Filed pursuant to Rule 497(e);
File nos. 2-34223, 333-89661, 2-99356 and 333-131683
| Columbia Acorn European FundSM* | ||
| Class A: CAEAX |
Class Inst: CAEZX |
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| Columbia Acorn® Fund* | ||
| Class A: LACAX |
Class C: LIACX |
Class Inst: ACRNX |
| Class Inst2: CRBRX |
Class Inst3: CRBYX |
Class S: ACRSX |
| Columbia Acorn International® | ||
| Class A: LAIAX |
Class Inst: ACINX |
Class Inst2: CAIRX |
| Class Inst3: CCYIX |
Class S: CCIDX |
|
| Columbia Acorn International SelectSM | ||
| Class A: LAFAX |
Class Inst: ACFFX |
Class Inst2: CRIRX |
| Class Inst3: CSIRX |
Class S: ACFEX |
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| Columbia Thermostat FundSM | ||
| Class A: CTFAX |
Class C: CTFDX |
Class Inst: COTZX |
| Class Inst2: CQTRX |
Class Inst3: CYYYX |
Class S: COTDX |
| Columbia California Intermediate Municipal Bond Fund | ||
| Class A: NACMX |
Class Inst: NCMAX |
Class Inst2: CNBRX |
| Class Inst3: CCBYX |
Class S: NCMDX |
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| Columbia Capital Allocation Moderate Aggressive Portfolio | ||
| Class A: NBIAX |
Class C: NBICX |
Class Inst: NBGPX |
| Class Inst3: CPHNX |
Class R: CLBRX |
Class S: NBGDX |
| Columbia Capital Allocation Moderate Conservative Portfolio | ||
| Class A: NLGAX |
Class C: NIICX |
Class Inst: NIPAX |
| Class R: CLIRX |
|
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| Columbia Convertible Securities Fund | ||
| Class A: PACIX |
Class C: PHIKX |
Class Inst: NCIAX |
| Class Inst2: COCRX |
Class Inst3: CSFYX |
Class S: NCIDX |
| Columbia Cornerstone Equity Fund | ||
| Class A: NSGAX |
Class C: NSGCX |
Class Inst: NSEPX |
| Class Inst2: CLCRX |
Class Inst3: CLEYX |
Class R§: — |
| Class S: NSEAX |
|
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| Columbia Large Cap Enhanced Core Fund | ||
| Class A: NMIAX |
Class Inst: NMIMX |
Class Inst3: CECYX |
| Class R: CCERX |
Class S: NMIDX |
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| Columbia Large Cap Growth Opportunity Fund** | ||
| Class A: NFEAX |
Class Inst: NFEPX |
Class Inst2: CADRX |
| Class Inst3: CLRYX |
Class R: CLGPX |
Class S: NFEDX |
| Columbia Large Cap Index Fund | ||
| Class A: NEIAX |
Class Inst: NINDX |
Class Inst2: CLXRX |
| Class Inst3: CLPYX |
|
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| Columbia Mid Cap Index Fund | ||
| Class A: NTIAX |
Class Inst: NMPAX |
Class Inst2: CPXRX |
| Class Inst3: CMDYX |
|
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| Columbia Overseas Value Fund | ||
| Class A: COAVX |
Class C: COCVX |
Class Inst: COSZX |
| Class Inst2: COSSX |
Class Inst3: COSYX |
Class R: COVUX |
| Class S: COSBX |
|
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| Columbia Select Mid Cap Value Fund | ||
| Class A: CMUAX |
Class C: CMUCX |
Class Inst: NAMAX |
| Class Inst2: CVERX |
Class Inst3: CMVYX |
Class R: CMVRX |
| Class S: NAMBX |
|
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| Columbia Short Duration Municipal Bond Fund | ||
| Class A: NSMMX |
Class Inst: NSMIX |
Class Inst2: CNNRX |
| Class Inst3: CSMYX |
Class S: NSMDX |
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| Columbia Short Term Bond Fund | ||
| Class A: NSTRX |
Class C: NSTIX |
Class Inst: NSTMX |
| Class Inst2: CCBRX |
Class Inst3: CSBYX |
Class S: NSTDX |
| Columbia Small Cap Index Fund | ||
| Class A: NMSAX |
Class Inst: NMSCX |
Class Inst2: CXXRX |
| Class Inst3: CSPYX |
|
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| Columbia Small Cap Value and Inflection Fund | ||
| Class A: COVAX |
Class Inst: NSVAX |
Class Inst2: CRRRX |
| Class Inst3: CRRYX |
Class R: CCTRX |
Class S: NSVBX |
| Columbia Adaptive Risk Allocation Fund | ||
| Class A: CRAAX |
Class C: CRACX |
Class Inst: CRAZX |
| Class Inst2: CRDRX |
Class Inst3: CARYX |
Class S: CRADX |
| Columbia Balanced Fund | ||
| Class A: CBLAX |
Class C: CBLCX |
Class Inst: CBALX |
| Class Inst2: CLREX |
Class Inst3: CBDYX |
Class R: CBLRX |
| Class S: CBABX |
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| Columbia Contrarian Core Fund | ||
| Class A: LCCAX |
Class C: LCCCX |
Class Inst: SMGIX |
| Class Inst2: COFRX |
Class Inst3: COFYX |
Class R: CCCRX |
| Class S: SMGEX |
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| Columbia Cornerstone Growth Fund | ||
| Class A: LEGAX |
Class C: LEGCX |
Class E: CLGEX |
| Class Inst: GEGTX |
Class Inst2: CLWFX |
Class Inst3: CGFYX |
| Class R: CGWRX |
Class S: GEGDX |
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| Columbia Dividend Income Fund | ||
| Class A: LBSAX |
Class C: LBSCX |
Class Inst: GSFTX |
| Class Inst2: CDDRX |
Class Inst3: CDDYX |
Class R: CDIRX |
| Class S: GFSDX |
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| Columbia Emerging Markets Fund | ||
| Class A: EEMAX |
Class C: EEMCX |
Class Inst: UMEMX |
| Class Inst2: CEKRX |
Class Inst3: CEKYX |
Class S: UMEBX |
| Columbia Global Technology Growth Fund | ||
| Class A: CTCAX |
Class C: CTHCX |
Class Inst: CMTFX |
| Class Inst2: CTHRX |
Class Inst3: CGTUX |
Class S: CGTDX |
| Columbia Greater China Fund | ||
| Class A: NGCAX |
Class Inst: LNGZX |
Class Inst3: CGCYX |
| Columbia High Yield Municipal Fund | ||
| Class A: LHIAX |
Class C: CHMCX |
Class Inst: SRHMX |
| Class Inst2: CHMYX |
Class Inst3: CHHYX |
Class S: SRHDX |
| Columbia Integrated Large Cap Growth Fund II*** | ||
| Class Inst: CZMGX |
|
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| Columbia Intermediate Duration Municipal Bond Fund | ||
| Class A: LITAX |
Class C: LITCX |
Class Inst: SETMX |
| Class Inst2: CTMRX |
Class Inst3: CIMYX |
Class S: SETDX |
| Columbia International Dividend Income Fund | ||
| Class A: CSVAX |
Class Inst: CSVFX |
Class Inst2: CADPX |
| Class Inst3: CLSYX |
Class S: CSVEX |
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| Columbia Massachusetts Intermediate Municipal Bond Fund | ||
| Class A: LMIAX |
Class Inst: SEMAX |
Class Inst3: CMMYX |
| Columbia Multi Strategy Alternatives Fund | ||
| Class A: CLAAX |
Class C: CLABX |
Class Inst: CLAZX |
| Columbia New York Intermediate Municipal Bond Fund | ||
| Class A: LNYAX |
Class Inst: GNYTX |
Class Inst2: CNYUX |
| Class Inst3: CNYYX |
|
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| Columbia Oregon Intermediate Municipal Bond Fund | ||
| Class A: COEAX |
Class Inst: CMBFX |
Class Inst2: CODRX |
| Class Inst3: CORYX |
Class S: CMBCX |
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| Columbia Real Estate Equity Fund | ||
| Class A: CREAX |
Class Inst: CREEX |
Class Inst2: CRRVX |
| Class Inst3: CREYX |
Class S: CREHX |
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| Columbia Select Corporate Income Fund | ||
| Class A: LIIAX |
Class Inst: SRINX |
Class Inst2: CPIRX |
| Class Inst3: CRIYX |
Class S: SRIJX |
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| Columbia Select Large Cap Growth Fund** | ||
| Class A: ELGAX |
Class Inst: UMLGX |
Class Inst2: CGTRX |
| Class Inst3: CCWRX |
Class R: URLGX |
Class S: UMLAX |
| Columbia Select Mid Cap Growth Fund | ||
| Class A: CBSAX |
Class C: CMCCX |
Class Inst: CLSPX |
| Class Inst2: CMGVX |
Class Inst3: CMGYX |
Class S: CLSDX |
| Columbia Small Cap Growth Fund | ||
| Class A: CGOAX |
Class C: CGOCX |
Class Inst: CMSCX |
| Class Inst2: CSCRX |
Class Inst3: CSGYX |
Class R: CCRIX |
| Class S: CMSHX |
|
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| Columbia Small Cap Value Discovery Fund | ||
| Class A: CSMIX |
Class C: CSSCX |
Class Inst: CSCZX |
| Class Inst2: CUURX |
Class Inst3: CSVYX |
Class R: CSVRX |
| Class S: CSCQX |
|
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| Columbia Strategic California Municipal Income Fund | ||
| Class A: CLMPX |
Class C: CCAOX |
Class Inst: CCAZX |
| Class Inst2: CCAUX |
Class Inst3: CCXYX |
|
| Columbia Strategic Income Fund | ||
| Class A: COSIX |
Class C: CLSCX |
Class Inst: LSIZX |
| Class Inst2: CTIVX |
Class Inst3: CPHUX |
Class R: CSNRX |
| Class S: LSIDX |
|
|
| Columbia Strategic New York Municipal Income Fund | ||
| Class A: COLNX |
Class C: CNYCX |
Class Inst: CNYZX |
| Class Inst2: CNYRX |
Class Inst3: CNTYX |
|
| Columbia Total Return Bond Fund | ||
| Class A: LIBAX |
Class C: LIBCX |
Class Inst: SRBFX |
| Class Inst2: CTBRX |
Class Inst3: CTBYX |
Class R: CIBRX |
| Class S: SRBAX |
|
|
| Columbia Total Return Municipal Income Fund | ||
| Class A: COLTX |
Class C: COLCX |
Class Inst: CTEZX |
| Class Inst2: CADMX |
Class Inst3: CTEYX |
Class S: CTEDX |
| Columbia U.S. Treasury Index Fund | ||
| Class A: LUTAX |
Class Inst: IUTIX |
Class Inst2: CUTRX |
| Class Inst3: CUTYX |
|
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| Columbia Ultra Short Term Bond Fund | ||
| Class A: CUSOX |
Class Inst: CUSBX |
Class Inst3: CMGUX |
| Multi-Manager Alternative Strategies Fund | ||
| Class Inst: CZAMX |
|
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| Multi-Manager Directional Alternative Strategies Fund | ||
| Class Inst: CDAZX |
|
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| Multi-Manager International Equity Strategies Fund | ||
| Class Inst: CMIEX |
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| Multi-Manager Large Cap Growth Strategies Fund | ||
| Class Inst: CLCEX |
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| Multi-Manager Small Cap Equity Strategies Fund | ||
| Class Inst: CZMSX |
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| Multi-Manager Total Return Bond Strategies Fund | ||
| Class Inst: CTRZX |
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| Multisector Bond SMA Completion Portfolio | ||
| MBSAX |
|
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| Overseas SMA Completion Portfolio | ||
| OSCBX |
|
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| Columbia Capital Allocation Aggressive Portfolio | ||
| Class A: AXBAX |
Class C: RBGCX |
Class Inst: CPAZX |
| Class Inst3: CPDIX |
Class R: CPARX |
|
| Columbia Capital Allocation Conservative Portfolio | ||
| Class A: ABDAX |
Class C: RPCCX |
Class Inst: CBVZX |
| Columbia Capital Allocation Moderate Portfolio | ||
| Class A: ABUAX |
Class C: AMTCX |
Class Inst: CBMZX |
| Class Inst3: CPDMX |
|
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| Columbia Commodity Strategy Fund | ||
| Class A: CCSAX |
Class Inst: CCSZX |
Class Inst2: CADLX |
| Class Inst3: CCFYX |
|
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| Columbia Disciplined Core Fund | ||
| Class A: AQEAX |
Class C: RDCEX |
Class Inst: CCRZX |
| Class Inst2: RSIPX |
Class Inst3: CCQYX |
|
| Columbia Disciplined Growth Fund | ||
| Class A: RDLAX |
Class C: RDLCX |
Class Inst: CLQZX |
| Class Inst3: CGQYX |
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| Columbia Disciplined Value Fund | ||
| Class A: RLCAX |
Class C: RDCCX |
Class Inst: CVQZX |
| Columbia Dividend Opportunity Fund | ||
| Class A: INUTX |
Class C: ACUIX |
Class Inst: CDOZX |
| Class Inst2: RSDFX |
Class Inst3: CDOYX |
Class R: RSOOX |
| Class S: CDOAX |
|
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| Columbia Emerging Markets Bond Fund | ||
| Class A: REBAX |
Class Inst: CMBZX |
Class Inst2: CEBRX |
| Class Inst3: CEBYX |
Class R: CMBRX |
|
| Columbia Flexible Capital Income Fund | ||
| Class A: CFIAX |
Class C: CFIGX |
Class Inst: CFIZX |
| Class Inst2: CFXRX |
Class Inst3: CFCYX |
Class S: CFILX |
| Columbia Floating Rate Fund | ||
| Class A: RFRAX |
Class C: RFRCX |
Class Inst: CFRZX |
| Class Inst2: RFRFX |
Class Inst3: CFRYX |
|
| Columbia Global Opportunities Fund | ||
| Class A: IMRFX |
Class Inst: CSAZX |
|
| Columbia Global Value Fund | ||
| Class A: IEVAX |
Class C: REVCX |
Class Inst: CEVZX |
| Class Inst2: RSEYX |
Class Inst3: CEVYX |
Class R: REVRX |
| Class S: CEVAX |
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| Columbia Government Money Market Fund | ||
| Class A: IDSXX |
Class Inst: IDYXX |
Class Inst2: CMRXX |
| Class Inst3: CGMXX |
|
|
| Columbia High Yield Bond Fund | ||
| Class A: INEAX |
Class C: APECX |
Class Inst: CHYZX |
| Class Inst2: RSHRX |
Class Inst3: CHYYX |
Class R: CHBRX |
| Class S: CHYEX |
|
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| Columbia Income Builder Fund | ||
| Class A: RBBAX |
Class C: RBBCX |
Class Inst: CBUZX |
| Class Inst2: CKKRX |
Class Inst3: CIBYX |
Class R: CBURX |
| Columbia Income Opportunities Fund | ||
| Class A: AIOAX |
Class C: RIOCX |
Class Inst: CIOZX |
| Class Inst2: CEPRX |
Class Inst3: CIOYX |
Class S: CIODX |
| Columbia Integrated Small Cap Growth Fund | ||
| Class A: ISGDX |
Class Inst: ISGNX |
|
| Columbia Intrinsic Value Fund | ||
| Class A: INDZX |
Class C: ADECX |
Class Inst: CDVZX |
| Class Inst2: RSEDX |
Class Inst3: CDEYX |
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| Columbia Minnesota Tax-Exempt Fund | ||
| Class A: IMNTX |
Class C: RMTCX |
Class Inst: CMNZX |
| Class Inst2: CADOX |
Class Inst3: CMNYX |
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| Columbia Mortgage Opportunities Fund | ||
| Class A: CLMAX |
Class C: CLMCX |
Class Inst: CLMZX |
| Class Inst2: CLMVX |
Class Inst3: CMOYX |
Class S: CLMDX |
| Columbia Overseas Core Fund | ||
| Class A: COSAX |
Class Inst: COSNX |
Class Inst2: COSTX |
| Class Inst3: COSOX |
|
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| Columbia Pyrford International Stock Fund | ||
| Class A: PISDX |
Class Inst: PISLX |
Class Inst2: PISOX |
| Class Inst3: PISQX |
Class R: PISJX |
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| Columbia Quality Income Fund | ||
| Class A: AUGAX |
Class C: AUGCX |
Class Inst: CUGZX |
| Class Inst2: CGVRX |
Class Inst3: CUGYX |
|
| Columbia Select Global Equity Fund | ||
| Class A: IGLGX |
Class C: RGCEX |
Class Inst: CGEZX |
| Class Inst2: RGERX |
Class Inst3: CSEYX |
|
| Columbia Select Large Cap Value Fund | ||
| Class A: SLVAX |
Class C: SVLCX |
Class Inst: CSVZX |
| Class Inst2: SLVIX |
Class Inst3: CSRYX |
Class R: SLVRX |
| Class S: CSVGX |
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| Columbia Select Short Corporate Income Fund | ||
| Class A: ALDAX |
Class C: RDCLX |
Class Inst: CLDZX |
| Class Inst2: CTLRX |
Class Inst3: CLDYX |
|
| Columbia Select Small Cap Value Fund | ||
| Class A: SSCVX |
Class Inst: CSSZX |
Class Inst2: SSVIX |
| Class Inst3: CSSYX |
|
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| Columbia Seligman Global Technology Fund | ||
| Class A: SHGTX |
Class C: SHTCX |
Class Inst: CSGZX |
| Class Inst2: SGTTX |
Class Inst3: CGTYX |
Class R: SGTRX |
| Class S: CSGAX |
|
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| Columbia Seligman Technology and Information Fund | ||
| Class A: SLMCX |
Class C: SCICX |
Class Inst: CCIZX |
| Class Inst2: SCMIX |
Class Inst3: CCOYX |
Class R: SCIRX |
| Class S: CCIFX |
|
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| Columbia Strategic Municipal Income Fund | ||
| Class A: INTAX |
Class C: RTCEX |
Class Inst: CATZX |
| Class Inst2: CADNX |
Class Inst3: CATYX |
Class S: CATSX |
| Columbia Ultra Short Duration Municipal Bond Fund | ||
| Class A: USMBX |
Class Inst: USMEX |
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| Multi-Manager Value Strategies Fund | ||
| Class Inst: CZMVX |
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| Trust, Fund Name and Fiscal Year End: |
|
| January 31 |
|
| Columbia Funds Series Trust
Columbia Capital Allocation Moderate Aggressive Portfolio
Columbia Capital Allocation Moderate Conservative Portfolio |
|
| Columbia Funds Series Trust II
Columbia Capital Allocation Aggressive Portfolio
Columbia Capital Allocation Conservative Portfolio
Columbia Capital Allocation Moderate Portfolio
Columbia Income Builder Fund |
|
| February 28/29 |
|
| Columbia Funds Series Trust
