09/01/2026 | Press release | Distributed by Public on 09/01/2026 07:01
|
Class
|
Ticker Symbol
|
|
A
|
CSMIX
|
|
C
|
CSSCX
|
|
Institutional (Class Inst)
|
CSCZX
|
|
Institutional 2 (Class Inst2)
|
CUURX
|
|
Institutional 3 (Class Inst3)
|
CSVYX
|
|
R
|
CSVRX
|
|
S
|
CSCQX
|
|
Summary of the Fund
|
3
|
|
Investment Objective
|
3
|
|
Fees and Expenses of the Fund
|
3
|
|
Principal Investment Strategies
|
4
|
|
Principal Risks
|
5
|
|
Performance Information
|
7
|
|
Fund Management
|
8
|
|
Purchase and Sale of Fund Shares
|
8
|
|
Tax Information
|
9
|
|
Payments to Broker-Dealers and Other Financial Intermediaries
|
9
|
|
More Information About the Fund
|
10
|
|
Investment Objective
|
10
|
|
Principal Investment Strategies
|
10
|
|
Principal Risks
|
11
|
|
Additional Investment Strategies and Policies
|
14
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|
Primary Service Provider Contracts
|
18
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|
Other Roles and Relationships of Ameriprise Financial and its Affiliates - Certain Conflicts of Interest
|
20
|
|
Certain Legal Matters
|
20
|
|
Choosing a Share Class
|
22
|
|
The Funds
|
22
|
|
Summary of Share ClassFeatures
|
22
|
|
Sales Charges and Commissions
|
29
|
|
Reductions/Waivers of Sales Charges
|
34
|
|
Distribution and Service Fees
|
38
|
|
Financial Intermediary Compensation
|
40
|
|
Buying, Selling and Exchanging Shares
|
42
|
|
Share Price Determination
|
42
|
|
Transaction Rules and Policies
|
43
|
|
Opening an Account and Placing Orders
|
47
|
|
Buying Shares
|
50
|
|
Selling Shares
|
55
|
|
Exchanging Shares
|
58
|
|
Distributions and Taxes
|
61
|
|
Distributions to Shareholders
|
61
|
|
Taxes
|
62
|
|
Financial Highlights
|
65
|
|
Appendix A: Financial Intermediary-Specific Reductions/Waivers of Sales Charges
|
A-1
|
|
Shareholder Fees (fees paid directly from your investment)
|
|||
|
|
Class A
|
Class C
|
Classes
Inst, Inst2,
Inst3, R and S
|
|
Maximum sales charge (load) imposed on purchases (as a % of offering price)
|
5.75
%
|
None
|
None
|
|
Maximum deferred sales charge (load) imposed on redemptions (as a % of the lower of the original
purchase price or current net asset value)
|
1.00
%(a)
|
1.00
%(b)
|
None
|
|
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
|
|||||||
|
|
Class A
|
Class C
|
Class Inst
|
Class Inst2
|
Class Inst3
|
Class R
|
Class S
|
|
Management fees
|
0.79
%
|
0.79
%
|
0.79
%
|
0.79
%
|
0.79
%
|
0.79
%
|
0.79
%
|
|
Distribution and/or service (12b-1) fees
|
0.25
%
|
1.00
%
|
0.00
%
|
0.00
%
|
0.00
%
|
0.50
%
|
0.00
%
|
|
Other expenses
|
0.18
%
|
0.18
%
|
0.18
%
|
0.09
%
|
0.04
%
|
0.18
%
|
0.18
%
|
|
Total annual Fund operating expenses(c)
|
1.22
%
|
1.97
%
|
0.97
%
|
0.88
%
|
0.83
%
|
1.47
%
|
0.97
%
|
|
Less: Fee waivers and/or expense reimbursements(d)
|
(0.02
%)
|
(0.02
%)
|
(0.02
%)
|
(0.02
%)
|
(0.02
%)
|
(0.02
%)
|
(0.02
%)
|
|
Total annual Fund operating expenses after fee
waivers and/or expense reimbursements
|
1.20
%
|
1.95
%
|
0.95
%
|
0.86
%
|
0.81
%
|
1.45
%
|
0.95
%
|
|
|
1 year
|
3 years
|
5 years
|
10 years
|
|
Class A (whether or not shares are redeemed)
|
$690
|
$938
|
$1,205
|
$1,966
|
|
Class C (assuming redemption of all shares at the end of the period)
|
$298
|
$616
|
$1,061
|
$2,100
|
|
Class C (assuming no redemption of shares)
|
$198
|
$616
|
$1,061
|
$2,100
|
|
Class Inst (whether or not shares are redeemed)
|
$97
|
$307
|
$534
|
$1,188
|
|
Class Inst2 (whether or not shares are redeemed)
|
$88
|
$279
|
$486
|
$1,082
|
|
Class Inst3 (whether or not shares are redeemed)
|
$83
|
$263
|
$459
|
$1,023
|
|
Class R (whether or not shares are redeemed)
|
$148
|
$463
|
$801
|
$1,756
|
|
Class S (whether or not shares are redeemed)
|
$97
|
$307
|
$534
|
$1,188
|
|
Year by Year Total Return (%)
as of December 31 Each Year*
|
Best and Worst Quarterly Returns
During the Period Shown in the Bar Chart
|
||
|
|
Best
|
4th Quarter 2020
|
33.43%
|
|
Worst
|
1st Quarter 2020
|
-36.05%
|
|
|
|
Share Class
Inception Date
|
1 Year
|
5 Years
|
10 Years
|
|
Class A
|
07/25/1986
|
|
|
|
|
returns before taxes
|
|
8.01%
|
10.82%
|
10.38%
|
|
returns after taxes on distributions
