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.
Oct 31, 2025 → Jan 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
US TREASURY N/B
0
12,700,000
12,700,000
2.59%
$12.70M
MORGAN STANLEY
0
9,552,000
9,552,000
1.95%
$9.56M
MORGAN STANLEY
0
8,400,000
8,400,000
1.71%
$8.39M
LYB INT FIN III
0
7,568,000
7,568,000
1.55%
$7.61M
AMGEN INC
0
6,030,000
6,030,000
1.28%
$6.26M
ENBRIDGE INC
0
5,040,000
5,040,000
1.03%
$5.04M
TYSON FOODS INC
0
5,054,000
5,054,000
1.02%
$5.02M
JPMORGAN CHASE
0
4,867,000
4,867,000
0.99%
$4.86M
GOLDMAN SACHS GP
0
4,548,000
4,548,000
0.93%
$4.54M
MERCK & CO INC
0
4,372,000
4,372,000
0.89%
$4.35M
CHARTER COMM OPT
0
4,313,000
4,313,000
0.79%
$3.89M
META PLATFORMS
0
3,827,000
3,827,000
0.78%
$3.82M
Pricoa Global Funding I 4.35%, Due 11/25/2030
0
3,815,000
3,815,000
0.78%
$3.82M
ORANGE SA 144A LIFE SR UNSEC 4.25% 01-13-31
0
3,756,000
3,756,000
0.76%
$3.72M
ALPHABET INC
0
2,824,000
2,824,000
0.58%
$2.83M
VOYA GLOBAL FUNDING REGD 144A P/P MTN 4.60000000
0
2,385,000
2,385,000
0.49%
$2.40M
HCA INC
0
1,856,000
1,856,000
0.37%
$1.84M
GE HEALTHCARE
0
1,758,000
1,758,000
0.36%
$1.76M
Metropolitan Life Global Funding I
0
1,468,000
1,468,000
0.30%
$1.47M
CRBG 4.55 01/09/31 144A
0
1,262,000
1,262,000
0.26%
$1.26M
WHEAT SEP 26
0
-89
-89
0.07%
$332.72K
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
MORGAN STANLEY
14,858,000
0
-14,858,000
0.00%
-$15.09M
BANK OF AMER CRP
8,565,000
0
-8,565,000
0.00%
-$8.84M
MERCK & CO INC
7,725,000
0
-7,725,000
0.00%
-$7.74M
CMS ENERGY CORP SR UNSEC 3.6% 11-15-25
7,100,000
0
-7,100,000
0.00%
-$7.10M
JPMORGAN CHASE
6,044,000
0
-6,044,000
0.00%
-$6.25M
CISCO SYSTEMS
5,290,000
0
-5,290,000
0.00%
-$5.37M
ONCOR ELECTRIC D
4,755,000
0
-4,755,000
0.00%
-$4.83M
AES CORP/THE
4,800,000
0
-4,800,000
0.00%
-$4.77M
US BANCORP
4,460,000
0
-4,460,000
0.00%
-$4.58M
MET TOWER
4,336,000
0
-4,336,000
0.00%
-$4.49M
LYB INT FIN III
4,976,000
0
-4,976,000
0.00%
-$4.45M
DIAGEO CAPITAL PLC 5.375000% 10/05/2026
3,778,000
0
-3,778,000
0.00%
-$3.82M
BAE SYSTEMS HLDG
3,236,000
0
-3,236,000
0.00%
-$3.23M
HSBC HOLDINGS
3,063,000
0
-3,063,000
0.00%
-$3.15M
MORGAN STANLEY
3,086,000
0
-3,086,000
0.00%
-$3.08M
META PLATFORMS
2,899,000
0
-2,899,000
0.00%
-$2.91M
DIAGEO INV CORP
2,650,000
0
-2,650,000
0.00%
-$2.75M
Siemens Funding B.V.
