0001145549-21-055926.txt : 20210924 0001145549-21-055926.hdr.sgml : 20210924 20210924084322 ACCESSION NUMBER: 0001145549-21-055926 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210731 FILED AS OF DATE: 20210924 PERIOD START: 20220430 FILER: COMPANY DATA: COMPANY CONFORMED NAME: COLUMBIA FUNDS SERIES TRUST I CENTRAL INDEX KEY: 0000773757 IRS NUMBER: 363376651 STATE OF INCORPORATION: MA FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-04367 FILM NUMBER: 211274213 BUSINESS ADDRESS: STREET 1: 290 CONGRESS STREET CITY: BOSTON STATE: MA ZIP: 02210 BUSINESS PHONE: 800-345-6611 MAIL ADDRESS: STREET 1: 290 CONGRESS STREET CITY: BOSTON STATE: MA ZIP: 02210 FORMER COMPANY: FORMER CONFORMED NAME: COLUMBIA FUNDS TRUST IX DATE OF NAME CHANGE: 20031107 FORMER COMPANY: FORMER CONFORMED NAME: LIBERTY STEIN ROE FUNDS MUNICIPAL TRUST DATE OF NAME CHANGE: 19991025 FORMER COMPANY: FORMER CONFORMED NAME: STEINROE 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2028-01-15 Fixed 5.000000000000 N N N N N N JERSEY CTL PWR & LT CO N/A JERSEY CENTRAL POWER & LIGHT CO 476556DD4 1783000.000000000000 PA USD 1867905.210000000000 0.1159861495 Long DBT CORP US N 2 2032-03-01 Fixed 2.750000000000 N N N N N N KAR AUCTION SERVICES INC 5493004HKD20LBSG7D03 KAR AUCTION SERVICES INC 48238TAA7 579000.000000000000 PA USD 592284.820000000000 0.0367774742 Long DBT CORP US N 2 2025-06-01 Fixed 5.125000000000 N N N N N N KAISER ALUMINUM CORPORATION N/A KAISER ALUMINUM CORPORATION 483007AL4 519000.000000000000 PA USD 539765.830000000000 0.0335163476 Long DBT CORP US N 2 2031-06-01 Fixed 4.500000000000 N N N N N N VICI PROPERTIES 1 LLC VICI FC INC N/A VICI PROPERTIES LP / VICI NOTE CO 92564RAA3 176000.000000000000 PA USD 183042.810000000000 0.0113659037 Long DBT CORP US N 2 2026-12-01 Fixed 4.250000000000 N N N N N N VIDEOTRON LTD / VIDEOTRON LTEE N/A VIDEOTRON LTD / VIDEOTRON LTEE 92660FAN4 255000.000000000000 PA USD 262148.860000000000 0.0162779335 Long DBT CORP CA N 2 2029-06-15 Fixed 3.625000000000 N N N N N N VIKING CRUISES LTD N/A VIKING CRUISES LTD 92676XAD9 362000.000000000000 PA USD 343867.350000000000 0.0213521809 Long DBT CORP BM N 2 2027-09-15 Fixed 5.875000000000 N N N N N N VIRGIN MEDIA FINANCE PLC N/A VIRGIN MEDIA FINANCE PLC 92769VAJ8 556000.000000000000 PA USD 565673.720000000000 0.0351250782 Long DBT CORP GB N 2 2030-07-15 Fixed 5.000000000000 N N N N N N KINDER MORGAN ENERGY PARTNERS LP 549300PDHUGWPWGOT525 KINDER MORGAN ENERGY PARTNERS LP 494550BP0 5946000.000000000000 PA USD 7298907.590000000000 0.4532201005 Long DBT CORP US N 2 2043-03-01 Fixed 5.000000000000 N N N N N N KINDER MORGAN INC 549300WR7IX8XE0TBO16 KINDER MORGAN INC 49456BAJ0 1724000.000000000000 PA USD 2140672.460000000000 0.1329234239 Long DBT CORP US N 2 2046-02-15 Fixed 5.050000000000 N N N N N N VIRGIN MEDIA SECURED FINANCE PLC N/A VIRGIN MEDIA SECURED FINANCE PLC 92769XAP0 168000.000000000000 PA USD 179530.640000000000 0.0111478182 Long DBT CORP GB N 2 2029-05-15 Fixed 5.500000000000 N N N N N N VISTRA OPERATIONS COMPANY LLC N/A VISTRA OPERATIONS COMPANY LLC 92840VAA0 159000.000000000000 PA USD 163815.560000000000 0.0101720023 Long DBT CORP US N 2 2026-09-01 Fixed 5.500000000000 N N N N N N KRAFT HEINZ FOODS CO 5493003STKEZ2S0RNU91 KRAFT HEINZ FOODS CO 50077LAB2 5601000.000000000000 PA USD 6442241.190000000000 0.4000260537 Long DBT CORP US N 2 2046-06-01 Fixed 4.375000000000 N N N N N N KROGER CO 6CPEOKI6OYJ13Q6O7870 KROGER CO 501044DK4 803000.000000000000 PA USD 1005648.690000000000 0.0624449885 Long DBT CORP US N 2 2048-01-15 Fixed 4.650000000000 N N N N N N L BRANDS INC GR3KVMWVCR54YWQNXU90 L BRANDS INC 501797AL8 227000.000000000000 PA USD 292027.410000000000 0.0181332193 Long DBT CORP US N 2 2035-11-01 Fixed 6.875000000000 N N N N N N L BRANDS INC GR3KVMWVCR54YWQNXU90 L BRANDS INC 501797AR5 113000.000000000000 PA USD 131413.820000000000 0.0081600409 Long DBT CORP US N 2 2029-06-15 Fixed 7.500000000000 N N N N N N L BRANDS INC GR3KVMWVCR54YWQNXU90 L BRANDS INC 501797AU8 64000.000000000000 PA USD 83028.910000000000 0.0051556168 Long DBT CORP US N 2 2025-07-01 Fixed 9.375000000000 N N N N N N VISTRA OPERATIONS COMPANY LLC N/A VISTRA OPERATIONS COMPANY LLC 92840VAB8 408000.000000000000 PA USD 423616.170000000000 0.0263041230 Long DBT CORP US N 2 2027-02-15 Fixed 5.625000000000 N N N N N N VISTRA OPERATIONS COMPANY LLC N/A VISTRA OPERATIONS COMPANY LLC 92840VAF9 252000.000000000000 PA USD 260385.890000000000 0.0161684633 Long DBT CORP US N 2 2027-07-31 Fixed 5.000000000000 N N N N N N VISTRA OPERATIONS COMPANY LLC N/A VISTRA OPERATIONS COMPANY LLC 92840VAH5 310000.000000000000 PA USD 317993.530000000000 0.0197455657 Long DBT CORP US N 2 2029-05-01 Fixed 4.375000000000 N N N N N N VMED O2 UK FINANCING I PLC N/A VMED O2 UK FINANCING I PLC 92858RAA8 1059000.000000000000 PA USD 1048115.600000000000 0.0650819389 Long DBT CORP GB N 2 2031-01-31 Fixed 4.250000000000 N N N N N N VMED O2 UK FINANCING I PLC N/A VMED O2 UK FINANCING I PLC 92858RAB6 849000.000000000000 PA USD 866878.140000000000 0.0538281370 Long DBT CORP GB N 2 2031-07-15 Fixed 4.750000000000 N N N N N N VOYA FINANCIAL INC N/A VOYA FINANCIAL INC 929089AC4 1895000.000000000000 PA USD 2453637.780000000000 0.1523567668 Long DBT CORP US N 2 2046-06-15 Fixed 4.800000000000 N N N N N N WEC ENERGY GROUP INC 549300IGLYTZUK3PVP70 WEC ENERGY GROUP INC 92939UAC0 4735000.000000000000 PA USD 4742687.320000000000 0.2944935523 Long DBT CORP US N 2 2023-09-15 Fixed 0.550000000000 N N N N N N WEC ENERGY GROUP INC 549300IGLYTZUK3PVP70 WEC ENERGY GROUP INC 92939UAD8 7695000.000000000000 PA USD 7637527.890000000000 0.4742464698 Long DBT CORP US N 2 2027-10-15 Fixed 1.375000000000 N N N N N N WASHINGTON MUTUAL BANK/HENDERSON N/A WASHINGTON MUTUAL BK NV 93933WAC0 6350000.000000000000 PA USD 9525.000000000000 0.0005914476 Long DBT CORP US N 3 2015-01-15 Variable 0.000000000000 Y N N N N N WMI HOLDINGS CORP 549300KD8C6DPXYC2M26 WMI HOLDINGS CORP - ESCROW 939ESC802 1075.000000000000 NS USD 0.000000000000 0.0000000000 Long EC CORP US N 3 N N N WASTE PRO USA INC N/A WASTE PRO USA INC 94107JAA1 768000.000000000000 PA USD 782216.620000000000 0.0485711445 Long DBT CORP US N 2 2026-02-15 Fixed 5.500000000000 N N N N N N WELLS FARGO & COMPANY PBLD0EJDB5FWOLXP3B76 WELLS FARGO & COMPANY 95000U2G7 13846000.000000000000 PA USD 14790575.500000000000 0.9184095061 Long DBT CORP US N 2 2030-10-30 Variable 2.879000000000 N N N N N N WELLS FARGO & COMPANY PBLD0EJDB5FWOLXP3B76 WELLS FARGO & COMPANY 95000U2J1 30044000.000000000000 PA USD 31451768.400000000000 1.9529735731 Long DBT CORP US N 2 2031-02-11 Variable 2.572000000000 N N N N N N 2021-08-19 Columbia Funds Series Trust I Martha Skinner Martha Skinner Assistant Treasurer XXXX NPORT-EX 2 nportpoi_689.htm
Portfolio of Investments
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 0.0%
Issuer Shares Value ($)
Financials 0.0%
Insurance 0.0%
Mr. Cooper Group, Inc.(a) 1,782 66,255
WMI Holdings Corp. Escrow(a),(b),(c) 1,075
Total   66,255
Total Financials 66,255
Total Common Stocks
(Cost $1,077,470)
66,255
    
