW25 Inspire Medical Systems Inc 457730109 82250.000000000000 NS USD 14588682.500000000000 0.5755258862 Long EC CORP US N 1 N N N INSULET CORP 549300TZTYD2PYN92D43 Insulet Corp 45784P101 183739.000000000000 NS USD 42149726.600000000000 1.6628135375 Long EC CORP US N 1 N N N INTELLIA THERAPEUTICS INC 5493002T5BCPE5DZC723 Intellia Therapeutics Inc 45826J105 183000.000000000000 NS USD 10240680.000000000000 0.4039964837 Long EC CORP US N 1 N N N IOVANCE BIOTHERAPEUTICS INC 549300220Z2GHH33XL82 Iovance Biotherapeutics Inc 462260100 650700.000000000000 NS USD 6233706.000000000000 0.2459207108 Long EC CORP US N 1 N N N TAKE-TWO INTERACTIVE SOFTWARE INC. BOMSTHHJK882EWYX3334 Take-Two Interactive Software Inc 874054109 310486.000000000000 NS USD 33842974.000000000000 1.3351108027 Long EC CORP US N 1 N N N TRADE DESK INC 549300GXPD31VT3E0P46 Trade Desk Inc/The 88339J105 419064.000000000000 NS USD 25039074.000000000000 0.9877955226 Long EC CORP US N 1 N N N LAKELAND FINL CORP N/A Lakeland Financial Corp 511656100 301699.000000000000 NS USD 21966704.190000000000 0.8665900362 Long EC CORP US N 1 N N N LIVE NATION ENTERTAINMENT INC 5493007B9BM9ZXJINO78 Live Nation Entertainment Inc 538034109 392715.000000000000 NS USD 29862048.600000000000 1.1780626513 Long EC CORP US N 1 N N N MARVELL TECHNOLOGY INC N/A Marvell Technology Inc 573874104 332633.000000000000 NS USD 14273282.030000000000 0.5630832866 Long EC CORP US N 1 N N N Middleby Corp/The JDFO86U9VQRBKW5KYA35 Middleby Corp/The 596278101 375993.000000000000 NS USD 48191022.810000000000 1.9011436509 Long EC CORP US N 1 N N N Trex Co Inc N/A Trex Co Inc 89531P105 240636.000000000000 NS USD 10573545.840000000000 0.4171280950 Long EC CORP US N 1 N N N VERISIGN INC LMPL4N8ZOJRMF0KOF759 VeriSign Inc 92343E102 125888.000000000000 NS USD 21866745.600000000000 0.8626466537 Long EC CORP US N 1 N N N MONGODB INC 549300TPTG69WKWE1Z37 MongoDB Inc 60937P106 126581.000000000000 NS USD 25133923.360000000000 0.9915373452 Long EC CORP US N 1 N N N MONOLITHIC POWER 529900TB7O85LSZ1XU31 Monolithic Power Systems Inc 609839105 66837.000000000000 NS USD 24288565.800000000000 0.9581878526 Long EC CORP US N 1 N N N WD-40 CO 549300UZHTN0CNKBOB19 WD-40 Co 929236107 261685.000000000000 NS USD 45988521.900000000000 1.8142546335 Long EC CORP US N 1 N N N WILLIAMS-SONOMA INC 549300IARG6YWVTZ1I92 Williams-Sonoma Inc 969904101 264009.000000000000 NS USD 31113460.650000000000 1.2274310592 Long EC CORP US N 1 N N N NATERA INC N/A Natera Inc 632307104 942484.000000000000 NS USD 41299648.880000000000 1.6292778338 Long EC CORP US N 1 N N N PAYCOM SOFTWARE INC 254900LSB0HNJUDC6Q18 Paycom Software Inc 70432V102 207487.000000000000 NS USD 68468635.130000000000 2.7010987394 Long EC CORP US N 1 N N N WINGSTOP INC 549300SSH3F8HPIM3Q47 Wingstop Inc 974155103 602564.000000000000 NS USD 75573576.880000000000 2.9813898416 Long EC CORP US N 1 N N N WOLFSPEED INC 549300OGU88P3AW3TO93 Wolfspeed Inc 977852102 95090.000000000000 NS USD 9828502.400000000000 0.3877360107 Long EC CORP US N 1 N N N WORKIVA INC 529900RTOQ8GRWHY1O58 Workiva Inc 98139A105 219175.000000000000 NS USD 17051815.000000000000 0.6726968621 Long EC CORP US N 1 N N N ZSCALER INC 529900MZ0RTK1BWRNF46 Zscaler Inc 98980G102 337834.000000000000 NS USD 55529774.580000000000 2.1906585962 Long EC CORP US N 1 N N N PINNACEL FINL PARTNERS INC 54930098EZ8JMSAZGS24 Pinnacle Financial Partners Inc 72346Q104 188838.000000000000 NS USD 15314761.800000000000 0.6041698321 Long EC CORP US N 1 N N N PLANET FITNESS INC 549300LLE5HUPF6H8G33 Planet Fitness Inc 72703H101 677884.000000000000 NS USD 39086791.440000000000 1.5419802496 Long EC CORP US N 1 N N N FORESIGHT ACQUISITION CORP N/A P3 Health Partners Inc 744413105 2500000.000000000000 NS USD 11550000.000000000000 0.4556493697 Long EC CORP US N 1 N N N KORNIT DIGITAL LTD 5299006DPCQWP3VTFK34 Kornit Digital Ltd M6372Q113 486361.000000000000 NS USD 12942066.210000000000 0.5105666070 Long EC CORP IL N 1 N N N ALBEMARLE CORP HDBLS2Q6GV1LSKQPBS54 Albemarle Corp 012653101 76395.000000000000 NS USD 20201893.800000000000 0.7969679806 Long EC CORP US N 1 N N N AMEDISYS INC 5299001RBS9GK9STN379 Amedisys Inc 023436108 394573.000000000000 NS USD 38190720.670000000000 1.5066301126 Long EC CORP US N 1 N N N AMETEK INC 549300WZDEF9KKE40E98 AMETEK Inc 031100100 469506.000000000000 NS USD 53246675.460000000000 2.1005899663 Long EC CORP US N 1 N N N ANTERO RESOURCES CORP APVBKPOULHUX7YZLKU17 Antero Resources Corp 03674X106 765755.000000000000 NS USD 23378500.150000000000 0.9222856154 Long EC CORP US N 1 N N N ARES MANAGEMENT CORP 529900JUV61FH7B8VW38 Ares Management Corp 03990B101 522274.000000000000 NS USD 32354874.300000000000 1.2764050287 Long EC CORP US N 1 N N N ATKORE INC N/A Atkore International Group Inc 047649108 257702.000000000000 NS USD 20051792.620000000000 0.7910464648 Long EC CORP US N 1 N N N AVIENT CORP SM8L9RZYIB34LNTWO040 Avient Corp 05368V106 750897.000000000000 NS USD 22752179.100000000000 0.8975771486 Long EC CORP US N 1 N N N AXON ENTERPRISE INC 549300QP2IEEGFE16681 Axon Enterprise Inc 05464C101 323995.000000000000 NS USD 37502421.250000000000 1.4794765891 Long EC CORP US N 1 N N N AXONICS MODULATION TECHNOLOGIES INC 549300LJY4X7N57VJL05 Axonics Inc 05465P101 403984.000000000000 NS USD 28456632.960000000000 1.1226187768 Long EC CORP US N 1 N N N BJS WHOLESALE CLUB INC 549300UCIWH1C93V0J03 BJ's Wholesale Club Holdings Inc 05550J101 398790.000000000000 NS USD 29035899.900000000000 1.1454709513 Long EC CORP US N 1 N N N BILL.COM HOLDINGS INC 549300IBF9VZZIGOZW63 Bill.Com Holdings Inc 090043100 210341.000000000000 NS USD 27842838.170000000000 1.0984044729 Long EC CORP US N 1 N N N TECHNE CORP 54930073RLKQ51TILZ35 Bio-Techne Corp 09073M104 203726.000000000000 NS USD 57858184.000000000000 2.2825147247 Long EC CORP US N 1 N N N BOOZ ALLEN HAMILTON HOLDING CORP 529900JPV47PIUWMA015 Booz Allen Hamilton Holding Corp 099502106 485198.000000000000 NS USD 44808035.300000000000 1.7676842460 Long EC CORP US N 1 N N N BRIGHT HORIZONS FAMILY SOLUTIONS N/A Bright Horizons Family Solutions Inc 109194100 484562.000000000000 NS USD 27934999.300000000000 1.1020402444 Long EC CORP US N 1 N N N CDW CORP 9845001B052ABF0B6755 CDW Corp/DE 