Columbia Convertible Securities Fund
Columbia Cornerstone Equity Fund
Columbia Large Cap Enhanced Core Fund
Columbia Large Cap Growth Opportunity Fund
Columbia Large Cap Index Fund
Columbia Mid Cap Index Fund
Columbia Overseas Value Fund
Columbia Select Mid Cap Value Fund
Columbia Small Cap Index Fund
Columbia Small Cap Value and Inflection Fund |
|
| Columbia Funds Series Trust II Columbia Global Value Fund Columbia Overseas Core Fund |
|
| March 31 |
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| Columbia Funds Series Trust |
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| Columbia Short Term Bond Fund |
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| Columbia Funds Series Trust I |
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| Columbia Integrated Large Cap Growth Fund II |
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| Columbia Select Large Cap Growth Fund |
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| April 30 |
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| Columbia Funds Series Trust |
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| Columbia California Intermediate Municipal Bond Fund |
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| Columbia Short Duration Municipal Bond Fund |
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| Columbia Funds Series Trust I |
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| Columbia Select Corporate Income Fund |
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| Columbia Small Cap Value Discovery Fund |
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| Columbia Total Return Bond Fund |
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| Columbia U.S. Treasury Index Fund |
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| Multi-Manager Directional Alternative Strategies Fund |
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| May 31 |
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| Columbia Funds Series Trust I |
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| Columbia Adaptive Risk Allocation Fund |
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| Columbia Dividend Income Fund |
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| Columbia High Yield Municipal Fund |
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| Columbia Multi Strategy Alternatives Fund |
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| Columbia Funds Series Trust II |
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| Columbia Commodity Strategy Fund |
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| Columbia Dividend Opportunity Fund |
| Trust, Fund Name and Fiscal Year End: |
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| Columbia Flexible Capital Income Fund |
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| Columbia High Yield Bond Fund |
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| Columbia Intrinsic Value Fund |
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| Columbia Mortgage Opportunities Fund |
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| Columbia Quality Income Fund |
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| Columbia Select Large Cap Value Fund |
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| Columbia Select Small Cap Value Fund |
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| Columbia Seligman Technology and Information Fund |
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| Multi-Manager Value Strategies Fund |
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| July 31 |
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| Columbia Funds Series Trust I |
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| Columbia Cornerstone Growth Fund |
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| Columbia Oregon Intermediate Municipal Bond Fund |
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| Columbia Total Return Municipal Income Fund |
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| Columbia Ultra Short Term Bond Fund |
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| Columbia Funds Series Trust II |
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| Columbia Disciplined Core Fund |
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| Columbia Disciplined Growth Fund |
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| Columbia Disciplined Value Fund |
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| Columbia Floating Rate Fund |
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| Columbia Global Opportunities Fund |
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| Columbia Government Money Market Fund |
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| Columbia Income Opportunities Fund |
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| Columbia Minnesota Tax-Exempt Fund |
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| Columbia Select Short Corporate Income Fund |
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| Columbia Strategic Municipal Income Fund |
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| August 31 |
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| Columbia Funds Series Trust I |
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| Columbia Balanced Fund |
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| Columbia Contrarian Core Fund |
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| Columbia Emerging Markets Fund |
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| Columbia Global Technology Growth Fund |
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| Columbia Greater China Fund |
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| Columbia International Dividend Income Fund |
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| Columbia Select Mid Cap Growth Fund |
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| Columbia Small Cap Growth Fund |
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| Columbia Strategic Income Fund |
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| Multi-Manager Alternative Strategies Fund |
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| Multi-Manager International Equity Strategies Fund |
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| Multi-Manager Small Cap Equity Strategies Fund |
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| Multi-Manager Total Return Bond Strategies Fund |
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| Multisector Bond SMA Completion Portfolio |
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| Overseas SMA Completion Portfolio |
| Trust, Fund Name and Fiscal Year End: |
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| Columbia Funds Series Trust II |
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| Columbia Emerging Markets Bond Fund |
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| Columbia Integrated Small Cap Growth Fund |
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| Columbia Pyrford International Stock Fund |
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| Columbia Ultra Short Duration Municipal Bond Fund |
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| October 31 |
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| Columbia Funds Series Trust I |
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| Columbia Intermediate Duration Municipal Bond Fund |
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| Columbia Massachusetts Intermediate Municipal Bond Fund |
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| Columbia New York Intermediate Municipal Bond Fund |
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| Columbia Strategic California Municipal Income Fund |
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| Columbia Strategic New York Municipal Income Fund |
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| Columbia Funds Series Trust II |
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| Columbia Select Global Equity Fund |
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| Columbia Seligman Global Technology Fund |
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| December 31 |
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| Columbia Acorn Trust
Columbia Acorn European FundSM Columbia Acorn® Fund Columbia
Acorn International® Columbia Acorn International SelectSM
Columbia Thermostat FundSM |
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| Columbia Funds Series Trust I Columbia Real Estate Equity Fund |
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| A-1 | |
| B-1 | |
| C-1 | |
| S-1 |
| 1933 Act |
Securities Act of 1933, as amended |
| 1934 Act |
Securities Exchange Act of 1934, as amended |
| 1940 Act |
Investment Company Act of 1940, as amended |
| Allspring |
Allspring Global Investments, LLC |
| AlphaSimplex |
AlphaSimplex Group, LLC |
| American Century |
American Century Investment Management, Inc. |
| Ameriprise Financial |
Ameriprise Financial, Inc. |
| AQR |
AQR Capital Management, LLC |
| Arrowstreet |
Arrowstreet Capital, Limited Partnership |
| Baillie Gifford |
Baillie Gifford Overseas Limited |
| Bank of America |
Bank of America Corporation |
| Board |
A Trust’s Board of Trustees |
| Boston Partners |
Boston Partners Global Investors, Inc. |
| Business Day |
Any day on which the NYSE is open for business. A business day typically ends at the close of regular trading on the NYSE, usually at 4:00 p.m. Eastern time. If the NYSE is scheduled to close early, the business day will be considered to end as of the time of the NYSE’s scheduled close. The Fund will not treat an intraday unscheduled disruption in NYSE trading or an intraday unscheduled closing as a close of regular trading on the NYSE for these purposes and will price its shares as of the regularly scheduled closing time for that day (typically, 4:00 p.m. Eastern time). Notwithstanding the foregoing, the NAV of Fund shares may be determined at such other time or times (in addition to or in lieu of the time set forth above) as the Fund’s Board may approve or ratify. On holidays and other days when the NYSE is closed, the Fund's NAV is not calculated and the Fund does not accept buy or sell orders. However, the value of the Fund's assets may still be affected on such days to the extent that the Fund holds foreign securities that trade on days that foreign securities markets are open. |
| Capital Allocation Portfolios |
Collectively, Columbia Capital Allocation Aggressive Portfolio, Columbia Capital Allocation Conservative Portfolio, Columbia Capital Allocation Moderate Aggressive Portfolio, Columbia Capital Allocation Moderate Conservative Portfolio and Columbia Capital Allocation Moderate Portfolio |
| CAT |
Columbia Acorn Trust |
| Causeway |
Causeway Capital Management LLC |
| CEA |
Commodity Exchange Act |
| CFST |
Columbia Funds Series Trust |
| CFST I |
Columbia Funds Series Trust I |
| CFST II |
Columbia Funds Series Trust II |
| CFTC |
The United States Commodity Futures Trading Commission |
| Code |
Internal Revenue Code of 1986, as amended |
| Codes of Ethics |
The codes of ethics adopted by the Funds, Columbia Management Investment Advisers, LLC (the Investment Manager), Columbia Management Investment Distributors, Inc. and/or any subadviser, as applicable, pursuant to Rule 17j-1 under the 1940 Act |
| Columbia Funds or Columbia Funds Complex |
The fund complex, including the Funds, that is comprised of the registered investment companies, including traditional mutual funds, closed-end funds, and ETFs, advised by the Investment Manager or its affiliates |
| Columbia Management |
Columbia Management Investment Advisers, LLC |
| Columbia Threadneedle Investments®
|
The global brand name of the Columbia and Threadneedle group of companies |
| Conestoga |
Conestoga Capital Advisors, LLC |
| Crabel |
Crabel Capital Management, LLC |
| Custodian(s) |
JPMorgan Chase Bank, N.A. or State Street Bank and Trust Company serves as custodian to the respective Funds, as described in this SAI. During 2026, custody of the Funds is transitioning from JPMorgan Chase Bank, N.A. to State Street Bank and Trust Company using a phased approach. |
| DBRS |
Morningstar DBRS |
| DFA |
Dimensional Fund Advisors LP |
| Diamond Hill |
Diamond Hill Capital Management, Inc. |
| Distribution Agreement |
The Distribution Agreement between a Trust, on behalf of its Funds, and the Distributor |
| Distribution Plan(s) |
One or more of the plans adopted by the Board pursuant to Rule 12b-1 under the 1940 Act for the distribution of the Funds’ shares |
| Distributor |
Columbia Management Investment Distributors, Inc. |
| FDIC |
Federal Deposit Insurance Corporation |
| FHLMC |
The Federal Home Loan Mortgage Corporation |
| FINRA |
Financial Industry Regulatory Authority |
| Fitch |
Fitch Ratings, Inc. |
| FNMA |
Federal National Mortgage Association |
| The Fund(s) or a Fund |
One or more of the open-end management investment companies listed on the front cover of this SAI |
| GICS |
The Global Industry Classification Standard
(GICS®). GICS was developed
by and/or is the exclusive property of MSCI, Inc. (MSCI®) and S&P Global
Market Intelligence Inc. (S&P Global Market Intelligence). GICS is a
service mark of MSCI and S&P Global Market Intelligence and has
been licensed for use by the Investment Manager. Neither GICS, MSCI,
nor S&P Global Market Intelligence are affiliated with the Funds,
the Investment Manager or any Columbia entity. |
| GNMA |
Government National Mortgage Association |
| GSAL |
Goldman Sachs Agency Lending, the securities lending agent for the Funds in CAT, except for Columbia Thermostat FundSM, prior to November 30, 2025 |
| Hotchkis & Wiley |
Hotchkis & Wiley Capital Management, LLC |
| Independent Trustees |
The Trustees of the Board who are not “interested persons” (as defined
in the 1940 Act) of the Funds |
| Interested Trustee |
A Trustee of the Board who is currently deemed to be an “interested person” (as defined in the 1940 Act) of the Funds |
| Investment Manager |
Columbia Management Investment Advisers, LLC |
| IRS |
United States Internal Revenue Service |
| Jacobs Levy |
Jacobs Levy Equity Management, Inc. |
| JPMIM |
J.P. Morgan Investment Management Inc. |
| JPMorgan |
JPMorgan Chase Bank, N.A. |
| KBRA |
Kroll Bond Rating Agency |
| Loomis Sayles |
Loomis, Sayles & Company, L.P. |
| Los Angeles Capital |
Los Angeles Capital Management LLC |
| Management Agreement |
The Management Agreements, as amended, if applicable, between a Trust, on behalf of the Funds, and the Investment Manager |
| Manulife |
Manulife Investment Management (US) LLC |
| MidOcean |
MidOcean Credit Fund Management, L.P. |
| Moody’s Ratings |
Moody’s Investors Service, Inc. |
| Multi-Manager Strategies Funds |
Multi-Manager Alternative Strategies Fund, Multi-Manager Directional Alternative Strategies Fund, Multi-Manager International Equity Strategies Fund, Multi-Manager Large Cap Growth Strategies Fund, Multi- Manager Small Cap Equity Strategies Fund, Multi-Manager Total Return Bond Strategies Fund and Multi-Manager Value Strategies Fund. Shares of the Multi-Manager Strategies Funds are offered only through certain wrap fee programs sponsored and/or managed by Ameriprise Financial, Inc. or its affiliates. |
| NASDAQ |
National Association of Securities Dealers Automated Quotations system |
| NAV |
Net asset value per share of a Fund |
| NRSRO |
Nationally recognized statistical ratings organization (such as, for example, Moody’s Ratings, Fitch or S&P Global Ratings) |
| NSCC |
National Securities Clearing Corporation |
| NYSE |
New York Stock Exchange |
| PGIM Fixed Income |
PGIM, Inc., the asset management arm of Prudential Financial, Inc.