2,681,000
0
-2,681,000
0.00%
-$2.72M
CHARTER COMM OPT
2,800,000
0
-2,800,000
0.00%
-$2.61M
WELLTOWER OP LLC
2,520,000
0
-2,520,000
0.00%
-$2.55M
BROADCOM INC
2,396,000
0
-2,396,000
0.00%
-$2.39M
ROCHE HOLDINGS INC COMPANY GUAR 144A 11/30 5.489
2,049,000
0
-2,049,000
0.00%
-$2.17M
US BANCORP
1,931,000
0
-1,931,000
0.00%
-$1.98M
CANADIAN NATL RE
1,875,000
0
-1,875,000
0.00%
-$1.91M
ROYAL BK CANADA
1,745,000
0
-1,745,000
0.00%
-$1.77M
JPMORGAN CHASE
1,673,000
0
-1,673,000
0.00%
-$1.51M
MORGAN STANLEY
1,411,000
0
-1,411,000
0.00%
-$1.43M
GENERAL ELECTRIC
489,000
0
-489,000
0.00%
-$492.40K
LINCOLN GLOBAL
81,000
0
-81,000
0.00%
-$83.76K
KENVUE INC
3,000
0
-3,000
0.00%
-$3.04K
ZAR/USD FUTURE (CME) SEP 25
-313
0
313
0.00%
$307.87K
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
COLUMBIA SHORT TERM CASH FUND
30,833,451
33,067,217
2,233,766
6.74%
$2.23M
BANK OF AMER CRP
5,679,000
12,991,000
7,312,000
2.37%
$6.56M
JPMORGAN CHASE
5,522,000
7,305,000
1,783,000
1.48%
$1.76M
ROYAL BK CANADA RY 4.305 11/03/31
4,914,000
7,234,000
2,320,000
1.47%
$2.32M
L3HARRIS TECH IN
6,360,000
7,033,000
673,000
1.45%
$677.15K
HSBC HOLDINGS
6,035,000
7,031,000
996,000
1.44%
$1.01M
XCEL ENERGY INC
6,016,000
7,256,000
1,240,000
1.40%
$1.21M
COREBRIDGE GLOBAL FUNDING GIC 144A LIFE SR SEC 1ST LIEN 4.45% 10-02-30
2,297,000
2,855,000
558,000
0.58%
$561.53K
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
CITIGROUP INC
13,441,000
8,979,000
-4,462,000
1.83%
-$4.47M
WOODSIDE FINANCE
7,703,000
6,703,000
-1,000,000
1.41%
-$1.01M
WELLS FARGO CO
7,334,000
6,659,000
-675,000
1.40%
-$706.66K
Sprint Spectrum Co. LLC / Sprint Spectrum Co. II LLC / Sprint Spectrum Co. III LLC
6,655,500
5,989,950
-665,550
1.23%
-$667.73K
GOLDMAN SACHS GP
13,201,000
4,972,000
-8,229,000
1.01%
-$8.21M
MARS INC
7,282,000
3,864,000
-3,418,000
0.80%
-$3.49M
CANADIAN PACIFIC
8,062,000
3,905,000
-4,157,000
0.72%
-$3.68M
COREBRIDGE GF
3,304,000
2,746,000
-558,000
0.57%
-$571.51K
ROYAL BK CANADA
2,806,000
2,061,000
-745,000
0.43%
-$755.99K
MET TOWER GLOBAL FUNDING SR SECURED 144A 09/30 4.2
1,858,000
972,000
-886,000
0.20%
-$883.61K
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
PRINCIPAL LIFE GLOBAL FUNDING II 144A 4.950000% 11/27/2029
14,766,000
14,766,000
0
3.08%
$19.21K
BACARDI MARTINI BV SR UNSECURED 144A 02/30 5.55
12,905,000
12,905,000
0
2.71%
-$35.99K
GILEAD SCIENCES