12514G108 349215.000000000000 NS USD 54505477.200000000000 2.1502498987 Long EC CORP US N 1 N N N CATALENT INC N/A Catalent Inc 148806102 452972.000000000000 NS USD 32777053.920000000000 1.2930600830 Long EC CORP US N 1 N N N CHEGG INC 549300AKX7O8JG0O3G77 Chegg Inc 163092109 880056.000000000000 NS USD 18542779.920000000000 0.7315156695 Long EC CORP US N 1 N N N CHEMED CORP 54930020031IDJT2IM79 Chemed Corp 16359R103 141985.000000000000 NS USD 61984971.600000000000 2.4453171636 Long EC CORP US N 1 N N N CHURCHILL DOWNS INC 529900FODTBQC8MIS994 Churchill Downs Inc 171484108 274113.000000000000 NS USD 50477908.950000000000 1.9913616793 Long EC CORP US N 1 N N N COLLIERS INTERNATIONAL GROUP INC D3O8K13PHLEXXD1DT480 Colliers International Group Inc 194693107 517006.000000000000 NS USD 47388769.960000000000 1.8694946461 Long EC CORP CA N 1 N N N COLUMBIA SHORT TERM CASH FUND N/A COLUMBIA SHORT TERM CASH FUND 19766H239 82883867.827100000000 NS USD 82842425.890000000000 3.2681471117 Long STIV CORP US N 1 N N N COSTAR GRP INC N/A CoStar Group Inc 22160N109 1050573.000000000000 NS USD 73172409.450000000000 2.8866633978 Long EC CORP US N 1 N N N CROWDSTRIKE HOLDINGS INC 549300YBY08K9KM4HX32 Crowdstrike Holdings Inc 22788C105 160656.000000000000 NS USD 26477715.360000000000 1.0445501571 Long EC CORP US N 1 N N N CURTISS-WRIGHT CORPORATION TEL51ETZWP7D0ZM4X325 Curtiss-Wright Corp 231561101 279164.000000000000 NS USD 38848462.240000000000 1.5325781241 Long EC CORP US N 1 N N N DATADOG INC 549300F6JNO0KRPO1K63 Datadog Inc 23804L103 204843.000000000000 NS USD 18185961.540000000000 0.7174391267 Long EC CORP US N 1 N N N DEVON ENERGY CORPORATION 54930042348RKR3ZPN35 Devon Energy Corp 25179M103 580755.000000000000 NS USD 34920798.150000000000 1.3776311399 Long EC CORP US N 1 N N N DIAMONDBACK ENERGY INC 549300R22LSX6OHWEN64 Diamondback Energy Inc 25278X109 257680.000000000000 NS USD 31040132.800000000000 1.2245382637 Long EC CORP US N 1 N N N DIGITALOCEAN HOLDINGS INC N/A DigitalOcean Holdings Inc 25402D102 367787.000000000000 NS USD 13302855.790000000000 0.5247998143 Long EC CORP US N 1 N N N DORMAN PRODUCTS INC N/A Dorman Products Inc 258278100 291841.000000000000 NS USD 23965982.920000000000 0.9454619057 Long EC CORP US N 1 N N N DOXIMITY INC N/A Doximity Inc 26622P107 1182046.000000000000 NS USD 35721430.120000000000 1.4092162007 Long EC CORP US N 1 N N ENDAVA PLC 213800JJ6CRPCWCQVZ25 Endava PLC 29260V105 227592.000000000000 NS USD 18350742.960000000000 0.7239397803 Long EC CORP GB N 1 N N N ETSY INC 54930089Q7XT501AEA40 Etsy Inc 29786A106 289792.000000000000 NS USD 29016872.960000000000 1.1447203354 Long EC CORP US N 1 N N N EVOQUA WATER TECHNOLOGIES CORP 529900YQAOMEZRGRRP43 Evoqua Water Technologies Corp 30057T105 584029.000000000000 NS USD 19313839.030000000000 0.7619340762 Long EC CORP US N 1 N N N FIRSTSERVICE CORP 5493000XUDIV75BCF118 FirstService Corp 33767E202 209311.000000000000 NS USD 24910102.110000000000 0.9827075606 Long EC CORP CA N 1 N N N FIVE BELOW INC 529900AAXP5Z6BGI7418 Five Below Inc 33829M101 382265.000000000000 NS USD 52626422.550000000000 2.0761208886 Long EC CORP US N 1 N N N FIVE9 INC 254900MXP6EWY0SFFR59 Five9 Inc 338307101 479977.000000000000 NS USD 35988675.460000000000 1.4197590727 Long EC CORP US N 1 N N N DREYFUS GOVERNMENT CASH MANAGE N/A Dreyfus Government Cash Management Fund, Institutional Shares 262006208 11395275.000000000000 NS USD 11395275.000000000000 0.4495454434 Long STIV CORP US N 1 N N 2022-10-21 Columbia Acorn Trust Martha Skinner Martha Skinner Assistant Treasurer XXXX NPORT-EX 2 nportpoi_acorn.htm
Portfolio of Investments
Columbia Acorn® Fund, September 30, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 96.9%
Issuer Shares Value ($)
Communication Services 4.4%
Entertainment 3.4%
Live Nation Entertainment, Inc.(a) 392,715 29,862,048
Roblox Corp., Class A(a) 640,451 22,953,764
Take-Two Interactive Software, Inc.(a) 310,486 33,842,974
Total   86,658,786
Media 1.0%
Trade Desk, Inc. (The), Class A(a) 419,064 25,039,074
Total Communication Services 111,697,860
Consumer Discretionary 16.8%
Auto Components 1.0%
Dorman Products, Inc.(a) 291,841 23,965,983
Diversified Consumer Services 1.8%
Bright Horizons Family Solutions, Inc.(a) 484,562 27,934,999
Chegg, Inc.(a) 880,056 18,542,780
Total   46,477,779
Hotels, Restaurants & Leisure 6.5%
Churchill Downs, Inc. 274,113 50,477,909
Planet Fitness, Inc., Class A(a) 677,884 39,086,791
Wingstop, Inc. 602,564 75,573,577
Total   165,138,277
Household Durables 2.3%
Skyline Champion Corp.(a) 1,104,814 58,411,516
Internet & Direct Marketing Retail 1.1%
Etsy, Inc.(a) 289,792 29,016,873
Specialty Retail 4.1%
Five Below, Inc.(a) 382,265 52,626,422
Floor & Decor Holdings, Inc., Class A(a) 277,987 19,531,367
Williams-Sonoma, Inc. 264,009 31,113,461
Total   103,271,250
Total Consumer Discretionary 426,281,678
Consumer Staples 3.0%
Food & Staples Retailing 1.2%
BJ’s Wholesale Club Holdings, Inc.(a) 398,790 29,035,900
Common Stocks (continued)
Issuer Shares Value ($)
Household Products 1.8%
WD-40 Co. 261,685 45,988,522
Total Consumer Staples 75,024,422
Energy 3.5%
Oil, Gas & Consumable Fuels 3.5%
Antero Resources Corp.(a) 765,755 23,378,500
Devon Energy Corp. 580,755 34,920,798
Diamondback Energy, Inc. 257,680 31,040,133
Total   89,339,431
Total Energy 89,339,431
Financials 5.1%
Banks 1.5%
Lakeland Financial Corp. 296,733 21,605,129
Pinnacle Financial Partners, Inc. 188,838 15,314,762
Total   36,919,891
Capital Markets 3.1%
Ares Management Corp., Class A 522,274 32,354,874
GCM Grosvenor, Inc., Class A(b),(c) 3,261,587 25,733,922
Houlihan Lokey, Inc., Class A 280,792 21,166,101
Total   79,254,897
Insurance 0.5%
Ryan Specialty Holdings, Inc., Class A(a) 320,538 13,020,254
Total Financials 129,195,042
Health Care 18.3%
Biotechnology 3.0%
Insmed, Inc.(a) 842,546 18,148,441
Intellia Therapeutics, Inc.(a) 183,000 10,240,680
Iovance Biotherapeutics, Inc.(a) 650,700 6,233,706
Natera, Inc.(a) 942,484 41,299,649
Total   75,922,476
Health Care Equipment & Supplies 3.4%
Axonics, Inc.(a) 403,984 28,456,633
Inspire Medical Systems, Inc.(a) 82,250 14,588,682
Insulet Corp.(a) 183,739 42,149,727
Total   85,195,042
Columbia Acorn® Fund | Third Quarter Report 2022
1

