CSSCX
Columbia Small Cap Value Discovery Fund
COLUMBIA FUNDS SERIES TRUST I

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
234
Top-10 weight
11.31%
Effective holdings ?
171
Crowding ?
290.2

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 JOHN BEAN TECHNOLOGIES CORP 166,440 $26.18M 1.29%
2 NATL FUEL GAS CO 308,620 $25.85M 1.27%
3 MOOG INC-CLASS A 84,632 $25.84M 1.27%
4 UFP INDUSTRIES INC 234,475 $24.22M 1.19%
5 MERITAGE HOMES CORP 338,270 $23.51M 1.16%
6 ESSENT GROUP LTD 337,490 $21.23M 1.04%
7 KIRBY CORP 178,851 $21.04M 1.04%
8 CUSHMAN and WAKEFIELD LTD 1,271,107 $20.90M 1.03%
9 LITTELFUSE INC 64,130 $20.76M 1.02%
10 KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 369,590 $20.36M 1.00%
11 BANKUNITED INC 407,926 $19.36M 0.95%
12 KITE REALTY GROUP TRUST 823,900 $19.35M 0.95%
13 VISHAY INTERTECHNOLOGY INC 910,190 $18.34M 0.90%
14 SCORPIO TANKERS INC STNG 283,690 $18.05M 0.89%
15 GATES INDUSTRIAL CORP PLC 782,660 $18.02M 0.89%
16 PACS GROUP INC 528,918 $17.86M 0.88%
17 BANC OF CALIFORNIA INC 883,510 $17.65M 0.87%
18 VONTIER CORP W/I 464,670 $17.43M 0.86%
19 F&G ANNUITIES 573,910 $16.92M 0.83%
20 Americold Realty Trust Inc 1,362,944 $16.91M 0.83%
21 ADVANCE AUTO PARTS INC 345,909 $16.61M 0.82%
22 CORPORATE OFFICE PROPERTIES TR 538,530 $16.59M 0.82%
23 POLARIS INC 248,428 $15.86M 0.78%
24 KORN FERRY 227,425 $15.80M 0.78%
25 ANDERSONS INC 250,726 $15.54M 0.76%
26 TOREX GOLD RESOU 322,562 $15.53M 0.76%
27 ARCBEST CORP 168,920 $15.24M 0.75%
28 NEWMARK GROUP INC CL A 852,242 $15.20M 0.75%
29 PBF ENERGY INC CL A 449,800 $15.05M 0.74%
30 WASHINGTON FEDERAL INC 458,899 $14.97M 0.74%
31 NATIONAL VISION HOLDINGS INC 560,432 $14.77M 0.73%
32 HIGHWOODS PROPERTIES INC 561,550 $14.52M 0.71%
33 MINERALS TECHNOLOGIES INC 219,740 $14.45M 0.71%
34 ASGN INC 276,129 $14.38M 0.71%
35 VISTEON CORP 157,532 $14.31M 0.70%
36 WERNER ENTERPRISES INC 417,120 $14.29M 0.70%
37 TELEFLEX INC 136,640 $14.26M 0.70%
38 KINETIK HOLDINGS INC 343,026 $14.03M 0.69%
39 PENNYMAC FINANCIAL SERVICES INC 139,570 $13.95M 0.69%
40 STONEX GROUP INC 123,257 $13.84M 0.68%
41 MACERICH COMPANY 723,800 $13.70M 0.67%
42 WESTERN UNION CO 1,461,790 $13.70M 0.67%
43 HILLTOP HOLDINGS 364,458 $13.65M 0.67%
44 ARMOUR RESIDENTIAL REIT INC 770,590 $13.41M 0.66%
45 RLJ LODGING TRUST 1,788,290 $13.29M 0.65%
46 KILROY REALTY CORP 383,980 $13.24M 0.65%
47 ALASKA AIR GROUP INC 258,300 $13.13M 0.65%
48 EURONET WORLDWIDE INC 179,396 $13.00M 0.64%
49 CENTURY COMMUNITIES INC 205,929 $12.97M 0.64%
50 HNI CORP 270,522 $12.93M 0.64%
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