|
| PGIM Quantitative Solutions |
PGIM Quantitative Solutions LLC (formerly, QMA LLC) |
| Portfolio Funds |
The underlying funds in which Columbia Thermostat
FundSM invests |
| PwC |
PricewaterhouseCoopers LLP |
| Pyrford |
Pyrford International Ltd |
| REIT |
Real estate investment trust |
| REMIC |
Real estate mortgage investment conduit |
| RIC |
A “regulated investment company,” as such term is used in the Code |
| S&P |
S&P Global Ratings, a division of S&P Global Inc. (“Standard & Poor’s”
and “S&P” are trademarks of S&P Global Inc. and have been
licensed for use by the Investment Manager. The Columbia Funds are not
sponsored, endorsed, sold or promoted by S&P Global Ratings, and
S&P Global Ratings makes no representation regarding the
advisability of investing in the Columbia Funds.) |
| SAI |
This Statement of Additional Information, as amended and supplemented from time-to-time |
| SEC |
United States Securities and Exchange Commission |
| Shares |
Shares of a Fund |
| SOFR |
Secured Overnight Financing Rate |
| Solution Series Funds |
Multisector Bond SMA Completion Portfolio and Overseas SMA Completion Portfolio |
| State Street |
State Street Bank and Trust Company |
| Subadvisory Agreement |
The Subadvisory Agreement among a Trust on behalf of the Fund(s), the Investment Manager and a Fund’s investment subadviser(s), as the context may require |
| Subsidiary |
One or more wholly-owned subsidiaries of a Fund |
| Summit Partners |
Summit Partners Public Asset Management, LLC |
| TCW |
TCW Investment Management Company LLC |
| Thames River Capital |
Thames River Capital LLP |
| Threadneedle |
Threadneedle Asset Management Limited |
| Transfer Agency Agreement |
The Transfer and Dividend Disbursing Agent Agreement between a Trust, on behalf of its Funds, and the Transfer Agent |
| Transfer Agent |
Columbia Management Investment Services Corp. |
| Trustee(s) |
One or more members of the Board |
| Trusts |
CAT, CFST, CFST I and CFST II, which are the registered investment companies in the Columbia Funds Complex to which this SAI relates |
| Voya |
Voya Investment Management Co. LLC |
| Walter Scott |
Walter Scott & Partners Limited |
| Fund Name: |
Referred to as: |
| Columbia Acorn European FundSM
|
Acorn European Fund |
| Columbia Acorn® Fund |
Acorn Fund |
| Columbia Acorn
International® |
Acorn International Fund |
| Columbia Acorn International
SelectSM |
Acorn International Select Fund |
| Columbia Adaptive Risk Allocation Fund |
Adaptive Risk Allocation Fund |
| Columbia Balanced Fund |
Balanced Fund |
| Columbia California Intermediate Municipal Bond Fund |
CA Intermediate Municipal Bond Fund |
| Columbia Capital Allocation Aggressive Portfolio |
Capital Allocation Aggressive Portfolio |
| Columbia Capital Allocation Conservative Portfolio |
Capital Allocation Conservative Portfolio |
| Columbia Capital Allocation Moderate Aggressive Portfolio |
Capital Allocation Moderate Aggressive Portfolio |
| Fund Name: |
Referred to as: |
| Columbia Capital Allocation Moderate Conservative Portfolio |
Capital Allocation Moderate Conservative Portfolio |
| Columbia Capital Allocation Moderate Portfolio |
Capital Allocation Moderate Portfolio |
| Columbia Contrarian Core Fund |
Contrarian Core Fund |
| Columbia Commodity Strategy Fund |
Commodity Strategy Fund |
| Columbia Convertible Securities Fund |
Convertible Securities Fund |
| Columbia Cornerstone Equity Fund |
Cornerstone Equity Fund |
| Columbia Cornerstone Growth Fund |
Cornerstone Growth Fund |
| Columbia Disciplined Core Fund |
Disciplined Core Fund |
| Columbia Disciplined Growth Fund |
Disciplined Growth Fund |
| Columbia Disciplined Value Fund |
Disciplined Value Fund |
| Columbia Dividend Income Fund |
Dividend Income Fund |
| Columbia Dividend Opportunity Fund |
Dividend Opportunity Fund |
| Columbia Emerging Markets Fund |
Emerging Markets Fund |
| Columbia Emerging Markets Bond Fund |
Emerging Markets Bond Fund |
| Columbia Flexible Capital Income Fund |
Flexible Capital Income Fund |
| Columbia Floating Rate Fund |
Floating Rate Fund |
| Columbia Global Opportunities Fund |
Global Opportunities Fund |
| Columbia Global Technology Growth Fund |
Global Technology Growth Fund |
| Columbia Global Value Fund |
Global Value Fund |
| Columbia Government Money Market Fund |
Government Money Market Fund |
| Columbia Greater China Fund |
Greater China Fund |
| Columbia High Yield Bond Fund |
High Yield Bond Fund |
| Columbia High Yield Municipal Fund |
High Yield Municipal Fund |
| Columbia Income Builder Fund |
Income Builder Fund |
| Columbia Income Opportunities Fund |
Income Opportunities Fund |
| Columbia Integrated Large Cap Growth Fund II |
Integrated Large Cap Growth Fund II |
| Columbia Integrated Small Cap Growth Fund |
Integrated Small Cap Growth Fund |
| Columbia Intermediate Duration Municipal Bond Fund |
Intermediate Duration Municipal Bond Fund |
| Columbia International Dividend Income Fund |
International Dividend Income Fund |
| Columbia Intrinsic Value Fund |
Intrinsic Value Fund |
| Columbia Large Cap Enhanced Core Fund |
Large Cap Enhanced Core Fund |
| Columbia Large Cap Growth Opportunity Fund |
Large Cap Growth Opportunity Fund |
| Columbia Large Cap Index Fund |
Large Cap Index Fund |
| Columbia Massachusetts Intermediate Municipal Bond Fund |
MA Intermediate Municipal Bond Fund
|
| Columbia Mid Cap Index Fund |
Mid Cap Index Fund |
| Columbia Minnesota Tax-Exempt Fund |
MN Tax-Exempt Fund |
| Columbia Mortgage Opportunities Fund |
Mortgage Opportunities Fund |
| Columbia Multi Strategy Alternatives Fund |
Multi Strategy Alternatives Fund |
| Columbia New York Intermediate Municipal Bond Fund |
NY Intermediate Municipal Bond Fund
|
| Columbia Oregon Intermediate Municipal Bond Fund |
OR Intermediate Municipal Bond Fund
|
| Columbia Overseas Core Fund |
Overseas Core Fund |
| Columbia Overseas Value Fund |
Overseas Value Fund |
| Columbia Pyrford International Stock Fund |
Pyrford International Stock Fund |
| Columbia Quality Income Fund |
Quality Income Fund |
| Fund Name: |
Referred to as: |
| Columbia Real Estate Equity Fund |
Real Estate Equity Fund |
| Columbia Select Corporate Income Fund |
Select Corporate Income Fund |
| Columbia Select Global Equity Fund |
Select Global Equity Fund |
| Columbia Select Large Cap Growth Fund |
Select Large Cap Growth Fund |
| Columbia Select Large Cap Value Fund |
Select Large Cap Value Fund |
| Columbia Select Mid Cap Growth Fund |
Select Mid Cap Growth Fund |
| Columbia Select Mid Cap Value Fund |
Select Mid Cap Value Fund |
| Columbia Select Short Corporate Income Fund |
Select Short Corporate Income Fund |
| Columbia Select Small Cap Value Fund |
Select Small Cap Value Fund |
| Columbia Seligman Global Technology Fund |
Seligman Global Technology Fund |
| Columbia Seligman Technology and Information Fund |
Seligman Technology and Information Fund |
| Columbia Short Duration Municipal Bond Fund |
Short Duration Municipal Bond Fund |
| Columbia Short Term Bond Fund |
Short Term Bond Fund |
| Columbia Small Cap Growth Fund |
Small Cap Growth Fund |
| Columbia Small Cap Index Fund |
Small Cap Index Fund |
| Columbia Small Cap Value Discovery Fund |
Small Cap Value Discovery Fund |
| Columbia Small Cap Value and Inflection Fund |
Small Cap Value and Inflection Fund |
| Columbia Strategic California Municipal Income Fund |
Strategic CA Municipal Income Fund |
| Columbia Strategic Income Fund |
Strategic Income Fund |
| Columbia Strategic Municipal Income Fund |
Strategic Municipal Income Fund |
| Columbia Strategic New York Municipal Income Fund |
Strategic NY Municipal Income Fund |
| Columbia Thermostat FundSM
|
Thermostat Fund |
| Columbia Total Return Bond Fund |
Total Return Bond Fund |
| Columbia Total Return Municipal Income Fund |
Total Return Municipal Income Fund |
| Columbia U.S. Treasury Index Fund |
U.S. Treasury Index Fund |
| Columbia Ultra Short Duration Municipal Bond Fund |
Ultra Short Duration Municipal Bond Fund |
| Columbia Ultra Short Term Bond Fund |
Ultra Short Term Bond Fund |
| Multi-Manager Alternative Strategies Fund |
MM Alternative Strategies Fund |
| Multi-Manager Directional Alternative Strategies Fund |
MM Directional Alternative Strategies Fund |
| Multi-Manager International Equity Strategies Fund |
MM International Equity Strategies Fund |
| Multi-Manager Large Cap Growth Strategies Fund |
MM Large Cap Growth Strategies Fund |
| Multi-Manager Small Cap Equity Strategies Fund |
MM Small Cap Equity Strategies Fund |
| Multi-Manager Total Return Bond Strategies Fund |
MM Total Return Bond Strategies Fund |
| Multi-Manager Value Strategies Fund |
MM Value Strategies Fund |
| Multisector Bond SMA Completion Portfolio |
Multisector Bond SMA Completion Portfolio |
| Overseas SMA Completion Portfolio |
Overseas SMA Completion Portfolio |
| Fund |
Fiscal Year End |
Prospectus Date |
Date Began
Operations* |
Diversified** |
Fund Investment Category*** |
| Acorn European Fund |
December 31 |
5/1/2026 |
8/19/2011 |
Yes |
Equity |
| Acorn Fund |
December 31 |
5/1/2026 |
6/10/1970 |
Yes |
Equity |
| Acorn International Fund |
December 31 |
5/1/2026 |
9/23/1992 |
Yes |
Equity |
| Acorn International Select Fund |
December 31 |
5/1/2026 |
11/23/1998 |
Yes |
Equity |
| Adaptive Risk Allocation Fund |
May 31 |
10/1/2025 |
6/19/2012 |
Yes |
Alternative |
| Balanced Fund |
August 31 |
1/1/2026 |
10/1/1991 |
Yes |
Equity/Taxable fixed
income |
| CA Intermediate Municipal Bond
Fund |
April 30 |
9/1/2025 |
8/19/2002 |
Yes |
Tax-exempt fixed income |
| Capital Allocation Aggressive Portfolio |
January 31 |
6/1/2026 |
3/4/2004 |
Yes |
Fund-of-funds – equity |
| Capital Allocation Conservative
Portfolio |
January 31 |
6/1/2026 |
3/4/2004 |
Yes |
Fund-of-funds – fixed
income |
| Capital Allocation Moderate Aggressive Portfolio |
January 31 |
6/1/2026 |
10/15/1996 |
Yes |
Fund-of-funds – equity |
| Capital Allocation Moderate
Conservative Portfolio |
January 31 |
6/1/2026 |
10/15/1996 |
Yes |
Fund-of-funds – fixed
income |
| Capital Allocation Moderate Portfolio |
January 31 |
6/1/2026 |
3/4/2004 |
Yes |
Fund-of-funds – equity |
| Commodity Strategy Fund |
May 31 |
10/1/2025 |
7/28/2011 |
Yes |
Equity |
| Contrarian Core Fund |
August 31 |
1/1/2026 |
12/14/1992 |
Yes |
Equity |
| Convertible Securities Fund |
February 28/29 |
7/1/2026 |
9/25/1987 |
Yes |
Equity |
| Cornerstone Equity Fund |
February 28/29 |
7/1/2026 |
10/2/1998 |
Yes |
Equity |
| Cornerstone Growth Fund |
July 31 |
12/1/2025 |
12/14/1990 |
Yes |
Equity |
| Disciplined Core Fund |
July 31 |
12/1/2025 |
4/24/2003 |
Yes |
Equity |
| Disciplined Growth Fund |
July 31 |
12/1/2025 |
5/17/2007 |
Yes |
Equity |
| Disciplined Value Fund |
July 31 |
12/1/2025 |
8/1/2008 |
Yes |
Equity |
| Dividend Income Fund |
May 31 |
10/1/2025 |
3/4/1998 |
Yes |
Equity |
| Dividend Opportunity Fund |
May 31 |
10/1/2025 |
8/1/1988 |
Yes |
Equity |
| Emerging Markets Fund |
August 31 |
1/1/2026 |
1/2/1998 |
Yes |
Equity |
| Emerging Markets Bond Fund |
August 31 |
1/1/2026 |
2/16/2006 |
No |
Taxable fixed income |
| Flexible Capital Income Fund |
May 31 |
10/1/2025 |
7/28/2011 |
Yes |
Flexible |
| Floating Rate Fund |
July 31 |
12/1/2025 |
2/16/2006 |
Yes |
Taxable fixed income |
| Global Opportunities Fund |
July 31 |
12/1/2025 |
1/28/1985 |
Yes |
Flexible |
| Fund |
Fiscal Year End |
Prospectus Date |
Date Began
Operations* |
Diversified** |
Fund Investment Category*** |
| Global Technology Growth Fund |
August 31 |
1/1/2026 |
11/9/2000 |
Yes |
Equity |
| Global Value Fund |
February 28/29 |
7/1/2026 |
5/14/1984 |
Yes |
Equity |
| Government Money Market Fund |
July 31 |
12/1/2025 |
10/6/1975 |
Yes |
Taxable money market |
| Greater China Fund |
August 31 |
1/1/2026 |
5/16/1997 |
No |
Equity |
| High Yield Bond Fund |
May 31 |
10/1/2025 |
12/8/1983 |
Yes |
Taxable fixed income |
| High Yield Municipal Fund |
May 31 |
10/1/2025 |
3/5/1984 |
Yes |
Tax-exempt fixed income |
| Income Builder Fund |
January 31 |
6/1/2026 |
2/16/2006 |
Yes |
Fund-of-funds – fixed
income |
| Income Opportunities Fund |
July 31 |
12/1/2025 |
6/19/2003 |
Yes |
Taxable fixed income |
| Integrated Large Cap Growth
Fund II |
March 31 |
8/1/2025 |
4/20/2012 |
Yes |
Equity |
| Integrated Small Cap Growth Fund |
August 31 |
1/1/2026 |
10/31/1995 |
Yes |
Equity |
| Intermediate Duration Municipal
Bond Fund |
October 31 |
3/1/2026 |
6/14/1993 |
Yes |
Tax-exempt fixed income |
| International Dividend Income Fund |
August 31 |
1/1/2026 |
11/9/2000 |
Yes |
Equity |
| Intrinsic Value Fund |
May 31 |
10/1/2025 |
10/15/1990 |
Yes |
Equity |
| Large Cap Enhanced Core Fund |
February 28/29 |
7/1/2026 |
7/31/1996 |
Yes |
Equity |
| Large Cap Growth Opportunity
Fund |
February 28/29 |
7/1/2026 |
12/31/1997 |
Yes |
Equity |
| Large Cap Index Fund |
February 28/29 |
7/1/2026 |
12/15/1993 |
Yes |
Equity |
| MA Intermediate Municipal
Bond Fund |
October 31 |
3/1/2026 |
6/14/1993 |
No |
Tax-exempt fixed income |
| Mid Cap Index Fund |
February 28/29 |
7/1/2026 |
3/31/2000 |
Yes |
Equity |
| MM Alternative Strategies Fund |
August 31 |
1/1/2026 |
4/23/2012 |
Yes |
Alternative |
| MM Directional Alternative Strategies Fund |
April 30 |
9/1/2025 |
10/17/2016 |
Yes |
Alternative |