Portfolio of Investments   (continued)
Columbia Acorn® Fund, September 30, 2022 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Health Care Providers & Services 4.4%
Amedisys, Inc.(a) 394,573 38,190,721
Chemed Corp. 141,985 61,984,971
P3 Health Partners, Inc., Class A(a),(b) 2,500,000 11,550,000
Total   111,725,692
Health Care Technology 1.4%
Doximity, Inc., Class A(a),(c) 1,182,046 35,721,430
Life Sciences Tools & Services 4.8%
Bio-Techne Corp. 203,726 57,858,184
Repligen Corp.(a) 340,265 63,666,984
Total   121,525,168
Pharmaceuticals 1.3%
Catalent, Inc.(a) 452,972 32,777,054
Total Health Care 462,866,862
Industrials 23.1%
Aerospace & Defense 3.0%
Axon Enterprise, Inc.(a) 323,995 37,502,422
Curtiss-Wright Corp. 279,164 38,848,462
Total   76,350,884
Building Products 0.9%
Simpson Manufacturing Co., Inc. 166,499 13,053,521
Trex Company, Inc.(a) 240,636 10,573,546
Total   23,627,067
Commercial Services & Supplies 1.1%
Rollins, Inc. 789,964 27,395,952
Electrical Equipment 4.1%
AMETEK, Inc. 469,506 53,246,675
Atkore, Inc.(a) 257,702 20,051,793
Generac Holdings, Inc.(a) 177,266 31,578,165
Total   104,876,633
Machinery 5.9%
Evoqua Water Technologies Corp.(a) 584,029 19,313,839
Ingersoll Rand, Inc. 606,717 26,246,577
Kornit Digital Ltd.(a) 486,361 12,942,066
Middleby Corp. (The)(a) 375,993 48,191,023
SPX Technologies, Inc.(a) 769,417 42,487,207
Total   149,180,712
Common Stocks (continued)
Issuer Shares Value ($)
Professional Services 6.1%
Booz Allen Hamilton Holding Corp. 485,198 44,808,035
CoStar Group, Inc.(a) 1,050,573 73,172,410
ICF International, Inc. 330,012 35,977,908
Total   153,958,353
Trading Companies & Distributors 2.0%
SiteOne Landscape Supply, Inc.(a) 473,575 49,318,101
Total Industrials 584,707,702
Information Technology 18.2%
Electronic Equipment, Instruments & Components 2.1%
CDW Corp. 349,215 54,505,477
IT Services 3.1%
DigitalOcean Holdings, Inc.(a) 367,787 13,302,856
Endava PLC, ADR(a) 227,592 18,350,743
MongoDB, Inc.(a) 126,581 25,133,923
VeriSign, Inc.(a) 125,888 21,866,746
Total   78,654,268
Semiconductors & Semiconductor Equipment 1.9%
Marvell Technology, Inc. 332,633 14,273,282
Monolithic Power Systems, Inc. 66,837 24,288,566
Wolfspeed, Inc.(a) 95,090 9,828,502
Total   48,390,350
Software 11.1%
Bill.com Holdings, Inc.(a) 210,341 27,842,838
Crowdstrike Holdings, Inc., Class A(a) 160,656 26,477,715
Datadog, Inc., Class A(a) 204,843 18,185,962
Five9, Inc.(a) 479,977 35,988,675
HubSpot, Inc.(a) 115,063 31,080,818
Paycom Software, Inc.(a) 207,487 68,468,635
Workiva, Inc., Class A(a) 219,175 17,051,815
Zscaler, Inc.(a) 337,834 55,529,775
Total   280,626,233
Total Information Technology 462,176,328
 
