Columbia Overseas Value Fund
COLUMBIA FUNDS SERIES TRUST

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
PIRAEUS BANK SA 0 13,080,790 13,080,790 1.83% $125.50M
ASTRAZENECA PLC 0 292,699 292,699 0.89% $61.01M
SCREEN HOLDINGS 0 237,500 237,500 0.51% $34.62M
THUNGELA RESOURC 0 3,640,033 3,640,033 0.37% $25.39M
Receive AKBANK Pay Overnight Rate -3 0 10,262,400 10,262,400 0.31% $21.10M
AUSTRALIA DOLLAR 0 1 1 0.10% $6.97M
WW GRAINGER INC 0 5,519 5,519 0.02% $1.24M
AUSTRALIA DOLLAR 0 1 1 0.00% -$9.30K
ZOETIS INC CFD 0 1 1 0.00% -$135.76K
PRMB US 03/20/26 C25 0 -12,224 -12,224 0.00% -$275.04K
Energy Fuels Inc/Canada 0 -8,880 -8,880 0.00% -$321.90K
ZTO EXPRESS CAYMAN INC (GS) (CFD) 0 3 3 -0.01% -$713.64K
Pan American Silver Corp 0 -2,974 -2,974 -0.01% -$784.39K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
PIRAEUS FINANCIA 14,018,518 0 -14,018,518 0.00% -$115.08M
ASTRAZENECA PLC SPONS ADR 537,320 0 -537,320 0.00% -$49.82M
Vodafone Group Public Limited Company 33,238,107 0 -33,238,107 0.00% -$41.39M
STAR BULK CARRIERS CORP 1,653,674 0 -1,653,674 0.00% -$32.91M
WDC US 12/19/25 C175 -2,727 0 2,727 0.00% $709.02K
US DOLLARS 2 0 -2 0.00% $1.99M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
SHELL PLC 4,897,554 5,019,962 122,408 3.07% $30.26M
BANCO SANTANDER SA 16,182,122 16,332,197 150,075 3.01% $32.40M
TOTALENERGIES SE 2,199,949 2,254,934 54,985 2.64% $35.90M
AXA 2,096,683 3,419,517 1,322,834 2.44% $72.50M
IMPERIAL BRANDS 3,187,306 3,571,386 384,080 2.33% $24.56M
SUMITOMO MITSUI FINL GROUP INC 4,028,400 4,129,100 100,700 2.27% $33.92M
NORTHERN STAR RE 6,115,826 6,455,191 339,365 2.06% $31.53M
PRIMO BRANDS CORP A 2,908,988 6,112,063 3,203,075 2.02% $92.98M
ASR NEDERLAND NV 1,315,845 1,791,292 475,447 1.90% $41.32M
ING GROEP NV 4,182,138 4,400,144 218,006 1.85% $18.52M
BANK OF IRELAND GROUP PLC 6,439,604 6,441,818 2,214 1.83% $6.16M
PING AN-H 13,502,000 13,949,000 447,000 1.76% $21.85M
DNB BANK ASA 2,903,592 3,766,048 862,456 1.74% $41.57M
ISHARES MSCI EAFE VALUE ETF MUTUAL FUND 1,253,013 1,322,299 69,286 1.54% $17.42M
Sanofi SA 1,020,723 1,046,234 25,511 1.49% $518.79K
WH GROUP LTD 78,041,830 79,992,330 1,950,500 1.47% $18.88M
BOC HONG KONG HO 15,576,500 17,205,500 1,629,000 1.44% $23.21M
TOKYO TATEMONO 3,337,600 3,421,000 83,400 1.40% $21.94M
CHECK POINT SOFTWARE TECHS LTD 561,994 591,736 29,742 1.31% -$14.98M
BANCO DO BRASIL 15,905,905 16,303,457 397,552 1.25% $18.83M
MARKS & SPENCER 15,051,144 16,061,574 1,010,430 1.25% $16.58M
TOYOTA TSUSHO 1,076,200 1,778,600 702,400 1.16% $44.62M
DAI-ICHI LIFE HO 6,781,900 7,657,300 875,400 1.15% $25.66M
NESTLE SA (REG) 699,392 716,873 17,481 1.14% $8.76M
SHIMAMURA CORP 1,068,900 3,286,800 2,217,900 1.10% -$1.01M
SANKYO CO/ 4,997,000 5,121,900 124,900 1.05% -$14.27M
BNP PARIBAS 592,459 637,949 45,490 1.05% $20.99M
PKOBP 2,611,956 2,677,238 65,282 1.01% $13.98M
SUBARU CORP 3,588,600 3,678,300 89,700 1.01% -$11.15M
ENDESA 1,463,411 1,670,439 207,028 0.99% $15.07M
TP ICAP GROUP PL 19,344,727 19,828,231 483,504 0.99% $2.48M
UPM-KYMMENE OYJ 2,068,452 2,120,151 51,699 0.99% $11.05M
VENTURE CORP LTD 5,324,200 5,457,300 133,100 0.98% $5.93M
LEROY SEAFOOD GR 12,593,466 12,908,227 314,761 0.98% $8.85M
TECK RESOURCES-B 1,032,561 1,124,746 92,185 0.97% $21.95M
YELLOW CAKE PLC/LONDON 5,467,397 7,605,538 2,138,141 0.95% $27.18M
DAIWABO HOLDINGS 3,073,000 3,149,800 76,800 0.94% $4.57M
MATSUKIYOCOCOKAR 3,582,300 3,834,000 251,700 0.93% -$2.71M
