09/24/2026 | Press release | Distributed by Public on 09/24/2026 07:07
|
Class
|
Ticker Symbol
|
|
A
|
CCSAX
|
|
Institutional (Class Inst)
|
CCSZX
|
|
Institutional 2 (Class Inst2)
|
CADLX
|
|
Institutional 3 (Class Inst3)
|
CCFYX
|
|
Shareholder Fees (fees paid directly from your investment)
|
||
|
Class A
|
Classes Inst,
Inst2 and Inst3
|
|
|
Maximum sales charge (load) imposed on purchases (as a % of offering price)
|
5.75
%
|
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)
|
None
|
|
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
|
||||
|
Class A
|
Class Inst
|
Class Inst2
|
Class Inst3
|
|
|
Management fees
|
0.63
%
|
0.63
%
|
0.63
%
|
0.63
%
|
|
Distribution and/or service (12b-1) fees
|
0.25
%
|
0.00
%
|
0.00
%
|
0.00
%
|
|
Other expenses
|
0.26
%
|
0.26
%
|
0.11
%
|
0.06
%
|
|
Total annual Fund operating expenses(b)
|
1.14
%
|
0.89
%
|
0.74
%
|
0.69
%
|
|
Less: Fee waivers and/or expense reimbursements(c)
|
(0.02
%)
|
(0.02
%)
|
0.00
%
|
0.00
%
|
|
Total annual Fund operating expenses after fee waivers and/or expense
reimbursements
|
1.12
%
|
0.87
%
|
0.74
%
|
0.69
%
|
|
1 year
|
3 years
|
5 years
|
10 years
|
|
|
Class A (whether or not shares are redeemed)
|
$683
|
$915
|
$1,165
|
$1,880
|
|
Class Inst (whether or not shares are redeemed)
|
$89
|
$282
|
$491
|
$1,094
|
|
Class Inst2 (whether or not shares are redeemed)
|
$76
|
$237
|
$411
|
$918
|
|
Class Inst3 (whether or not shares are redeemed)
|
$70
|
$221
|
$384
|
$859
|
|
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
|
1st Quarter 2022
|
25.68%
|
|
Worst
|
1st Quarter 2020
|
-21.89%
|
|
|
Share Class
Inception Date
|
1 Year
|
5 Years
|
10 Years
|
|
|
Class A
|
06/18/2012
|
|||
|
returns before taxes
|
8.51%
|
10.93%
|
5.64%
|
|
|
returns after taxes on distributions
|
7.25%
|
2.13%
|
0.68%
|
|
|
returns after taxes on distributions and sale of Fund shares
|
5.03%
|
4.47%
|
2.08%
|
|
|
Class Inst returns before taxes
|
06/18/2012
|
15.41%
|
12.54%
|
6.54%
|
|
Class Inst2 returns before taxes
|
01/08/2014
|
15.58%
|
12.66%
|
6.64%
|
|
Class Inst3 returns before taxes
|
10/01/2014
|
15.50%
|
12.71%
|
6.73%
|
|
Bloomberg Commodity Index Total Return (reflects no deductions for fees,
expenses or taxes)
|
15.77%
|
10.64%
|
5.73%
|
|
|
MSCI ACWI Index (Net) (reflects reinvested dividends net of withholding taxes but
reflects no deductions for fees, expenses or other taxes)
|
22.34%
|
11.19%
|
11.72%
|
|
Commodity Strategies Portfolio
Management
|
Title
|
Role with Fund
|
Managed Fund Since
|
|
Marc Khalamayzer, CFA
|
Senior Portfolio Manager and Director of
Multi-Asset Research
|
Commodity Strategies
Co-Portfolio Manager
|
2019
|
|
Matthew Ferrelli, CFA
|
Senior Portfolio Manager
|
Commodity Strategies
Co-Portfolio Manager
|
2019
|
|
Cash/Liquidity Strategies
Portfolio Management
|
Title
|
Role with Fund
|
Managed Fund Since
|
|
Ronald Stahl, CFA
|
Senior Portfolio Manager and Head of
Short Duration and Stable Value
|
Cash/Liquidity Strategies
Co-Portfolio Manager
|
2021
|
|
Gregory Liechty
|
Senior Portfolio Manager
|
Cash/Liquidity Strategies
Co-Portfolio Manager
|
2021
|
|
John Dempsey, CFA
|
Senior Portfolio Manager
|
Cash/Liquidity Strategies
Co-Portfolio Manager
|
2021
|
|
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
|
|
Class A
|
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
|
|
Class Inst2
|
All eligible accounts
|
None
|
N/A
|
|
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
|
|
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)
|