2 Columbia Acorn® Fund | Third Quarter Report 2022

Portfolio of Investments   (continued)
Columbia Acorn® Fund, September 30, 2022 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Materials 1.7%
Chemicals 1.7%
Albemarle Corp. 76,395 20,201,894
Avient Corp. 750,897 22,752,179
Total   42,954,073
Total Materials 42,954,073
Real Estate 2.8%
Real Estate Management & Development 2.8%
Colliers International Group, Inc. 517,006 47,388,770
FirstService Corp. 209,311 24,910,102
Total   72,298,872
Total Real Estate 72,298,872
Total Common Stocks
(Cost $2,689,966,300)
2,456,542,270
Securities Lending Collateral 0.5%
Issuer Shares Value ($)
Dreyfus Government Cash Management Fund, Institutional Shares, 2.748%(d),(e) 11,395,275 11,395,275
Total Securities Lending Collateral
(Cost $11,395,275)
11,395,275
Money Market Funds 3.3%
  Shares Value ($)
Columbia Short-Term Cash Fund, 2.834%(b),(d) 82,883,868 82,842,426
Total Money Market Funds
(Cost $82,835,090)
82,842,426
Total Investments in Securities
(Cost: $2,784,196,665)
2,550,779,971
Obligation to Return Collateral for Securities Loaned   (11,395,275)
Other Assets & Liabilities, Net   (5,232,737)
Net Assets 2,534,151,959
 
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, 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, 2.834%
  81,660,901 922,640,105 (921,465,238) 6,658 82,842,426 (12,394) 637,670 82,883,868
GCM Grosvenor, Inc., Class A
  23,373,000 8,782,055 (6,421,133) 25,733,922 874,917 3,261,587
P3 Health Partners, Inc., Class A
  (13,450,000) 11,550,000 2,500,000
Total 105,033,901     (19,864,475) 120,126,348 (12,394) 1,512,587  
    
Issuer was not an affiliate at the beginning of period.
    
(c) All or a portion of this security was on loan at September 30, 2022. The total market value of securities on loan at September 30, 2022 was $10,519,642.
(d) The rate shown is the seven-day current annualized yield at September 30, 2022.
(e) Investment made with cash collateral received from securities lending activity.
Abbreviation Legend
ADR American Depositary Receipt
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
Columbia Acorn® Fund | Third Quarter Report 2022
3

Portfolio of Investments
Columbia Acorn International®, September 30, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 98.4%
Issuer Shares Value ($)
Australia 5.9%
Bapcor Ltd. 2,859,606 11,163,509
carsales.com Ltd. 931,249 11,108,198
IDP Education Ltd. 1,545,664 25,964,811
Johns Lyng Group Ltd. 3,070,410 12,328,560
Pro Medicus Ltd. 272,544 8,702,842
Total 69,267,920
Austria 1.3%
Kontron AG(a) 1,066,610 15,060,912
Brazil 3.7%
Hapvida Participacoes e Investimentos SA 14,159,860 19,949,565
TOTVS SA 4,340,759 23,730,196
Total 43,679,761
Canada 2.9%
Altus Group Ltd. 437,131 14,170,722
Osisko Gold Royalties Ltd. 1,924,595 19,603,324
Total 33,774,046
China 2.0%
Shenzhou International Group Holdings Ltd. 1,050,400 8,110,728
Silergy Corp. 1,133,000 14,776,529
Total 22,887,257
Denmark 3.3%
ALK-Abello A/S(b) 1,529,430 24,103,478
Netcompany Group AS(b) 252,566 8,444,131
SimCorp AS 112,189 6,314,203
Total 38,861,812
Finland 1.5%
Valmet OYJ 887,561 17,943,126
France 0.8%
Robertet SA 11,259 9,029,553
Germany 4.3%
Eckert & Ziegler Strahlen- und Medizintechnik AG 332,119 11,031,991
Hypoport SE(b) 75,471 6,661,708
Jenoptik AG 983,904 19,368,821
Nemetschek SE 274,436 13,026,576
Total 50,089,096
Common Stocks (continued)
Issuer Shares Value ($)
India 1.6%
Balkrishna Industries Ltd. 523,723 12,054,236
ICICI Prudential Life Insurance Co., Ltd. 1,032,359 6,627,682
Total 18,681,918
Italy 3.7%
Amplifon SpA 707,009 18,420,615
Carel Industries SpA 311,081 5,789,073
GVS SpA(b) 1,062,997 6,208,061
Nexi SpA(b) 1,597,681 12,906,254
Total 43,324,003
Japan 17.1%
CyberAgent, Inc. 1,768,500 14,890,961
Daifuku Co., Ltd. 327,700 15,414,052
Daiseki Co., Ltd. 962,319 29,500,267
Disco Corp. 76,600 16,886,612
Fuso Chemical Co., Ltd. 473,100 10,173,414
Hikari Tsushin, Inc. 220,928 25,952,251
Hoshizaki Corp. 665,400 18,558,282
NSD Co., Ltd. 531,500 9,047,400
Obic Co., Ltd. 125,700 16,855,573
Seiren Co., Ltd. 313,600 4,572,819
Sekisui Chemical Co., Ltd. 1,077,700 13,184,506
Simplex Holdings, Inc. 1,151,400 14,754,910
Solasto Corp. 1,903,500 11,343,174
Total 201,134,221
Mexico 1.9%
Corporación Inmobiliaria Vesta SAB de CV 11,817,418 22,051,122
Netherlands 3.4%
Argenx SE, ADR(b) 27,092 9,564,831
BE Semiconductor Industries NV 166,349 7,121,459
IMCD NV 199,836 23,692,872
Total 40,379,162
New Zealand 1.7%
Fisher & Paykel Healthcare Corp., Ltd. 1,916,272 19,861,941
Norway 0.8%
Var Energi ASA 2,778,426 9,027,557
4 Columbia Acorn International® | Third Quarter Report 2022

