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
· 5 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
UDR INC
0
537,200
537,200
0.86%
$20.14M
TYSON FOODS INC CL A
0
271,800
271,800
0.75%
$17.66M
PPL Corp.
0
235,950
235,950
0.52%
$12.17M
Whirlpool Corp
0
219,324
219,324
0.46%
$10.77M
VERSANT MEDIA GROUP INC - A
0
29,676
29,676
0.04%
$988.80K
▶
Exited
· 4 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
BLACKROCK INC
14,800
0
-14,800
0.00%
-$15.50M
PUB SERV ENTERP
135,600
0
-135,600
0.00%
-$11.33M
BXP INC
156,200
0
-156,200
0.00%
-$11.30M
BRIXMOR PROPERTY
417,500
0
-417,500
0.00%
-$10.91M
▶
Increased
· 17 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
CME GROUP INC CL A
94,000
108,400
14,400
1.47%
$8.18M
AMERICAN FINL GROUP INC OHIO
169,500
244,400
74,900
1.38%
$9.16M
KINDER MORGAN INC
846,000
960,300
114,300
1.36%
$8.84M
SIMON PROPERTY
122,900
150,600
27,700
1.31%
$7.80M
UNITED PARCEL SERVICE INC CL B
114,100
249,700
135,600
1.23%
$18.03M
GENUINE PARTS CO
211,200
227,500
16,300
1.16%
-$408.83K
UGI CORP NEW
649,200
711,600
62,400
1.13%
$945.10K
INVESCO LTD
787,500
1,003,300
215,800
1.12%
$7.09M
COMCAST CORP CL A
594,300
846,700
252,400
1.12%
$10.35M
CONAGRA BRANDS INC
869,600
1,337,700
468,100
1.10%
$10.23M
PFIZER INC
692,900
863,200
170,300
1.02%
$6.03M
SKYWORKS SOLUTIONS INC
232,700
398,500
165,800
1.01%
$8.40M
FORD MOTOR CO
1,480,200
1,682,000
201,800
1.01%
$4.04M
BRISTOL-MYERS SQUIBB CO
275,300
308,200
32,900
0.82%
$5.68M
TARGET CORP
116,700
166,100
49,400
0.80%
$8.33M
BEST BUY CO INC
251,600
302,600
51,000
0.80%
-$1.19M
AMERICAN ELECTRIC POWER CO INC
90,000
113,500
23,500
0.65%
$4.05M
▶
Decreased
· 32 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
EXXON MOBIL CORP
638,200
564,800
-73,400
3.67%
$12.15M
JPMORGAN CHASE and CO
243,200
238,400
-4,800
3.05%
-$4.55M
JOHNSON&JOHNSON
290,500
282,800
-7,700
2.99%
$10.15M
GOLDMAN SACHS GROUP INC
80,000
66,900
-13,100
2.45%
-$8.58M
ABBVIE INC
250,000
221,500
-28,500
2.19%
-$5.52M
MERCK & CO
404,600
391,200
-13,400
2.06%
$6.02M
INTL BUS MACH CORP
194,700
189,100
-5,600
1.93%
-$14.66M
PEPSICO INC
259,500
240,300
-19,200
1.74%
$2.19M
BANK OF AMERICA CORPORATION
894,600
805,100
-89,500
1.71%
-$7.88M
CITIGROUP INC
373,800
344,300
-29,500
1.62%
-$787.26K
HOME DEPOT INC
103,000
91,400
-11,600
1.48%
-$1.96M
CORNING INC
342,300
223,500
-118,800
1.43%
$4.79M
WELLS FARGO & CO
389,000
355,000
-34,000
1.23%
-$4.48M
COCA-COLA CO/THE
396,300
317,000
-79,300
1.10%
-$3.12M
DARDEN RESTAURANTS INC
122,100
115,900
-6,200
1.06%
$2.86M
BUNGE GLOBAL SA
227,000
202,100
-24,900
1.04%
$2.58M
PROCTER & GAMBLE
204,200
144,800
-59,400
1.03%
-$6.04M
ALTRIA GROUP INC
370,600
338,800
-31,800
1.00%
$1.52M
3M CO
173,800
140,600
-33,200
0.99%
-$6.66M
PACCAR INC
188,700
175,700
-13,000
0.94%
$2.26M
STARWOOD PROPERTY TRUST INC
1,338,400
1,224,400
-114,000
0.93%
-$2.74M
COLUMBIA SHORT TERM CASH FUND
20,467,360
19,085,936
-1,381,424
0.81%
-$1.38M
AMGEN INC
60,100
47,600
-12,500
0.79%
-$2.29M
SOUTHWEST AIRLINES CO
480,600
373,000
-107,600
0.78%
$1.64M
SEAGATE TECHNOLOGY HOLDINGS PLC
58,200
44,600
-13,600
0.77%
$2.09M
XCEL ENERGY INC
280,900
210,700
-70,200
0.75%
-$5.50M
RTX CORP
191,600
86,500
-105,100
0.75%
-$15.99M
ALBEMARLE CORP PFD
257,000
232,300
-24,700
0.71%
$2.53M
UNITEDHEALTH GRP
67,600
51,200
-16,400
0.64%
-$7.28M
JOHNSON CONTROLS INTERNATIONAL PLC
123,900
92,500
-31,400
0.57%
-$1.06M
LYONDELLBASELL INDS CLASS A
228,100
114,100
-114,000
0.28%
-$4.61M
Ares Management Corp., Series B, Conv. Pfd.