| MM International Equity Strategies Fund |
August 31 |
1/1/2026 |
5/17/2018 |
Yes |
Equity |
| MM Large Cap Growth
Strategies Fund |
March 31 |
4/2/2025
(as amended
6/2/2025) |
6/2/2025 |
No |
Equity |
| MM Small Cap Equity Strategies Fund |
August 31 |
1/1/2026 |
4/20/2012 |
Yes |
Equity |
| MM Total Return Bond
Strategies Fund |
August 31 |
1/1/2026 |
4/20/2012 |
Yes |
Taxable fixed income |
| MM Value Strategies Fund |
May 31 |
10/1/2025 |
4/20/2012 |
Yes |
Equity |
| MN Tax-Exempt Fund |
July 31 |
12/1/2025 |
8/18/1986 |
Yes |
Tax-exempt fixed income |
| Mortgage Opportunities Fund |
May 31 |
10/1/2025 |
4/30/2014 |
Yes |
Taxable fixed income |
| Multisector Bond SMA
Completion Portfolio |
August 31 |
1/1/2026 |
10/29/2019 |
No |
Taxable fixed income |
| Multi Strategy Alternatives Fund |
May 31 |
10/1/2025 |
1/28/2015 |
Yes |
Alternative |
| NY Intermediate Municipal Bond Fund |
October 31 |
3/1/2026 |
12/31/1991 |
No |
Tax-exempt fixed income |
| OR Intermediate Municipal
Bond Fund |
July 31 |
12/1/2025 |
7/2/1984 |
Yes |
Tax-exempt fixed income |
| Overseas Core Fund |
February 28/29 |
7/1/2026 |
3/5/2018 |
Yes |
Equity |
| Fund |
Fiscal Year End |
Prospectus Date |
Date Began
Operations* |
Diversified** |
Fund Investment Category*** |
| Overseas SMA Completion Portfolio |
August 31 |
1/1/2026 |
9/12/2019 |
No |
Equity |
| Overseas Value Fund |
February 28/29 |
7/1/2026 |
3/31/2008 |
Yes |
Equity |
| Pyrford International Stock Fund |
August 31 |
1/1/2026 |
12/29/2011 |
Yes |
Equity |
| Quality Income Fund |
May 31 |
10/1/2025 |
2/14/2002 |
Yes |
Taxable fixed income |
| Real Estate Equity Fund |
December 31 |
5/1/2026 |
4/1/1994 |
No |
Equity |
| Select Corporate Income Fund |
April 30 |
9/1/2025 |
3/5/1986 |
Yes |
Taxable fixed income |
| Select Global Equity Fund |
October 31 |
3/1/2026 |
5/29/1990 |
Yes |
Equity |
| Select Large Cap Growth Fund |
March 31 |
8/1/2025 |
10/1/1997 |
Yes |
Equity |
| Select Large Cap Value Fund |
May 31 |
10/1/2025 |
4/25/1997 |
Yes |
Equity |
| Select Mid Cap Growth Fund |
August 31 |
1/1/2026 |
11/20/1985 |
Yes |
Equity |
| Select Mid Cap Value Fund |
February 28/29 |
7/1/2026 |
11/20/2001 |
Yes |
Equity |
| Select Short Corporate Income Fund |
July 31 |
12/1/2025 |
6/19/2003 |
Yes |
Taxable fixed income |
| Select Small Cap Value Fund |
May 31 |
10/1/2025 |
4/25/1997 |
Yes |
Equity |
| Seligman Global Technology Fund |
October 31 |
3/1/2026 |
5/23/1994 |
No |
Equity |
| Seligman Technology and Information Fund |
May 31 |
10/1/2025 |
6/23/1983 |
No |
Equity |
| Short Duration Municipal Bond Fund |
April 30 |
9/1/2025 |
10/7/1993 |
Yes |
Tax-exempt fixed income |
| Short Term Bond Fund |
March 31 |
8/1/2025 |
9/30/1992 |
Yes |
Taxable fixed income |
| Small Cap Growth Fund |
August 31 |
1/1/2026 |
10/1/1996 |
Yes |
Equity |
| Small Cap Index Fund |
February 28/29 |
7/1/2026 |
10/15/1996 |
Yes |
Equity |
| Small Cap Value Discovery Fund |
April 30 |
9/1/2025 |
7/25/1986 |
Yes |
Equity |
| Small Cap Value and Inflection
Fund |
February 28/29 |
7/1/2026 |
5/1/2002 |
Yes |
Equity |
| Strategic CA Municipal Income Fund |
October 31 |
3/1/2026 |
6/16/1986 |
Yes |
Tax-exempt fixed income |
| Strategic Income Fund |
August 31 |
1/1/2026 |
4/21/1977 |
Yes |
Taxable fixed income |
| Strategic Municipal Income Fund |
July 31 |
12/1/2025 |
11/24/1976 |
Yes |
Tax-exempt fixed income |
| Strategic NY Municipal Income Fund |
October 31 |
3/1/2026 |
9/26/1986 |
No |
Tax-exempt fixed income |
| Thermostat Fund |
December 31 |
5/1/2026 |
9/25/2002 |
Yes |
Fund-of-funds – equity/fixed income |
| Total Return Bond Fund |
April 30 |
9/1/2025 |
12/5/1978 |
Yes |
Taxable fixed income |
| Total Return Municipal Income Fund |
July 31 |
12/1/2025 |
11/21/1978 |
Yes |
Tax-exempt fixed income |
| U.S. Treasury Index Fund |
April 30 |
9/1/2025 |
6/4/1991 |
Yes |
Taxable fixed income |
| Ultra Short Duration Municipal Bond Fund |
August 31 |
1/1/2026 |
9/30/2009 |
Yes |
Tax-exempt fixed income |
| Ultra Short Term Bond Fund |
July 31 |
12/1/2025 |
3/8/2004 |
Yes |
Taxable fixed income |
| Fund |
Effective Date of Name Change |
Previous Fund Name |
| Cornerstone Equity Fund |
September 1, 2025 |
Columbia Select Large Cap Equity Fund |
| Cornerstone Growth Fund |
September 1, 2025 |
Columbia Large Cap Growth Fund |
| Integrated Large Cap Growth Fund II |
December 18, 2025 |
Multi-Manager Growth Strategies Fund |
| Intermediate Duration Municipal Bond Fund |
September 1, 2022 |
Columbia Intermediate Municipal Bond Fund |
| Intrinsic Value Fund |
September 1, 2025 |
Columbia Large Cap Value Fund |
| Select Corporate Income Fund |
September 1, 2025 |
Columbia Corporate Income Fund |
| Select Mid Cap Growth Fund |
March 1, 2022 |
Columbia Mid Cap Growth Fund |
| Select Short Corporate Income Fund |
September 1, 2025 |
Columbia Limited Duration Credit Fund |
| Short Duration Municipal Bond Fund |
September 1, 2022 |
Columbia Short Term Municipal Bond Fund |
| Small Cap Value Discovery Fund |
September 1, 2025 |
Columbia Small Cap Value Fund I |
| Small Cap Value and Inflection Fund |
September 1, 2025 |
Columbia Small Cap Value Fund II |
| Total Return Municipal Income Fund |
September 1, 2025 |
Columbia Tax-Exempt Fund |
| Ultra Short Duration Municipal Bond Fund |
September 1, 2022 |
Columbia Ultra Short Municipal Bond Fund |
| Fund |
A
Buy or
sell real
estate |
B
Buy or sell
commodities |
C
Issuer
Diversification |
D
Concentrate
in any one
industry |
E
Invest
80% |
F
Act as an
underwriter |
G
Lending |
H
Borrow
money |
I
Issue
senior
securities |
J Buy
on margin/
sell short |
| Acorn European Fund |
A9 |
B12 |
C10 |
D18 |
— |
F10 |
G9 |
H7 |
I7 |
J3 |
| Acorn Fund |
A8 |
B12 |
C9 |
D18 |
— |
F7 |
G7 |
H6 |
I7 |
J3 |
| Acorn International Fund |
A9 |
B12 |
C10 |
D18 |
— |
F8 |
G7 |
H7 |
I7 |
J3 |
| Acorn International Select Fund |
A8 |
B13 |
C10 |
D19 |
— |
F9 |
G8 |
H8 |
I7 |
J3 |
| Adaptive Risk Allocation Fund |
A7 |
B10 |
C6 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Balanced Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| CA Intermediate Municipal Bond Fund |
A4 |
B5 |
C2 |
D6 |
E3 |
F3 |
G3 |
H2 |
I3 |
— |
| Capital Allocation Aggressive Portfolio |
A1 |
B1 |
C5 |
D2 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Capital Allocation Conservative Portfolio |
A1 |
B1 |
C5 |
D2 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Capital Allocation Moderate Aggressive Portfolio |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| Capital Allocation Moderate Conservative
Portfolio |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| Capital Allocation Moderate Portfolio |
A1 |
B1 |
C5 |
D2 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Commodity Strategy Fund |
A1 |
B8 |
C5 |
D5 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Contrarian Core Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Convertible Securities Fund |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| Cornerstone Equity Fund |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| Cornerstone Growth Fund |
A10 |
B14 |
C7 |
D20 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Disciplined Core Fund |
A1 |
B1 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Disciplined Growth Fund |
A1 |
B2 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Disciplined Value Fund |
A1 |
B2 |
C5 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Fund |
A
Buy or
sell real
estate |
B
Buy or sell
commodities |
C
Issuer
Diversification |
D
Concentrate
in any one
industry |
E
Invest
80% |
F
Act as an
underwriter |
G
Lending |
H
Borrow
money |
I
Issue
senior
securities |
J Buy
on margin/
sell short |
| Dividend Income Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Dividend Opportunity Fund |
A1 |
B1 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Emerging Markets Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Emerging Markets Bond Fund |
A1 |
B3 |
— |
D3 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Flexible Capital Income Fund |
A1 |
B8 |
C5 |
D5 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Floating Rate Fund |
A1 |
B3 |
C1 |
D4 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Global Opportunities Fund |
A1 |
B1 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Global Technology Growth Fund |
A7 |
B10 |
C6 |
D8 |
E12 |
F6 |
G4 |
H3 |
I6 |
— |
| Global Value Fund |
A1 |
B1 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Government Money Market Fund |
A2 |
A2 |
C1 |
D13 |
— |
F1 |
G1 |
H1 |
I1 |
J1 |
| Greater China Fund |
A7 |
B10 |
C8 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| High Yield Bond Fund |
A1 |
B1 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| High Yield Municipal Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Income Builder Fund |
A1 |
B3 |
C5 |
D2 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Income Opportunities Fund |
A1 |
B1 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Integrated Large Cap Growth Fund II |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Integrated Small Cap Growth Fund |
A6 |
B9 |
C5 |
D14 |
— |
F5 |
G5 |
H4 |
I1 |
— |
| Intermediate Duration Municipal Bond Fund |
A7 |
B10 |
C7 |
D15 |
E6 |
F6 |
G4 |
H3 |
I6 |
— |
| International Dividend Income Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Intrinsic Value Fund |
A1 |
B1 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Large Cap Enhanced Core Fund |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| Large Cap Growth Opportunity Fund |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| Large Cap Index Fund |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| MA Intermediate Municipal Bond Fund |
A7 |
B10 |
— |
D15 |
E7 |
F6 |
G4 |
H3 |
I6 |
— |
| Mid Cap Index Fund |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| MM Alternative Strategies Fund |
A7 |
B11 |
C6 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| MM Directional Alternative Strategies Fund |
A6 |
B9 |
C6 |
D14 |
— |
F5 |
G5 |
H4 |
I1 |
— |
| MM International Equity Strategies Fund |
A6 |
B9 |
C5 |
D14 |
— |
F5 |
G5 |
H4 |
I1 |
— |
| MM Large Cap Growth Strategies Fund |
A7 |
B10 |
— |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| MM Small Cap Equity Strategies Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| MM Total Return Bond Strategies Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| MM Value Strategies Fund |
A1 |
B7 |
C5 |
D12 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| MN Tax-Exempt Fund |
A1 |
B1 |
C6 |
D7 |
E1 |
F1 |
G1 |
H1 |
I1 |
— |
| Mortgage Opportunities Fund |
A1 |
B1 |
C6 |
D11 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Multisector Bond SMA Completion Portfolio |
A6 |
B9 |
— |
D14 |
— |
F5 |
G5 |
H4 |
I1 |
— |
| Multi Strategy Alternatives Fund |
A6 |
B9 |
C6 |
D17 |
— |
F5 |
G6 |
H5 |
I5 |
— |
| NY Intermediate Municipal Bond Fund |
A7 |
B10 |
— |
D15 |
E8 |
F6 |
G4 |
H3 |
I6 |
— |
| OR Intermediate Municipal Bond Fund |
A7 |
B10 |
C3 |
D15 |
E9 |
F6 |
G4 |
H3 |
I6 |
— |
| Overseas Core Fund |
A6 |
B9 |
C5 |
D14 |
— |
F5 |
G5 |
H4 |
I1 |
— |
| Overseas SMA Completion Portfolio |
A6 |
B9 |
— |
D14 |
— |
F5 |
G5 |
H4 |
I1 |
— |
| Overseas Value Fund |
A5 |
B6 |
C4 |
D12 |
— |
F4 |
G4 |
H3 |
I4 |
— |
| Pyrford International Stock Fund |
A6 |
B9 |
C5 |
D14 |
— |
F5 |
G5 |
H4 |
I1 |
— |
| Fund |
A
Buy or
sell real
estate |
B
Buy or sell
commodities |
C
Issuer
Diversification |
D
Concentrate
in any one
industry |
E
Invest
80% |
F
Act as an
underwriter |
G
Lending |
H
Borrow
money |
I
Issue
senior
securities |
J Buy
on margin/
sell short |
| Quality Income Fund |
A1 |
B1 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Real Estate Equity Fund |
A7 |
B10 |
— |
D16 |
E10 |
F6 |
G4 |
H3 |
I6 |
— |
| Select Corporate Income Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Select Global Equity Fund |
A1 |
B1 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Select Large Cap Growth Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Select Large Cap Value Fund |
A3 |
B4 |
C3 |
D10 |
— |
F2 |
G2 |
I2 |
I2 |
J2 |
| Select Mid Cap Growth Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Select Mid Cap Value Fund |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| Select Short Corporate Income Fund |
A1 |
B1 |
C1 |
D1 |
— |
F1 |
G1 |
H1 |
I1 |
— |
| Select Small Cap Value Fund |
A3 |
B4 |
C3 |
D10 |
— |
F2 |
G2 |
I2 |
I2 |
J2 |
| Seligman Global Technology Fund |
A3 |
B4 |
— |
D8 |
— |
F2 |
G2 |
I2 |
I2 |
J2 |
| Seligman Technology and Information Fund |
A3 |
B4 |
— |
D9 |
— |
F2 |
G2 |
I2 |
I2 |
J2 |
| Short Duration Municipal Bond Fund |
A4 |
B5 |
C2 |
D6 |
E4 |
F3 |
G3 |
H2 |
I3 |
— |
| Short Term Bond Fund |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| Small Cap Growth Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Small Cap Index Fund |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| Small Cap Value Discovery Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Small Cap Value and Inflection Fund |
A4 |
B5 |
C2 |
D6 |
— |
F3 |
G3 |
H2 |
I3 |
— |
| Strategic CA Municipal Income Fund |
A7 |
B10 |
C6 |
D15 |
E5 |
F6 |
G4 |
H3 |
I6 |
— |
| Strategic Income Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Strategic Municipal Income Fund |
A1 |
B1 |
C1 |
D7 |
E2 |
F1 |
G1 |
H1 |
I1 |
— |