Portfolio of Investments   (continued)
Columbia Acorn International®, September 30, 2022 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Singapore 0.5%
Mapletree Logistics Trust 5,450,544 5,889,305
South Korea 3.2%
Jeisys Medical, Inc.(b) 1,324,614 5,969,029
KEPCO Plant Service & Engineering Co., Ltd. 249,170 5,987,765
Koh Young Technology, Inc. 1,089,447 9,541,684
Korea Investment Holdings Co., Ltd. 477,561 15,691,727
Total 37,190,205
Spain 0.5%
Befesa SA 177,335 5,381,650
Sweden 8.4%
AddTech AB, B Shares 1,559,063 20,480,877
Dometic Group AB 1,192,698 6,116,388
Hexagon AB, Class B 3,439,031 32,117,573
Munters Group AB 2,911,694 20,367,824
Sectra AB, Class B(b) 1,217,043 13,522,221
Sweco AB, Class B 776,429 6,512,867
Total 99,117,750
Switzerland 3.9%
Belimo Holding AG, Registered Shares 76,384 28,093,740
Inficon Holding AG 17,187 11,488,220
Montana Aerospace AG(b),(c) 617,639 6,443,842
Total 46,025,802
Taiwan 5.4%
Parade Technologies Ltd. 782,000 14,369,658
Sinbon Electronics Co., Ltd. 2,250,000 18,688,606
Universal Vision Biotechnology Co., Ltd. 1,121,550 9,924,002
Voltronic Power Technology Corp. 468,408 20,600,845
Total 63,583,111
United Kingdom 16.6%
Abcam PLC(b) 1,074,495 16,044,066
Auto Trader Group PLC 2,976,352 16,879,098
Dechra Pharmaceuticals PLC 804,457 23,362,219
Diploma PLC 751,667 19,314,378
Common Stocks (continued)
Issuer Shares Value ($)
Genus PLC 490,299 14,224,721
Halma PLC 678,487 15,260,776
Intermediate Capital Group PLC 2,501,113 26,980,781
Rentokil Initial PLC 2,426,266 12,860,368
Rightmove PLC 4,639,100 24,749,142
Safestore Holdings PLC 712,058 6,626,936
Spirax-Sarco Engineering PLC 160,360 18,433,890
Total 194,736,375
United States 2.5%
Inter Parfums, Inc. 390,410 29,460,339
Vietnam 1.5%
Asia Commercial Bank JSC(b) 9,760,665 9,027,300
FPT Corp. 2,514,240 8,439,727
Total 17,467,027
Total Common Stocks
(Cost $1,209,509,534)
1,153,904,971
Securities Lending Collateral 1.2%
Dreyfus Government Cash Management Fund, Institutional Shares, 2.748%(d),(e) 13,919,657 13,919,657
Total Securities Lending Collateral
(Cost $13,919,657)
13,919,657
Money Market Funds 1.3%
  Shares Value ($)
Columbia Short-Term Cash Fund, 2.834%(d),(f) 16,086,192 16,078,148
Total Money Market Funds
(Cost $16,076,212)
16,078,148
Total Investments in Securities
(Cost $1,239,505,403)
1,183,902,776
Obligation to Return Collateral for Securities Loaned   (13,919,657)
Other Assets & Liabilities, Net   2,828,669
Net Assets $1,172,811,788
 
At September 30, 2022, securities and/or cash totaling $322,921 were pledged as collateral.
Columbia Acorn International® | Third Quarter Report 2022
5

Portfolio of Investments   (continued)
Columbia Acorn International®, September 30, 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 Emerging Markets Index 157 12/2022 USD 6,841,275 (453,676)
Notes to Portfolio of Investments
(a) All or a portion of this security was on loan at September 30, 2022. The total market value of securities on loan at September 30, 2022 was $13,663,490.
(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 September 30, 2022, the total value of these securities amounted to $6,443,842, which represents 0.55% of total net assets.
(d) The rate shown is the seven-day current annualized yield at September 30, 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 September 30, 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, 2.834%
  22,664,312 297,880,479 (304,468,579) 1,936 16,078,148 (5,962) 165,951 16,086,192
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.
6 Columbia Acorn International® | Third Quarter Report 2022

Portfolio of Investments
Columbia Acorn USA®, September 30, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 97.9%
Issuer Shares Value ($)
Communication Services 4.4%
Entertainment 3.4%
Live Nation Entertainment, Inc.(a) 24,419 1,856,821
Roblox Corp., Class A(a) 39,823 1,427,256
Take-Two Interactive Software, Inc.(a) 19,306 2,104,354
Total   5,388,431
Media 1.0%
Trade Desk, Inc. (The), Class A(a) 26,169 1,563,598
Total Communication Services 6,952,029
Consumer Discretionary 17.0%
Auto Components 0.9%
Dorman Products, Inc.(a) 18,131 1,488,918
Diversified Consumer Services 1.9%
Bright Horizons Family Solutions, Inc.(a) 30,257 1,744,316
Chegg, Inc.(a) 54,674 1,151,981
Total   2,896,297
Hotels, Restaurants & Leisure 6.6%
Churchill Downs, Inc. 17,044 3,138,652
Planet Fitness, Inc., Class A(a) 42,151 2,430,427
Wingstop, Inc. 37,504 4,703,752
Total   10,272,831
Household Durables 2.3%
Skyline Champion Corp.(a) 68,637 3,628,838
Internet & Direct Marketing Retail 1.2%
Etsy, Inc.(a) 18,003 1,802,641
Specialty Retail 4.1%
Five Below, Inc.(a) 23,748 3,269,387
Floor & Decor Holdings, Inc., Class A(a) 17,270 1,213,390
Williams-Sonoma, Inc. 16,402 1,932,976
Total   6,415,753
Total Consumer Discretionary 26,505,278
Consumer Staples 3.0%
Food & Staples Retailing 1.2%
BJ’s Wholesale Club Holdings, Inc.(a) 24,775 1,803,868
Common Stocks (continued)
Issuer Shares Value ($)
Household Products 1.8%
WD-40 Co. 16,272 2,859,641
Total Consumer Staples 4,663,509
Energy 3.5%
Oil, Gas & Consumable Fuels 3.5%
Antero Resources Corp.(a) 47,573 1,452,404
Devon Energy Corp. 36,080 2,169,490
Diamondback Energy, Inc. 16,009 1,928,444
Total   5,550,338
Total Energy 5,550,338
Financials 5.1%
Banks 1.5%
Lakeland Financial Corp. 18,382 1,338,393
Pinnacle Financial Partners, Inc. 11,625 942,788
Total   2,281,181
Capital Markets 3.1%
Ares Management Corp., Class A 32,447 2,010,091
GCM Grosvenor, Inc., Class A(b) 202,628 1,598,735
Houlihan Lokey, Inc., Class A 17,444 1,314,929
Total   4,923,755
Insurance 0.5%
Ryan Specialty Holdings, Inc., Class A(a) 19,914 808,907
Total Financials 8,013,843
Health Care 18.7%
Biotechnology 3.0%
Insmed, Inc.(a) 52,344 1,127,490
Intellia Therapeutics, Inc.(a) 11,369 636,209
Iovance Biotherapeutics, Inc.(a) 40,425 387,271
Natera, Inc.(a) 58,552 2,565,749
Total   4,716,719
Health Care Equipment & Supplies 3.4%
Axonics, Inc.(a) 25,098 1,767,903
Inspire Medical Systems, Inc.(a) 5,110 906,361
Insulet Corp.(a) 11,415 2,618,601
Total   5,292,865
Columbia Acorn USA® | Third Quarter Report 2022
7