|
|
4.49%
|
8.35%
|
8.20%
|
|
returns after taxes on distributions and sale of Fund shares
|
|
6.84%
|
8.15%
|
7.92%
|
|
Class C returns before taxes
|
01/15/1996
|
12.86%
|
11.31%
|
10.20%
|
|
Class Inst returns before taxes
|
07/31/1995
|
14.88%
|
12.42%
|
11.31%
|
|
Class Inst2 returns before taxes
|
11/08/2012
|
14.98%
|
12.53%
|
11.44%
|
|
Class Inst3 returns before taxes
|
07/15/2009
|
15.04%
|
12.58%
|
11.49%
|
|
Class R returns before taxes
|
09/27/2010
|
14.31%
|
11.86%
|
10.76%
|
|
Class S returns before taxes
|
10/02/2024
|
14.89%
|
12.22%
|
11.07%
|
|
Russell 2000® Value Index (reflects no deductions for fees, expenses or taxes)
|
|
12.59%
|
8.88%
|
9.27%
|
|
Russell 3000® Index (reflects no deductions for fees, expenses or taxes)
|
|
17.15%
|
13.15%
|
14.29%
|
|
Portfolio Management
|
Title
|
Role with Fund
|
Managed Fund Since
|
|
Jeremy Javidi, CFA
|
Senior Portfolio Manager
|
Lead Portfolio Manager
|
2005
|
|
Online
|
Regular Mail
|
Express Mail
|
By Telephone
|
|
columbiathreadneedleus.com/investor/
|
Columbia Management
Investment Services Corp.
P.O. Box 219104
Kansas City, MO 64121-9104
|
Columbia Management
Investment Services Corp.
801 Pennsylvania Ave., STE. 219104
Kansas City, MO 64105-1307
|
800.422.3737
|
|
Class
|
Category of eligible
account
|
For accounts other than
Systematic Investment
Plan accounts (as described in the Fund's Prospectus)
|
For Systematic Investment
Plan accounts
|
|
Classes A & C
|
All accounts other than
IRAs
|
$2,000
|
$100
|
|
IRAs
|
$1,000
|
$100
|
|
|
Class Inst
|
All eligible accounts
|
$0, $1,000 or $2,000
depending upon the category
of eligible investor
|
$100
|
|
Classes Inst2 & R
|
All eligible accounts
|
None
|
N/A
|
|
Class Inst3
|
All eligible accounts
|
$0, $1,000, $2,000
or $1 million depending
upon the category of
eligible investor
|
$100 (for certain
eligible investors)
|
|
Columbia Small Cap Value Discovery Fund
|
|
|
Class A
|
1.20%
|
|
Class C
|
1.95%
|
|
Class Inst
|
0.95%
|
|
Class Inst2
|
0.86%
|
|
Class Inst3
|
0.81%
|
|
Class R
|
1.45%
|
|
Class S
|
0.95%
|
|
Portfolio Management
|
Title
|
Role with Fund
|
Managed Fund Since
|
|
Jeremy Javidi, CFA
|
Senior Portfolio Manager
|
Lead Portfolio Manager
|
2005
|
|
Share
Class
|
Eligible Investors;
Minimum Initial Investments(a);
Conversion Features(b)
|
Front-End
Sales Charges(c)
|
Contingent
Deferred
Sales Charges
(CDSCs)(c)
|
Sales Charge
Reductions/Waivers
|
Maximum
Distribution
and/or Service
Fees(d)
|
|
Class A
|
Eligibility: Available to the general
public for investment(e)
Minimum Initial Investment: $2,000
($1,000 for IRAs; $100 for monthly
Systematic Investment Plan
accounts (as described below))
|
Taxable Funds:
5.75% maximum,
declining to 0.00%
on investments of
$1 million or more
Tax-Exempt Funds:
3.00% maximum,
declining to 0.00%
on investments of
$500,000 or more
None for Columbia
Government
Money Market
Fund and certain
other Funds(f)
|
Taxable Funds(f):
CDSC on certain
investments of
between $1 million
and $50 million
redeemed within
18 months after
purchase charged
as follows:
• 1.00% CDSC if
redeemed within
12 months after
purchase, and
• 0.50% CDSC if
redeemed more
than 12, but less
than 18, months
after purchase
Tax-Exempt
Funds(f): Maximum
CDSC of 0.75% on
certain
investments of
$500,000 or more
redeemed within
12 months after
purchase
|
Reductions: Yes, see Choosing
a Share Class -
Reductions/Waivers of Sales
Charges - Class A Shares
Front-End Sales Charge
Reductions
Waivers: Yes, on Fund
distribution reinvestments.
For additional waivers, see
Choosing a Share Class -
Reductions/Waivers of Sales
Charges - Class A Shares
Front-End Sales Charge
Waivers, as well as Choosing a
Share Class - CDSC Waivers -
Class A and Class C
Financial intermediary-
specific waivers are also
available, see Appendix A
|
Distribution and
Service
Fees: up to
0.25%
|
|
Class C
|
Eligibility: Available to the general
public for investment
Minimum Initial Investment: $2,000
($1,000 for IRAs; $100 for monthly
Systematic Investment Plan
accounts)
|
None
|
1.00% on certain
investments
redeemed within
one year of
purchase
|
Waivers: Yes, on Fund
distribution reinvestments.