Convertible Bonds 0.0%
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Cable and Satellite 0.0%
DISH Network Corp.
Subordinated
08/15/2026 3.375%   238,000 243,950
Total Convertible Bonds
(Cost $224,003)
243,950
Corporate Bonds & Notes 90.4%
Aerospace & Defense 5.3%
BAE Systems PLC(d)
02/15/2031 1.900%   17,155,000 16,914,115
Boeing Co. (The)
03/01/2029 3.200%   8,721,000 9,198,910
08/01/2059 3.950%   10,033,000 10,454,677
Bombardier, Inc.(d)
10/15/2022 6.000%   82,000 82,125
12/01/2024 7.500%   337,000 350,803
04/15/2027 7.875%   360,000 372,975
Moog, Inc.(d)
12/15/2027 4.250%   139,000 143,318
Northrop Grumman Corp.
01/15/2028 3.250%   26,916,000 29,597,290
TransDigm, Inc.(d)
03/15/2026 6.250%   2,391,000 2,510,291
05/01/2029 4.875%   664,000 667,680
TransDigm, Inc.
06/15/2026 6.375%   622,000 643,246
11/15/2027 5.500%   710,000 733,121
United Technologies Corp.
11/16/2028 4.125%   9,223,000 10,702,643
06/01/2042 4.500%   2,410,000 3,073,357
Total 85,444,551
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Airlines 0.2%
Air Canada(d),(e)
08/15/2026 3.875%   460,000 461,250
American Airlines, Inc./AAdvantage Loyalty IP Ltd.(d)
04/20/2026 5.500%   865,000 905,021
04/20/2029 5.750%   132,255 143,001
Delta Air Lines, Inc.
01/15/2026 7.375%   491,000 578,113
Hawaiian Brand Intellectual Property Ltd./Miles Loyalty Ltd.(d)
01/20/2026 5.750%   362,739 380,162
United Airlines, Inc.(d)
04/15/2026 4.375%   219,000 225,297
04/15/2029 4.625%   245,000 252,103
Total 2,944,947
Automotive 0.8%
American Axle & Manufacturing, Inc.
03/15/2026 6.250%   441,000 454,499
Clarios Global LP(d)
05/15/2025 6.750%   80,000 84,962
Ford Motor Co.
04/21/2023 8.500%   68,000 75,534
04/22/2025 9.000%   486,000 598,079
04/22/2030 9.625%   20,000 28,821
07/16/2031 7.450%   252,000 334,919
Ford Motor Credit Co. LLC
09/08/2024 3.664%   1,168,000 1,224,702
06/16/2025 5.125%   256,000 282,045
11/13/2025 3.375%   1,251,000 1,306,915
08/17/2027 4.125%   554,000 593,565
11/13/2030 4.000%   214,000 226,335
General Motors Co.
04/01/2048 5.400%   2,835,000 3,644,597
Goodyear Tire & Rubber Co. (The)(d)
07/15/2029 5.000%   382,000 402,602
IAA Spinco, Inc.(d)
06/15/2027 5.500%   910,000 956,565
Jaguar Land Rover Automotive PLC(d)
07/15/2029 5.500%   312,000 311,907
KAR Auction Services, Inc.(d)
06/01/2025 5.125%   579,000 592,285
Panther BF Aggregator 2 LP/Finance Co., Inc.(d)
05/15/2026 6.250%   60,000 63,507
05/15/2027 8.500%   503,000 542,998
Real Hero Merger Sub 2, Inc.(d)
02/01/2029 6.250%   180,000 186,011
Columbia Corporate Income Fund  | Quarterly Report 2021
1

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Tenneco, Inc.(d)
01/15/2029 7.875%   557,000 629,519
04/15/2029 5.125%   240,000 247,648
Total 12,788,015
Banking 18.8%
Bank of America Corp.(f)
07/23/2031 1.898%   19,015,000 18,679,784
10/24/2031 1.922%   34,690,000 34,119,530
Bank of Nova Scotia (The)
04/15/2024 0.700%   12,992,000 13,036,662
Citigroup, Inc.(f)
06/03/2031 2.572%   18,470,000 19,126,436
05/01/2032 2.561%   7,714,000 7,973,923
Goldman Sachs Group, Inc. (The)(f)
03/09/2027 1.431%   8,321,000 8,359,451
05/01/2029 4.223%   19,695,000 22,676,639
07/21/2032 2.383%   9,072,000 9,225,106
HSBC Holdings PLC(f)
05/24/2032 2.804%   25,593,000 26,564,050
JPMorgan Chase & Co.(f)
10/15/2030 2.739%   16,187,000 17,143,065
11/19/2031 1.764%   3,635,000 3,536,536
04/22/2032 2.580%   30,210,000 31,446,430
Morgan Stanley(f)
07/21/2032 2.239%   24,895,000 25,099,008
Royal Bank of Canada
01/19/2024 0.425%   13,550,000 13,555,525
Truist Financial Corp.(f)
03/02/2027 1.267%   6,872,000 6,907,846
Washington Mutual Bank(b),(c),(g)
Subordinated
01/15/2015 0.000%   6,350,000 9,525
Wells Fargo & Co.(f)
10/30/2030 2.879%   13,846,000 14,790,576
02/11/2031 2.572%   30,044,000 31,451,768
Total 303,701,860
Brokerage/Asset Managers/Exchanges 0.1%
Aretec Escrow Issuer, Inc.(d)
04/01/2029 7.500%   178,000 187,648
Hightower Holding LLC(d)
04/15/2029 6.750%   455,000 463,379
NFP Corp.(d)
08/15/2028 4.875%   393,000 400,723
08/15/2028 6.875%   1,093,000 1,136,912
Total 2,188,662
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Building Materials 0.3%
American Builders & Contractors Supply Co., Inc.(d)
01/15/2028 4.000%   455,000 466,973
Beacon Roofing Supply, Inc.(d)
11/15/2026 4.500%   550,000 573,365
05/15/2029 4.125%   291,000 291,643
Core & Main LP(d)
08/15/2025 6.125%   568,000 577,406
CP Atlas Buyer Inc.(d)
12/01/2028 7.000%   245,000 252,815
Interface, Inc.(d)
12/01/2028 5.500%   210,000 220,291
James Hardie International Finance DAC(d)
01/15/2028 5.000%   572,000 606,320
SRS Distribution, Inc.(d)
07/01/2028 4.625%   226,000 230,593
07/01/2029 6.125%   439,000 449,305
White Cap Buyer LLC(d)
10/15/2028 6.875%   567,000 605,427
Total 4,274,138
Cable and Satellite 3.1%
CCO Holdings LLC/Capital Corp.(d)
02/15/2026 5.750%   239,000 247,103
05/01/2027 5.125%   324,000 339,030
03/01/2030 4.750%   1,263,000 1,339,635
02/01/2031 4.250%   1,353,000 1,395,253
CCO Holdings LLC/Capital Corp.
05/01/2032 4.500%   381,000 398,565
Charter Communications Operating LLC/Capital
05/01/2047 5.375%   3,110,000 3,846,905
03/01/2050 4.800%   6,920,000 8,135,346
04/01/2061 3.850%   4,242,000 4,243,404
Comcast Corp.
02/15/2031 1.500%   16,780,000 16,177,402
CSC Holdings LLC(d)
01/15/2030 5.750%   664,000 692,785
12/01/2030 4.125%   1,316,000 1,319,438
02/15/2031 3.375%   504,000 478,787
DISH DBS Corp.
07/01/2026 7.750%   958,000 1,094,162
DISH DBS Corp.(d)
06/01/2029 5.125%   833,000 825,763
NBCUniversal Media LLC
01/15/2043 4.450%   2,965,000 3,707,925
Radiate Holdco LLC/Finance, Inc.(d)
09/15/2028 6.500%   522,000 541,863
 