Portfolio of Investments   (continued)
Columbia Acorn USA®, September 30, 2022 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Health Care Providers & Services 4.5%
Amedisys, Inc.(a) 24,513 2,372,613
Chemed Corp. 8,837 3,857,881
P3 Health Partners, Inc., Class A(a),(b) 155,314 717,550
Total   6,948,044
Health Care Technology 1.4%
Doximity, Inc., Class A(a),(b) 73,435 2,219,206
Life Sciences Tools & Services 5.1%
Bio-Techne Corp. 12,657 3,594,588
DNA Script(a),(c),(d),(e) 1,139 448,498
Repligen Corp.(a) 21,113 3,950,453
Total   7,993,539
Pharmaceuticals 1.3%
Catalent, Inc.(a) 28,141 2,036,283
Total Health Care 29,206,656
Industrials 23.2%
Aerospace & Defense 3.1%
Axon Enterprise, Inc.(a) 20,123 2,329,237
Curtiss-Wright Corp. 17,963 2,499,731
Total   4,828,968
Building Products 0.9%
Simpson Manufacturing Co., Inc. 10,285 806,344
Trex Company, Inc.(a) 14,950 656,903
Total   1,463,247
Commercial Services & Supplies 1.0%
Rollins, Inc. 47,505 1,647,473
Electrical Equipment 4.2%
AMETEK, Inc. 29,168 3,307,943
Atkore, Inc.(a) 16,010 1,245,738
Generac Holdings, Inc.(a) 11,013 1,961,856
Total   6,515,537
Common Stocks (continued)
Issuer Shares Value ($)
Machinery 5.9%
Evoqua Water Technologies Corp.(a) 36,337 1,201,665
Ingersoll Rand, Inc. 37,693 1,630,599
Kornit Digital Ltd.(a) 30,045 799,498
Middleby Corp. (The)(a) 23,359 2,993,923
SPX Technologies, Inc.(a) 46,269 2,554,974
Total   9,180,659
Professional Services 6.1%
Booz Allen Hamilton Holding Corp. 30,143 2,783,706
CoStar Group, Inc.(a) 65,267 4,545,847
ICF International, Inc. 20,502 2,235,128
Total   9,564,681
Trading Companies & Distributors 2.0%
SiteOne Landscape Supply, Inc.(a) 29,421 3,063,903
Total Industrials 36,264,468
Information Technology 18.4%
Electronic Equipment, Instruments & Components 2.2%
CDW Corp. 21,695 3,386,155
IT Services 3.1%
DigitalOcean Holdings, Inc.(a) 22,849 826,448
Endava PLC, ADR(a) 14,139 1,140,027
MongoDB, Inc.(a) 7,864 1,561,476
VeriSign, Inc.(a) 7,821 1,358,508
Total   4,886,459
Semiconductors & Semiconductor Equipment 1.9%
Marvell Technology, Inc. 20,665 886,735
Monolithic Power Systems, Inc. 4,152 1,508,837
Wolfspeed, Inc.(a) 5,866 606,310
Total   3,001,882
Software 11.2%
Bill.com Holdings, Inc.(a) 13,043 1,726,502
Crowdstrike Holdings, Inc., Class A(a) 9,981 1,644,969
Datadog, Inc., Class A(a) 12,732 1,130,347
Five9, Inc.(a) 29,819 2,235,829
HubSpot, Inc.(a) 7,135 1,927,306
Paycom Software, Inc.(a) 12,890 4,253,571
 
8 Columbia Acorn USA® | Third Quarter Report 2022

Portfolio of Investments   (continued)
Columbia Acorn USA®, September 30, 2022 (Unaudited)
Common Stocks (continued)
Issuer Shares Value ($)
Workiva, Inc., Class A(a) 13,616 1,059,325
Zscaler, Inc.(a) 20,988 3,449,797
Total   17,427,646
Total Information Technology 28,702,142
Materials 1.7%
Chemicals 1.7%
Albemarle Corp. 4,748 1,255,561
Avient Corp. 46,650 1,413,495
Total   2,669,056
Total Materials 2,669,056
Real Estate 2.9%
Real Estate Management & Development 2.9%
Colliers International Group, Inc. 32,119 2,944,028
FirstService Corp. 13,004 1,547,606
Total   4,491,634
Total Real Estate 4,491,634
Total Common Stocks
(Cost $166,138,323)
153,018,953
Securities Lending Collateral 0.9%
Issuer Shares Value ($)
Dreyfus Government Cash Management Fund, Institutional Shares, 2.748%(f),(g) 1,485,625 1,485,625
Total Securities Lending Collateral
(Cost $1,485,625)
1,485,625
Money Market Funds 2.3%
  Shares Value ($)
Columbia Short-Term Cash Fund, 2.834%(f),(h) 3,590,817 3,589,022
Total Money Market Funds
(Cost $3,588,594)
3,589,022
Total Investments in Securities
(Cost: $171,212,542)
158,093,600
Obligation to Return Collateral for Securities Loaned   (1,485,625)
Other Assets & Liabilities, Net   (290,917)
Net Assets 156,317,058
 
Notes to Portfolio of Investments
(a) Non-income producing investment.
(b) All or a portion of this security was on loan at September 30, 2022. The total market value of securities on loan at September 30, 2022 was $1,394,591.
(c) Represents fair value as determined in good faith under procedures approved by the Board of Trustees. At September 30, 2022, the total value of these securities amounted to $448,498, which represents 0.29% 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 September 30, 2022, the total market value of these securities amounted to $448,498, which represents 0.29% of total net assets. Additional information on these securities is as follows:
    
Security Acquisition
Dates
Shares Cost ($) Value ($)
DNA Script 10/01/2021 1,139 993,179 448,498
    
(e) Valuation based on significant unobservable inputs.
(f) The rate shown is the seven-day current annualized yield at September 30, 2022.
(g) Investment made with cash collateral received from securities lending activity.
Columbia Acorn USA® | Third Quarter Report 2022
9

Portfolio of Investments   (continued)
Columbia Acorn USA®, September 30, 2022 (Unaudited)
Notes to Portfolio of Investments  (continued)
(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 September 30, 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, 2.834%
  8,759,126 77,355,577 (82,526,111) 430 3,589,022 (1,285) 42,046 3,590,817
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® | Third Quarter Report 2022