For additional waivers, see
Choosing a Share Class -
CDSC Waivers - Class A and
Class C
|
Distribution Fee:
0.75%
Service Fee:
0.25%
|
|
Share
Class
|
Eligible Investors;
Minimum Initial Investments(a);
Conversion Features(b)
|
Front-End
Sales Charges(c)
|
Contingent
Deferred
Sales Charges
(CDSCs)(c)
|
Sales Charge
Reductions/Waivers
|
Maximum
Distribution
and/or Service
Fees(d)
|
|
|
Purchase Order Limit for Tax-Exempt
Funds: $499,999(g), none for omnibus
retirement plans
Purchase Order Limit for Taxable
Funds: $999,999(g); none for omnibus
retirement plans
Conversion Feature: Yes. Class C
shares generally automatically
convert to Class A shares of the
same Fund in the month of or the
month following the 8-year
anniversary of the Class C shares
purchase date.(b)
|
|
|
Financial intermediary-
specific CDSC waivers are
also available, see Appendix A
|
|
|
Class Inst
|
Eligibility: Available only to (i)
omnibus retirement plans, including
self-directed brokerage accounts
within omnibus retirement plans that
clear through institutional no
transaction fee (NTF) and
transaction fee (TF) platforms; (ii)
trust companies or similar
institutions; (iii) broker-dealers,
banks, trust companies and similar
institutions that clear Fund share
transactions for their client or
customer investment advisory or
similar accounts through designated
financial intermediaries and their
mutual fund trading platforms that
have been granted specific written
authorization from the Distributor
with respect to Class Inst eligibility
apart from selling, servicing or
similar agreements; (iv) 501(c)(3)
charitable organizations; (v) 529
plans; (vi) health savings accounts;
(vii) investors participating in a fee-
based advisory program sponsored
by a financial intermediary or other
entity that is not compensated by the
Fund for those services, other than
payments for shareholder servicing
or sub-accounting performed in
place of the Transfer Agent; (viii)
commissionable brokerage
platforms where the financial
intermediary, acting as broker on
behalf of its customer, charges the
customer a commission for effecting
transactions in Fund shares,
provided that the financial
intermediary has an agreement with
the Distributor that specifically
authorizes offering Class Inst shares
within such platform; (ix) any current
employee of Columbia Management
Investment Advisers, LLC, the
Distributor or Transfer Agent and
immediate family members of the
|
None
|
None
|
N/A
|
None
|
|
Share
Class
|
Eligible Investors;
Minimum Initial Investments(a);
Conversion Features(b)
|
Front-End
Sales Charges(c)
|
Contingent
Deferred
Sales Charges
(CDSCs)(c)
|
Sales Charge
Reductions/Waivers
|
Maximum
Distribution
and/or Service
Fees(d)
|
|
|
foregoing who share the same
address; and (x) financial
intermediaries that have entered into
a written agreement with the
Distributor to offer Class Inst shares
through a no-load or investment
program(e)(h)(i)
Minimum Initial Investment: None,
except in the case of (viii) and (ix)
above, which is $2,000 ($1,000 for
IRAs; $100 for monthly Systematic
Investment Plan accounts)
|
|
|
|
|
|
Class
Inst2
|
Eligibility: Available only to (i) certain
registered investment advisers and
family offices that clear Fund share
transactions for their client or
customer accounts through
designated financial intermediaries
and their mutual fund trading
platforms that have been granted
specific written authorization from
the Transfer Agent with respect to
Class Inst2 eligibility apart from
selling, servicing or similar
agreements; (ii) omnibus retirement
plans(h); (iii) health savings accounts,
provided that the financial
intermediary has an agreement with
the Distributor that specifically
authorizes offering Class Inst2
shares within such platform and that
Fund shares are held in an omnibus
account; and (iv) institutional
investors that are clients of the
Columbia Threadneedle Global
Institutional Distribution Team that
invest in Class Inst2 shares for their
own account through platforms
approved by the Distributor or an
affiliate thereof to offer and/or
service Class Inst2 shares within
such platform.