2 Columbia Corporate Income Fund  | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Sirius XM Radio, Inc.(d)
07/15/2024 4.625%   385,000 395,133
07/15/2026 5.375%   545,000 562,735
07/01/2030 4.125%   461,000 475,845
Videotron Ltd.(d)
06/15/2029 3.625%   255,000 262,149
Virgin Media Finance PLC(d)
07/15/2030 5.000%   556,000 565,674
Virgin Media Secured Finance PLC(d)
05/15/2029 5.500%   168,000 179,531
Ziggo Bond Co. BV(d)
02/28/2030 5.125%   509,000 524,395
Ziggo Bond Finance BV(d)
01/15/2027 6.000%   501,000 522,507
Ziggo BV(d)
01/15/2030 4.875%   1,000,000 1,030,089
Total 49,301,424
Chemicals 0.4%
Axalta Coating Systems LLC(d)
02/15/2029 3.375%   650,000 639,483
Axalta Coating Systems LLC/Dutch Holding B BV(d)
06/15/2027 4.750%   265,000 279,512
Element Solutions, Inc.(d)
09/01/2028 3.875%   533,000 544,376
HB Fuller Co.
10/15/2028 4.250%   818,000 836,672
Herens Holdco Sarl(d)
05/15/2028 4.750%   317,000 314,705
Illuminate Buyer LLC/Holdings IV, Inc.(d)
07/01/2028 9.000%   276,000 307,165
INEOS Group Holdings SA(d)
08/01/2024 5.625%   398,000 398,237
Innophos Holdings, Inc.(d)
02/15/2028 9.375%   401,000 432,936
Iris Holdings, Inc.(d),(h)
02/15/2026 8.750%   245,000 249,817
Minerals Technologies, Inc.(d)
07/01/2028 5.000%   189,000 197,760
PQ Corp.(d)
12/15/2025 5.750%   247,000 254,101
WR Grace & Co.(d)
06/15/2027 4.875%   1,635,000 1,727,228
Total 6,181,992
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Construction Machinery 1.6%
Caterpillar Financial Services Corp.
05/17/2024 0.450%   12,444,000 12,442,012
H&E Equipment Services, Inc.(d)
12/15/2028 3.875%   720,000 714,529
NESCO Holdings II, Inc.(d)
04/15/2029 5.500%   259,000 267,737
United Rentals North America, Inc.
09/15/2026 5.875%   261,000 269,775
05/15/2027 5.500%   97,000 102,045
11/15/2027 3.875%   10,420,000 10,885,481
02/15/2031 3.875%   181,000 186,305
United Rentals North America, Inc.(e)
01/15/2032 3.750%   211,000 211,000
Total 25,078,884
Consumer Cyclical Services 0.1%
APX Group, Inc.
09/01/2023 7.625%   181,000 185,242
APX Group, Inc.(d)
07/15/2029 5.750%   145,000 145,547
Match Group, Inc.(d)
06/01/2028 4.625%   174,000 182,684
Staples, Inc.(d)
04/15/2026 7.500%   254,000 257,899
04/15/2027 10.750%   56,000 54,345
Uber Technologies, Inc.(d)
05/15/2025 7.500%   778,000 834,347
01/15/2028 6.250%   257,000 277,223
Total 1,937,287
Consumer Products 0.1%
CD&R Smokey Buyer, Inc.(d)
07/15/2025 6.750%   432,000 460,181
Mattel, Inc.(d)
04/01/2026 3.375%   171,000 177,829
04/01/2029 3.750%   532,000 560,689
Mattel, Inc.
11/01/2041 5.450%   54,000 63,622
Newell Brands, Inc.
06/01/2025 4.875%   92,000 102,059
Prestige Brands, Inc.(d)
01/15/2028 5.125%   509,000 538,279
04/01/2031 3.750%   237,000 234,893
Spectrum Brands, Inc.
07/15/2025 5.750%   209,000 214,620
Total 2,352,172
 
Columbia Corporate Income Fund  | Quarterly Report 2021
3

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Diversified Manufacturing 1.8%
BWX Technologies, Inc.(d)
06/30/2028 4.125%   231,000 236,829
Carrier Global Corp.
02/15/2030 2.722%   15,488,000 16,387,214
CFX Escrow Corp.(d)
02/15/2026 6.375%   273,000 288,349
Gates Global LLC/Co.(d)
01/15/2026 6.250%   807,000 841,672
Madison IAQ LLC(d)
06/30/2028 4.125%   600,000 600,914
06/30/2029 5.875%   538,000 544,095
Resideo Funding, Inc.(d)
11/01/2026 6.125%   336,000 353,220
Siemens Financieringsmaatschappij NV(d)
03/11/2024 0.650%   8,584,000 8,612,786
Vertical US Newco, Inc.(d)
07/15/2027 5.250%   526,000 555,660
Welbilt, Inc.
02/15/2024 9.500%   103,000 106,841
WESCO Distribution, Inc.(d)
06/15/2025 7.125%   302,000 325,377
06/15/2028 7.250%   558,000 621,659
Total 29,474,616
Electric 12.3%
AEP Texas, Inc.
01/15/2050 3.450%   10,380,000 11,071,550
Calpine Corp.(d)
02/15/2028 4.500%   357,000 367,889
03/15/2028 5.125%   292,000 296,051
CenterPoint Energy, Inc.
09/01/2024 2.500%   3,517,000 3,687,129
Clearway Energy Operating LLC(d)
03/15/2028 4.750%   2,560,000 2,712,894
02/15/2031 3.750%   1,052,000 1,056,755
CMS Energy Corp.
03/01/2024 3.875%   2,124,000 2,278,333
11/15/2025 3.600%   8,564,000 9,397,855
Dominion Energy, Inc.
04/01/2030 3.375%   5,434,000 6,025,885
DTE Energy Co.
10/01/2026 2.850%   1,361,000 1,463,485
06/15/2029 3.400%   7,403,000 8,223,263
Duke Energy Corp.
10/15/2023 3.950%   6,183,000 6,595,679
06/15/2051 3.500%   4,382,000 4,722,011
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Emera US Finance LP
06/15/2046 4.750%   4,303,000 5,216,505
Eversource Energy
10/01/2024 2.900%   5,000,000 5,323,591
01/15/2025 3.150%   2,695,000 2,890,678
08/15/2030 1.650%   17,836,000 17,422,231
Exelon Corp.
04/15/2050 4.700%   3,825,000 4,952,520
Georgia Power Co.
07/30/2023 2.100%   13,854,000 14,327,689
03/15/2042 4.300%   15,175,000 18,338,610
Jersey Central Power & Light Co.(d)
03/01/2032 2.750%   1,783,000 1,867,905
Leeward Renewable Energy Operations LLC(d)
07/01/2029 4.250%   130,000 132,570
NextEra Energy Capital Holdings, Inc.
06/15/2028 1.900%   4,583,000 4,685,751
NextEra Energy Operating Partners LP(d)
09/15/2027 4.500%   425,000 457,573
NRG Energy, Inc.
01/15/2027 6.625%   484,000 501,110
01/15/2028 5.750%   7,000 7,437
NRG Energy, Inc.(d)
06/15/2029 5.250%   2,298,000 2,465,293
02/15/2031 3.625%   600,000 605,288
Pacific Gas and Electric Co.
07/01/2050 4.950%   9,570,000 9,882,883
Pinnacle West Capital Corp.
06/15/2025 1.300%   7,194,000 7,284,407
Progress Energy, Inc.
04/01/2022 3.150%   13,000,000 13,153,665
Southern California Edison Co.
10/01/2043 4.650%   295,000 341,013
04/01/2047 4.000%   1,665,000 1,774,269
Vistra Operations Co. LLC(d)
09/01/2026 5.500%   159,000 163,816
02/15/2027 5.625%   408,000 423,616
07/31/2027 5.000%   252,000 260,386
05/01/2029 4.375%   310,000 317,994
WEC Energy Group, Inc.
09/15/2023 0.550%   4,735,000 4,742,687
06/15/2025 3.550%   4,151,000 4,545,593
10/15/2027 1.375%   7,695,000 7,637,528
Xcel Energy, Inc.
12/01/2026 3.350%   1,200,000 1,318,540
12/01/2049 3.500%   7,935,000 8,831,649
Total 197,771,576
 
