ACUIX
Columbia Dividend Opportunity Fund
Columbia Funds Series Trust II

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
90
Top-10 weight
25.49%
Effective holdings ?
68
Crowding ?
1205.8

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 EXXON MOBIL CORP 564,800 $86.13M 3.66%
2 JPMORGAN CHASE and CO 238,400 $71.59M 3.04%
3 JOHNSON&JOHNSON 282,800 $70.26M 2.98%
4 CISCO SYSTEMS INC 750,600 $59.64M 2.53%
5 GOLDMAN SACHS GROUP INC 66,900 $57.51M 2.44%
6 PHILIP MORRIS INTL INC 299,900 $56.03M 2.38%
7 CHEVRON CORP 280,100 $52.31M 2.22%
8 ABBVIE INC 221,500 $51.41M 2.18%
9 MERCK & CO 391,200 $48.44M 2.06%
10 INTL BUS MACH CORP 189,100 $45.42M 1.93%
11 PEPSICO INC 240,300 $40.79M 1.73%
12 BANK OF AMERICA CORPORATION 805,100 $40.12M 1.70%
13 AT&T INC 1,410,200 $39.50M 1.68%
14 LOCKHEED MARTIN CORP 58,400 $38.43M 1.63%
15 CITIGROUP INC 344,300 $37.94M 1.61%
16 HOME DEPOT INC 91,400 $34.80M 1.48%
17 CME GROUP INC CL A 108,400 $34.63M 1.47%
18 VERIZON COMMUNICATIONS INC 684,800 $34.34M 1.46%
19 CORNING INC 223,500 $33.61M 1.43%
20 AMERICAN FINL GROUP INC OHIO 244,400 $32.50M 1.38%
21 KINDER MORGAN INC 960,300 $31.95M 1.36%
22 STANLEY BLACK and DECKER INC 364,100 $31.49M 1.34%
23 US BANCORP DEL 575,200 $31.44M 1.34%
24 SIMON PROPERTY 150,600 $30.70M 1.30%
25 CVS HEALTH CORP 378,500 $30.24M 1.28%
26 MEDTRONIC PLC 304,000 $29.69M 1.26%
27 GAP INC/THE 1,044,100 $29.28M 1.24%
28 UNITED PARCEL SERVICE INC CL B 249,700 $28.96M 1.23%
29 WELLS FARGO & CO 355,000 $28.91M 1.23%
30 VALERO ENERGY CORP 137,600 $28.16M 1.20%
31 TEXAS INSTRUMENTS INC 132,750 $28.16M 1.20%
32 GENUINE PARTS CO 227,500 $27.13M 1.15%
33 UGI CORP NEW 711,600 $26.62M 1.13%
34 INVESCO LTD 1,003,300 $26.35M 1.12%
35 COMCAST CORP CL A 846,700 $26.21M 1.11%
36 DIGITAL REALTY TRUST INC 147,600 $26.15M 1.11%
37 COCA-COLA CO/THE 317,000 $25.85M 1.10%
38 CONAGRA BRANDS INC 1,337,700 $25.75M 1.09%
39 DARDEN RESTAURANTS INC 115,900 $24.79M 1.05%
40 NUTRIEN LTD 327,600 $24.59M 1.04%
41 BUNGE GLOBAL SA 202,100 $24.38M 1.04%
42 PROCTER & GAMBLE 144,800 $24.21M 1.03%
43 PFIZER INC 863,200 $23.87M 1.01%
44 SKYWORKS SOLUTIONS INC 398,500 $23.74M 1.01%
45 FORD MOTOR CO 1,682,000 $23.70M 1.01%
46 ALTRIA GROUP INC 338,800 $23.39M 0.99%
47 3M CO 140,600 $23.24M 0.99%
48 UNION PACIFIC CORP 83,800 $22.21M 0.94%
49 PACCAR INC 175,700 $22.15M 0.94%
50 STARWOOD PROPERTY TRUST INC 1,224,400 $21.81M 0.93%
1 / 2 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.