Minimum Initial Investment: None
|
None
|
None
|
N/A
|
None
|
|
Class
Inst3
|
Eligibility: Available to (i) group
retirement plans that maintain plan-
level or omnibus accounts with the
Fund(h); (ii) institutional investors that
are clients of the Columbia
Threadneedle Global Institutional
Distribution Team that invest in
Class Inst3 shares for their own
account through platforms approved
by the Distributor or an affiliate
thereof to offer and/or service
Class Inst3 shares within such
platform; (iii) collective trust funds;
(iv) affiliated or unaffiliated mutual
funds (e.g., funds operating as funds-
of-funds); (v) fee-based platforms of
|
None
|
None
|
N/A
|
None
|
|
Share
Class
|
Eligible Investors;
Minimum Initial Investments(a);
Conversion Features(b)
|
Front-End
Sales Charges(c)
|
Contingent
Deferred
Sales Charges
(CDSCs)(c)
|
Sales Charge
Reductions/Waivers
|
Maximum
Distribution
and/or Service
Fees(d)
|
|
|
financial intermediaries (or the
clearing intermediary they trade
through) that have an agreement
with the Distributor or an affiliate
thereof that specifically authorizes
the financial intermediary to offer
and/or service Class Inst3 shares
within such platform, provided also
that Fund shares are held in an
omnibus account; (vi)
commissionable brokerage
platforms where the financial
intermediary, acting as broker on
behalf of its customer, charges the
customer a commission for effecting
transactions in Fund shares,
provided that the financial
intermediary has an agreement with
the Distributor that specifically
authorizes offering Class Inst3
shares within such platform and that
Fund shares are held in an omnibus
account; (vii) health savings
accounts, provided that the financial
intermediary has an agreement with
the Distributor that specifically
authorizes offering Class Inst3
shares within such platform and that
Fund shares are held in an omnibus
account; and (viii) bank trust
departments, subject to an
agreement with the Distributor that
specifically authorizes offering
Class Inst3 shares and provided that
Fund shares are held in an omnibus
account. In each case above where
noted that Fund shares are required
to be held in an omnibus account,
the Distributor may, in its discretion,
determine to waive this
requirement.(e)
Minimum Initial Investment: No
minimum for the eligible investors
described in (i), (iii), (iv), (v), and (vii)
above; $2,000 ($1,000 for IRAs; $100
for monthly Systematic Investment
Plan accounts) for the eligible
investors described in (vi) above; and
$1 million for all other eligible
investors, unless waived in the
discretion of the Distributor
|
|
|
|
|
|
Class R
|
Eligibility: Available only to eligible
retirement plans, health savings
accounts and, in the sole discretion
of the Distributor, other types of
retirement accounts held through
platforms maintained by financial
intermediaries approved by the
Distributor
Minimum Initial Investment: None
|
None
|
None
|
N/A
|
Series of CFST &
CFST I:
distribution fee
of 0.50%
Series of CFST II:
distribution and
service fee of
0.50%, of which
the service fee
|
|
Share
Class
|
Eligible Investors;
Minimum Initial Investments(a);
Conversion Features(b)
|
Front-End
Sales Charges(c)
|
Contingent
Deferred
Sales Charges
(CDSCs)(c)
|
Sales Charge
Reductions/Waivers
|
Maximum
Distribution
and/or Service
Fees(d)
|
|
|
|
|
|
|
may be up to
0.25%
|
|
Class S
|
Class S shares are available (i) to be
held, but not purchased, by accounts
of financial intermediaries that, with
specific written permission from the
Distributor, have instructed the Fund
to exchange Class Inst shares for
Class S shares; and (ii) to be held
and purchased by omnibus group
retirement plans that (A) opened and,
subject to exceptions, funded a
Class Inst share account as of the
close of business on March 28, 2013
and have continuously held
Class Inst shares in such account