4 Columbia Corporate Income Fund  | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Environmental 0.5%
GFL Environmental, Inc.(d)
06/01/2025 4.250%   95,000 98,612
08/01/2025 3.750%   5,290,000 5,442,639
12/15/2026 5.125%   364,000 382,057
08/01/2028 4.000%   320,000 316,425
06/15/2029 4.750%   509,000 526,211
Waste Pro USA, Inc.(d)
02/15/2026 5.500%   768,000 782,217
Total 7,548,161
Finance Companies 1.4%
GE Capital International Funding Co. Unlimited Co.
11/15/2035 4.418%   16,805,000 20,648,540
Global Aircraft Leasing Co., Ltd.(d),(h)
09/15/2024 6.500%   228,722 229,906
Navient Corp.
01/25/2023 5.500%   508,000 533,593
10/25/2024 5.875%   111,000 121,310
03/15/2028 4.875%   224,000 225,842
Provident Funding Associates LP/Finance Corp.(d)
06/15/2025 6.375%   383,000 391,514
Quicken Loans LLC/Co-Issuer, Inc.(d)
03/01/2029 3.625%   321,000 322,926
Springleaf Finance Corp.
03/15/2024 6.125%   585,000 629,606
06/01/2025 8.875%   102,000 112,235
Total 23,215,472
Food and Beverage 3.9%
Anheuser-Busch Companies LLC/InBev Worldwide, Inc.
02/01/2046 4.900%   19,276,000 24,719,758
Bacardi Ltd.(d)
05/15/2048 5.300%   6,960,000 9,324,089
Conagra Brands, Inc.
11/01/2048 5.400%   1,980,000 2,710,212
FAGE International SA/USA Dairy Industry, Inc.(d)
08/15/2026 5.625%   956,000 984,730
JBS USA LUX SA/Food Co./Finance, Inc.(d)
12/01/2031 3.750%   248,000 254,079
Kraft Heinz Foods Co.
06/01/2046 4.375%   5,601,000 6,442,241
Mondelez International, Inc.
05/04/2025 1.500%   11,610,000 11,853,190
Pilgrim’s Pride Corp.(d)
09/30/2027 5.875%   261,000 279,065
04/15/2031 4.250%   992,000 1,055,819
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Post Holdings, Inc.(d)
03/01/2027 5.750%   2,596,000 2,705,048
04/15/2030 4.625%   736,000 749,889
09/15/2031 4.500%   523,000 529,087
Primo Water Holdings, Inc.(d)
04/30/2029 4.375%   309,000 309,562
Simmons Foods, Inc./Prepared Foods, Inc./Pet Food, Inc./Feed(d)
03/01/2029 4.625%   283,000 286,086
Triton Water Holdings, Inc.(d)
04/01/2029 6.250%   301,000 301,343
US Foods, Inc.(d)
02/15/2029 4.750%   523,000 533,290
Total 63,037,488
Gaming 0.4%
Boyd Gaming Corp.(d)
06/01/2025 8.625%   90,000 98,416
06/15/2031 4.750%   503,000 520,880
Boyd Gaming Corp.
12/01/2027 4.750%   205,000 212,408
Caesars Resort Collection LLC/CRC Finco, Inc.(d)
10/15/2025 5.250%   716,000 721,425
Colt Merger Sub, Inc.(d)
07/01/2025 5.750%   607,000 637,635
07/01/2025 6.250%   682,000 719,509
07/01/2027 8.125%   56,000 61,664
International Game Technology PLC(d)
04/15/2026 4.125%   203,000 211,381
MGM Growth Properties Operating Partnership LP/Finance Co-Issuer, Inc.(d)
06/15/2025 4.625%   166,000 176,635
MGM Growth Properties Operating Partnership LP/Finance Co-Issuer, Inc.
02/01/2027 5.750%   154,000 172,241
Midwest Gaming Borrower LLC(d)
05/01/2029 4.875%   414,000 417,296
Penn National Gaming, Inc.(d)
07/01/2029 4.125%   242,000 238,526
Scientific Games International, Inc.(d)
10/15/2025 5.000%   922,000 947,355
03/15/2026 8.250%   378,000 401,934
11/15/2029 7.250%   579,000 649,204
VICI Properties LP/Note Co., Inc.(d)
12/01/2026 4.250%   176,000 183,043
Wynn Las Vegas LLC/Capital Corp.(d)
03/01/2025 5.500%   92,000 97,524
Wynn Resorts Finance LLC/Capital Corp.(d)
04/15/2025 7.750%   94,000 100,117
Total 6,567,193
 
Columbia Corporate Income Fund  | Quarterly Report 2021
5

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Health Care 3.6%
Acadia Healthcare Co., Inc.(d)
07/01/2028 5.500%   1,258,000 1,345,834
04/15/2029 5.000%   109,000 114,548
Avantor Funding, Inc.(d)
07/15/2028 4.625%   914,000 962,137
Becton Dickinson and Co.
06/06/2024 3.363%   12,575,000 13,463,571
02/11/2031 1.957%   6,540,000 6,486,537
Charles River Laboratories International, Inc.(d)
03/15/2029 3.750%   148,000 151,722
03/15/2031 4.000%   119,000 125,416
CHS/Community Health Systems, Inc.(d)
02/15/2025 6.625%   323,000 338,869
03/15/2026 8.000%   394,000 422,282
04/15/2029 6.875%   279,000 293,697
Cigna Corp.
10/15/2028 4.375%   12,450,000 14,645,793
CVS Health Corp.
03/25/2048 5.050%   5,435,000 7,237,612
HCA, Inc.
02/01/2029 5.875%   863,000 1,055,693
09/01/2030 3.500%   730,000 790,323
07/15/2051 3.500%   5,430,000 5,601,199
Indigo Merger Sub, Inc.(d)
07/15/2026 2.875%   200,000 204,232
Radiology Partners, Inc.(d)
02/01/2028 9.250%   151,000 163,927
RP Escrow Issuer LLC(d)
12/15/2025 5.250%   420,000 433,216
Select Medical Corp.(d)
08/15/2026 6.250%   1,121,000 1,186,723
Tenet Healthcare Corp.(d)
01/01/2026 4.875%   405,000 418,956
02/01/2027 6.250%   394,000 410,584
11/01/2027 5.125%   1,793,000 1,881,488
10/01/2028 6.125%   674,000 717,713
Total 58,452,072
Healthcare Insurance 0.6%
Aetna, Inc.
08/15/2047 3.875%   2,502,000 2,865,341
Centene Corp.(d)
06/01/2026 5.375%   407,000 423,917
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Centene Corp.
02/15/2030 3.375%   3,674,000 3,839,046
10/15/2030 3.000%   2,046,000 2,128,269
03/01/2031 2.500%   612,000 612,591
Total 9,869,164
Home Construction 0.1%
Meritage Homes Corp.
06/01/2025 6.000%   330,000 374,879
Meritage Homes Corp.(d)
04/15/2029 3.875%   423,000 446,616
Shea Homes LP/Funding Corp.(d)
02/15/2028 4.750%   171,000 175,695
04/01/2029 4.750%   65,000 66,846
Taylor Morrison Communities, Inc.(d)
01/15/2028 5.750%   193,000 218,031
08/01/2030 5.125%   355,000 386,009
Total 1,668,076
Independent Energy 1.1%
Apache Corp.
11/15/2027 4.875%   190,000 204,489
02/01/2042 5.250%   748,000 804,637
04/15/2043 4.750%   403,000 415,090
Callon Petroleum Co.
07/01/2026 6.375%   922,000 830,508
Callon Petroleum Co.(d)
08/01/2028 8.000%   326,000 306,530
Canadian Natural Resources Ltd.
06/01/2027 3.850%   4,885,000 5,420,415
CNX Resources Corp.(d)
03/14/2027 7.250%   610,000 650,174
01/15/2029 6.000%   277,000 293,231
Comstock Resources, Inc.(d)
03/01/2029 6.750%   235,000 245,523
01/15/2030 5.875%   174,000 175,022
CrownRock LP/Finance, Inc.(d)
10/15/2025 5.625%   219,000 224,519
05/01/2029 5.000%   153,000 159,823
Encana Corp.
08/15/2034 6.500%   19,000 25,299
Endeavor Energy Resources LP/Finance, Inc.(d)
01/30/2028 5.750%   238,000 249,895
EQT Corp.
01/15/2029 5.000%   252,000 284,790
EQT Corp.(f)
02/01/2030 8.750%   510,000 669,960
EQT Corp.(d)
05/15/2031 3.625%   230,000 243,509
 