BW LPG LTD 2,726,304 3,483,087 756,783 0.93% $28.88M
FRESENIUS MEDICAL CARE AG COMMON STOCK 1,106,755 1,342,831 236,076 0.91% $9.65M
HSBC HOLDINGS PL 3,253,262 3,334,573 81,311 0.91% $16.22M
ROCHE HOLDINGS AG (GENUSSCHEINE) 126,013 129,162 3,149 0.90% $13.19M
KONINKLIJKE AHOL 1,137,524 1,243,153 105,629 0.90% $14.26M
CENTRICA PLC 21,369,471 21,903,581 534,110 0.86% $10.21M
JBS NV, Class A 3,367,164 3,451,322 84,158 0.85% $8.83M
MACNICA HOLDINGS 3,119,300 3,197,300 78,000 0.82% $10.14M
FINNING INTL INC 760,627 835,204 74,577 0.82% $15.59M
NIPPON TV HDS 2,457,600 2,519,000 61,400 0.80% -$8.12M
COLUMBIA SHORT TERM CASH FUND 25,924,777 54,531,246 28,606,469 0.80% $28.60M
MEDIPAL HD 2,584,700 2,649,300 64,600 0.76% $6.81M
VERMILION ENERGY 4,460,072 4,571,546 111,474 0.72% $7.89M
PRADA SPA 7,975,200 8,174,500 199,300 0.68% -$1.01M
DIVERSIFIED ENER 3,204,622 3,284,718 80,096 0.66% -$3.00M
KION GROUP AG 646,272 662,425 16,153 0.66% -$3.48M
SANTOS LTD 8,849,834 9,071,025 221,191 0.64% $6.36M
YOUNGONE CORP 606,209 621,360 15,151 0.61% $5.65M
EIFFAGE 234,888 240,758 5,870 0.61% $9.06M
BUZZI UNICEM SPA 550,902 715,460 164,558 0.60% $7.27M
JD SPORTS FASHION PLC 34,482,473 35,344,329 861,856 0.57% $3.62M
NUTRIEN LTD 346,125 504,966 158,841 0.55% $17.77M
ENERGY FUELS INC 1,213,266 1,776,040 562,774 0.55% $20.39M
SMURFIT WESTROCK PLC 687,756 704,946 17,190 0.48% $8.59M
SIEMENS AG-REG 108,793 111,512 2,719 0.47% $3.39M
Kaspi.Kz JSC SPONSORED ADS 418,574 429,035 10,461 0.44% -$2.07M
BURFORD CAPITAL LTD COMMON STOCK 3,412,077 3,497,357 85,280 0.43% -$3.14M
Sanwa Holdings Corporation 1,060,100 1,086,600 26,500 0.42% $1.42M
DUERR AG COMMON STOCK 921,515 944,547 23,032 0.40% $6.32M
TV ASAHI HOLDING 1,135,400 1,163,800 28,400 0.37% $793.39K
GALAPAGOS GENOMICS NV SPON AR 697,318 714,747 17,429 0.35% $2.22M
SUNDRUG CO LTD COMMON STOCK 863,800 885,400 21,600 0.35% -$12.81K
PROSUS NV 434,756 445,622 10,866 0.33% -$4.50M
FLUTTER ENTERTAINMENT PLC 91,792 207,762 115,970 0.32% $2.88M
SHIP HEALTHCARE 1,213,400 1,243,700 30,300 0.32% $1.78M
COSAN SA 13,606,010 16,641,531 3,035,521 0.30% $4.85M
SAINT GOBAIN 157,743 161,685 3,942 0.24% $641.59K
US DOLLARS 2 5 3 -0.01% -$1.30M
ZURICH INSURANCE GROUP AG TRS 0.0000% 05-15-2033 1 3 2 -0.04% -$5.61M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
BPER BANCA SPA 9,644,614 8,927,278 -717,336 1.83% $9.51M
MEBUKI FINANCIAL 14,535,400 14,447,800 -87,600 1.81% $28.95M
EMAAR PROP PJSC 24,856,919 24,725,071 -131,848 1.59% $19.06M
SUMITOMO CORP 2,597,500 2,489,300 -108,200 1.54% $24.11M
SHK PPT 7,536,500 5,397,500 -2,139,000 1.46% $4.63M
ORIX CORP 3,467,200 2,387,500 -1,079,700 1.22% -$10.98M
E.ON SE 5,375,764 3,051,825 -2,323,939 1.04% -$24.79M
PALADIN ENERGY L 7,410,021 6,879,959 -530,062 0.96% $25.95M
IYOGIN HOLDINGS 2,943,400 2,835,300 -108,100 0.90% $13.02M
IMPALA PLATINUM 2,788,209 2,575,892 -212,317 0.84% $22.14M
PAN AMER SILVER 1,363,563 743,551 -620,012 0.75% -$11.19M
TOPPAN Holdings Inc 1,809,700 1,391,200 -418,500 0.70% -$10.77M
JAZZ PHARMA PLC 269,936 224,670 -45,266 0.62% -$4.96M
NEXGEN ENERGY LT 3,468,678 3,298,894 -169,784 0.62% $11.08M
KINDEN CORP 1,082,600 497,200 -585,400 0.39% -$18.00M
US DOLLARS 4 2 -2 0.03% $1.03M
ZAR/USD FORWARD 4 1 -3 0.00% -$1.73M
US DOLLARS 6 2 -4 -0.01% -$5.23M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
LUKOIL 106,132 106,132 0 0.00% $0

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