CMSHX
Columbia Small Cap Growth Fund
COLUMBIA FUNDS SERIES TRUST I

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Nov 30, 2025 → Feb 28, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
ALASKA AIR GROUP INC 0 952,976 952,976 1.54% $49.17M
REGAL REXNORD CORP 0 199,064 199,064 1.38% $43.99M
HERC HOLDINGS INC 0 299,798 299,798 1.31% $41.91M
KADANT INC 0 122,796 122,796 1.30% $41.65M
RAMBUS INC 0 377,570 377,570 1.18% $37.63M
DIGITALOCEAN HOLDINGS INC 0 637,969 637,969 1.12% $35.76M
STANDEX INTL CORP 0 129,402 129,402 1.06% $33.90M
National Energy Services Reunited Corporation 0 1,350,599 1,350,599 1.06% $33.83M
LIBERTY ENERGY INC CL A 0 1,175,203 1,175,203 1.03% $33.01M
PRIMO BRANDS CORP A 0 1,403,824 1,403,824 1.00% $31.84M
WEATHERFORD INTERNATIONAL PLC 0 248,316 248,316 0.82% $26.19M
DAVE INC 0 133,590 133,590 0.81% $25.82M
CONSTRUCTION PARTNERS INC CL A 0 178,308 178,308 0.75% $23.96M
TERNS PHARMACEUTICALS INC 0 548,955 548,955 0.72% $23.12M
SOLSTICE ADV MAT 0 280,244 280,244 0.69% $22.00M
COEUR MINING INC 0 803,682 803,682 0.68% $21.82M
ARCOSA INC 0 192,919 192,919 0.65% $20.73M
GUIDEWIRE SOFTWARE INC 0 133,737 133,737 0.61% $19.43M
ONTO INNOVATION INC 0 87,318 87,318 0.59% $18.85M
HELIOS TECHNOLOGIES INC 0 239,733 239,733 0.53% $17.10M
UNUSUAL MACHINES INC /US 0 1,237,093 1,237,093 0.53% $16.89M
RED ROCK RESORTS INC 0 277,427 277,427 0.53% $16.80M
CHURCHILL DOWNS INC 0 180,757 180,757 0.52% $16.62M
APPFOLIO INC - A 0 93,364 93,364 0.52% $16.60M
SERVICETITAN INC-A 0 226,952 226,952 0.51% $16.43M
MADRIGAL PHARMACEUTICALS INC 0 37,575 37,575 0.51% $16.23M
CACTUS INC CL A 0 282,253 282,253 0.48% $15.24M
YORK SPACE SYSTE 0 548,430 548,430 0.44% $14.04M
HECLA MINING CO 0 447,646 447,646 0.35% $11.15M
CENTRUS ENERGY CORP CL A 0 52,925 52,925 0.34% $10.72M
CAMPING WORLD HOLDINGS INC CLS A 0 1,192,179 1,192,179 0.31% $9.92M
CAPRI HOLDINGS LTD 0 474,840 474,840 0.30% $9.74M
SOLID BIOSCIENCES INC 0 1,512,696 1,512,696 0.29% $9.39M
RHYTHM PHARMACEUTICALS INC 0 101,297 101,297 0.29% $9.39M
MIRUM PHARMACEUTICALS INC 0 87,863 87,863 0.25% $8.11M
DIANTHUS THERAPEUTICS INC 0 140,988 140,988 0.24% $7.78M
TECTONIC THERAPEUTIC INC 0 124,502 124,502 0.09% $2.92M
BILLIONTOONE INC 0 25,613 25,613 0.06% $1.96M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
RIOT PLATFORMS INC 2,466,676 0 -2,466,676 0.00% -$39.79M
PARSONS CORP 439,604 0 -439,604 0.00% -$37.23M
ANTERO RESOURCES 1,018,078 0 -1,018,078 0.00% -$37.09M
UNITY SOFTWARE INC 816,200 0 -816,200 0.00% -$34.70M
VSE CORP 176,843 0 -176,843 0.00% -$31.87M
SHAKE SHACK INC - CLASS A 355,012 0 -355,012 0.00% -$31.06M