231,000
110,000
-121,000
0.18%
-$7.31M
▶
Unchanged
· 36 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
CISCO SYSTEMS INC
750,600
750,600
0
2.54%
$1.89M
PHILIP MORRIS INTL INC
299,900
299,900
0
2.39%
$8.80M
CHEVRON CORP
280,100
280,100
0
2.23%
$9.98M
AT&T INC
1,410,200
1,410,200
0
1.68%
$2.81M
LOCKHEED MARTIN CORP
58,400
58,400
0
1.64%
$11.69M
VERIZON COMMUNICATIONS INC
684,800
684,800
0
1.46%
$6.18M
STANLEY BLACK and DECKER INC
364,100
364,100
0
1.34%
$5.45M
US BANCORP DEL
575,200
575,200
0
1.34%
$3.23M
CVS HEALTH CORP
378,500
378,500
0
1.29%
-$174.11K
MEDTRONIC PLC
304,000
304,000
0
1.26%
-$2.33M
GAP INC/THE
1,044,100
1,044,100
0
1.25%
$1.01M
VALERO ENERGY CORP
137,600
137,600
0
1.20%
$3.84M
TEXAS INSTRUMENTS INC
132,750
132,750
0
1.20%
$5.82M
DIGITAL REALTY TRUST INC
147,600
147,600
0
1.11%
$2.52M
NUTRIEN LTD
327,600
327,600
0
1.05%
$5.54M
UNION PACIFIC CORP
83,800
83,800
0
0.95%
$2.78M
INTL PAPER CO
485,300
485,300
0
0.90%
$1.98M
METLIFE INC
285,300
285,300
0
0.88%
-$1.28M
STARBUCKS CORP
199,600
199,600
0
0.83%
$2.18M
TRUIST FINL CORP
384,300
384,300
0
0.81%
$1.08M
BROADCOM INC
55,600
55,600
0
0.76%
-$4.64M
DTE ENERGY CO
117,700
117,700
0
0.74%
$1.32M
The Southern Company
318,488
318,488
0
0.73%
$1.05M
Welltower OP, LLC, Convertible
10,000,000
10,000,000
0
0.71%
-$20.00K
HPE 7 5/8
248,581
248,581
0
0.63%
-$392.20K
HEWLETT PACKARD ENTERPRISE CO
667,900
667,900
0
0.61%
-$267.16K
MICROCHIP TECHNOLOGY INC SER A 7.5% PC 03/15/2028
205,000
205,000
0
0.57%
$2.73M
COTERRA ENERGY INC
422,700
422,700
0
0.55%
$1.59M
NEXTERA ENERGY INC PREFERRED STOCK 11/27 7.234
240,000
240,000
0
0.53%
$307.20K
SOUTHERN CO
121,900
121,900
0
0.51%
$763.09K
BLACKSTONE INC
103,600
103,600
0
0.50%
-$3.42M
MICROCHIP TECHNOLOGY
148,200
148,200
0
0.47%
$3.12M
NEXTERA ENERGY INC
114,500
114,500
0
0.46%
$856.46K
Boeing Co. (The), Conv. Pfd.
143,358
143,358
0
0.44%
$1.45M
APOLLO GLOBAL MANAGEMENT PFD
150,800
150,800
0
0.36%
-$1.99M
WELLTOWER INC
40,400
40,400
0
0.36%
-$44.44K
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