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.
▶
Opened
· 9 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
SALESFORCE INC
0
222,332
222,332
1.50%
$43.31M
COLGATE-PALMOLIVE CO
0
425,700
425,700
1.46%
$42.20M
CENTENE CORP
0
654,400
654,400
1.02%
$29.37M
FREEPORT MCMORAN INC
0
361,819
361,819
0.85%
$24.63M
KKR & CO INC
0
206,100
206,100
0.63%
$18.07M
CONSTELLATION BRANDS INC CL A
0
96,085
96,085
0.53%
$15.17M
CVS HEALTH CORP
0
180,158
180,158
0.50%
$14.39M
CAPITAL ONE FINANCIAL CORP
0
73,555
73,555
0.50%
$14.39M
AES CORP
0
733,300
733,300
0.44%
$12.67M
▶
Exited
· 4 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
PROCTER & GAMBLE
326,500
0
-326,500
0.00%
-$48.37M
INTERCONTINENTAL EXCHANGE INC
211,800
0
-211,800
0.00%
-$33.32M
HEALTHPEAK PROPERTIES INC
1,407,500
0
-1,407,500
0.00%
-$25.70M
QORVO INC
205,268
0
-205,268
0.00%
-$17.63M
▶
Increased
· 3 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
COLUMBIA SHORT TERM CASH FUND
19,063,619
86,665,578
67,601,959
3.00%
$67.59M
AMAZON.COM INC
260,600
305,700
45,100
2.22%
$3.42M
EPAM SYSTEMS INC
204,759
390,833
186,074
1.91%
$16.82M
▶
Decreased
· 18 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
JPMORGAN CHASE and CO
357,700
332,100
-25,600
3.46%
-$12.26M
ALPHABET INC CL A
456,600
274,243
-182,357
2.96%
-$60.70M
EXXON MOBIL CORP
629,400
547,700
-81,700
2.89%
$10.56M
WALMART INC
748,000
612,392
-135,608
2.72%
-$4.31M
BERKSHIRE HATH-B
137,600
126,500
-11,100
2.21%
-$6.82M
CITIGROUP INC
540,500
481,300
-59,200
1.84%
-$2.96M
CORNING INC
625,000
351,589
-273,411
1.83%
$246.95K
BANK OF NEW YORK MELLON CORP
506,800
438,200
-68,600
1.81%
-$4.62M
GOLDMAN SACHS GROUP INC
60,500
54,400
-6,100
1.62%
-$3.21M
PARKER HANNIFIN CORP
49,100
46,000
-3,100
1.61%
$4.11M
CHUBB LTD
141,900
128,700
-13,200
1.52%
$1.84M
MORGAN STANLEY
266,800
251,600
-15,200
1.45%
-$3.37M
CUMMINS INC
84,300
68,500
-15,800
1.39%
-$1.98M
NORFOLK SOUTHERN CORP
131,800
113,600
-18,200
1.24%
-$2.74M
DELL TECHNOLOGIES INC CL C
253,600
116,381
-137,219
0.60%
-$16.58M
LAS VEGAS SANDS CORP
809,600
240,000
-569,600
0.47%
-$41.57M
COMCAST CORP CL A
637,100
318,550
-318,550
0.34%
-$7.14M
BILL HOLDINGS INC
411,200
54,111
-357,089
0.08%
-$18.21M
▶
Unchanged
· 40 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
LAM RESEARCH CORP
332,400
332,400
0
2.69%
$25.89M
PHILIP MORRIS INTL INC
367,500
367,500
0
2.38%
$10.79M
NVENT ELECTRIC PLC
511,500
511,500
0
2.10%
$5.67M
BOEING CO/THE
236,600
236,600
0
1.87%
$9.12M
LINDE PLC
100,800
100,800
0
1.77%
$9.85M
ENTERGY CORP
476,300
476,300
0
1.77%
$4.57M
COCA-COLA CO/THE
619,000
619,000
0
1.75%
$5.22M
WELLTOWER INC
235,200
235,200
0
1.69%
-$258.72K
NORTHROP GRUMMAN CORP
65,500
65,500
0
1.64%
$9.96M
THERMO FISHER SCIENTIFIC INC
91,000
91,000
0
1.64%
-$6.34M
MERCK & CO
373,200
373,200
0
1.60%
$7.09M
VALERO ENERGY CORP
225,500
225,500
0
1.60%
$6.29M
WALT DISNEY CO/T
432,970
432,970
0
1.59%
$679.76K
BRISTOL-MYERS SQUIBB CO
728,900
728,900
0
1.58%
$9.60M
XCEL ENERGY INC
542,200
542,200
0
1.57%
$677.75K
VERTEX PHARMACEUTICALS INC
89,100
89,100
0
1.53%
$5.63M
FEDEX CORP
109,600
109,600
0
1.47%
$12.20M
AMEREN CORP
355,900
355,900
0
1.40%
$2.47M
STANLEY BLACK and DECKER INC
462,800
462,800
0
1.39%
$6.93M
INGERSOLL RAND INC
399,100
399,100
0
1.30%
$5.51M
EQUINIX INC
38,100
38,100
0
1.29%
$8.42M
PNC FINANCIAL SERVICES GRP INC
172,525
172,525
0
1.27%
$3.73M
THE CIGNA GROUP
125,700
125,700
0
1.26%
$1.58M
NIKE INC CL B
568,900
568,900
0
1.23%
-$1.39M
3M CO
212,000
212,000
0
1.21%
-$1.43M
M&T BANK CORP
151,700
151,700
0
1.14%
$4.06M
MICROSOFT CORP
81,200
81,200
0
1.11%
-$8.06M
PPG INDUSTRIES INC
256,800
256,800
0
1.10%
$5.97M
ZIMMER BIOMET HO
320,200
320,200
0
1.09%
$294.58K
BROADCOM INC
97,600
97,600
0
1.08%
-$8.14M
TRANE TECHNOLOGIES PLC
66,000
66,000
0
1.06%
$2.70M
EOG RESOURCES INC
244,000
244,000
0
1.05%
$3.96M
EQT CORPORATION
489,900
489,900
0
1.04%
$274.34K
UNITEDHEALTH GRP
96,800
96,800
0
0.98%
-$3.53M
MARSH & MCLENNAN
147,200
147,200
0
0.95%
$484.29K
T-MOBILE US INC
125,700
125,700
0
0.95%
$1.02M
GAP INC/THE
922,900
922,900
0
0.90%
$895.21K
TENET HEALTHCARE CORP
108,096
108,096
0
0.90%
$2.44M
MASTERCARD INC CL A
43,500
43,500
0
0.78%
-$1.45M
BIOMARIN PHARMACEUTICAL INC
322,500
322,500
0
0.69%
$1.87M
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