Portfolio of Investments
Columbia Acorn International SelectSM, September 30, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 98.9%
Issuer Shares Value ($)
Australia 3.3%
IDP Education Ltd. 418,329 7,027,293
Brazil 4.5%
TOTVS SA 1,795,160 9,813,836
Canada 2.7%
CCL Industries, Inc. 122,093 5,918,375
China 6.3%
NetEase, Inc., ADR 71,788 5,427,173
Shenzhou International Group Holdings Ltd. 594,600 4,591,240
Silergy Corp. 270,000 3,521,327
Total 13,539,740
Denmark 2.1%
ALK-Abello A/S(a) 281,902 4,442,713
Finland 3.2%
Valmet OYJ 341,406 6,901,938
Germany 2.3%
Nemetschek SE 106,491 5,054,778
Italy 4.8%
Amplifon SpA 197,156 5,136,759
Nexi SpA(a) 636,425 5,141,116
Total 10,277,875
Japan 14.6%
Daifuku Co., Ltd. 112,900 5,310,487
Disco Corp. 20,000 4,409,037
Hikari Tsushin, Inc. 41,400 4,863,228
Obic Co., Ltd. 48,100 6,449,905
Recruit Holdings Co., Ltd. 362,000 10,427,647
Total 31,460,304
Malta 0.0%
BGP Holdings PLC(a),(b),(c) 2,232,232 6,782
Netherlands 3.7%
IMCD NV 67,488 8,001,484
New Zealand 3.0%
Fisher & Paykel Healthcare Corp., Ltd. 624,023 6,467,927
Common Stocks (continued)
Issuer Shares Value ($)
Singapore 2.0%
Mapletree Logistics Trust 3,934,600 4,251,330
South Korea 1.8%
Korea Investment Holdings Co., Ltd. 117,519 3,861,446
Sweden 10.6%
Hexagon AB, Class B 1,212,469 11,323,411
Sectra AB, Class B(a) 688,863 7,653,763
Sweco AB, Class B 461,619 3,872,167
Total 22,849,341
Switzerland 13.8%
Belimo Holding AG, Registered Shares 25,711 9,456,407
Lonza Group AG, Registered Shares 21,574 10,504,192
Partners Group Holding AG 12,085 9,725,822
Total 29,686,421
Taiwan 5.9%
Parade Technologies Ltd. 237,000 4,354,999
Voltronic Power Technology Corp. 192,852 8,481,738
Total 12,836,737
United Kingdom 14.3%
Dechra Pharmaceuticals PLC 191,961 5,574,735
Diploma PLC 229,400 5,894,523
Halma PLC 209,206 4,705,538
Intermediate Capital Group PLC 443,976 4,789,396
Rentokil Initial PLC 791,401 4,194,803
Rightmove PLC 1,080,805 5,765,988
Total 30,924,983
Total Common Stocks
(Cost $251,139,183)
213,323,303
Columbia Acorn International SelectSM | Third Quarter Report 2022
11

Portfolio of Investments   (continued)
Columbia Acorn International SelectSM, September 30, 2022 (Unaudited)
Money Market Funds 0.9%
  Shares Value ($)
Columbia Short-Term Cash Fund, 2.834%(d),(e) 1,791,397 1,790,501
Total Money Market Funds
(Cost $1,790,584)
1,790,501
Total Investments in Securities
(Cost $252,929,767)
215,113,804
Other Assets & Liabilities, Net   521,296
Net Assets $215,635,100
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, 2022, the total value of these securities amounted to $6,782, 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, 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 September 30, 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, 2.834%
  4,210,604 63,374,264 (65,794,284) (83) 1,790,501 (1,462) 19,742 1,791,397
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 | Third Quarter Report 2022

Portfolio of Investments
Columbia Thermostat FundSM, September 30, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Equity Funds 26.4%
  Shares Value ($)
International 2.9%
Columbia Emerging Markets Fund, Institutional 3 Class(a) 3,892,636 41,806,912
U.S. Large Cap 17.6%
Columbia Contrarian Core Fund, Institutional 3 Class(a) 2,413,273 63,010,566
Columbia Large Cap Enhanced Core Fund, Institutional 3 Class(a) 3,152,795 62,929,775
Columbia Large Cap Index Fund, Institutional 3 Class(a) 2,879,268 125,622,462
Total 251,562,803
U.S. Mid Cap 2.9%
Columbia Select Mid Cap Value Fund, Institutional 3 Class(a) 3,894,763 42,219,237
U.S. Small Mid Cap 3.0%
Columbia Acorn® Fund, Institutional 3 Class(a) 4,353,378 42,314,838
Total Equity Funds
(Cost $395,741,649)
377,903,790
Exchange-Traded Equity Funds 2.9%
U.S. Large Cap 2.9%
Columbia Research Enhanced Core ETF(a) 1,988,881 41,950,870
Total Exchange-Traded Equity Funds
(Cost $44,179,714)
41,950,870
Exchange-Traded Fixed Income Funds 7.0%
Multisector 7.0%
Columbia Diversified Fixed Income Allocation ETF(a) 5,973,728 99,940,470
Total Exchange-Traded Fixed Income Funds
(Cost $123,917,670)
99,940,470
Fixed Income Funds 63.2%
  Shares Value ($)
Investment Grade 63.2%
Columbia Corporate Income Fund, Institutional 3 Class(a) 11,860,304 100,456,777
Columbia Quality Income Fund, Institutional 3 Class(a) 11,236,901 200,803,413
Columbia Short Term Bond Fund, Institutional 3 Class(a) 16,104,513 150,416,153
Columbia Total Return Bond Fund, Institutional 3 Class(a) 3,393,890 100,459,128
Columbia U.S. Treasury Index Fund, Institutional 3 Class(a) 35,219,201 351,487,629
Total 903,623,100
Total Fixed Income Funds
(Cost $1,070,633,510)
903,623,100
Money Market Funds 0.4%
Columbia Short-Term Cash Fund, 2.834%(a),(b) 5,050,223 5,047,698
Total Money Market Funds
(Cost $5,047,424)
5,047,698
Total Investments in Securities
(Cost: $1,639,519,967)
1,428,465,928
Other Assets & Liabilities, Net   936,195
Net Assets 1,429,402,123
Columbia Thermostat FundSM | Third Quarter Report 2022
13

Portfolio of Investments   (continued)
Columbia Thermostat FundSM, September 30, 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 September 30, 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 76,320,408 (50,530,421) (4,516,278) 42,314,838 1,830,014 (4,046,026) 4,353,378
Columbia Contrarian Core Fund, Institutional 3 Class
  31,401,672 101,976,745 (60,060,267) (10,307,584) 63,010,566 2,027,901 2,413,273
Columbia Corporate Income Fund, Institutional 3 Class
  186,858,848 37,439,612 (100,347,418) (23,494,265) 100,456,777 (12,791,126) 3,378,785 11,860,304
Columbia Diversified Fixed Income Allocation ETF
  186,759,029 32,215,676 (92,286,287) (26,747,948) 99,940,470 (11,677,270) 2,849,834 5,973,728
Columbia Emerging Markets Fund, Institutional 3 Class
  21,148,316 68,544,019 (44,540,613) (3,344,810) 41,806,912 (7,390,896) 3,892,636
Columbia Large Cap Enhanced Core Fund, Institutional 3 Class
  31,422,661 105,745,360 (65,187,978) (9,050,268) 62,929,775 4,000,718 (2,782,343) 123,416 3,152,795
Columbia Large Cap Index Fund, Institutional 3 Class
  62,412,872 212,418,246 (127,710,664) (21,497,992) 125,622,462 6,876,497 (2,194,793) 306,782 2,879,268
Columbia Quality Income Fund, Institutional 3 Class
  373,669,379 75,501,193 (205,756,450) (42,610,709) 200,803,413 (20,917,579) 5,327,319 11,236,901
Columbia Research Enhanced Core ETF
  18,034,082 69,800,365 (39,111,097) (6,772,480) 41,950,870 1,516,580 1,988,881
Columbia Select Mid Cap Value Fund, Institutional 3 Class
  21,178,767 69,897,976 (41,000,289) (7,857,217) 42,219,237 1,854,950 855,919 262,698 3,894,763
Columbia Short Term Bond Fund, Institutional 3 Class
  280,062,035 55,763,291 (175,530,415) (9,878,758) 150,416,153 (6,322,547) 3,171,097 16,104,513
Columbia Short-Term Cash Fund, 2.834%
  3,640,167 222,058,065 (220,650,808) 274 5,047,698 (2,621) 38,988 5,050,223
Columbia Total Return Bond Fund, Institutional 3 Class
  186,937,454 38,723,956 (101,010,357) (24,191,925) 100,459,128 (11,235,070) 3,668,166 3,393,890
Columbia U.S. Treasury Index Fund, Institutional 3 Class
  653,104,595 131,967,260 (386,390,392) (47,193,834) 351,487,629 (36,641,567) 5,473,859 35,219,201
Total 2,077,671,006     (237,463,794) 1,428,465,928 14,562,179 (111,601,438) 24,600,944  
    
