LBSAX
Columbia Dividend Income Fund
COLUMBIA FUNDS SERIES TRUST I

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
81
Top-10 weight
25.79%
Effective holdings ?
62
Crowding ?
1458.8

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 JOHNSON&JOHNSON 7,645,924 $1.90B 3.98%
2 JPMORGAN CHASE and CO 6,005,250 $1.80B 3.78%
3 ANALOG DEVICES INC 3,450,737 $1.23B 2.57%
4 WALMART INC 9,194,907 $1.18B 2.46%
5 PARKER HANNIFIN CORP 1,108,424 $1.12B 2.34%
6 EXXON MOBIL CORP 7,052,405 $1.08B 2.25%
7 PROCTER & GAMBLE 6,335,642 $1.06B 2.22%
8 CHUBB LTD 3,019,910 $1.03B 2.16%
9 ALPHABET INC CL A 3,108,276 $969.04M 2.03%
10 CISCO SYSTEMS INC 11,814,287 $938.76M 1.97%
11 CHEVRON CORP 4,973,221 $928.80M 1.94%
12 BANK OF AMERICA CORPORATION 18,547,950 $924.24M 1.94%
13 MICROSOFT CORP 2,341,112 $919.45M 1.92%
14 BANK OF NEW YORK MELLON CORP 7,297,365 $869.12M 1.82%
15 BROADCOM INC 2,635,199 $842.08M 1.76%
16 MCDONALDS CORP 2,296,220 $783.15M 1.64%
17 AT&T INC 27,904,110 $781.59M 1.64%
18 MORGAN STANLEY 4,685,498 $780.18M 1.63%
19 ABBVIE INC 3,318,518 $770.16M 1.61%
20 HOME DEPOT INC 1,978,020 $753.07M 1.58%
21 KLA CORP 476,503 $726.45M 1.52%
22 CME GROUP INC CL A 2,249,725 $718.79M 1.50%
23 LAM RESEARCH CORP 3,067,910 $717.55M 1.50%
24 WELLS FARGO & CO 8,786,090 $715.63M 1.50%
25 WALT DISNEY CO/T 6,720,036 $712.59M 1.49%
26 COLUMBIA SHORT TERM CASH FUND 695,945,642 $695.81M 1.46%
27 COMCAST CORP CL A 22,103,363 $684.32M 1.43%
28 LINDE PLC 1,321,782 $671.57M 1.41%
29 COCA-COLA CO/THE 7,704,739 $628.40M 1.32%
30 MERCK & CO 4,940,829 $611.77M 1.28%
31 GENERAL DYNAMICS CORPORATION 1,697,055 $605.93M 1.27%
32 ALTRIA GROUP INC 8,713,260 $601.56M 1.26%
33 ENTERGY CORP 5,496,469 $588.73M 1.23%
34 INTL BUS MACH CORP 2,435,980 $585.15M 1.23%
35 UNION PACIFIC CORP 2,192,617 $581.00M 1.22%
36 PNC FINANCIAL SERVICES GRP INC 2,734,810 $580.74M 1.22%
37 TJX COS INC 3,565,784 $576.44M 1.21%
38 BLACKROCK INC 522,872 $555.93M 1.16%
39 CONOCOPHILLIPS 4,868,391 $552.37M 1.16%
40 GILEAD SCIENCES INC 3,695,871 $550.50M 1.15%
41 SOUTHERN CO 5,439,666 $529.71M 1.11%
42 WASTE MANAGEMENT INC 2,189,963 $527.43M 1.10%
43 ABBOTT LABS 4,407,481 $512.81M 1.07%
44 HONEYWELL INTL INC 2,069,089 $504.01M 1.06%
45 TRANE TECHNOLOGIES PLC 1,078,049 $498.40M 1.04%
46 TE CONNECTIVITY PLC 2,153,698 $495.67M 1.04%
47 ASTRAZENECA PLC 2,347,970 $489.43M 1.02%
48 MEDTRONIC PLC 4,993,559 $487.67M 1.02%
49 UNITEDHEALTH GRP 1,615,307 $473.72M 0.99%
50 EMERSON ELECTRIC CO 3,038,872 $458.11M 0.96%
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