6 Columbia Corporate Income Fund  | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Hilcorp Energy I LP/Finance Co.(d)
02/01/2029 5.750%   281,000 287,252
02/01/2031 6.000%   300,000 312,914
Indigo Natural Resources LLC(d)
02/01/2029 5.375%   227,000 236,596
Matador Resources Co.
09/15/2026 5.875%   597,000 606,641
Newfield Exploration Co.
07/01/2024 5.625%   32,000 35,400
01/01/2026 5.375%   270,000 304,464
Occidental Petroleum Corp.
07/15/2025 8.000%   786,000 935,680
09/01/2030 6.625%   593,000 723,300
01/01/2031 6.125%   648,000 766,163
09/15/2036 6.450%   208,000 250,805
03/15/2046 6.600%   1,048,000 1,289,300
04/15/2046 4.400%   358,000 351,577
08/15/2049 4.400%   235,000 228,470
Ovintiv, Inc.
11/01/2031 7.200%   45,000 60,148
SM Energy Co.
09/15/2026 6.750%   402,000 399,001
01/15/2027 6.625%   145,000 144,446
07/15/2028 6.500%   175,000 174,362
Total 18,309,933
Integrated Energy 0.4%
BP Capital Markets America, Inc.
02/08/2061 3.379%   1,455,000 1,516,506
Cenovus Energy, Inc.
07/15/2025 5.375%   144,000 164,330
04/15/2027 4.250%   10,000 11,198
11/15/2039 6.750%   250,000 340,399
06/15/2047 5.400%   2,215,000 2,767,335
Chevron USA, Inc.
11/15/2043 5.250%   348,000 483,098
Suncor Energy, Inc.
11/15/2047 4.000%   650,000 741,114
Total 6,023,980
Leisure 0.4%
Carnival Corp.(d)
03/01/2026 7.625%   216,000 228,841
03/01/2027 5.750%   1,059,000 1,076,078
08/01/2028 4.000%   740,000 738,244
Cedar Fair LP/Canada’s Wonderland Co./Magnum Management Corp.
06/01/2024 5.375%   211,000 212,778
Cedar Fair LP/Canada’s Wonderland Co./Magnum Management Corp./Millennium Operations LLC(d)
05/01/2025 5.500%   300,000 311,544
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Cedar Fair LP/Canada’s Wonderland Co./Magnum Management Corp./Millennium Operations LLC
10/01/2028 6.500%   472,000 509,638
Cinemark USA, Inc.(d)
05/01/2025 8.750%   121,000 129,717
03/15/2026 5.875%   481,000 472,612
07/15/2028 5.250%   225,000 211,531
Live Nation Entertainment, Inc.(d)
05/15/2027 6.500%   258,000 285,671
10/15/2027 4.750%   156,000 159,436
NCL Corp Ltd.(d)
03/15/2026 5.875%   210,000 211,546
NCL Finance Ltd.(d)
03/15/2028 6.125%   117,000 117,798
Royal Caribbean Cruises Ltd.(d)
06/15/2023 9.125%   143,000 155,803
07/01/2026 4.250%   292,000 284,874
04/01/2028 5.500%   388,000 395,569
Royal Caribbean Cruises Ltd.
03/15/2028 3.700%   292,000 275,618
Six Flags Entertainment Corp.(d)
07/31/2024 4.875%   471,000 474,723
Viking Cruises Ltd.(d)
09/15/2027 5.875%   362,000 343,867
Total 6,595,888
Life Insurance 8.6%
AIG Global Funding(d)
09/22/2025 0.900%   6,680,000 6,640,406
Five Corners Funding Trust(d)
11/15/2023 4.419%   23,065,000 25,082,026
Guardian Life Global Funding(d)
12/10/2025 0.875%   13,510,000 13,465,296
Guardian Life Insurance Co. of America (The)(d)
Subordinated
06/19/2064 4.875%   980,000 1,297,682
Massachusetts Mutual Life Insurance Co.(d)
Subordinated
10/15/2070 3.729%   3,418,000 3,792,391
New York Life Global Funding(d)
01/15/2026 0.850%   9,189,000 9,154,432
Northwestern Mutual Global Funding(d)
01/14/2026 0.800%   8,667,000 8,608,264
Northwestern Mutual Life Insurance Co. (The)(d)
Subordinated
09/30/2059 3.625%   6,958,000 7,779,812
Pacific Life Global Funding II(d)
09/23/2023 0.500%   4,635,000 4,653,927
04/14/2026 1.375%   17,139,000 17,364,586
 