(b) The rate shown is the seven-day current annualized yield at September 30, 2022.
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
14 Columbia Thermostat FundSM | Third Quarter Report 2022

Portfolio of Investments
Columbia Acorn European FundSM, September 30, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 99.2%
Issuer Shares Value ($)
Austria 1.6%
Kontron AG(a) 75,638 1,068,035
Denmark 5.4%
ALK-Abello A/S(b) 138,259 2,178,931
Netcompany Group AS(b) 26,122 873,346
SimCorp AS 11,084 623,828
Total 3,676,105
Finland 2.5%
Valmet OYJ 83,029 1,678,532
France 1.6%
Robertet SA 1,325 1,062,631
Germany 9.2%
Eckert & Ziegler Strahlen- und Medizintechnik AG 23,174 769,770
Hypoport SE(b) 4,353 384,233
Jenoptik AG 86,668 1,706,119
Nemetschek SE 25,238 1,197,965
Washtec AG 71,072 2,245,344
Total 6,303,431
Italy 11.0%
Amplifon SpA 68,805 1,792,665
Carel Industries SpA 114,299 2,127,051
GVS SpA(b) 99,536 581,305
Intercos SpA(b) 90,621 932,538
Nexi SpA(b) 256,315 2,070,543
Total 7,504,102
Netherlands 6.2%
Argenx SE(b) 2,145 763,355
BE Semiconductor Industries NV 20,304 869,221
IMCD NV 22,236 2,636,336
Total 4,268,912
Russian Federation —%
TCS Group Holding PLC GDR(b),(c),(d),(e),(f) 17,858 0
Spain 0.8%
Befesa SA 18,099 549,257
Common Stocks (continued)
Issuer Shares Value ($)
Sweden 17.6%
AddTech AB, B Shares 155,373 2,041,082
Dometic Group AB 140,286 719,414
Dustin Group AB 206,399 813,659
Hexagon AB, Class B 286,831 2,678,753
Munters Group AB 383,978 2,685,995
Sectra AB, Class B(b) 194,421 2,160,157
Sweco AB, Class B 113,892 955,353
Total 12,054,413
Switzerland 9.3%
Belimo Holding AG, Registered Shares 7,181 2,641,144
Inficon Holding AG 1,174 784,731
Kardex Energy AG 7,422 984,008
Montana Aerospace AG(b),(c) 77,666 810,291
Partners Group Holding AG 1,379 1,109,798
Total 6,329,972
United Kingdom 30.1%
Abcam PLC(b) 140,012 2,090,621
Auto Trader Group PLC 319,096 1,809,615
Dechra Pharmaceuticals PLC 73,012 2,120,340
Diploma PLC 95,030 2,441,833
Genus PLC 42,154 1,222,986
Halma PLC 69,868 1,571,497
Intermediate Capital Group PLC 177,613 1,916,002
Rentokil Initial PLC 359,185 1,903,852
Rightmove PLC 407,103 2,171,854
Safestore Holdings PLC 104,878 976,072
Spirax-Sarco Engineering PLC 20,463 2,352,287
Total 20,576,959
United States 3.9%
Inter Parfums, Inc. 35,109 2,649,325
Total Common Stocks
(Cost $72,216,436)
67,721,674
Columbia Acorn European FundSM | Third Quarter Report 2022
15

Portfolio of Investments   (continued)
Columbia Acorn European FundSM, September 30, 2022 (Unaudited)
Securities Lending Collateral 1.5%
Issuer Shares Value ($)
Dreyfus Government Cash Management Fund, Institutional Shares, 2.748%(g),(h) 988,040 988,040
Total Securities Lending Collateral
(Cost $988,040)
988,040
Money Market Funds 0.5%
  Shares Value ($)
Columbia Short-Term Cash Fund, 2.834%(g),(i) 369,863 369,678
Total Money Market Funds
(Cost $369,678)
369,678
Total Investments in Securities
(Cost $73,574,154)
69,079,392
Obligation to Return Collateral for Securities Loaned   (988,040)
Other Assets & Liabilities, Net   185,685
Net Assets $68,277,037
Notes to Portfolio of Investments
(a) All or a portion of this security was on loan at September 30, 2022. The total market value of securities on loan at September 30, 2022 was $970,598.
(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 September 30, 2022, the total value of these securities amounted to $810,291, which represents 1.19% of total net assets.
(d) Represents fair value as determined in good faith under procedures approved by the Board of Trustees. At September 30, 2022, the total value of these securities amounted to $0, which represents less than 0.01% of total net assets.
(e) 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, 2022, the total market value of these securities amounted to $0, which represents less than 0.01% of total net assets. Additional information on these securities is as follows:
    
Security Acquisition
Dates
Shares Cost ($) Value ($)
TCS Group Holding PLC GDR 01/22/2021-03/02/2021 17,858 784,598
    
(f) Valuation based on significant unobservable inputs.
(g) The rate shown is the seven-day current annualized yield at September 30, 2022.
(h) Investment made with cash collateral received from securities lending activity.
(i) 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, 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, 2.834%
  2,948,499 59,920,451 (62,499,272) 369,678 (340) 6,800 369,863
Abbreviation Legend
GDR Global Depositary Receipt
16 Columbia Acorn European FundSM | Third Quarter Report 2022

Portfolio of Investments   (continued)
Columbia Acorn European FundSM, September 30, 2022 (Unaudited)
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
Columbia Acorn European FundSM | Third Quarter Report 2022
17

You may at any time request, free of charge, to receive a paper copy of this report by calling 800.345.6611.
3QT110_12_M01_(11/22)