CEVZX
Columbia Global Value Fund
Columbia Funds Series Trust II

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
77
Top-10 weight
29.77%
Effective holdings ?
52
Crowding ?
1101.0

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ALPHABET INC CL C 142,953 $44.52M 5.02%
2 META PLATFORMS INC CL A 56,864 $36.86M 4.16%
3 JPMORGAN CHASE and CO 113,443 $34.07M 3.84%
4 SHELL PLC 569,156 $23.84M 2.69%
5 BANK OF AMERICA CORPORATION 451,769 $22.51M 2.54%
6 GOLDMAN SACHS GROUP INC 25,830 $22.20M 2.51%
7 CITIGROUP INC 198,482 $21.87M 2.47%
8 WALMART INC 149,870 $19.18M 2.16%
9 BNP PARIBAS 170,422 $19.14M 2.16%
10 HARTFORD INSURANCE GROUP INC/THE 135,224 $19.04M 2.15%
11 NORTHERN STAR RE 854,404 $18.73M 2.11%
12 PARKER HANNIFIN CORP 16,746 $16.90M 1.91%
13 AT&T INC 590,748 $16.55M 1.87%
14 SCHWAB CHARLES CORP 167,962 $15.99M 1.80%
15 TE CONNECTIVITY PLC 68,119 $15.68M 1.77%
16 GENERAL DYNAMICS CORPORATION 43,570 $15.56M 1.76%
17 EQUINIX INC 15,631 $15.23M 1.72%
18 WH GROUP LTD 11,905,593 $14.97M 1.69%
19 JAZZ PHARMA PLC 77,386 $14.70M 1.66%
20 EATON CORP PLC 37,932 $14.26M 1.61%
21 MERCK & CO 111,968 $13.86M 1.56%
22 MICRON TECHNOLOGY INC 33,306 $13.73M 1.55%
23 PRIMO BRANDS CORP A 604,797 $13.72M 1.55%
24 EMAAR PROP PJSC 3,101,325 $13.69M 1.54%
25 AMEREN CORP 117,062 $13.26M 1.50%
26 PROCTER & GAMBLE 78,206 $13.08M 1.48%
27 DAIWABO HOLDINGS 630,900 $12.91M 1.46%
28 TJX COS INC 79,444 $12.84M 1.45%
29 NATL BANK GREECE 782,571 $12.73M 1.44%
30 REPUBLIC SVCS 54,207 $12.41M 1.40%
31 DTE ENERGY CO 82,679 $12.26M 1.38%
32 VENTURE CORP LTD 989,900 $12.22M 1.38%
33 ENTERGY CORP 112,961 $12.10M 1.37%
34 MASTERCARD INC CL A 22,762 $11.77M 1.33%
35 GAP INC/THE 415,920 $11.66M 1.32%
36 ORIX CORP 321,601 $11.29M 1.27%
37 SHIMAMURA CORP 8227 490,500 $11.28M 1.27%
38 TP ICAP GROUP PL 3,098,006 $10.58M 1.19%
39 VALERO ENERGY CORP 50,501 $10.33M 1.17%
40 MACNICA HOLDINGS 573,300 $10.13M 1.14%
41 COMMSTCK BP US 260,038 $10.11M 1.14%
42 GENERAL MOTORS CO 126,995 $10.00M 1.13%
43 CINTAS CORP 48,687 $9.79M 1.11%
44 NVENT ELECTRIC PLC 81,938 $9.70M 1.09%
45 DANAHER CORP 44,269 $9.32M 1.05%
46 YOUNGONE CORP 138,734 $9.31M 1.05%
47 PALADIN ENERGY L 930,589 $8.87M 1.00%
48 MICROSOFT CORP 22,513 $8.84M 1.00%
49 NIKE INC CL B 139,304 $8.66M 0.98%
50 BPER BANCA SPA 602,195 $8.48M 0.96%
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