Columbia Corporate Income Fund  | Quarterly Report 2021
7

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Peachtree Corners Funding Trust(d)
02/15/2025 3.976%   16,462,000 18,099,812
Principal Life Global Funding II(d)
11/21/2024 2.250%   7,165,000 7,493,804
Teachers Insurance & Annuity Association of America(d)
Subordinated
09/15/2044 4.900%   4,715,000 6,267,519
05/15/2050 3.300%   6,368,000 6,807,149
Voya Financial, Inc.
06/15/2046 4.800%   1,895,000 2,453,638
Total 138,960,744
Lodging 0.0%
Hilton Domestic Operating Co., Inc.(d)
05/01/2025 5.375%   310,000 324,608
Marriott Ownership Resorts, Inc.(d)
06/15/2029 4.500%   128,000 128,861
Total 453,469
Media and Entertainment 1.7%
Cengage Learning, Inc.(d)
06/15/2024 9.500%   524,000 536,783
Clear Channel International BV(d)
08/01/2025 6.625%   274,000 287,273
Clear Channel Outdoor Holdings, Inc.(d)
04/15/2028 7.750%   708,000 737,632
06/01/2029 7.500%   433,000 448,752
Diamond Sports Group LLC/Finance Co.(d)
08/15/2026 5.375%   204,000 118,444
08/15/2027 6.625%   79,000 31,470
Discovery Communications LLC
05/15/2049 5.300%   1,432,000 1,839,364
iHeartCommunications, Inc.
05/01/2026 6.375%   261,962 276,701
05/01/2027 8.375%   884,518 942,025
iHeartCommunications, Inc.(d)
08/15/2027 5.250%   102,000 106,350
01/15/2028 4.750%   749,000 773,726
Lamar Media Corp.
02/15/2028 3.750%   404,000 411,610
Netflix, Inc.
11/15/2028 5.875%   995,000 1,236,287
05/15/2029 6.375%   388,000 498,811
Netflix, Inc.(d)
11/15/2029 5.375%   6,792,000 8,374,970
06/15/2030 4.875%   725,000 873,879
Outfront Media Capital LLC/Corp.(d)
01/15/2029 4.250%   216,000 216,817
03/15/2030 4.625%   367,000 369,863
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Playtika Holding Corp.(d)
03/15/2029 4.250%   283,000 282,374
Scripps Escrow, Inc.(d)
07/15/2027 5.875%   164,000 169,743
Univision Communications, Inc.(d)
05/01/2029 4.500%   248,000 248,695
ViacomCBS, Inc.
01/15/2031 4.950%   1,330,000 1,621,190
05/19/2032 4.200%   2,385,000 2,788,014
Walt Disney Co. (The)
09/15/2044 4.750%   3,480,000 4,655,275
Total 27,846,048
Metals and Mining 0.8%
Alcoa Nederland Holding BV(d)
03/31/2029 4.125%   194,000 203,809
Constellium NV(d)
02/15/2026 5.875%   624,000 640,213
Constellium SE(d)
06/15/2028 5.625%   893,000 955,336
04/15/2029 3.750%   491,000 490,652
Freeport-McMoRan, Inc.
03/01/2028 4.125%   4,316,000 4,516,965
09/01/2029 5.250%   386,000 426,627
03/15/2043 5.450%   1,001,000 1,286,203
Hudbay Minerals, Inc.(d)
04/01/2026 4.500%   344,000 350,088
04/01/2029 6.125%   403,000 434,101
Kaiser Aluminum Corp.(d)
06/01/2031 4.500%   519,000 539,766
Novelis Corp.(d)
09/30/2026 5.875%   1,999,000 2,073,406
01/30/2030 4.750%   836,000 890,521
Novelis Corp.(d),(e)
11/15/2026 3.250%   305,000 309,293
08/15/2031 3.875%   367,000 371,126
Total 13,488,106
Midstream 2.8%
Cheniere Energy Partners LP
10/01/2026 5.625%   419,000 432,828
Cheniere Energy Partners LP(d)
03/01/2031 4.000%   283,000 299,292
Cheniere Energy, Inc.
10/15/2028 4.625%   567,000 598,879
DCP Midstream Operating LP
05/15/2029 5.125%   341,000 380,328
04/01/2044 5.600%   230,000 264,209
 
8 Columbia Corporate Income Fund  | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
DT Midstream, Inc.(d)
06/15/2029 4.125%   318,000 326,088
06/15/2031 4.375%   254,000 263,574
Energy Transfer Operating LP
03/15/2023 4.250%   260,000 272,281
Enterprise Products Operating LLC
01/31/2060 3.950%   2,710,000 3,048,669
EQM Midstream Partners LP(d)
07/01/2025 6.000%   212,000 230,696
07/01/2027 6.500%   307,000 344,674
01/15/2029 4.500%   333,000 338,470
01/15/2031 4.750%   740,000 755,932
ITT Holdings LLC(d)
08/01/2029 6.500%   257,000 256,370
Kinder Morgan Energy Partners LP
03/01/2043 5.000%   5,946,000 7,298,908
Kinder Morgan, Inc.
02/15/2046 5.050%   1,724,000 2,140,672
MPLX LP
04/15/2048 4.700%   4,390,000 5,182,200
NuStar Logistics LP
10/01/2025 5.750%   182,000 198,967
06/01/2026 6.000%   132,000 143,187
04/28/2027 5.625%   247,000 267,217
10/01/2030 6.375%   198,000 220,124
Plains All American Pipeline LP/Finance Corp.
06/15/2044 4.700%   6,975,000 7,487,780
Sunoco LP/Finance Corp.
04/15/2027 6.000%   316,000 329,823
Targa Resources Partners LP/Finance Corp.
04/15/2026 5.875%   348,000 364,337
02/01/2027 5.375%   123,000 127,646
01/15/2028 5.000%   357,000 375,424
03/01/2030 5.500%   869,000 957,976
Targa Resources Partners LP/Finance Corp.(d)
02/01/2031 4.875%   242,000 261,573
01/15/2032 4.000%   301,000 311,143
TransMontaigne Partners LP/TLP Finance Corp.
02/15/2026 6.125%   363,000 369,401
Venture Global Calcasieu Pass LLC(d),(e)
08/15/2029 3.875%   369,000 376,894
08/15/2031 4.125%   431,000 444,490
Western Gas Partners LP
08/15/2048 5.500%   2,776,000 3,093,128
Williams Companies, Inc. (The)
09/15/2045 5.100%   6,364,000 8,009,902
Total 45,773,082
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Natural Gas 1.5%
NiSource, Inc.
09/01/2029 2.950%   22,775,000 24,433,844
05/15/2047 4.375%   84,000 103,158
Total 24,537,002
Oil Field Services 0.1%
Apergy Corp.
05/01/2026 6.375%   119,000 124,415
Nabors Industries Ltd.(d)
01/15/2026 7.250%   220,000 205,986
Transocean Guardian Ltd.(d)
01/15/2024 5.875%   84,420 79,980
Transocean Sentry Ltd.(d)
05/15/2023 5.375%   438,350 419,054
Total 829,435
Other Industry 0.0%
Dycom Industries, Inc.(d)
04/15/2029 4.500%   286,000 290,570
Hillenbrand, Inc.
03/01/2031 3.750%   215,000 218,810
Total 509,380
Other REIT 0.3%
Ladder Capital Finance Holdings LLLP/Corp.(d)
03/15/2022 5.250%   1,084,000 1,087,075
10/01/2025 5.250%   558,000 566,379
02/01/2027 4.250%   390,000 389,586
06/15/2029 4.750%   776,000 772,881
Park Intermediate Holdings LLC/Domestic Property/Finance Co-Issuer(d)
10/01/2028 5.875%   384,000 409,269
Park Intermediate Holdings LLC/PK Domestic Property LLC/Finance Co-Issuer(d)
05/15/2029 4.875%   317,000 325,211
RHP Hotel Properties LP/Finance Corp.(d)
02/15/2029 4.500%   216,000 218,184
RLJ Lodging Trust LP(d)
07/01/2026 3.750%   222,000 224,880
Service Properties Trust
03/15/2024 4.650%   209,000 212,596
10/01/2024 4.350%   98,000 98,792
12/15/2027 5.500%   129,000 137,259
Total 4,442,112
Packaging 0.2%
Ardagh Metal Packaging Finance USA LLC/PLC(d)
09/01/2029 4.000%   769,000 769,875
 