through at least September 30, 2024
and (B) received specific written
permission from the Distributor to
exchange Class Inst shares for
Class S shares. Only omnibus
retirement plans referenced in (ii)
above may purchase Class S shares,
open new Class S accounts, or add
new plan participants to a Class S
shares omnibus retirement plan
account. Otherwise, Class S shares
are not available for purchase (other
than through the reinvestment of
distributions on Class S shares).(h)
Minimum Initial Investment: See
Eligibility above
|
None
|
None
|
N/A
|
None
|
|
Class A Shares - Front-End Sales Charge - Breakpoint Schedule*
|
||||
|
Breakpoint Schedule For:
|
Dollar amount of
shares bought(a)
|
Sales
charge
as a
% of the
offering
price(b)
|
Sales
charge
as a
% of the
net
amount
invested(b)
|
Amount
retained by
or paid to
financial
intermediaries as
a % of the
offering price
|
|
Equity Funds,
Columbia Adaptive Risk Allocation Fund,
Columbia Commodity Strategy Fund,
Columbia Multi Strategy Alternatives Fund,
and Funds-of-Funds (equity)*
|
$0-$49,999
|
5.75%
|
6.10%
|
5.00%
|
|
$50,000-$99,999
|
4.50%
|
4.71%
|
3.75%
|
|
|
$100,000-$249,999
|
3.50%
|
3.63%
|
3.00%
|
|
|
$250,000-$499,999
|
2.50%
|
2.56%
|
2.15%
|
|
|
$500,000-$999,999
|
2.00%
|
2.04%
|
1.75%
|
|
|
$1,000,000 or more
|
0.00%
|
0.00%
|
0.00%(c)
|
|
|
|
||||
|
Class A Shares - Front-End Sales Charge - Breakpoint Schedule*
|
||||
|
Breakpoint Schedule For:
|
Dollar amount of
shares bought(a)
|
Sales
charge
as a
% of the
offering
price(b)
|
Sales
charge
as a
% of the
net
amount
invested(b)
|
Amount
retained by
or paid to
financial
intermediaries as
a % of the
offering price
|
|
Fixed Income Funds (except those listed below)
and Funds-of-Funds (fixed income)*
|
$0-$49,999
|
4.75%
|
4.99%
|
4.00%
|
|
$50,000-$99,999
|
4.25%
|
4.44%
|
3.50%
|
|
|
$100,000-$249,999
|
3.50%
|
3.63%
|
3.00%
|
|
|
$250,000-$499,999
|
2.50%
|
2.56%
|
2.15%
|
|
|
$500,000-$999,999
|
2.00%
|
2.04%
|
1.75%
|
|
|
$1,000,000 or more
|
0.00%
|
0.00%
|
0.00%(c)
|
|
|
|
||||
|
Tax-Exempt Funds (other than Columbia Short Duration Municipal Bond
Fund)
|
$0-$99,999
|
3.00%
|
3.09%
|
2.50%
|
|
$100,000-$249,999
|
2.50%
|
2.56%
|
2.15%
|
|
|
$250,000-$499,999
|
1.50 %
|
1.53%
|
1.25%
|
|
|
$500,000 or more
|
0.00%
|
0.00%
|
0.00%(c)
|
|
|
|
||||
|
Columbia Floating Rate Fund,
Columbia Mortgage Opportunities Fund,
Columbia Quality Income Fund, and
Columbia Total Return Bond Fund
|
$0-$99,999
|
3.00%
|
3.09%
|
2.50%
|
|
$100,000-$249,999
|
2.50%
|
2.56%
|
2.15%
|
|
|
$250,000-$499,999
|
2.00%
|
2.04%
|
1.75%
|
|
|
$500,000-$999,999
|
1.50%
|
1.52%
|
1.25%
|
|
|
$1,000,000 or more
|
0.00%
|
0.00%
|
0.00%(c)
|
|
|
|
||||
|
Columbia Select Short Corporate Income Fund,
Columbia Short Duration Municipal Bond Fund, and
Columbia Short Term Bond Fund
|
$0-$99,999
|
1.00%
|
1.01%
|
0.75%
|
|
$100,000-$249,999
|
0.75%
|
0.76%
|
0.50%
|
|
|
$250,000-$499,999
|
0.50%
|
0.50%
|
0.40%
|
|
|
$500,000 or more
|
0.00%
|
0.00%
|
0.00%(c)
|
|
|
|
||||
|
Class A Shares of Tax-Exempt Funds - Commission Schedule (Paid by the Distributor to Financial Intermediaries)
|
|
|
Purchase Amount
|
Commission Level*
(as a % of net asset
value per share)
|
|
$500,000 - $3,999,999
|
0.75%**
|
|
$4 million - $19,999,999
|
0.50%
|
|
$20 million or more
|
0.25%
|
|
Class A Shares of Taxable Funds (other than Columbia Select Short Corporate Income Fund and Columbia Short Term Bond Fund) -
Commission Schedule (Paid by the Distributor to Financial Intermediaries)*
|
|
|
Purchase Amount
|
Commission Level**
(as a % of net asset
value per share)
|
|
$1 million - $2,999,999
|
1.00%
|
|
$3 million - $49,999,999
|
0.50%
|
|
$50 million or more
|
0.25%
|
|
Class A Shares of Columbia Select Short Corporate Income Fund and Columbia Short Term Bond Fund - Commission Schedule (Paid by
the Distributor to Financial Intermediaries)*
|
|
|
Purchase Amount
|
Commission Level**