10,736,000
10,736,000
0
2.19%
$12.58K
OCCIDENTAL PETE
9,487,000
9,487,000
0
2.08%
$21.73K
T-MOBILE USA INC
8,850,000
8,850,000
0
1.80%
$48.82K
NORTHROP GRUMMAN
8,594,000
8,594,000
0
1.74%
$35.71K
KEURIG DR PEPPER
8,210,000
8,210,000
0
1.69%
$11.27K
EMERA US FINANCE
8,192,000
8,192,000
0
1.67%
$26.12K
HEINEKEN NV 3.5% 01/29/2028 144A
8,177,000
8,177,000
0
1.65%
$5.76K
RTX CORP
7,362,000
7,362,000
0
1.49%
$18.92K
PLAINS ALL AMER
6,835,000
6,835,000
0
1.40%
$5.89K
Foundry JV Holdco LLC
6,456,000
6,456,000
0
1.36%
-$7.51K
PACIFIC GAS&ELEC
6,837,000
6,837,000
0
1.36%
$59.29K
KRAFT HEINZ FOOD
6,665,000
6,665,000
0
1.33%
$36.53K
COLORADO INT GAS CO/ISS COMPANY GUAR 144A 08/26 4.15
6,112,000
6,112,000
0
1.25%
$9.09K
NW MUTUAL GLOBAL
5,852,000
5,852,000
0
1.24%
-$15.78K
BAE Systems PLC
5,667,000
5,667,000
0
1.19%
-$2.99K
ORACLE CORP
5,881,000
5,881,000
0
1.16%
-$127.64K
FIRSTENERGY TRAN
5,605,000
5,605,000
0
1.15%
-$3.55K
BP CAP MKTS AMER
5,300,000
5,300,000
0
1.10%
$4.00K
NISOURCE INC
5,157,000
5,157,000
0
1.08%
-$5.57K
UNITED TECH CORP
4,945,000
4,945,000
0
1.01%
$18.04K
HCA INC
5,151,000
5,151,000
0
1.01%
$8.61K
GENERAL MILLS IN
4,664,000
4,664,000
0
0.96%
-$4.22K
NRG ENERGY INC SR SECURED 144A 12/27 2.45
4,717,000
4,717,000
0
0.93%
$40.69K
UNITEDHEALTH GRP
4,962,000
4,962,000
0
0.92%
$17.53K
AEP TEXAS
4,758,000
4,758,000
0
0.88%
$27.45K
WESTERN MIDSTRM
3,751,000
3,751,000
0
0.81%
$10.19K
CENTENE CORP
4,282,000
4,282,000
0
0.81%
$9.31K
LYB Finance Co. BV
3,621,000
3,621,000
0
0.77%
-$20.11K
T-MOBILE USA INC
3,468,000
3,468,000
0
0.71%
$11.24K
APA CORP SR UNSECURED 01/30 4.25
3,386,000
3,386,000
0
0.68%
$40.50K
BOEING CO/THE
3,060,000
3,060,000
0
0.66%
$3.36K
ROYAL BK CANADA
3,125,000
3,125,000
0
0.66%
$924
LOWE'S COS INC
3,106,000
3,106,000
0
0.63%
$9.75K
BROADCOM INC
3,089,000
3,089,000
0
0.63%
$2.06K
T-MOBILE USA INC
3,093,000
3,093,000
0
0.62%
$9.63K
JH North America Holdings Inc.
2,808,000
2,808,000
0
0.58%
-$15.01K
JPMORGAN CHASE
2,627,000
2,627,000
0
0.54%
$1.94K
UNITEDHEALTH GRP
2,605,000
2,605,000
0
0.53%
$8.27K
COREBRIDGE GLOB FUNDING SR SECURED 144A 08/28 4.25
2,473,000
2,473,000
0
0.51%
$2.53K
NEW YORK LIFE GLOBAL FUNDING GIC 144A LIFE SR UNSEC 4.6% 12-05-29
2,434,000
2,434,000
0
0.50%
$4.96K
L3HARRIS TECH IN
2,145,000
2,145,000
0
0.45%
-$491
Principal Life Global Funding II 4.80%, Due 01/09/2028