| Strategic NY Municipal Income Fund |
A7 |
B10 |
— |
D15 |
E5 |
F6 |
G4 |
H3 |
I6 |
— |
| Thermostat Fund |
A8 |
B12 |
C11 |
D18 |
— |
F9 |
G7 |
H8 |
I7 |
J3 |
| Total Return Bond Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Total Return Municipal Income Fund |
A7 |
B10 |
C7 |
D15 |
E11 |
F6 |
G4 |
H3 |
I6 |
— |
| U.S. Treasury Index Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Ultra Short Duration Municipal Bond Fund |
A6 |
B9 |
C5 |
D14 |
E13 |
F5 |
G5 |
H4 |
I1 |
— |
| Ultra Short Term Bond Fund |
A7 |
B10 |
C7 |
D15 |
— |
F6 |
G4 |
H3 |
I6 |
— |
| Type of Investment |
Alternative and Fund-
of-Funds – Alternative |
Equity
and
Flexible |
Funds-of-Funds
– Equity and
Fixed Income |
Taxable
Fixed
Income(i) |
Taxable
Money Market |
Tax-Exempt
Fixed Income |
| Asset-Backed Securities |
• |
• |
• |
• |
• |
• |
| Bank Obligations (Domestic and Foreign) |
• |
• |
• |
• |
• |
• |
| Collateralized Bond Obligations |
• |
• |
• |
• |
• |
• |
| Commercial Paper |
• |
• |
• |
• |
• |
• |
| Type of Investment |
Alternative and Fund-
of-Funds – Alternative |
Equity
and
Flexible |
Funds-of-Funds
– Equity and
Fixed Income |
Taxable
Fixed
Income(i) |
Taxable
Money Market |
Tax-Exempt
Fixed Income |
| Common Stock |
• |
• |
• |
•A |
— |
— |
| Convertible Securities |
• |
•B |
• |
•C |
— |
• |
| Corporate Debt Securities |
• |
• |
• |
• |
•D |
• |
| Custody Receipts and Trust Certificates |
• |
•E |
• |
•E |
• |
•E |
| Debt Obligations |
• |
• |
• |
• |
• |
• |
| Depositary Receipts |
• |
• |
• |
• |
— |
— |
| Derivatives |
• |
• |
• |
• |
— |
• |
| Dollar Rolls |
• |
•F |
• |
• |
— |
• |
| Exchange-Traded Notes |
• |
• |
• |
• |
— |
• |
| Foreign Currency Transactions |
• |
• |
• |
• |
— |
•G |
| Foreign Securities |
• |
• |
• |
• |
• |
• |
| Guaranteed Investment Contracts (Funding Agreements) |
• |
• |
• |
• |
• |
• |
| High-Yield Securities |
• |
• |
• |
• |
— |
• |
| Illiquid Investments |
• |
• |
• |
• |
• |
• |
| Inflation Protected Securities |
• |
• |
• |
• |
— |
• |
| Initial Public Offerings |
• |
• |
• |
• |
• |
• |
| Inverse Floaters |
• |
•H |
• |
• |
— |
• |
| Investments in Other Investment Companies (Including ETFs) |
• |
• |
• |
• |
• |
• |
| Listed Private Equity Funds |
• |
• |
• |
• |
— |
• |
| Money Market Instruments |
• |
• |
• |
• |
• |
• |
| Mortgage-Backed Securities |
• |
• |
• |
• |
• |
• |
| Municipal Securities |
• |
• |
• |
• |
• |
•K |
| Participation Interests |
• |
• |
• |
• |
— |
• |
| Partnership Securities |
• |
• |
• |
• |
— |
• |
| Preferred Stock |
• |
• |
• |
•I |
— |
• |
| Private Placement and Other Restricted Securities |
• |
• |
• |
• |
• |
• |
| Real Estate Investment Trusts |
• |
• |
•L |
• |
— |
• |
| Repurchase Agreements |
• |
• |
• |
• |
• |
• |
| Reverse Repurchase Agreements |
• |
• |
• |
• |
• |
• |
| Short Sales(ii) |
• |
• |
• |
• |
— |
• |
| Sovereign Debt |
• |
• |
• |
• |
• |
• |
| Standby Commitments |
• |
• |
• |
• |
• |
• |
| U.S. Government and Related
Obligations |
• |
• |
• |
• |
• |
• |
| Variable- and Floating-Rate Obligations |
• |
•J |
• |
• |
•J |
•J |
| Warrants and Rights |
• |
• |
• |
• |
— |
• |
| Fund |
Assets
(millions) |
Annual rate at each asset level |
| Acorn European Fund(a) |
$0-$500 |
0.970% |
| |
˃$500-$8,000 |
0.790% |
| |
˃$8,000-$16,000 |
0.780% |
| |
˃$16,000-$35,000 |
0.770% |
| |
˃$35,000-$45,000 |
0.765% |
| |
˃$45,000 |
0.755% |
| Acorn Fund(b) |
$0-$500 |
0.790% |
| |
˃$500-$700 |
0.770% |
| |
˃$700-$1,000 |
0.740% |
| |
˃$1,000-$1,500 |
0.720% |
| |
˃$1,500-$3,000 |
0.670% |
| |
˃$3,000-$8,000 |
0.660% |
| |
˃$8,000-$16,000 |
0.650% |
| |
˃$16,000-$35,000 |
0.640% |
| |
˃$35,000-$45,000 |
0.635% |
| |
˃$45,000 |
0.625% |
| Acorn International Fund(c) |
$0-$500 |
0.920% |
| |
˃$500-$1,000 |
0.790% |
| |
˃$1,000-$3,000 |
0.770% |
| |
˃$3,000-$6,000 |
0.760% |
| |
˃$6,000-$8,000 |
0.750% |
| |
˃$8,000-$16,000 |
0.740% |
| |
˃$16,000-$35,000 |
0.730% |
| |
˃$35,000-$45,000 |
0.725% |
| |
˃$45,000 |
0.715% |
| Acorn International Select Fund(d) |
$0-$500 |
0.870% |
| |
˃$500-$1,000 |
0.820% |
| |
˃$1,000-$1,500 |
0.770% |
| |
˃$1,500-$3,000 |
0.720% |
| |
˃$3,000-$6,000 |
0.700% |
| |
˃$6,000-$8,000 |
0.680% |
| |
˃$8,000-$16,000 |
0.670% |
| |
˃$16,000-$35,000 |
0.660% |
| |
˃$35,000-$45,000 |
0.655% |
| |
˃$45,000 |
0.645% |
| Balanced Fund |
$0 - $500 |
0.7200% |
| |
˃$500 - $1,000 |
0.6700% |
| |
˃$1,000 - $1,500 |
0.6200% |
| |
˃$1,500 - $3,000 |
0.5700% |
| |
˃$3,000 - $6,000 |
0.5500% |
| |
˃$6,000 - $12,000 |
0.5300% |
| |
˃$12,000 - $15,600 |
0.5200% |
| |
˃$15,600 - $20,300 |
0.5175% |
| |
˃$20,300 - $26,400 |
0.5150% |
| |
˃$26,400 - $34,300 |
0.5125% |
| |
˃$34,300 - $44,600 |
0.5100% |
| |
˃$44,600 |
0.5075% |
| Fund |
Assets
(millions) |
Annual rate at each asset level |
| MM Total Return Bond Strategies Fund |
$0 - $500 |
0.500% |
| Quality Income Fund |
˃$500 - $1,000 |
0.495% |
| Select Corporate Income Fund |
˃$1,000 - $2,000 |
0.480% |
| Total Return Bond Fund |
˃$2,000 - $3,000 |
0.460% |
| |
˃$3,000 - $6,000 |
0.450% |
| |
˃$6,000 - $7,500 |
0.430% |
| |
˃$7,500 - $9,000 |
0.415% |
| |
˃$9,000 - $12,000 |
0.410% |
| |
˃$12,000 - $20,000 |
0.390% |
| |
˃$20,000 - $24,000 |
0.380% |
| |
˃$24,000 - $50,000 |
0.360% |
| |
˃$50,000 |
0.340% |
| CA Intermediate Municipal Bond Fund |
$0 - $250 |
0.470% |
| |
˃$250 - $500 |
0.465% |
| |
˃$500 - $1,000 |
0.415% |
| |
˃$1,000 - $1,500 |
0.380% |
| |
˃$1,500 - $3,000 |
0.350% |
| |
˃$3,000 - $6,000 |
0.330% |
| |
˃$6,000 - $12,000 |
0.320% |
| |
˃$12,000 |
0.310% |
| Commodity Strategy Fund(e) |
$0 - $500 |
0.630% |
| |
˃$500 - $1,000 |
0.580% |
| |
˃$1,000 - $3,000 |
0.550% |
| |
˃$3,000 - $6,000 |
0.520% |
| |
˃$6,000 - $12,000 |
0.500% |
| |
˃$12,000 |
0.490% |
| Contrarian Core Fund |
$0 - $500 |
0.7700% |
| |
˃$500 - $1,000 |
0.7200% |
| |
˃$1,000 - $1,500 |
0.6700% |
| |
˃$1,500 - $3,000 |
0.6200% |
| |
˃$3,000 - $6,000 |
0.6000% |
| |
˃$6,000 - $12,000 |
0.5800% |
| |
˃$12,000 - $15,600 |
0.5700% |
| |
˃$15,600 - $20,300 |
0.5675% |
| |
˃$20,300 - $26,400 |
0.5650% |
| |
˃$26,400 - $34,300 |
0.5625% |
| |
˃$34,300 - $44,600 |
0.5600% |
| |
˃$44,600 - $58,000 |
0.5575% |
| |
˃$58,000 |
0.5550% |
| Convertible Securities Fund |
$0 - $500 |
0.820% |
| Select Mid Cap Growth Fund |
˃$500 - $1,000 |
0.770% |
| Select Mid Cap Value Fund |
˃$1,000 - $1,500 |
0.720% |
| |
˃$1,500 - $3,000 |
0.670% |
| |
˃$3,000 - $12,000 |
0.660% |
| |
˃$12,000 |
0.650% |
| MA Intermediate Municipal Bond Fund |
$0 - $250 |
0.470% |
| MN Tax-Exempt Fund |
˃$250 - $500 |
0.465% |
| NY Intermediate Municipal Bond Fund |
˃$500 - $1,000 |
0.415% |
| OR Intermediate Municipal Bond Fund |
˃$1,000 - $3,000 |
0.380% |
| Strategic CA Municipal Income Fund |
˃$3,000 - $6,000 |
0.340% |
| Strategic NY Municipal Income Fund |
˃$6,000 - $7,500 |
0.330% |
| |
˃$7,500 - $12,000 |
0.320% |
| |
˃$12,000 |
0.310% |
| Disciplined Core Fund |
$0 - $500 |
0.750% |
| Disciplined Growth Fund |
˃$500 - $1,000 |
0.700% |
| Disciplined Value Fund |
˃$1,000 - $1,500 |
0.650% |
| Large Cap Enhanced Core Fund |
˃$1,500 - $3,000 |
0.600% |
| |
˃$3,000 - $6,000 |
0.580% |
| |
˃$6,000 - $12,000 |
0.560% |
| |
˃$12,000 |
0.550% |
| Fund |
Assets
(millions) |
Annual rate at each asset level |
| Dividend Income Fund |
$0 - $500 |
0.7200% |
| |
˃$500 - $1,000 |
0.6700% |
| |
˃$1,000 - $1,500 |
0.6200% |
| |
˃$1,500 - $3,000 |
0.5700% |
| |
˃$3,000 - $6,000 |
0.5500% |
| |
˃$6,000 - $12,000 |
0.5300% |
| |
˃$12,000 - $15,600 |
0.5200% |
| |
˃$15,600 - $20,300 |
0.5175% |
| |
˃$20,300 - $26,400 |
0.5150% |
| |
˃$26,400 - $34,300 |
0.5125% |
| |
˃$34,300 - $44,600 |
0.5100% |
| |
˃$44,600 - $58,000 |
0.5075% |
| |
˃$58,000 - $75,400 |
0.5050% |
| |
˃$75,400 |
0.5025% |
| Dividend Opportunity Fund |
$0 - $500 |
0.720% |
| Global Opportunities Fund(f) |
˃$500 - $1,000 |
0.670% |
| Global Value Fund |
˃$1,000 - $1,500 |
0.620% |
| Intrinsic Value Fund |
˃$1,500 - $3,000 |
0.570% |
| MM Value Strategies Fund |
˃$3,000 - $6,000 |
0.550% |
| |
˃$6,000 - $12,000 |
0.530% |
| |
˃$12,000 |
0.520% |
| Emerging Markets Bond Fund |
$0 - $500 |
0.600% |
| Strategic Income Fund |
˃$500 - $1,000 |
0.590% |
| |
˃$1,000 - $2,000 |
0.575% |
| |
˃$2,000 - $3,000 |
0.555% |
| |
˃$3,000 - $6,000 |
0.530% |
| |
˃$6,000 - $7,500 |
0.505% |
| |
˃$7,500 - $9,000 |
0.490% |
| |
˃$9,000 - $10,000 |
0.481% |
| |
˃$10,000 - $12,000 |
0.469% |
| |
˃$12,000 - $15,000 |
0.459% |
| |
˃$15,000 - $20,000 |
0.449% |
| |
˃$20,000 - $24,000 |
0.433% |
| |
˃$24,000 - $50,000 |
0.414% |
| |
˃$50,000 |
0.393% |
| Emerging Markets Fund |
$0 - $500 |
1.100% |
| |
˃$500 - $1,000 |
1.060% |
| |
˃$1,000 - $1,500 |
0.870% |
| |
˃$1,500 - $3,000 |
0.820% |
| |
˃$3,000 - $6,000 |
0.770% |
| |
˃$6,000 - $12,000 |
0.720% |
| |
˃$12,000 |
0.700% |
| Flexible Capital Income Fund |
$0 - $500 |
0.650% |
| |
˃$500 - $1,000 |
0.630% |
| |
˃$1,000 - $3,000 |
0.610% |
| |
˃$3,000 - $6,000 |
0.570% |
| |
˃$6,000 |
0.540% |
| Floating Rate Fund |
$0 - $250 |
0.660% |
| High Yield Bond Fund |
˃$250 - $500 |
0.645% |
| Income Opportunities Fund |
˃$500 - $750 |
0.635% |
| |
˃$750 - $1,000 |
0.625% |
| |
˃$1,000 - $2,000 |
0.610% |
| |
˃$2,000 - $3,000 |
0.600% |
| |
˃$3,000 - $6,000 |
0.565% |
| |
˃$6,000 - $7,500 |
0.540% |
| |
˃$7,500 - $9,000 |
0.525% |
| |
˃$9,000 - $10,000 |
0.500% |
| |
˃$10,000 - $12,000 |
0.485% |
| |
˃$12,000 - $15,000 |
0.475% |
| |
˃$15,000 - $20,000 |
0.465% |
| |
˃$20,000 - $24,000 |
0.440% |
| |
˃$24,000 - $50,000 |
0.425% |
| |
˃$50,000 |
0.400% |
| Fund |
Assets
(millions) |
Annual rate at each asset level |
| Global Technology Growth Fund |
$0 - $500 |
0.870% |
| MM Small Cap Equity Strategies Fund |
˃$500 - $1,000 |
0.820% |
| Select Small Cap Value Fund |
˃$1,000 - $3,000 |
0.770% |
| Small Cap Growth Fund |
˃$3,000 - $12,000 |
0.760% |
| Small Cap Value and Inflection Fund |
˃$12,000 |
0.750% |
| Government Money Market Fund(g) |
$0 - $500 |
0.290% |
| |
˃$500 - $1,000 |
0.285% |
| |
˃$1,000 - $1,500 |
0.263% |
| |
˃$1,500 - $2,000 |
0.245% |
| |
˃$2,000 - $2,500 |
0.228% |
| |
˃$2,500 - $3,000 |
0.210% |
| |
˃$3,000 - $5,000 |
0.200% |
| |
˃$5,000 - $6,000 |
0.180% |
| |
˃$6,000 - $7,500 |
0.160% |
| |
˃$7,500 - $9,000 |
0.155% |
| |
˃$9,000 - $10,000 |
0.130% |
| |
˃$10,000 - $12,000 |
0.120% |
| |
˃$12,000 - $15,000 |
0.110% |
| |
˃$15,000 - $20,000 |
0.100% |
| |
˃$20,000 - $24,000 |
0.090% |
| |
˃$24,000 |
0.080% |
| Greater China Fund |
$0 - $1,000 |
0.950% |
| |
˃$1,000 - $1,500 |
0.870% |
| |
˃$1,500 - $3,000 |
0.820% |
| |
˃$3,000 - $6,000 |
0.770% |
| |
˃$6,000 |
0.720% |
| High Yield Municipal Fund |
$0 - $500 |
0.540% |
| |
˃$500 - $1,000 |
0.535% |
| |
˃$1,000 - $2,000 |
0.505% |
| |
˃$2,000 - $3,000 |
0.480% |
| |
˃$3,000 - $6,000 |
0.445% |
| |
˃$6,000 - $7,500 |
0.420% |
| |
˃$7,500 - $10,000 |
0.410% |
| |
˃$10,000 - $12,000 |
0.400% |
| |
˃$12,000 - $15,000 |
0.390% |
| |
˃$15,000 - $24,000 |
0.380% |
| |
˃$24,000 - $50,000 |
0.360% |
| |
˃$50,000 |
0.340% |
| Intermediate Duration Municipal Bond Fund |
$0 - $500 |
0.480% |
| Total Return Municipal Income Fund |
˃$500 - $1,000 |
0.475% |
| |
˃$1,000 - $2,000 |
0.445% |
| |
˃$2,000 - $3,000 |
0.420% |
| |
˃$3,000 - $6,000 |
0.385% |
| |
˃$6,000 - $9,000 |
0.360% |
| |
˃$9,000 - $10,000 |
0.350% |
| |
˃$10,000 - $12,000 |
0.340% |
| |
˃$12,000 - $15,000 |
0.330% |
| |
˃$15,000 - $24,000 |
0.320% |
| |
˃$24,000 - $50,000 |
0.300% |
| |
˃$50,000 |
0.290% |
| Cornerstone Equity Fund |
$0 - $500 |
0.770% |
| Cornerstone Growth Fund |
˃$500 - $1,000 |
0.720% |
| Integrated Large Cap Growth Fund II |
˃$1,000 - $1,500 |
0.670% |
| International Dividend Income Fund |
˃$1,500 - $3,000 |
0.620% |
| Large Cap Growth Opportunity Fund |
˃$3,000 - $6,000 |
0.600% |
| MM Large Cap Growth Strategies Fund |
˃$6,000 - $12,000 |
0.580% |
| Select Large Cap Growth Fund |
˃$12,000 |
0.570% |
| Large Cap Index Fund(h) |
All assets |
0.200% |
| Mid Cap Index Fund |
|
|
| Small Cap Index Fund(h) |
|
|
| Fund |
Assets
(millions) |
Annual rate at each asset level |
| Select Short Corporate Income Fund |
$0 - $500 |
0.430% |
| Short Duration Municipal Bond Fund |
˃$500 - $1,000 |
0.425% |
| Short Term Bond Fund |
˃$1,000 - $2,000 |
0.415% |
| |
˃$2,000 - $3,000 |
0.410% |
| |
˃$3,000 - $6,000 |
0.395% |
| |
˃$6,000 - $7,500 |
0.380% |
| |
˃$7,500 - $9,000 |
0.365% |
| |
˃$9,000 - $10,000 |
0.360% |
| |
˃$10,000 - $12,000 |
0.350% |
| |
˃$12,000 - $15,000 |
0.340% |
| |
˃$15,000 - $20,000 |
0.330% |
| |
˃$20,000 - $24,000 |
0.320% |
| |
˃$24,000 - $50,000 |
0.300% |
| |
˃$50,000 |
0.280% |
| MM Alternative Strategies Fund(e) |
$0 - $500 |
1.100% |
| |
˃$500 - $1,000 |
1.050% |
| |
˃$1,000 - $3,000 |
1.020% |
| |
˃$3,000 - $6,000 |
0.990% |
| |
˃$6,000 - $12,000 |
0.960% |
| |
˃$12,000 |
0.950% |
| MM Directional Alternative Strategies Fund |
All assets |
1.60% |
| MM International Equity Strategies Fund |
$0 - $500 |
0.870% |
| Overseas Value Fund |
˃$500 - $1,000 |
0.820% |
| |
˃$1,000 - $1,500 |
0.770% |
| |
˃$1,500 - $3,000 |
0.720% |
| |
˃$3,000 - $6,000 |
0.700% |
| |
˃$6,000 - $12,000 |
0.680% |
| |
˃$12,000 |
0.670% |
| Mortgage Opportunities Fund |
$0 - $500 |
0.650% |
| |
˃$500 - $1,000 |
0.645% |
| |
˃$1,000 - $2,000 |
0.630% |
| |
˃$2,000 - $3,000 |
0.620% |
| |
˃$3,000 - $6,000 |
0.595% |
| |
˃$6,000 - $7,500 |
0.580% |