MODINE MFG CO 191,200 0 -191,200 0.00% -$31.00M
XPO LOGISTICS INC 214,376 0 -214,376 0.00% -$30.45M
MP MATERIALS CORP 475,379 0 -475,379 0.00% -$29.45M
MASTEC INC 131,895 0 -131,895 0.00% -$28.21M
LYFT INC-A 1,253,312 0 -1,253,312 0.00% -$26.36M
SPROUTS FMRS MKT INC 256,956 0 -256,956 0.00% -$21.54M
ACI WORLDWIDE INC 453,496 0 -453,496 0.00% -$21.25M
SUN COUNTRY HOLD 1,549,148 0 -1,549,148 0.00% -$21.22M
STEPSTONE GROUP INC CLASS A 303,789 0 -303,789 0.00% -$19.19M
AEROVIRONMENT INC 66,408 0 -66,408 0.00% -$18.56M
TALEN ENERGY CORP 45,728 0 -45,728 0.00% -$18.03M
Sportradar Holding AG 743,297 0 -743,297 0.00% -$16.35M
HAMILTON LANE INC - A 114,975 0 -114,975 0.00% -$14.25M
SIMPSON MFG 83,559 0 -83,559 0.00% -$13.99M
KLAVIYO INC-A 432,512 0 -432,512 0.00% -$12.35M
BRP GROUP INC-A 425,522 0 -425,522 0.00% -$12.13M
PROCORE TECHNOLOGIES INC 157,849 0 -157,849 0.00% -$11.69M
JANUX THERAPEUTICS INC 211,241 0 -211,241 0.00% -$7.20M
STRIDE INC 103,758 0 -103,758 0.00% -$6.59M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
CELSIUS HOLDINGS INC 1,397,609 1,560,834 163,225 2.62% $26.46M
INTERDIGITAL INC 177,182 189,331 12,149 2.17% $6.01M
WESCO INTL 210,125 237,773 27,648 2.15% $12.65M
SITEONE LANDSCAPE SUPPLY INC 354,762 473,841 119,079 2.12% $20.07M
MERCURY SYSTEMS INC 677,290 749,135 71,845 2.08% $19.36M
RUSH STREET INTERACTIVE INC 2,647,105 3,172,049 524,944 1.96% $13.84M
VITA COCO CO INC/THE 842,221 899,973 57,752 1.63% $7.27M
OLLIES BARGAIN OUTLET HOLDINGS INC 445,183 475,709 30,526 1.59% -$3.86M
RADNET INC 543,120 726,939 183,819 1.59% $5.78M
REPLIGEN CORP 248,848 389,223 140,375 1.57% $7.55M
BRINKER INTL 244,533 338,069 93,536 1.57% $12.50M
SITIME CORP 105,080 112,286 7,206 1.40% $13.39M
CHARLES RIVER LABS INTL INC 215,345 248,280 32,935 1.39% $5.95M
MOELIS & CO-CL A 419,285 680,574 261,289 1.26% $13.49M
GUARDANT HEALTH INC 109,713 419,772 310,059 1.23% $27.52M
BRIDGEBIO PHARMA INC 303,973 592,147 288,174 1.23% $17.48M
KARMAN HOLDINGS INC 268,751 434,824 166,073 1.20% $20.30M
DUTCH BROS INC-A 565,643 701,051 135,408 1.17% $4.43M
IMPINJ INC 214,007 276,208 62,201 1.06% -$2.90M
BANCORP INC/THE 545,856 618,651 72,795 1.02% -$2.50M
SPHERE ENTERTAINMENT CO 187,630 268,885 81,255 1.00% $16.13M
CASEY'S GENERAL 41,412 44,252 2,840 0.95% $6.71M
AXOS FINANCIAL INC 217,577 342,381 124,804 0.93% $11.85M
NUVALENT INC-A 254,502 271,954 17,452 0.87% -$104.08K
PERELLA WEINBERG PARTNERS 1,245,298 1,330,688 85,390 0.77% $1.89M
RYDER SYSTEM INC 41,637 104,298 62,661 0.72% $15.90M
BOOT BARN HOLDINGS INC 114,053 121,873 7,820 0.72% $955.06K
INSMED INC 123,139 131,583 8,444 0.61% -$5.94M