(as a % of net asset
value per share)
|
|
$500,000 - $2,999,999
|
1.00%
|
|
$3 million - $49,999,999
|
0.50%
|
|
$50 million or more
|
0.25%
|
|
Repurchases (Reinstatements)
|
|
|
Redeemed Share Class
|
Corresponding Repurchase Class
|
|
Class A
|
Class A
|
|
Class C
|
Class C
|
|
|
Distribution
Fee
|
Service
Fee
|
Combined
Total
|
|
Class A
|
up to 0.25%
|
up to 0.25%(c)
|
up to 0.35%(a)(c)(d)
|
|
Class C
|
0.75%(b)
|
0.25%(c)
|
1.00%(c)
|
|
Class Inst
|
None
|
None
|
None
|
|
Class Inst2
|
None
|
None
|
None
|
|
Class Inst3
|
None
|
None
|
None
|
|
Class R (series of CFST and CFST I)
|
0.50%
|
-(e)
|
0.50%
|
|
Class R (series of CFST II)
|
up to 0.50%
|
up to 0.25%
|
0.50%(e)
|
|
Class S
|
None
|
None
|
None
|
|
Funds
|
Maximum
Class A
Distribution Fee
|
Maximum
Class A
Service Fee
|
Maximum
Class A
Combined Total
|
|
Series of CAT
|
-
|
0.25%
|
0.25%
|
|
Series of CFST and CFST II (other than Columbia
Government Money Market Fund)
|
-
|
-
|
0.25%; these Funds pay a
combined distribution and
service fee
|
|
Columbia Government Money Market Fund
|
-
|
-
|
0.10%
|
|
Columbia Ultra Short Duration Municipal Bond Fund, Columbia
Ultra Short Term Bond Fund
|
up to 0.15%
|
up to 0.15%
|
0.15%
|
|
Funds
|
Maximum
Class A
Distribution Fee
|
Maximum
Class A
Service Fee
|
Maximum
Class A
Combined Total
|
|
Columbia Balanced Fund, Columbia Contrarian Core Fund,
Columbia Cornerstone Growth Fund, Columbia Dividend
Income Fund, Columbia Global Technology Growth Fund,
Columbia Oregon Intermediate Municipal Bond Fund, Columbia
Real Estate Equity Fund, Columbia Select Mid Cap Growth
Fund, Columbia Small Cap Growth Fund, Columbia Total Return
Bond Fund
|
up to 0.10%
|
up to 0.25%
|
up to 0.35%; these Funds may
pay distribution and service fees
up to a maximum of 0.35% of their
average daily net assets
attributable to Class A shares
(comprised of up to 0.10% for
distribution services and up to
0.25% for shareholder liaison
services) but currently limit such
fees to an aggregate fee of not
more than 0.25% for
Class A shares
|
|
Columbia Adaptive Risk Allocation Fund, Columbia Emerging
Markets Fund, Columbia Greater China Fund, Columbia
International Dividend Income Fund, Columbia Massachusetts
Intermediate Municipal Bond Fund, Columbia Multi Strategy
Alternatives Fund, Columbia New York Intermediate Municipal
Bond Fund, Columbia Select Corporate Income Fund, Columbia
Select Large Cap Growth Fund, Columbia Small Cap Value
Discovery Fund, Columbia Strategic Income Fund, Columbia
Strategic New York Municipal Income Fund
|
-
|
0.25%
|
0.25%
|
|
Columbia High Yield Municipal Fund, Columbia Intermediate
Duration Municipal Bond Fund, Columbia Total Return
Municipal Income Fund, Columbia Strategic California
Municipal Income Fund
|
-
|
0.20%
|
0.20%
|
|
Columbia U.S. Treasury Index Fund
|
---
|
0.15%
|
0.15%
|
|
Minimum Account Balance
|
|
|
|
Minimum Account Balance
|
|
For all classes and account types except those listed below
|
$250 (None for accounts with
Systematic Investment Plans)
|
|
Individual Retirement Accounts for all classes except those listed below
|
None
|
|
Class Inst2, Class Inst3 and Class R
|
None
|
|
Minimum Initial Investments
|
||
|
|
Minimum
Initial
Investment(a)
|
Minimum
Initial Investment
for Accounts
with Systematic
Investment Plans
|
|
For all classes and account types except those listed below
|
$2,000
|
$100(b)
|
|
Individual Retirement Accounts for all classes except those listed below
|
$1,000
|
$100(c)
|
|
Group retirement plans
|
None
|
N/A
|
|
Class Inst
|
$0, $1,000 or $2,000(d)
|
$100(d)
|
|
Class Inst2 and Class R
|
None
|
N/A
|
|
Class Inst3
|
$0, $1,000, $2,000 or $1 million(e)
|
$100(e)
|
|
Declaration and Distribution Schedule
|
|
|
Declarations
|
Semiannually
|
|
Distributions
|
Semiannually
|
|
|
Net asset value,
beginning of
period
|
Net
investment
income
(loss)
|
Net
realized
and
unrealized
gain (loss)
|