| |
˃$7,500 - $9,000 |
0.565% |
| |
˃$9,000 - $10,000 |
0.555% |
| |
˃$10,000 - $12,000 |
0.545% |
| |
˃$12,000 |
0.535% |
| Multi Strategy Alternatives Fund(e) |
$0 - $500 |
0.960% |
| |
˃$500 - $1,000 |
0.955% |
| |
˃$1,000 - $3,000 |
0.950% |
| |
˃$3,000 - $12,000 |
0.940% |
| |
˃$12,000 |
0.930% |
| Multisector Bond SMA Completion Portfolio |
All assets |
0.00% |
| Overseas SMA Completion Portfolio |
|
|
| |
|
|
| |
|
|
| Overseas Core Fund |
$0 - $250 |
0.870% |
| Pyrford International Stock Fund |
˃$250 - $500 |
0.855% |
| Select Global Equity Fund |
˃$500 - $750 |
0.820% |
| |
˃$750 - $1,000 |
0.800% |
| |
˃$1,000 - $1,500 |
0.770% |
| |
˃$1,500 - $3,000 |
0.720% |
| |
˃$3,000 - $6,000 |
0.700% |
| |
˃$6,000 - $12,000 |
0.680% |
| |
˃$12,000 - $20,000 |
0.670% |
| |
˃$20,000 - $24,000 |
0.660% |
| |
˃$24,000 - $50,000 |
0.650% |
| |
˃$50,000 |
0.620% |
| Fund |
Assets
(millions) |
Annual rate at each asset level |
| Real Estate Equity Fund |
$0 - $500 |
0.750% |
| |
˃$500 - $1,000 |
0.745% |
| |
˃$1,000 - $1,500 |
0.720% |
| |
˃$1,500 - $3,000 |
0.670% |
| |
˃$3,000 |
0.660% |
| Select Large Cap Value Fund |
$0 - $500 |
0.770% |
| |
˃$500 - $1,000 |
0.715% |
| |
˃$1,000 - $3,000 |
0.615% |
| |
˃$3,000 - $6,000 |
0.600% |
| |
˃$6,000 - $12,000 |
0.580% |
| |
˃$12,000 |
0.570% |
| Seligman Global Technology Fund |
$0 - $500 |
0.9150% |
| Seligman Technology and Information Fund |
˃$500 - $1,000 |
0.9100% |
| |
˃$1,000 - $3,000 |
0.9050% |
| |
˃$3,000 - $4,000 |
0.8650% |
| |
˃$4,000 - $6,000 |
0.8150% |
| |
˃$6,000 - $12,000 |
0.7650% |
| |
˃$12,000 - $20,000 |
0.7550% |
| |
˃$20,000 - $24,000 |
0.7450% |
| |
˃$24,000 - $50,000 |
0.7350% |
| |
˃$50,000 |
0.7050% |
| Integrated Small Cap Growth Fund |
$0 - $500 |
0.850% |
| Small Cap Value Discovery Fund |
˃$500 - $1,000 |
0.800% |
| |
˃$1,000 - $3,000 |
0.750% |
| |
˃$3,000 - $12,000 |
0.740% |
| |
˃$12,000 |
0.730% |
| Strategic Municipal Income Fund |
$0 - $500 |
0.480% |
| |
˃$500 - $1,000 |
0.475% |
| |
˃$1,000 - $2,000 |
0.445% |
| |
˃$2,000 - $3,000 |
0.420% |
| |
˃$3,000 - $6,000 |
0.385% |
| |
˃$6,000 - $7,500 |
0.360% |
| |
˃$7,500 - $10,000 |
0.350% |
| |
˃$10,000 - $12,000 |
0.340% |
| |
˃$12,000 - $15,000 |
0.330% |
| |
˃$15,000 - $24,000 |
0.320% |
| |
˃$24,000 - $50,000 |
0.300% |
| |
˃$50,000 |
0.290% |
| Thermostat Fund |
All assets |
0.100% |
| U.S. Treasury Index Fund(h) |
All assets |
0.400% |
| Ultra Short Duration Municipal Bond Fund |
All assets |
0.210% |
| Ultra Short Term Bond Fund |
|
|
| Asset Category |
Assets
(millions) |
Annual rate at each asset level |
| |
|
|
| Category 1: Assets invested in affiliated
mutual funds, exchange- traded funds and closed- end funds that pay a management services
fee (or an investment management services fee, as applicable) to the Investment
Manager. |
$0 - $500 |
0.060% |
| ˃$500 - $1,000 |
0.055% | |
| ˃$1,000 - $3,000 |
0.050% | |
| ˃$3,000 - $12,000 |
0.040% | |
| ˃$12,000 |
0.030% | |
| Category 2: Assets invested in exchange-traded
funds and mutual funds that are not managed by the Investment Manager or its
affiliates. |
$0 - $500 |
0.160% |
| ˃$500 - $1,000 |
0.155% | |
| ˃$1,000 - $3,000 |
0.150% | |
| ˃$3,000 - $12,000 |
0.140% | |
| ˃$12,000 |
0.130% | |
| Category 3: Securities, instruments and other
assets not described above, including without limitation affiliated mutual funds,
exchange-traded funds and closed-end funds that do not pay a management services fee (or
an investment management services fee, as applicable) to the Investment Manager, third
party closed-end funds, derivatives and individual securities. |
$0 - $500 |
0.760% |
| ˃$500 - $1,000 |
0.745% | |
| ˃$1,000 - $1,500 |
0.730% | |
| ˃$1,500 - $3,000 |
0.720% | |
| ˃$3,000 - $6,000 |
0.690% | |
| ˃$6,000 - $12,000 |
0.665% | |
| ˃$12,000 |
0.630% |
| |
Investment
Advisory Services Fees | ||
| Fund |
|
|
|
| For Funds with fiscal period ending December 31 |
2025* |
2024 |
2023 |
| Acorn European Fund |
$111,984 |
$616,373 |
$769,255 |
| Acorn Fund |
4,408,901 |
19,213,063 |
18,446,916 |
| Acorn International Fund |
1,862,437 |
9,000,050 |
11,053,432 |
| Acorn International Select Fund |
415,194 |
1,904,351 |
2,030,153 |
| Thermostat Fund |
293,160 |
1,279,978 |
1,353,487 |
| |
Management
Services Fees | ||
| |
2026 |
2025 |
2024 |
| For Funds with fiscal period ending January 31 | |||
| Capital Allocation Aggressive Portfolio |
$429,186 |
$410,360 |
$474,431 |
| Capital Allocation Conservative Portfolio |
95,105 |
124,785 |
119,097 |
| Capital Allocation Moderate Aggressive Portfolio |
554,367 |
551,610 |
557,102 |
| Capital Allocation Moderate Conservative Portfolio |
157,049 |
173,794 |
118,501 |
| Capital Allocation Moderate Portfolio |
341,986 |
352,052 |
386,838 |
| Income Builder Fund |
169,340 |
192,310 |
230,369 |
| For Funds with fiscal period ending February 28/29
| |||
| Convertible Securities Fund |
10,354,758 |
9,427,156 |
11,084,088 |
| Cornerstone Equity Fund |
11,343,116 |
10,788,028 |
9,457,292 |
| Global Value Fund |
5,788,406 |
5,734,762 |
5,579,056 |
| Large Cap Enhanced Core Fund |
3,605,133 |
3,602,454 |
3,029,007 |
| Large Cap Growth Opportunity Fund |
9,139,308 |
9,403,657 |
8,524,244 |
| Large Cap Index Fund |
6,165,959 |
7,056,588 |
6,063,947 |
| Mid Cap Index Fund |
4,949,801 |
5,248,744 |
4,979,260 |
| Overseas Core Fund |
7,992,678 |
7,490,638 |
7,191,705 |
| Overseas Value Fund |
36,638,729 |
23,733,506 |
21,749,215 |
| Select Mid Cap Value Fund |
18,121,891 |
18,519,884 |
17,667,129 |
| Small Cap Index Fund |
5,098,990 |
6,246,703 |
6,440,779 |
| Small Cap Value and Inflection Fund |
7,007,299 |
8,897,276 |
10,329,631 |
| |
2025 |
2024 |
2023 |
| For Funds with fiscal period ending March 31 | |||
| Integrated Large Cap Growth Fund II |
29,413,552 |
25,879,863 |
24,510,241 |
| MM Large Cap Growth Strategies Fund(a)
|
N/A |
N/A |
N/A |
| Select Large Cap Growth Fund |
7,609,216 |
8,246,445 |
8,865,863 |
| Short Term Bond Fund |
4,879,802 |
3,328,547 |
4,483,284 |
| For Funds with fiscal period ending April 30 | |||
| CA Intermediate Municipal Bond Fund |
1,409,905 |
1,391,286 |
1,603,806 |
| MM Directional Alternative Strategies Fund |
4,135,691 |
4,305,690 |
4,179,165 |
| |
Management
Services Fees | ||
| |
2025 |
2024 |
2023 |
| Select Corporate Income Fund |
$8,813,831 |
$8,124,810 |
$7,340,794 |
| Short Duration Municipal Bond Fund |
1,327,636 |
1,776,438 |
2,827,960 |
| Small Cap Value Discovery Fund |
12,206,095 |
10,224,310 |
10,199,208 |
| Total Return Bond Fund |
13,578,390 |
14,224,533 |
12,914,722 |
| U.S. Treasury Index Fund |
3,412,975 |
4,509,179 |
4,563,742 |
| For Funds with fiscal period ending May 31 |
|||
| Adaptive Risk Allocation Fund |
17,066,607 |
21,348,501 |
26,617,496 |
| Commodity Strategy Fund |
1,753,518 |
1,645,564 |
1,998,710 |
| Dividend Income Fund |
218,407,193 |
198,066,762 |
191,792,232 |
| Dividend Opportunity Fund |
13,627,946 |
14,078,019 |
15,253,316 |
| Flexible Capital Income Fund |
7,743,225 |
8,027,477 |
8,863,891 |
| High Yield Bond Fund |
8,621,921 |
8,276,859 |
8,611,302 |
| High Yield Municipal Fund |
2,671,658 |
2,681,622 |
3,031,229 |
| Intrinsic Value Fund |
15,376,718 |
14,565,724 |
14,872,802 |
| MM Value Strategies Fund |
29,904,546 |
27,850,697 |
25,362,399 |
| Mortgage Opportunities Fund |
14,345,650 |
15,228,297 |
18,293,480 |
| Multi Strategy Alternatives Fund |
4,977,996 |
6,146,117 |
7,526,102 |
| Quality Income Fund |
6,652,421 |
6,951,076 |
7,391,344 |
| Select Large Cap Value Fund |
16,008,828 |
15,901,369 |
15,527,963 |
| Select Small Cap Value Fund |
3,558,795 |
3,860,426 |
4,199,119 |
| Seligman Technology and Information Fund |
108,081,392 |
91,097,047 |
72,079,631 |
| For Funds with fiscal period ending July 31 | |||
| Cornerstone Growth Fund |
36,962,704 |
32,464,989 |
26,668,921 |
| Disciplined Core Fund |
29,767,626 |
27,486,210 |
25,348,672 |
| Disciplined Growth Fund |
2,202,678 |
1,863,019 |
1,459,451 |
| Disciplined Value Fund |
1,331,096 |
1,312,555 |
1,319,713 |
| Floating Rate Fund |
4,871,384 |
4,935,589 |
5,022,399 |
| Global Opportunities Fund |
2,223,960 |
2,398,526 |
2,678,343 |
| Government Money Market Fund |
6,708,316 |
4,891,385 |
2,695,687 |
| Income Opportunities Fund |
4,626,181 |
4,714,981 |
4,643,311 |
| MN Tax-Exempt Fund |
2,362,545 |
2,426,712 |
2,652,137 |
| OR Intermediate Municipal Bond Fund |
1,403,974 |
1,400,310 |
1,455,102 |
| Select Short Corporate Income Fund |
2,261,707 |
2,325,191 |
2,700,948 |
| Strategic Municipal Income Fund |
8,339,920 |
7,955,875 |
8,361,523 |
| Total Return Municipal Income Fund |
8,913,359 |
9,462,247 |
10,591,629 |
| Ultra Short Term Bond Fund |
2,323,663 |
2,359,256 |
4,248,451 |
| For Funds with fiscal period ending August 31 | |||
| Balanced Fund |
54,423,598 |
49,197,184 |
43,256,415 |
| Contrarian Core Fund |
87,602,264 |
78,501,488 |
64,886,977 |
| Emerging Markets Bond Fund |
1,658,874 |
1,682,075 |
1,737,596 |
| Emerging Markets Fund |
8,633,933 |
12,176,489 |
13,975,758 |
| Global Technology Growth Fund |
28,414,777 |
23,443,760 |
16,913,487 |
| Greater China Fund |
450,128 |
660,279 |
916,701 |
| |
Management
Services Fees | ||
| |
2025 |
2024 |
2023 |
| Integrated Small Cap Growth Fund |
$194,904 |
$343,233 |
$477,222 |
| International Dividend Income Fund |
4,172,543 |
4,202,408 |
3,762,658 |
| MM Alternative Strategies Fund |
5,267,106 |
4,920,131 |
5,679,340 |
| MM International Equity Strategies Fund |
21,883,722 |
18,786,071 |
18,008,084 |
| MM Small Cap Equity Strategies Fund |
15,966,501 |
12,095,254 |
11,732,407 |
| MM Total Return Bond Strategies Fund |
57,639,253 |
54,180,309 |
46,411,385 |
| Multisector Bond SMA Completion Portfolio(b)
|
N/A |
N/A |
N/A |
| Overseas SMA Completion Portfolio(b) |
N/A |
N/A |
N/A |
| Pyrford International Stock Fund |
2,784,986 |
3,568,060 |
4,068,901 |
| Select Mid Cap Growth Fund |
12,627,129 |
11,506,515 |
11,035,193 |
| Small Cap Growth Fund |
18,343,937 |
14,710,617 |
12,705,278 |
| Strategic Income Fund |
31,610,936 |
29,323,389 |
27,914,133 |
| Ultra Short Duration Municipal Bond Fund |
155,890 |
222,507 |
444,650 |
| For Funds with fiscal period ending October 31 | |||
| Intermediate Duration Municipal Bond Fund |
7,145,433 |
7,413,951 |
7,750,197 |
| MA Intermediate Municipal Bond Fund |
342,283 |
433,912 |
581,589 |
| NY Intermediate Municipal Bond Fund |
424,723 |
515,798 |
633,414 |
| Select Global Equity Fund |
6,190,278 |
6,001,103 |
5,313,477 |
| Seligman Global Technology Fund |
23,129,065 |
20,427,339 |
15,412,703 |
| Strategic CA Municipal Income Fund |
1,484,553 |
1,682,503 |
1,822,917 |
| Strategic NY Municipal Income Fund |
556,734 |
592,487 |
582,758 |
| For Funds with fiscal period ending December 31 | |||
| Acorn European Fund |
283,951(c) |
N/A |
N/A |
| Acorn Fund |
13,290,168(c) |
N/A |
N/A |
| Acorn International Fund |
5,671,159(c) |
N/A |
N/A |
| Acorn International Select Fund |
1,300,406(c) |
N/A |
N/A |
| Real Estate Equity Fund |
1,150,471 |
1,286,738 |
1,489,489 |
| Thermostat Fund |
944,198(c) |
N/A |
N/A |
| Fund |
Current Subadvisers |
Parent
Company/Other
Information |
Fee Schedule or Aggregate Effective
Fee Rate |
| For Funds with fiscal period ending March 31 | |||
| MM Large Cap Growth Strategies Fund |
JPMIM
(since commencement of
operations)
Loomis Sayles
(since commencement of
operations)
Los Angeles Capital
(since commencement of
operations) |
P
A
B |
0.194%(a) |
| For Funds with fiscal period ending April 30 | |||
| MM Directional Alternative Strategies Fund |
Boston Partners
(since commencement of
operations)
Los Angeles Capital
(effective March 12, 2026)
Summit Partners
(since July 24, 2024) |
C
B
U |
0.835%(b) |
| For Funds with fiscal period ending May 31 | |||
| MM Value Strategies Fund |
American Century
(effective May 27, 2025)
Diamond Hill
(effective September 14, 2016) |
E
F |
0.110% |
| Multi Strategy Alternatives Fund |
AQR
(since September 24, 2019)
PGIM Quantitative Solutions
(since September 24, 2019) |
D G |
0.307% |
| Fund |
Current Subadvisers |
Parent
Company/Other
Information |
Fee Schedule or Aggregate Effective
Fee Rate |
| For Funds with fiscal period ending August 31 | |||
| MM Alternative Strategies Fund |
AlphaSimplex (effective May 23, 2018) Crabel (effective January 12, 2022) Manulife (effective September 13, 2017) MidOcean (effective March 5, 2026) TCW
(effective March 29, 2017) |
H
S
I
W
J |
0.429%(c) |
| MM International Equity Strategies Fund |
Arrowstreet
(since commencement of
operations)
Baillie Gifford
(since commencement of
operations)
Causeway
(since commencement of
operations)
Walter Scott
(effective August 13, 2024) |
K
L
M
V |
0.391% |
| MM Small Cap Equity Strategies Fund |
Conestoga
(effective October 1, 2012)
Hotchkis & Wiley
(effective February 13, 2019)
Jacobs Levy
(effective July 18, 2022)
JPMIM
(effective December 19, 2018) |
N
O
T
P |
0.425% |
| MM Total Return Bond Strategies Fund |
Loomis Sayles
(effective April 11, 2016)
PGIM Fixed Income
(effective May 16, 2016)
TCW
(since commencement of
operations)
Voya
(effective December 6, 2018) |
A
Q
J
R |
0.083% |
| Pyrford International Stock Fund |
Pyrford (effective December 10, 2021) |
X |
0.294% on the first $500 million, declining to 0.224% as assets increase |
| |
|
Subadvisory Fees