MADISON SQUARE GARDEN ENTERTAINMENT CORP 183,165 296,312 113,147 0.58% $9.65M
LITHIA MOTORS INC CL A 59,858 63,962 4,104 0.56% -$1.20M
KURA SUSHI USA INC CL A 235,815 251,985 16,170 0.55% $6.16M
PERSONALIS INC 1,820,371 1,920,748 100,377 0.54% -$2.13M
HALLADOR PETROLEUM CO 882,778 943,310 60,532 0.54% -$850.47K
APPLIED INDU TEC 56,085 59,931 3,846 0.53% $2.42M
GLOBALSTAR INC 227,619 243,227 15,608 0.47% $1.32M
RED CAT HOLDINGS INC 1,179,614 1,273,315 93,701 0.46% $6.08M
GENEDX HOLDINGS CORP-A 75,284 117,737 42,453 0.29% -$3.18M
BETA TECHNOLOGIES INC 201,840 430,823 228,983 0.25% $2.60M
BLACK ROCK COFFEE BAR INC 426,578 455,828 29,250 0.19% -$3.62M
MNTN INC-A 569,382 608,425 39,043 0.19% -$1.83M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
RBC BEARINGS INC 196,062 134,149 -61,913 2.41% -$9.98M
LUMENTUM HOLDINGS INC 183,967 106,523 -77,444 2.33% $14.84M
CARPENTER TECHNOLOGY CORP 266,299 176,027 -90,272 2.19% -$14.76M
ICU MEDICAL INC 484,379 459,852 -24,527 2.16% -$2.66M
BLOOM ENERGY CORP CL A 523,750 436,565 -87,185 2.12% $10.75M
HUT 8 CORP 1,741,548 1,167,176 -574,372 1.94% -$16.24M
GLAUKOS CORP 557,890 513,859 -44,031 1.93% $2.57M
AAON INC 664,348 574,953 -89,395 1.82% -$3.92M
SEMTECH CORP 531,043 525,025 -6,018 1.48% $7.99M
IMAX Corporation COM NPV 1,174,346 967,774 -206,572 1.30% -$2.12M
COHERENT CORP 285,126 152,246 -132,880 1.23% -$7.41M
COLUMBIA SHORT TERM CASH FUND 137,130,014 37,952,598 -99,177,416 1.19% -$99.14M
CREDO TECHNOLOGY GROUP HOLDING LTD 338,949 311,809 -27,140 1.09% -$25.19M
SAIA INC 103,644 81,515 -22,129 1.03% $3.86M
CHEMED CORP 86,452 78,904 -7,548 1.01% -$5.62M
XOMETRY INC-A 613,415 427,937 -185,478 0.55% -$18.31M
FLOOR & DECOR-A 252,572 245,562 -7,010 0.53% $897.25K
WATERBRIDGE IN-A 1,064,703 628,104 -436,599 0.52% -$7.65M
REVOLUTION MEDICINES INC 254,490 159,280 -95,210 0.51% -$3.54M
KRATOS DEFENSE and SEC SOLTN INC 525,055 176,086 -348,969 0.47% -$24.78M
ADAPTIVE BIOTECHNOLOGIES CORP 2,425,873 905,351 -1,520,522 0.45% -$33.19M
AXSOME THERAPEUTICS INC 84,043 80,688 -3,355 0.41% $491.44K
BIO-TECHNE CORP 403,922 223,143 -180,779 0.41% -$12.89M
CARIS LIFE SCIENCES INC 1,351,561 638,423 -713,138 0.40% -$21.65M
BABCOCK & WILCOX 2,024,721 1,450,891 -573,830 0.40% $200.39K
CRINETICS PHARMACEUTICALS INC 311,147 305,237 -5,910 0.39% -$1.63M
URANIUM ENERGY CORP 869,639 682,422 -187,217 0.33% -$208.94K
LIGHTBRIDGE CORP 596,431 565,416 -31,015 0.23% -$2.39M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
DNA SCRIPT SAS SER C PC PP 11,675 11,675 0 0.03% -$49.91K

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