Total from
investment
operations
|
Distributions
from net
investment
income
|
Distributions
from net
realized
gains
|
Total
distributions to
shareholders
|
|
Class A
|
|||||||
|
Year Ended 4/30/2026
|
$38.46
|
0.28
|
15.33
|
15.61
|
(0.65)
|
(5.52)
|
(6.17)
|
|
Year Ended 4/30/2025
|
$41.57
|
0.22
|
(0.43)
|
(0.21)
|
(0.23)
|
(2.67)
|
(2.90)
|
|
Year Ended 4/30/2024
|
$38.06
|
0.17
|
6.58
|
6.75
|
(0.24)
|
(3.00)
|
(3.24)
|
|
Year Ended 4/30/2023
|
$40.91
|
0.14
|
(0.69)
|
(0.55)
|
(0.13)
|
(2.17)
|
(2.30)
|
|
Year Ended 4/30/2022
|
$49.30
|
0.02
|
(2.46)
|
(2.44)
|
(0.07)
|
(5.88)
|
(5.95)
|
|
Class C
|
|||||||
|
Year Ended 4/30/2026
|
$18.57
|
(0.02)
|
6.97
|
6.95
|
(0.28)
|
(5.52)
|
(5.80)
|
|
Year Ended 4/30/2025
|
$21.43
|
(0.05)
|
(0.14)
|
(0.19)
|
-
|
(2.67)
|
(2.67)
|
|
Year Ended 4/30/2024
|
$20.98
|
(0.08)
|
3.53
|
3.45
|
-
|
(3.00)
|
(3.00)
|
|
Year Ended 4/30/2023
|
$23.70
|
(0.08)
|
(0.47)
|
(0.55)
|
-
|
(2.17)
|
(2.17)
|
|
Year Ended 4/30/2022
|
$31.15
|
(0.20)
|
(1.37)
|
(1.57)
|
-
|
(5.88)
|
(5.88)
|
|
Institutional Class
|
|||||||
|
Year Ended 4/30/2026
|
$45.46
|
0.47
|
18.29
|
18.76
|
(0.77)
|
(5.52)
|
(6.29)
|
|
Year Ended 4/30/2025
|
$48.60
|
0.39
|
(0.54)
|
(0.15)
|
(0.32)
|
(2.67)
|
(2.99)
|
|
Year Ended 4/30/2024
|
$44.01
|
0.32
|
7.62
|
7.94
|
(0.35)
|
(3.00)
|
(3.35)
|
|
Year Ended 4/30/2023
|
$46.87
|
0.27
|
(0.76)
|
(0.49)
|
(0.20)
|
(2.17)
|
(2.37)
|
|
Year Ended 4/30/2022
|
$55.63
|
0.15
|
(2.82)
|
(2.67)
|
(0.21)
|
(5.88)
|
(6.09)
|
|
Institutional 2 Class
|
|||||||
|
Year Ended 4/30/2026
|
$47.60
|
0.54
|
19.20
|
19.74
|
(0.82)
|
(5.52)
|
(6.34)
|
|
Year Ended 4/30/2025
|
$50.75
|
0.46
|
(0.58)
|
(0.12)
|
(0.36)
|
(2.67)
|
(3.03)
|
|
Year Ended 4/30/2024
|
$45.81
|
0.38
|
7.95
|
8.33
|
(0.39)
|
(3.00)
|
(3.39)
|
|
Year Ended 4/30/2023
|
$48.68
|
0.32
|
(0.79)
|
(0.47)
|
(0.23)
|
(2.17)
|
(2.40)
|
|
Year Ended 4/30/2022
|
$57.55
|
0.21
|
(2.94)
|
(2.73)
|
(0.26)
|
(5.88)
|
(6.14)
|
|
Institutional 3 Class
|
|||||||
|
Year Ended 4/30/2026
|
$45.92
|
0.55
|
18.47
|
19.02
|
(0.84)
|
(5.52)
|
(6.36)
|
|
Year Ended 4/30/2025
|
$49.06
|
0.46
|
(0.54)
|
(0.08)
|
(0.39)
|
(2.67)
|
(3.06)
|
|
Year Ended 4/30/2024
|
$44.38
|
0.38
|
7.72
|
8.10
|
(0.42)
|
(3.00)
|
(3.42)
|
|
Year Ended 4/30/2023
|
$47.23
|
0.33
|
(0.77)
|
(0.44)
|
(0.24)
|
(2.17)
|
(2.41)
|
|
Year Ended 4/30/2022
|
$56.01
|
0.23
|
(2.84)
|
(2.61)
|
(0.29)
|
(5.88)
|
(6.17)
|
|
|
Net
asset
value,
end of
period
|
Total
return
|
Total gross
expense
ratio to
average
net assets(a)
|
Total net
expense
ratio to
average
net assets(a),(b)
|
Net investment
income (loss)
ratio to
average
net assets
|
Portfolio
turnover
|
Net
assets,
end of
period
(000's)
|
|
Class A
|
|||||||
|
Year Ended 4/30/2026
|
$47.90
|
43.03%
|
1.22%(c)
|
1.19%(c),(d)
|
0.64%
|
67%
|
$327,880
|
|
Year Ended 4/30/2025
|
$38.46
|
(1.02%)
|
1.23%(c)
|
1.21%(c),(d)
|
0.51%
|
72%
|
$245,921
|
|
Year Ended 4/30/2024
|
$41.57
|
18.34%
|
1.25%(c)
|
1.25%(c),(d)
|
0.41%
|
79%
|
$264,662
|
|
Year Ended 4/30/2023
|
$38.06
|
(0.90%)
|
1.24%(c)
|
1.24%(c),(d)
|
0.36%
|
72%
|
$233,599
|
|
Year Ended 4/30/2022
|
$40.91
|
(5.94%)
|
1.26%(c)
|
1.26%(c),(d)
|
0.04%
|
58%
|
$250,665
|
|
Class C
|
|||||||
|
Year Ended 4/30/2026
|
$19.72
|
42.01%
|
1.97%(c)
|
1.94%(c),(d)
|
(0.11%)
|
67%
|
$12,330
|
|
Year Ended 4/30/2025
|
$18.57
|
(1.76%)
|
1.98%(c)
|
1.96%(c),(d)
|
(0.23%)
|
72%
|
$7,387
|
|
Year Ended 4/30/2024
|
$21.43
|
17.41%
|
2.01%(c)
|
2.00%(c),(d)
|
(0.34%)
|
79%
|
$7,965
|
|
Year Ended 4/30/2023
|
$20.98
|
(1.62%)
|
1.99%(c)
|
1.99%(c),(d)
|
(0.39%)
|
72%
|
$6,018
|
|
Year Ended 4/30/2022
|
$23.70
|
(6.66%)
|
2.01%(c)
|
2.01%(c),(d)
|
(0.71%)
|
58%
|
$7,269
|
|
Institutional Class
|
|||||||
|
Year Ended 4/30/2026
|
$57.93
|
43.41%
|
0.97%(c)
|
0.94%(c),(d)
|
0.89%
|
67%
|
$1,119,981
|
|
Year Ended 4/30/2025
|
$45.46
|
(0.77%)
|
0.98%(c)
|
0.96%(c),(d)
|
0.77%
|
72%
|
$762,678
|
|