Paid | ||
| Fund |
Subadviser |
2025 |
2024 |
2023 |
| For Funds with fiscal period ending March 31 | ||||
| Integrated Large Cap Growth Fund II |
Subadvisers |
$9,619,459(a) |
$8,676,620(a) |
$6,875,010(a) |
| MM Large Cap Growth Strategies Fund |
Subadvisers |
N/A(b) |
N/A(b) |
N/A(b) |
| For Funds with fiscal period ending April 30 | ||||
| MM Directional Alternative Strategies Fund |
Subadvisers |
2,054,848(c) |
1,793,586(c) |
2,239,636(c) |
| For Funds with fiscal period ending May 31 |
||||
| MM Value Strategies Fund |
Subadvisers |
5,596,908(d) |
5,576,357(d) |
5,157,438(d) |
| Multi Strategy Alternatives Fund |
Subadvisers |
1,597,898(e) |
1,930,068(e) |
2,441,507(e) |
| For Funds with fiscal period ending August 31 | ||||
| MM Alternative Strategies Fund |
Subadvisers |
1,753,465(f) |
1,684,835(f) |
2,386,542(f) |
| MM International Equity Strategies Fund |
Subadvisers |
11,101,219(g) |
9,530,948(g) |
9,213,316(g) |
| MM Small Cap Equity Strategies Fund |
Subadvisers |
8,424,934(h) |
6,076,857(h) |
4,887,330(h) |
| MM Total Return Bond Strategies Fund |
Subadvisers |
10,987,555(i) |
10,347,218(i) |
9,004,367(i) |
| Pyrford International Stock Fund |
Pyrford |
946,255 |
1,215,790 |
1,385,446 |
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| For Funds with fiscal year ending January 31 – Information is as of
January 31, 2026, unless otherwise noted | |||||||
| Capital Allocation Aggressive Portfolio |
Dan Boncarosky |
20 RICs
25 PIVs
68 other
accounts |
$61.13 billion
$6.34 billion
$117.68 million |
None |
$1 –
$10,000(b) |
Columbia
Management –
FoF |
Columbia Management |
| Thomas Nakamura |
5 RICs
26 PIVs
57 other
accounts |
$3.65 billion
$6.48 billion
$115.48 million |
None |
$10,001 –
$50,000(a) $10,001 – $50,000(b) | |||
| Capital Allocation Conservative Portfolio |
Dan Boncarosky |
20 RICs
25 PIVs
68 other
accounts |
$62.39 billion
$6.34 billion
$117.68 million |
None |
None |
Columbia
Management –
FoF |
Columbia Management |
| Thomas Nakamura |
5 RICs
26 PIVs
57 other
accounts |
$4.91 billion
$6.48 billion
$115.48 million |
None |
None | |||
| Capital Allocation Moderate Aggressive Portfolio |
Dan Boncarosky |
20 RICs
25 PIVs
68 other
accounts |
$60.76 billion
$6.34 billion
$117.68 million |
None |
$10,001 –
$50,000(a) |
Columbia Management – FoF |
Columbia Management |
| Thomas Nakamura |
5 RICs 26 PIVs 57 other accounts |
$3.28 billion $6.48 billion $115.48 million |
None |
None | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Capital Allocation Moderate Conservative Portfolio |
Dan Boncarosky |
20 RICs
25 PIVs
68 other
accounts |
$62.21 billion
$6.34 billion
$117.68 million |
None |
None |
Columbia
Management –
FoF |
Columbia Management |
| Thomas Nakamura |
5 RICs
26 PIVs
57 other
accounts |
$4.73 billion
$6.48 billion
$115.48 million |
None |
None | |||
| Capital Allocation Moderate Portfolio |
Dan Boncarosky |
20 RICs
25 PIVs
68 other
accounts |
$61.49 billion
$6.34 billion
$117.68 million |
None |
None |
Columbia
Management –
FoF |
Columbia Management |
| Thomas Nakamura |
5 RICs
26 PIVs
57 other
accounts |
$4.01 billion
$6.48 billion
$115.48 million |
None |
None | |||
| Income Builder Fund |
Alex Christensen |
6 RICs
4 PIVs
990 other
accounts |
$13.58 billion
$955.49 million
$2.12 billion |
None |
None |
Columbia
Management –
IB |
Columbia Management |
| Gene Tannuzzo |
7 RICs
3 PIVs
832 other
accounts |
$14.03 billion
$395.97 million
$1.90 billion |
None |
$100,001 –
$500,000(a) |
|||
| For Funds with fiscal year ending February 28/29 – Information is as of
February 28, 2026, unless otherwise noted | |||||||
| Convertible Securities Fund |
Yan Jin |
4 RICs
1 PIV
10 other
accounts |
$6.64 billion
$20.61 million
$9.01 million |
None |
Over $1,000,000(a)
$50,001 –
$100,000(b) |
Columbia
Management |
Columbia Management |
| David King |
4 RICs
1 PIV
8 other
accounts |
$6.64 billion
$20.61 million
$37.85 million |
None |
Over $1,000,000(a)
$100,001 –
$500,000(b) | |||
| Grace Lee |
4 RICs
1 PIV
9 other
accounts |
$6.64 billion
$20.61 million
$6.15 million |
None |
$100,001 –
$500,000(a) $50,001 – $100,000(b) | |||
| Cornerstone Equity
Fund |
Michael Guttag |
6 RICs
2 PIVs
291 other
accounts |
$13.71 billion
$251.56 million
$1.44 billion |
None |
$50,001 –
$100,000(a) $50,001 – $100,000(b) |
Columbia
Management |
Columbia Management |
| Tiffany Wade |
7 RICs
5 PIVs
292 other
accounts |
$14.59 billion $1.61 billion $1.44 billion |
None |
$100,001 –
$500,000(a) $10,001 – $50,000(b) | |||
| Global Value Fund |
Fred Copper |
6 RICs
2 PIVs
95 other
accounts |
$12.50 billion
$393.84 million
$1.19 billion |
None |
$50,001 –
$100,000(b) |
Columbia Management |
Columbia Management |
| Peter Schroeder |
5 other accounts |
$2.63 million |
None |
$50,001 –
$100,000(b) | |||
| Tiffany Wade |
7 RICs 5 PIVs 292 other accounts |
$15.28 billion
$1.61 billion
$1.44 billion |
None |
$50,001 – $100,000(b) | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Large Cap Enhanced Core
Fund |
Oleg Nusinzon |
11 RICs
5 PIVs
68 other
accounts |
$12.01 billion
$369.11 million
$18.03 billion |
4 other
accounts
($2.55 B) |
None |
Columbia
Management |
Columbia Management |
| Raghavendran
Sivaraman |
11 RICs
5 PIVs
65 other
accounts |
$12.01 billion
$369.11 million
$18.05 billion |
4 other
accounts
($2.55 B) |
$10,001 –
$50,000(b) | |||
| Large Cap Growth
Opportunity Fund |
Michael Guttag |
6 RICs
2 PIVs
291 other
accounts |
$14.07 billion
$251.56 million
$1.44 billion |
None |
None |
Columbia
Management |
Columbia Management |
| Tiffany Wade |
7 RICs
5 PIVs
292 other
accounts |
$14.95 billion $1.61 billion $1.44 billion |
None |
$10,001 –
$50,000(b) | |||
| Large Cap Index Fund |
Christopher Lo |
17 RICs
9 other
accounts |
$15.52 billion
$3.96 million |
None |
$10,001 –
$50,000(b) |
Columbia
Management |
Columbia Management |
| Shirley Wang |
3 RICs
2 other
accounts |
$7.60 billion
$1.52 million |
None |
None | |||
| Mid Cap Index Fund |
Christopher Lo |
17 RICs
9 other
accounts |
$15.96 billion
$3.96 million |
None |
$10,001 –
$50,000(b) |
Columbia
Management |
Columbia Management |
| Shirley Wang |
3 RICs
2 other
accounts |
$8.04 billion
$1.52 million |
None |
None | |||
| Overseas Core
Fund |
Fred Copper |
6 RICs
2 PIVs
95 other
accounts |
$12.37 billion
$393.84 million
$1.19 billion |
None |
$50,001 –
$100,000(b) |
Columbia
Management |
Columbia Management |
| Paul DiGiacomo |
5 RICs
2 PIVs
100 other
accounts |
$11.48 billion
$393.84 million
$1.19 billion |
None |
None | |||
| Daisuke Nomoto |
5 RICs
8 PIVs
96 other
accounts |
$11.48 billion $2.79 billion $2.29 billion |
1 other
account
($376.54 M) |
None | |||
| Overseas Value
Fund |
Fred Copper |
6 RICs
2 PIVs
95 other
accounts |
$6.53 billion
$393.84 million
$1.19 billion |
None |
$100,001 –
$500,000(b) |
Columbia Management |
Columbia Management |
| Paul DiGiacomo |
5 RICs
2 PIVs
100 other
accounts |
$5.64 billion
$393.84 million
$1.19 billion |
None |
$50,001 –
$100,000(b) | |||
| Daisuke Nomoto |
5 RICs 8 PIVs 96 other accounts |
$5.64 billion
$2.79 billion
$2.29 billion |
1 other account ($376.54 M) |
$100,001 – $500,000(b) | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Select Mid Cap Value Fund |
Kari Montanus |
3 RICs
1 PIV
17 other
accounts |
$795.54 million $28.52 million $370.52 million |
1 other
account
($346.48 M) |
$100,001 –
$500,000(b) |
Columbia
Management |
Columbia Management |
| Jonas Patrikson |
3 RICs
1 PIV
14 other
accounts |
$795.54 million $28.52 million $352.02 million |
1 other
account
($346.48 M) |
$50,001 –
$100,000(a) | |||
| Small Cap Index Fund |
Christopher Lo |
17 RICs
9 other
accounts |
$15.99 billion
$3.96 million |
None |
None |
Columbia
Management |
Columbia Management |
| Shirley Wang |
3 RICs
2 other
accounts |
$8.06 billion
$1.52 million |
None |
None | |||
| Small Cap Value
and Inflection Fund |
Jeremy Javidi |
3 RICs
2 PIVs
15 other
accounts |
$2.59 billion
$447.29 million
$75.09 million |
None |
Over $1,000,000(a) |
Columbia
Management |
Columbia Management |
| C. Bryan Lassiter |
3 RICs
2 PIVs
9 other
accounts |
$2.59 billion
$447.29 million
$71.04 million |
None |
$50,001 –
$100,000(a) $10,001 – $50,000(b) | |||
| For Funds with fiscal year ending March 31 – Information is as of March
31, 2025, unless otherwise noted | |||||||
| Integrated Large Cap Growth Fund II |
Jason Hans(e) |
4 RICs
2 PIVs
52 other
accounts |
$637.07 million
$93.26 million
$5.69 billion |
None |
None |
Columbia
Management |
Columbia Management |
| |
Oleg Nusinzon(e) |
11 RICs
5 PIVs
66 other
accounts |
$12.19 billion
$446.54 million
$16.08 billion |
4 other
accounts
($2.41 B) |
None | ||
| |
Raghavendran
Sivaraman(e) |
11 RICs
5 PIVs
66 other
accounts |
$12.19 billion
$446.54 million
$16.10 billion |
4 other
accounts
($2.41 B) |
None | ||
| MM Large Cap
Growth Strategies Fund |
JPMIM:
Giri Devulapally(d) |
12 RICs
7 PIVs
290 other
accounts |
$117.76 billion
$22.18 billion
$14.64 billion |
None |
None |
JPMIM |
JPMIM |
| |
Larry Lee(d) |
16 RICs
7 PIVs
29 other
accounts |
$131.36 billion
$24.01 billion
$16.36 billion |
1 other
account
($100.00 M) |
None |
|
|
| |
Robert Maloney(d) |
9 RICs
6 PIVs
20 other
accounts |
$109.60 billion
$22.15 billion
$12.71 billion |
None |
None |
|
|
| |
Holly Morris(d) |
9 RICs
6 PIVs
20 other
accounts |
$109.60 billion
$22.15 billion
$12.71 billion |
None |
None |
|
|
| |
Joseph Wilson(d) |
11 RICs 7 PIVs 247 other accounts |
$110.88 billion $30.14 billion $13.41 billion |
None |
None |
|
|
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| |
Loomis Sayles:
Aziz
Hamzaogullari(d) |
30 RICs
22 PIVs
147 other
accounts |
$29.12 billion
$18.63 billion
$40.39 billion |
3 PIVs
($426.69 M)
1 other
account
($343.66 M) |
None |
Loomis
Sayles |
Loomis
Sayles |
| |
Los Angeles
Capital:
Daniel Allen(d) |
16 RICs
22 PIVs
32 other
accounts |
$4.89 billion
$14.04 billion
$6.63 billion |
5 PIVs
($2.04 B)
9 other
accounts
($3.19 B) |
None |
Los Angeles Capital |
Los Angeles Capital |
| |
Daniel Arche(d) |
10 RICs
8 PIVs
14 other
accounts |
$3.83 billion
$3.81 billion
$2.23 billion |
3 PIVs
($1.61 B)
1 other
account
($24.87 M) |
None |
|
|
| |
Hal Reynolds(d) |
17 RICs
22 PIVs
38 other
accounts |
$9.57 billion
$14.04 billion
$6.65 billion |
1 RIC
($5.22 B)
5 PIVs
($2.04 B)
9 other
accounts
($3.19 B) |
None |
|
|
| |
Thomas Stevens(d) |
9 RICs
15 PIVs
28 other
accounts |
$2.68 billion
$12.13 billion
$6.62 billion |
2 PIVs
($705.07 M)
9 other
accounts
($3.19 B) |
None |
|
|
| Select Large Cap Growth Fund |
Michael Guttag(h) |
6 RICs
1 PIV
17 other
accounts |
$15.63 billion
$33.49 million
$844.14 million |
None |
None |
Columbia
Management |
Columbia Management |
| Tiffany Wade(h) |
7 RICs
4 PIVs
18 other
accounts |
$16.49 billion
$1.48 billion
$845.61 million |
None |
None | |||
| Short Term Bond Fund |
Gregory Liechty |
6 RICs
12 PIVs
75 other
accounts |
$5.56 billion
$1.51 billion
$3.38 billion |
None |
Over
$1,000,000(a) $50,001 – $100,000(b) |
Columbia
Management |
Columbia Management |
| Ronald Stahl |
6 RICs
12 PIVs
83 other
accounts |
$5.59 billion
$1.51 billion
$4.41 billion |
None |
$50,001 –
$100,000(a) $10,001 – $50,000(b) | |||
| For Funds with fiscal year ending April 30 – Information is as of April
30, 2025, unless otherwise noted | |||||||
| CA
Intermediate Municipal Bond
Fund |
Travis Bates |
13 RICs
4 other
accounts |
$7.69 billion
$0.46 million |
None |
None |
Columbia Management |
Columbia Management |
| Paul Fox |
6 RICs
9 other
accounts |
$2.33 billion
$17.58 million |
None |
None | |||
| Douglas Rangel |
13 RICs 6 other accounts |
$7.69 billion $48.98 million |
None |
None | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| MM
Directional Alternative Strategies Fund |
Boston Partners:
Scott Burgess |
1 RIC
1 PIV |
$504.45 million
$548.10 million |
None |
None |
Boston Partners |
Boston Partners |
| |
Joseph F. Feeney,
Jr. |
5 RICs
5 PIVs |
$933.08 million
$933.08 million |
None |
None |
|
|
| |
Los Angeles
Capital:
Daniel Allen(j) |
17 RICs
19 PIVs
30 other
accounts |
$7.54 billion
$11.58 billion
$7.52 billion |
6 PIVs
($2.75 B)
9 other
accounts
($5.07 B) |
None |
Los Angeles Capital |
Los Angeles Capital |
| |
Daniel Arche(j) |
12 RICs
8 PIVs
11 other
accounts |
$6.63 billion
$4.64 billion
$850.70 million |
4 PIVs
($2.14 B)
1 other
account
($21.76 M) |
None |
|
|
| |
Hal Reynolds(j) |
18 RICs
19 PIVs
36 other
accounts |
$10.53 billion
$11.58 billion
$7.56 billion |
1 RIC
($5.77 B)
6 PIVs
($2.75 B)
9 other
accounts
($5.07 B) |
None |
|
|
| |
Summit Partners:
Philip C. Furse |
4 PIVs
1 other
account |
$268.00 million
$247.00 million |
4 PIVs
($268.00 M)
1 other
account
($247.00 M) |
None |
Summit
Partners |
Summit
Partners |
| Select Corporate Income
Fund |
John Dawson |
7 RICs
1 PIV
23 other
accounts |
$3.06 billion
$28.53 million
$3.72 billion |
None |
$10,001 –
$50,000(a) $50,001 – $100,000(b) |
Columbia Management |
Columbia Management |
| |
Tom Murphy |
8 RICs
17 PIVs
30 other
accounts |
$3.06 billion
$32.93 billion
$3.75 billion |
None |
Over
$1,000,000(a) $100,001 – $500,000(b) |
|
|
| |
Royce Wilson |
7 RICs
1 PIV
22 other
accounts |
$3.06 billion
$28.53 million
$3.72 billion |
None |
$50,001 –
$100,000(a) $50,001 – $100,000(b) |
|
|
| Short
Duration Municipal Bond
Fund |
Travis Bates |
