CLSYX
Columbia International Dividend Income Fund
COLUMBIA FUNDS SERIES TRUST I

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
60
Top-10 weight
31.27%
Effective holdings ?
45
Crowding ?
500.8

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 SAMSUNG ELECTRONICS CO LTD 283,287 $42.40M 6.06%
2 TSMC 564,000 $35.19M 5.03%
3 TOKYO ELECTRON 74,300 $20.91M 2.99%
4 ROCHE HOLDINGS AG (GENUSSCHEINE) 39,369 $18.74M 2.68%
5 BNP PARIBAS 163,005 $18.30M 2.62%
6 IBERDROLA SA 742,076 $17.52M 2.51%
7 ANGLO AMER PLC 335,928 $16.76M 2.40%
8 GSK PLC 551,107 $16.38M 2.34%
9 ROYAL BANK OF CANADA 95,432 $15.96M 2.28%
10 ORIX CORP 439,900 $15.44M 2.21%
11 SIEMENS AG-REG 53,350 $15.43M 2.21%
12 E.ON SE 659,448 $15.33M 2.19%
13 AIA Group Ltd 1,372,000 $15.14M 2.16%
14 MITSUB ELEC CORP 393,100 $14.96M 2.14%
15 DEUTSCHE TELEKOM 368,963 $14.82M 2.12%
16 Novartis AG 86,181 $14.53M 2.08%
17 NESTLE SA (REG) 131,274 $14.34M 2.05%
18 BANK OF IRELAND GROUP PLC 707,958 $13.78M 1.97%
19 SCHNEIDER ELECTR 42,157 $13.78M 1.97%
20 TOYOTA MOTOR CORP 553,000 $13.40M 1.92%
21 AXA 272,378 $13.32M 1.91%
22 TOTALENERGIES SE 160,047 $12.82M 1.83%
23 BT GROUP PLC 4,345,403 $12.67M 1.81%
24 DBS GROUP HLDGS 271,980 $12.25M 1.75%
25 RECKITT BENCKISE 134,292 $11.83M 1.69%
26 SHELL PLC 282,397 $11.78M 1.68%
27 TELSTRA GROUP LT 3,094,504 $11.41M 1.63%
28 MANULIFE FIN 302,394 $10.77M 1.54%
29 HKEX 200,400 $10.71M 1.53%
30 KOMATSU LTD 217,500 $10.44M 1.49%
31 TENCENT HOLDINGS LTD 158,500 $10.43M 1.49%
32 TC ENERGY CORP 156,606 $10.06M 1.44%
33 UNILEVER PLC 134,243 $9.86M 1.41%
34 SAP SE 48,584 $9.76M 1.40%
35 SGS SA-REG 76,127 $9.62M 1.38%
36 INDITEX SA 137,496 $9.18M 1.31%
37 RENESAS ELECTRON 476,700 $8.99M 1.29%
38 CONVATEC GROUP P 2,584,518 $8.92M 1.28%
39 GRUPO F BANORT-O 779,022 $8.86M 1.27%
40 NUTRIEN LTD 113,838 $8.56M 1.22%
41 MIZUHO FINANCIAL 190,200 $8.49M 1.21%
42 MEDTRONIC PLC 86,385 $8.44M 1.21%
43 CAN NATL RAILWAY 70,650 $7.93M 1.13%
44 SMURFIT WESTROCK PLC 168,673 $7.88M 1.13%
45 CRH PLC 63,100 $7.55M 1.08%
46 Bank Rakyat Indonesia Persero Tbk PT 30,477,752 $7.09M 1.01%
47 TAYLOR WIMPEY PL 4,534,973 $6.88M 0.98%
48 PEARSON PLC 534,558 $6.88M 0.98%
49 SHIN-ETSU CHEM 170,500 $6.71M 0.96%
50 DSM-FIRMENICH AG 82,214 $5.87M 0.84%
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