Year Ended 4/30/2024
|
$48.60
|
18.60%
|
1.00%(c)
|
1.00%(c),(d)
|
0.66%
|
79%
|
$662,416
|
|
Year Ended 4/30/2023
|
$44.01
|
(0.64%)
|
0.99%(c)
|
0.99%(c),(d)
|
0.60%
|
72%
|
$612,677
|
|
Year Ended 4/30/2022
|
$46.87
|
(5.70%)
|
1.01%(c)
|
1.01%(c),(d)
|
0.30%
|
58%
|
$537,447
|
|
Institutional 2 Class
|
|||||||
|
Year Ended 4/30/2026
|
$61.00
|
43.53%
|
0.88%(c)
|
0.85%(c)
|
0.97%
|
67%
|
$238,208
|
|
Year Ended 4/30/2025
|
$47.60
|
(0.67%)
|
0.89%(c)
|
0.87%(c)
|
0.87%
|
72%
|
$177,421
|
|
Year Ended 4/30/2024
|
$50.75
|
18.74%
|
0.91%(c)
|
0.91%(c)
|
0.76%
|
79%
|
$150,708
|
|
Year Ended 4/30/2023
|
$45.81
|
(0.59%)
|
0.90%(c)
|
0.90%(c)
|
0.68%
|
72%
|
$138,905
|
|
Year Ended 4/30/2022
|
$48.68
|
(5.60%)
|
0.91%(c)
|
0.91%(c)
|
0.39%
|
58%
|
$105,229
|
|
Institutional 3 Class
|
|||||||
|
Year Ended 4/30/2026
|
$58.58
|
43.57%
|
0.84%(c)
|
0.81%(c)
|
1.03%
|
67%
|
$488,401
|
|
Year Ended 4/30/2025
|
$45.92
|
(0.63%)
|
0.84%(c)
|
0.82%(c)
|
0.90%
|
72%
|
$223,893
|
|
Year Ended 4/30/2024
|
$49.06
|
18.81%
|
0.86%(c)
|
0.86%(c)
|
0.80%
|
79%
|
$217,677
|
|
Year Ended 4/30/2023
|
$44.38
|
(0.53%)
|
0.85%(c)
|
0.85%(c)
|
0.74%
|
72%
|
$176,273
|
|
Year Ended 4/30/2022
|
$47.23
|
(5.55%)
|
0.86%(c)
|
0.86%(c)
|
0.44%
|
58%
|
$184,850
|
|
|
Net asset value,
beginning of
period
|
Net
investment
income
(loss)
|
Net
realized
and
unrealized
gain (loss)
|
Total from
investment
operations
|
Distributions
from net
investment
income
|
Distributions
from net
realized
gains
|
Total
distributions to
shareholders
|
|
Class R
|
|||||||
|
Year Ended 4/30/2026
|
$38.10
|
0.16
|
15.18
|
15.34
|
(0.53)
|
(5.52)
|
(6.05)
|
|
Year Ended 4/30/2025
|
$41.23
|
0.11
|
(0.42)
|
(0.31)
|
(0.15)
|
(2.67)
|
(2.82)
|
|
Year Ended 4/30/2024
|
$37.79
|
0.07
|
6.52
|
6.59
|
(0.15)
|
(3.00)
|
(3.15)
|
|
Year Ended 4/30/2023
|
$40.66
|
0.04
|
(0.68)
|
(0.64)
|
(0.06)
|
(2.17)
|
(2.23)
|
|
Year Ended 4/30/2022
|
$49.08
|
(0.09)
|
(2.45)
|
(2.54)
|
-
|
(5.88)
|
(5.88)
|
|
Class S
|
|||||||
|
Year Ended 4/30/2026
|
$45.46
|
0.47
|
18.28
|
18.75
|
(0.77)
|
(5.52)
|
(6.29)
|
|
Year Ended 4/30/2025(e)
|
$50.45
|
0.22
|
(4.08)
|
(3.86)
|
(0.32)
|
(0.81)
|
(1.13)
|
|
Notes to Financial Highlights
|
|
|
(a)
|
In addition to the fees and expenses that the Fund bears directly, the Fund indirectly bears a pro rata share of the fees and expenses of any
other funds in which it invests. Such indirect expenses are not included in the Fund's reported expense ratios.
|
|
(b)
|
Total net expenses include the impact of certain fee waivers/expense reimbursements made by the Investment Manager and certain of its
affiliates, if applicable.
|
|
(c)
|
Ratios include interfund lending expense which is less than 0.01%.
|
|
(d)
|
The benefits derived from expense reductions had an impact of less than 0.01%.
|
|
(e)
|
Class S shares commenced operations on October 2, 2024. Per share data and total return reflect activity from that date.
|
|
|
Net
asset
value,
end of
period
|
Total
return
|
Total gross
expense
ratio to
average
net assets(a)
|
Total net
expense
ratio to
average
net assets(a),(b)
|
Net investment
income (loss)
ratio to
average
net assets
|
Portfolio
turnover
|
Net
assets,
end of
period
(000's)
|
|
Class R
|
|||||||
|
Year Ended 4/30/2026
|
$47.39
|
42.64%
|
1.47%(c)
|
1.44%(c),(d)
|
0.36%
|
67%
|
$4,229
|
|
Year Ended 4/30/2025
|
$38.10
|
(1.25%)
|
1.48%(c)
|
1.46%(c),(d)
|
0.26%
|
72%
|
$1,516
|
|
Year Ended 4/30/2024
|
$41.23
|
18.01%
|
1.50%(c)
|
1.50%(c),(d)
|
0.16%
|
79%
|
$2,035
|
|
Year Ended 4/30/2023
|
$37.79
|
(1.14%)
|
1.49%(c)
|
1.49%(c),(d)
|
0.11%
|
72%
|
$1,731
|
|
Year Ended 4/30/2022
|
$40.66
|
(6.17%)
|
1.51%(c)
|
1.51%(c),(d)
|
(0.20%)
|
58%
|
$2,003
|
|
Class S
|
|||||||
|
Year Ended 4/30/2026
|
$57.92
|
43.39%
|
0.97%(c)
|
0.94%(c),(d)
|
0.89%
|
67%
|
$20,948
|
|
Year Ended 4/30/2025(e)
|
$45.46
|
(8.01%)
|
0.99%(c)
|
0.95%(c)
|
0.75%
|
72%
|
$18,111
|