Columbia Corporate Income Fund  | Quarterly Report 2021
9

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Ardagh Packaging Finance PLC/Holdings USA, Inc.(d)
08/15/2026 4.125%   594,000 612,995
08/15/2027 5.250%   420,000 428,995
08/15/2027 5.250%   366,000 374,196
Flex Acquisition Co., Inc.(d)
07/15/2026 7.875%   299,000 312,060
Trivium Packaging Finance BV(d)
08/15/2026 5.500%   178,000 186,455
08/15/2027 8.500%   399,000 429,220
Total 3,113,796
Pharmaceuticals 2.5%
AbbVie, Inc.
11/06/2042 4.400%   6,305,000 7,795,077
11/21/2049 4.250%   5,058,000 6,201,284
Amgen, Inc.
02/21/2040 3.150%   3,515,000 3,759,869
AstraZeneca Finance LLC
05/28/2026 1.200%   9,485,000 9,559,451
Bausch Health Companies, Inc.(d)
04/15/2025 6.125%   426,000 435,243
04/01/2026 9.250%   269,000 290,664
01/31/2027 8.500%   253,000 273,846
01/15/2028 7.000%   514,000 539,356
06/01/2028 4.875%   152,000 156,799
02/15/2029 5.000%   529,000 499,742
02/15/2029 6.250%   269,000 267,825
02/15/2031 5.250%   649,000 608,176
Endo Dac/Finance LLC/Finco, Inc.(d)
07/31/2027 9.500%   176,000 176,541
06/30/2028 6.000%   260,000 175,500
Endo Luxembourg Finance Co I Sarl/US, Inc.(d)
04/01/2029 6.125%   356,000 353,731
Gilead Sciences, Inc.
10/01/2040 2.600%   3,100,000 3,080,068
10/01/2050 2.800%   2,915,000 2,884,956
Mylan NV
06/15/2046 5.250%   585,000 728,500
Organon Finance 1 LLC(d)
04/30/2028 4.125%   918,000 941,454
04/30/2031 5.125%   683,000 703,616
Par Pharmaceutical, Inc.(d)
04/01/2027 7.500%   267,000 272,589
Total 39,704,287
Property & Casualty 0.5%
Alliant Holdings Intermediate LLC/Co-Issuer(d)
10/15/2027 6.750%   780,000 815,244
American International Group, Inc.
07/10/2025 3.750%   3,970,000 4,373,687
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
AssuredPartners, Inc.(d)
01/15/2029 5.625%   391,000 388,846
Berkshire Hathaway Finance Corp.
10/15/2050 2.850%   830,000 846,530
BroadStreet Partners, Inc.(d)
04/15/2029 5.875%   445,000 452,522
HUB International Ltd.(d)
05/01/2026 7.000%   424,000 439,420
Total 7,316,249
Railroads 1.1%
Canadian Pacific Railway Co.
03/05/2030 2.050%   5,000,000 5,039,981
CSX Corp.
11/01/2046 3.800%   5,739,000 6,633,401
Union Pacific Corp.
08/15/2059 3.950%   2,256,000 2,698,208
03/20/2060 3.839%   2,660,000 3,110,106
02/05/2070 3.750%   690,000 785,763
Total 18,267,459
Restaurants 0.2%
1011778 BC ULC/New Red Finance, Inc.(d)
01/15/2028 3.875%   578,000 582,824
10/15/2030 4.000%   294,000 293,270
IRB Holding Corp.(d)
06/15/2025 7.000%   874,000 934,846
02/15/2026 6.750%   624,000 644,402
Total 2,455,342
Retailers 1.3%
Amazon.com, Inc.
05/12/2061 3.250%   8,525,000 9,329,051
L Brands, Inc.(d)
07/01/2025 9.375%   64,000 83,029
10/01/2030 6.625%   498,000 574,402
L Brands, Inc.
06/15/2029 7.500%   113,000 131,414
11/01/2035 6.875%   227,000 292,027
LCM Investments Holdings II LLC(d)
05/01/2029 4.875%   175,000 179,700
Lowe’s Companies, Inc.
04/01/2031 2.625%   4,070,000 4,280,377
05/03/2047 4.050%   4,470,000 5,270,699
Macy’s Retail Holdings LLC(d)
04/01/2029 5.875%   146,000 154,101
 
10 Columbia Corporate Income Fund  | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
PetSmart, Inc./Finance Corp.(d)
02/15/2028 4.750%   423,000 438,544
02/15/2029 7.750%   118,000 129,388
Total 20,862,732
Supermarkets 0.2%
Albertsons Companies LLC/Safeway, Inc./New Albertsons LP/Albertsons LLC(d)
03/15/2026 7.500%   147,000 160,197
02/15/2028 5.875%   378,000 404,516
03/15/2029 3.500%   486,000 490,777
Albertsons Companies, Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC(d)
03/15/2026 3.250%   223,000 228,317
01/15/2027 4.625%   339,000 358,343
02/15/2030 4.875%   124,000 134,174
Kroger Co. (The)
01/15/2048 4.650%   803,000 1,005,649
Total 2,781,973
Technology 4.5%
Apple, Inc.
02/09/2045 3.450%   4,555,000 5,176,169
Apple, Inc.(e)
08/05/2061 2.850%   3,063,000 3,062,610
Ascend Learning LLC(d)
08/01/2025 6.875%   280,000 285,547
Banff Merger Sub, Inc.(d)
09/01/2026 9.750%   56,000 58,907
Black Knight InfoServ LLC(d)
09/01/2028 3.625%   185,000 185,547
Boxer Parent Co., Inc.(d)
10/02/2025 7.125%   82,000 87,460
Broadcom, Inc.
11/15/2030 4.150%   3,920,000 4,449,561
Clarivate Science Holdings Corp.(d)
06/30/2028 3.875%   258,000 260,277
06/30/2029 4.875%   640,000 646,831
Everi Holdings, Inc.(d)
07/15/2029 5.000%   55,000 56,254
Fidelity National Information Services, Inc.
03/01/2024 0.600%   1,932,000 1,932,228
Gartner, Inc.(d)
07/01/2028 4.500%   2,178,000 2,302,090
06/15/2029 3.625%   195,000 199,813
Helios Software Holdings, Inc.(d)
05/01/2028 4.625%   476,000 469,000
International Business Machines Corp.
05/15/2050 2.950%   5,255,000 5,385,915
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
ION Trading Technologies Sarl(d)
05/15/2028 5.750%   421,000 437,343
Iron Mountain, Inc.(d)
07/15/2030 5.250%   827,000 882,180
Logan Merger Sub, Inc.(d)
09/01/2027 5.500%   1,248,000 1,298,926
Microchip Technology, Inc.(d)
02/15/2024 0.972%   8,629,000 8,644,400
MSCI, Inc.(d)
11/01/2031 3.625%   2,000,000 2,117,555
NCR Corp.(d)
04/15/2025 8.125%   274,000 297,729
09/01/2027 5.750%   274,000 289,376
10/01/2028 5.000%   290,000 298,914
04/15/2029 5.125%   603,000 627,921
09/01/2029 6.125%   215,000 234,506
10/01/2030 5.250%   194,000 203,613
Nielsen Finance LLC/Co.(d)
10/01/2028 5.625%   224,000 236,567
07/15/2029 4.500%   254,000 256,135
07/15/2031 4.750%   317,000 319,868
NXP BV/Funding LLC/USA, Inc.(d)
05/01/2030 3.400%   1,375,000 1,521,316
Oracle Corp.
03/25/2041 3.650%   6,388,000 6,896,399
04/01/2050 3.600%   9,000,000 9,433,118
Plantronics, Inc.(d)
03/01/2029 4.750%   963,000 940,177
QUALCOMM, Inc.
05/20/2032 1.650%   2,355,000 2,296,536
QualityTech LP/QTS Finance Corp.(d)
10/01/2028 3.875%   1,848,000 1,980,520
Shift4 Payments LLC/Finance Sub, Inc.(d)
11/01/2026 4.625%   912,000 949,871
Square, Inc.(d)
06/01/2026 2.750%   103,000 105,283
06/01/2031 3.500%   217,000 225,083
Switch Ltd.(d)
06/15/2029 4.125%   255,000 262,578
Tempo Acquisition LLC/Finance Corp.(d)
06/01/2025 5.750%   175,000 184,790
VeriSign, Inc.
06/15/2031 2.700%   4,864,000 5,040,991
Verscend Escrow Corp.(d)
08/15/2026 9.750%   505,000 533,474
ZoomInfo Technologies LLC/Finance Corp.(d)
02/01/2029 3.875%   1,098,000 1,098,853
Total 72,172,231
 
Columbia Corporate Income Fund  | Quarterly Report 2021
11

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Tobacco 0.1%
BAT Capital Corp.
08/15/2047 4.540%   1,430,000 1,538,687
Transportation Services 0.6%
Avis Budget Car Rental LLC/Finance, Inc.(d)
03/15/2025 5.250%   168,000 170,669
FedEx Corp.
05/15/2041 3.250%   8,220,000 8,694,294
Total 8,864,963
Wireless 2.3%
Altice France Holding SA(d)
05/15/2027 10.500%   329,000 362,117
02/15/2028 6.000%   343,000 338,137
Altice France SA(d)
05/01/2026 7.375%   289,000 300,465
02/01/2027 8.125%   372,000 402,864
01/15/2028 5.500%   1,647,000 1,688,118
07/15/2029 5.125%   309,000 311,128
American Tower Corp.
07/15/2027 3.550%   4,395,000 4,865,644
08/15/2029 3.800%   5,130,000 5,782,413
Crown Castle International Corp.
04/01/2031 2.100%   6,110,000 6,048,749
SBA Communications Corp.
09/01/2024 4.875%   470,000 476,252
02/15/2027 3.875%   277,000 285,460
SBA Communications Corp.(d)
02/01/2029 3.125%   488,000 479,540
Sprint Capital Corp.
03/15/2032 8.750%   125,000 192,705
Sprint Corp.
06/15/2024 7.125%   316,000 363,390
03/01/2026 7.625%   552,000 674,011
T-Mobile USA, Inc.
02/15/2026 2.250%   147,000 148,783
02/15/2029 2.625%   602,000 602,042
04/15/2030 3.875%   9,700,000 10,961,198
02/15/2031 2.875%   334,000 335,758
04/15/2031 3.500%   671,000 705,468
T-Mobile USA, Inc.(d)
04/15/2031 3.500%   303,000 318,106
Vmed O2 UK Financing I PLC(d)
01/31/2031 4.250%   1,059,000 1,048,116
07/15/2031 4.750%   849,000 866,878
Total 37,557,342
Corporate Bonds & Notes (continued)
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Wirelines 3.8%
AT&T, Inc.(d)
09/15/2055 3.550%   13,042,000 13,481,022
12/01/2057 3.800%   9,896,000 10,543,260
Cablevision Lightpath LLC(d)
09/15/2027 3.875%   373,000 369,697
CenturyLink, Inc.
03/15/2022 5.800%   370,000 379,883
12/01/2023 6.750%   355,000 392,512
04/01/2025 5.625%   155,000 169,101
CenturyLink, Inc.(d)
02/15/2027 4.000%   205,000 210,859
DIRECTV Holdings LLC/Financing Co., Inc.(d),(e)
08/15/2027 5.875%   278,000 287,621
Front Range BidCo, Inc.(d)
03/01/2027 4.000%   984,000 979,771
03/01/2028 6.125%   413,000 420,097
Lumen Technologies, Inc.(d)
06/15/2029 5.375%   256,000 262,844
Northwest Fiber LLC/Finance Sub, Inc.(d)
02/15/2028 6.000%   222,000 218,508
Telefonica Emisiones SAU
03/06/2048 4.895%   5,905,000 7,134,399
Verizon Communications, Inc.
03/22/2061 3.700%   24,091,000 26,631,479
Total 61,481,053
Total Corporate Bonds & Notes
(Cost $1,392,322,562)
1,457,683,043
Foreign Government Obligations(i) 0.0%
Canada 0.0%
NOVA Chemicals Corp.(d)
06/01/2027 5.250%   251,000 270,638
05/15/2029 4.250%   198,000 200,635
Total 471,273
Total Foreign Government Obligations
(Cost $453,111)
471,273
Senior Loans 0.1%
Borrower Coupon
Rate
  Principal
Amount ($)
Value ($)
Consumer Cyclical Services 0.0%
8th Avenue Food & Provisions, Inc.(j),(k)
1st Lien Term Loan
1-month USD LIBOR + 3.500%
10/01/2025
3.589%   243,021 241,562
 
12 Columbia Corporate Income Fund  | Quarterly Report 2021

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Senior Loans (continued)
Borrower Coupon
Rate
  Principal
Amount ($)
Value ($)
2nd Lien Term Loan
1-month USD LIBOR + 7.750%
10/01/2026
7.839%   78,084 77,368
Total 318,930
Food and Beverage 0.0%
BellRing Brands LLC(j),(k)
Term Loan
1-month USD LIBOR + 4.000%
Floor 0.750%
10/21/2024
4.750%   166,165 166,762
Health Care 0.0%
Radiology Partners, Inc.(j),(k)
Tranche B 1st Lien Term Loan
1-month USD LIBOR + 4.250%
07/09/2025
4.348%   85,000 84,699
Media and Entertainment 0.1%
Cengage Learning, Inc.(j),(k),(l)
Term Loan
1-month USD LIBOR + 4.750%
Floor 1.000%
07/14/2026
5.750%   466,317 465,627
Technology 0.0%
DCert Buyer, Inc.(j),(k)
2nd Lien Term Loan
1-month USD LIBOR + 7.000%
02/19/2029
7.092%   357,000 359,677
Epicore Software Corp.(j),(k)
2nd Lien Term Loan
1-month USD LIBOR + 7.750%
Floor 1.000%
07/31/2028
8.750%   101,000 104,283
Total 463,960
Total Senior Loans
(Cost $1,494,696)
1,499,978
U.S. Treasury Obligations 2.5%
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
U.S. Treasury
04/30/2022 0.125%   5,640,000 5,642,423
06/30/2025 0.250%   3,450,000 3,412,535
11/30/2025 0.375%   3,600,000 3,565,688
12/31/2025 0.375%   11,000,000 10,885,703
06/30/2027 0.500%   8,300,000 8,138,539
12/31/2027 0.625%   4,000,000 3,926,250
02/15/2050 2.000%   4,485,000 4,576,102
Total U.S. Treasury Obligations
(Cost $41,152,034)
40,147,240
    
Money Market Funds 6.7%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.053%(m),(n) 108,523,800 108,512,948
Total Money Market Funds
(Cost $108,512,772)
108,512,948
Total Investments in Securities
(Cost: $1,545,236,648)
1,608,624,687
Other Assets & Liabilities, Net   4,263,278
Net Assets 1,612,887,965
 
At July 31, 2021, securities and/or cash totaling $1,822,798 were pledged as collateral.
Investments in derivatives
Long futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
U.S. Long Bond 666 09/2021 USD 109,702,688 5,749,901
U.S. Treasury 2-Year Note 374 09/2021 USD 82,525,438 8,028
U.S. Treasury 5-Year Note 891 09/2021 USD 110,880,774 671,852
Total         6,429,781
    
Columbia Corporate Income Fund  | Quarterly Report 2021
13

Portfolio of Investments   (continued)
Columbia Corporate Income Fund, July 31, 2021 (Unaudited)
Short futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
U.S. Treasury 10-Year Note (386) 09/2021 USD (51,898,906) (1,072,034)
U.S. Ultra Bond 10-Year Note (1,009) 09/2021 USD (151,602,250) (5,072,769)
U.S. Ultra Treasury Bond (141) 09/2021 USD (28,133,906) (1,547,234)
Total         (7,692,037)
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 July 31, 2021, the total value of these securities amounted to $9,525, which represents less than 0.01% of total net assets.
(c) Valuation based on significant unobservable inputs.
(d) 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 July 31, 2021, the total value of these securities amounted to $377,324,633, which represents 23.39% of total net assets.
(e) Represents a security purchased on a when-issued basis.
(f) Represents a variable rate security with a step coupon where the rate adjusts according to a schedule for a series of periods, typically lower for an initial period and then increasing to a higher coupon rate thereafter. The interest rate shown was the current rate as of July 31, 2021.
(g) Represents securities that have defaulted on payment of interest. The Fund has stopped accruing interest on these securities. At July 31, 2021, the total value of these securities amounted to $9,525, which represents less than 0.01% of total net assets.
(h) Payment-in-kind security. Interest can be paid by issuing additional par of the security or in cash.
(i) Principal and interest may not be guaranteed by a governmental entity.
(j) The stated interest rate represents the weighted average interest rate at July 31, 2021 of contracts within the senior loan facility. Interest rates on contracts are primarily determined either weekly, monthly or quarterly by reference to the indicated base lending rate and spread and the reset period. These base lending rates are primarily the LIBOR and other short-term rates. Base lending rates may be subject to a floor or minimum rate. The interest rate for senior loans purchased on a when-issued or delayed delivery basis will be determined upon settlement, therefore no interest rate is disclosed. Senior loans often require prepayments from excess cash flows or permit the borrowers to repay at their election. The degree to which borrowers repay, cannot be predicted with accuracy. As a result, remaining maturities of senior loans may be less than the stated maturities. Generally, the Fund is contractually obligated to receive approval from the agent bank and/or borrower prior to the disposition of a senior loan.
(k) Variable rate security. The interest rate shown was the current rate as of July 31, 2021.
(l) Represents a security purchased on a forward commitment basis.
(m) The rate shown is the seven-day current annualized yield at July 31, 2021.
(n) 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 July 31, 2021 are as follows:
    
Affiliated issuers Beginning
of period($)
Purchases($) Sales($) Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Realized gain
(loss)($)
Dividends($) End of
period shares
Columbia Short-Term Cash Fund, 0.053%
  10,464,850 193,430,966 (95,382,868) 108,512,948 12,287 108,523,800
Abbreviation Legend
LIBOR London Interbank Offered Rate
Currency Legend
USD US Dollar
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
14 Columbia Corporate Income Fund  | Quarterly Report 2021

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1QT136_04_L01_(09/21)