13 RICs
4 other
accounts |
$7.69 billion
$0.46 million |
None |
None |
Columbia Management |
Columbia Management |
| Paul Fox |
6 RICs
9 other
accounts |
$2.33 billion
$17.58 million |
None |
None | |||
| Douglas Rangel |
13 RICs 6 other accounts |
$7.69 billion $48.98 million |
None |
$10,001 – $50,000(b) | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Small Cap Value
Discovery Fund |
Jeremy Javidi |
3 RICs
2 PIVs
14 other
accounts |
$1.26 billion
$386.96 million
$56.28 million |
None |
Over
$1,000,000(a) |
Columbia
Management |
Columbia Management |
| C. Bryan Lassiter |
3 RICs
2 PIVs
9 other
accounts |
$1.26 billion
$386.96 million
$50.92 million |
None |
$100,001 –
$500,000(a) $1 – $10,000(b) | |||
| Total Return Bond Fund |
Ed Al-Hussainy(f) |
6 other
accounts |
$2.35 million |
None |
None |
Columbia Management |
Columbia Management |
| |
Jason Callan |
14 RICs
12 PIVs
354 other
accounts |
$18.68 billion
$28.75 billion
$1.75 billion |
1 other
account
($335.08 M) |
$100,001 –
$500,000(a) |
|
|
| |
Alex Christensen |
6 RICs
3 PIVs
501 other
accounts |
$10.58 billion
$356.94 million
$1.91 billion |
None |
$100,001 –
$500,000(a) $10,001 – $50,000(b) |
|
|
| |
Gene Tannuzzo |
7 RICs
3 PIVs
351 other
accounts |
$10.92 billion
$356.94 million
$1.68 billion |
None |
$100,001 –
$500,000(a) |
|
|
| U.S. Treasury Index Fund |
David Janssen |
5 RICs
144 other
accounts |
$504.15 million
$31.96 million |
None |
None |
Columbia
Management |
Columbia Management |
| For Funds with fiscal year ending May 31 – Information is as of May 31,
2025, unless otherwise noted | |||||||
| Adaptive Risk
Allocation Fund |
Joshua Kutin |
21 RICs
3 PIVs
41 other
accounts |
$56.01 billion
$0.10 million
$6.79 million |
None |
$100,001 –
$500,000(a) |
Columbia
Management;
Columbia
Management – FoF |
Columbia Management |
| Alexander Wilkinson |
3 PIVs
4 other
accounts |
$0.10 million
$21.57 million |
None |
$10,001 –
$50,000(a) $10,001 – $50,000(b) | |||
| Commodity
Strategy Fund |
John Dempsey |
2 RICs
16 other
accounts |
$118.93 million
$704.72 million |
None |
None |
Columbia Management |
Columbia Management |
| |
Matthew Ferrelli |
4 RICs
1 PIV
3 other
accounts |
$705.72 million
$172.78 million
$0.56 million |
None |
None |
|
|
| |
Marc Khalamayzer |
4 RICs
1 PIV
7 other
accounts |
$705.72 million
$172.78 million
$1.38 million |
None |
$1 –
$10,000(b) |
|
|
| |
Gregory Liechty |
6 RICs
12 PIVs
77 other
accounts |
$6.77 billion
$1.44 billion
$3.29 billion |
None |
None |
|
|
| |
Ronald Stahl |
6 RICs 12 PIVs 84 other accounts |
$6.81 billion $1.44 billion $4.37 billion |
None |
$10,001 – $50,000(b) |
|
|
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Dividend Income
Fund |
Michael Barclay |
1 RIC
1 PIV
547 other
accounts |
$4.98 billion
$3.40 billion
$2.93 billion |
None |
Over
$1,000,000(a) $500,001 – $1,000,000(b) |
Columbia
Management |
Columbia Management |
| Tara Gately |
1 RIC
1 PIV
547 other
accounts |
$4.98 billion
$3.40 billion
$2.93 billion |
None |
Over
$1,000,000(a) $50,001 – $100,000(b) | |||
| Andrew Wright |
1 RIC
1 PIV
550 other
accounts |
$4.98 billion
$3.40 billion
$2.92 billion |
None |
$50,001 –
$100,000(b) | |||
| Dividend Opportunity Fund |
Yan Jin |
4 RICs
1 PIV
14 other
accounts |
$5.01 billion
$20.12 million
$534.56 million |
None |
$500,001 –
$1,000,000(a) $50,001 – $100,000(b) |
Columbia
Management |
Columbia Management |
| David King |
4 RICs
1 PIV
10 other
accounts |
$5.01 billion
$20.12 million
$560.69 million |
None |
Over
$1,000,000(a) $100,001 – $500,000(b) | |||
| Grace Lee |
4 RICs
1 PIV
12 other
accounts |
$5.01 billion
$20.12 million
$532.00 million |
None |
$500,001 –
$1,000,000(a) $500,001 – $1,000,000(b) | |||
| Flexible Capital Income Fund |
Yan Jin |
4 RICs
1 PIV
14 other
accounts |
$5.88 billion
$20.12 million
$534.56 million |
None |
Over
$1,000,000(a) $50,001 – $100,000(b) |
Columbia
Management |
Columbia Management |
| David King |
4 RICs
1 PIV
10 other
accounts |
$5.88 billion
$20.12 million
$560.69 million |
None |
Over
$1,000,000(a) $100,001 – $500,000(b) | |||
| Grace Lee |
4 RICs
1 PIV
12 other
accounts |
$5.88 billion
$20.12 million
$532.00 million |
None |
$100,001 –
$500,000(a) $100,001 – $500,000(b) | |||
| High Yield Bond Fund |
Daniel DeYoung |
5 RICs
2 PIVs
7 other
accounts |
$2.28 billion
$12.68 billion
$475.15 million |
None |
$100,001 –
$500,000(a) $10,001 – $50,000(b) |
Columbia
Management |
Columbia Management |
| Spencer Sutcliffe |
3 RICs
13 other
accounts |
$1.49 billion
$1.19 billion |
None |
None | |||
| High Yield Municipal Fund |
Travis Bates |
13 RICs
4 other
accounts |
$7.44 billion
$0.48 million |
None |
None |
Columbia Management |
Columbia Management |
| Douglas Rangel |
13 RICs
6 other
accounts |
$7.44 billion
$45.77 million |
None |
None | |||
| Shannon Rinehart |
6 RICs 8 other accounts |
$4.84 billion $1.61 million |
None |
$10,001 – $50,000(b) | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Intrinsic Value Fund |
Richard Taft(h) |
3 RICs
2 PIVs
267 other
accounts |
$5.50 billion
$876.80 million
$3.63 billion |
None |
None |
Columbia
Management |
Columbia Management |
| Jeffrey Wimmer(h) |
3 RICs
2 PIVs
271 other
accounts |
$5.50 billion
$876.80 million
$3.63 billion |
None |
None | |||
| MM Value Strategies Fund |
American Century:
Matthew Dubin |
40 RICs
1 PIV
15 other
accounts |
$68.52 billion
$280.22 million
$225.08 million |
None |
None |
American Century |
American Century |
| |
Mitchell Firestein |
40 RICs
1 PIV
15 other
accounts |
$68.52 billion
$280.22 million
$225.08 million |
None |
None |
|
|
| |
Daniel Ong |
45 RICs
1 PIV
15 other
accounts |
$70.46 billion
$280.22 million
$225.08 million |
None |
None | ||
| |
Ted Randall |
40 RICs
1 PIV
15 other
accounts |
$68.52 billion
$280.22 million
$225.08 million |
None |
None | ||
| |
Eduardo Repetto |
45 RICs
1 PIV
15 other
accounts |
$70.46 billion
$280.22 million
$225.08 million |
None |
None |
|
|
| |
Columbia
Management:
Michael Barclay |
1 RIC
1 PIV
547 other
accounts |
$42.03 billion
$3.40 billion
$2.93 billion |
None |
None |
Columbia Management |
Columbia Management |
| |
Tara Gately |
1 RIC
1 PIV
547 other
accounts |
$42.03 billion
$3.40 billion
$2.93 billion |
None |
None |
|
|
| |
Andrew Wright |
1 RIC
1 PIV
550 other
accounts |
$42.03 billion
$3.40 billion
$2.92 billion |
None |
None | ||
| |
Diamond Hill:
Austin Hawley |
4 RICs
4 PIVs
86 other
accounts |
$9.04 billion
$1.82 billion
$4.89 billion |
None |
None |
Diamond
Hill |
Diamond
Hill |
| Mortgage
Opportunities Fund |
Jason Callan |
13 RICs
12 PIVs
427 other
accounts |
$19.20 billion
$27.90 billion
$1.76 billion |
1 other
account
($330.96 M) |
$100,001 –
$500,000(b) |
Columbia Management |
Columbia Management |
| |
Tom Heuer |
3 RICs 5 other accounts |
$2.74 billion $8.45 million |
None |
$100,001 – $500,000(a)
$50,001 –
$100,000(b) |
|
|
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| |
Ryan Osborn |
4 RICs
6 other
accounts |
$2.80 billion
$6.35 million |
None |
$500,001 –
$1,000,000(a) $100,001 – $500,000(b) |
|
|
| Multi
Strategy Alternatives Fund |
Dan Boncarosky |
20 RICs
28 PIVs
64 other
accounts |
$60.15 billion
$5.69 billion
$112.60 million |
None |
None |
Columbia Management |
Columbia Management |
| |
Jason Callan |
13 RICs
12 PIVs
427 other
accounts |
$21.26 billion
$27.90 billion
$1.76 billion |
1 other
account
($330.96 M) |
None |
|
|
| |
Matthew Ferrelli |
4 RICs
1 PIV
3 other
accounts |
$464.74 million
$172.78 million
$0.56 million |
None |
None |
|
|
| |
Tom Heuer |
3 RICs
5 other
accounts |
$4.80 billion
$8.45 million |
None |
None |
|
|
| |
Marc Khalamayzer |
4 RICs
1 PIV
7 other
accounts |
$464.74 million
$172.78 million
$1.38 million |
None |
$10,001 –
$50,000(b) |
|
|
| |
Joshua Kutin |
21 RICs
3 PIVs
41 other
accounts |
$57.89 billion
$0.10 million
$6.79 million |
None |
None |
|
|
| |
Corey Lorenzen |
2 RICs
16 other
accounts |
$1.22 billion
$3.59 million |
None |
None |
|
|
| |
Ryan Osborn |
4 RICs
6 other
accounts |
$4.85 billion
$6.35 million |
None |
None |
|
|
| |
Brian Virginia |
15 RICs
8 other
accounts |
$55.43 billion
$5.41 million |
None |
None |
|
|
| |
AQR:
Cliff Asness |
25 RICs
26 PIVs
44 other
accounts |
$21.47 billion
$11.86 billion
$20.94 billion |
19 PIVs
($9.01 B)
15 other
accounts
($9.17 B) |
None |
AQR |
AQR |
| |
Jordan Brooks |
11 RICs
10 PIVs
11 other
accounts |
$8.96 billion
$926.23 million
$7.31 billion |
6 PIVs
($570.89 M)
4 other
accounts
($3.84 B) |
None |
|
|
| Jonathan Fader |
1 RIC 2 PIVs |
$436.61 million $65.57 million |
1 PIV ($65.52 M) |
None |
|
| |
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| |
John Huss |
31 RICs
24 PIVs
38 other
accounts |
$22.27 billion
$7.32 billion
$18.56 billion |
1 RIC
($148.55 M)
20 PIVs
($6.57 B)
10 other accounts ($7.61 B) |
None |
|
|
| |
John Liew |
9 RICs
17 PIVs
13 other
accounts |
$5.57 billion
$7.91 billion
$7.31 billion |
11 PIVs
($5.67 B)
7 other
accounts
($5.14 B) |
None |
|
|
| |
PGIM Quantitative
Solutions:
Marco Aiolfi |
67 RICs
1 PIV
1 other
account |
$44.72 billion
$40.29 million
$258.20 million |
None |
None |
PGIM Quantitative
Solutions |
PGIM Quantitative Solutions |
| |
Edward Tostanoski
III |
37 RICs
2 PIVs
1 other
account |
$45.77 billion
$119.75 million
$258.20 million |
None |
None | ||
| Quality Income
Fund |
Jason Callan |
13 RICs
12 PIVs
427 other
accounts |
$20.11 billion
$27.90 billion
$1.76 billion |
1 other
account
($330.96 M) |
None |
Columbia
Management |
Columbia Management |
| Tom Heuer |
3 RICs
5 other
accounts |
$3.65 billion
$8.45 million |
None |
$100,001 –
$500,000(a) $10,001 – $50,000(b) | |||
| Ryan Osborn |
4 RICs
6 other
accounts |
$3.71 billion
$6.35 million |
None |
$50,001 –
$100,000(b) | |||
| Select Large Cap Value Fund |
Richard Taft |
2 RICs
2 PIVs
277 other
accounts |
$2.46 billion
$774.30 million
$3.31 billion |
None |
$100,001 –
$500,000(a) $100,001 – $500,000(b) |
Columbia
Management |
Columbia Management |
| Jeffrey Wimmer |
2 RICs
2 PIVs
282 other
accounts |
$2.46 billion
$774.30 million
$3.31 billion |
None |
$100,001 –
$500,000(a) $10,001 – $50,000(b) | |||
| Select Small Cap Value Fund |
Kari Montanus |
3 RICs
1 PIV
18 other
accounts |
$2.69 billion
$21.26 million
$340.68 million |
None |
$10,001 –
$50,000(b) |
Columbia
Management |
Columbia Management |
| Jonas Patrikson |
3 RICs
1 PIV
13 other
accounts |
$2.69 billion
$21.26 million
$325.00 million |
None |
$50,001 –
$100,000(b) | |||
| Seligman Technology and
Information Fund |
Sanjay Devgan |
2 RICs
154 other
accounts |
$2.51 billion
$65.52 million |
None |
Over
$1,000,000(a) |
Columbia Management |
Columbia Management– Tech Team |
| Israel Hernandez |
153 other accounts |
$50.86 million |
None |
None |
|
| |
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| |
Jeetil Patel |
1 RIC
159 other
accounts |
$471.17 million
$59.50 million |
None |
$10,001 –
$50,000(a) |
|
|
| |
Vimal Patel |
3 RICs
1 PIV
158 other
accounts |
$2.98 billion
$896.78 million
$744.59 million |
None |
$100,001 –
$500,000(a) |
|
|
| |
Shekhar Pramanick |
3 RICs
156 other
accounts |
$2.98 billion
$70.30 million |
None |
Over
$1,000,000(a) |
|
|
| |
Paul Wick |
3 RICs
3 PIVs
160 other
accounts |
$2.98 billion
$2.37 billion
$2.11 billion |
2 PIVs
($1.47 B)
2 other accounts ($1.26 B) |
Over
$1,000,000(a) |
|
|
| For Funds with fiscal year ending July 31 – Information is as of July 31,
2025, unless otherwise noted | |||||||
| Cornerstone Growth
Fund |
Michael Guttag |
5 RICs
1 PIV
18 other
accounts |
$9.00 billion
$31.27 million
$815.33 million |
None |
$50,001 –
$100,000(b) |
Columbia
Management |
Columbia Management |
| Tiffany Wade |
6 RICs
4 PIVs
19 other
accounts |
$9.83 billion
$1.61 billion
$816.66 million |
None |
$100,001 –
$500,000(a) $100,001 – $500,000(b) | |||
| Disciplined Core Fund |
Oleg Nusinzon |
11 RICs
5 PIVs
65 other
accounts |
$7.50 billion
$455.94 million
$16.43 billion |
4 other accounts ($2.45 B) |
$100,001 –
$500,000(b) |
Columbia
Management |
Columbia Management |
| Raghavendran
Sivaraman |
11 RICs
5 PIVs
63 other
accounts |
$7.50 billion
$455.94 million
$16.44 billion |
4 other accounts ($2.45 B) |
$50,001 –
$100,000(b) | |||
| Disciplined Growth Fund |
Oleg Nusinzon |
11 RICs
5 PIVs
65 other
accounts |
$12.05 billion
$455.94 million
$16.43 billion |
4 other accounts ($2.45 B) |
None |
Columbia
Management |
Columbia Management |
| Raghavendran
Sivaraman |
11 RICs
5 PIVs
63 other
accounts |
$12.05 billion
$455.94 million
$16.44 billion |
4 other accounts ($2.45 B) |
$10,001 –
$50,000(b) | |||
| Disciplined Value Fund |
Oleg Nusinzon |
11 RICs
5 PIVs
65 other
accounts |
$12.18 billion
$455.94 million
$16.43 billion |
4 other accounts ($2.45 B) |
None |
Columbia Management |
Columbia Management |
| Raghavendran Sivaraman |
11 RICs 5 PIVs 63 other accounts |
$12.18 billion $455.94 million $16.44 billion |
4 other
accounts
($2.45 B) |
$50,001 – $100,000(b) | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Floating Rate Fund |
Daniel DeYoung |
5 RICs
2 PIVs
9 other
accounts |
$2.95 billion
$11.89 billion
$377.76 million |
None |
$10,001 –
$50,000(b) |
Columbia
Management |
Columbia Management |
| Stanton Ray |
10 PIVs
13 other
accounts |
$3.04 billion
$40.02 million |
None |
Over
$1,000,000(a) $100,001 – $500,000(b) | |||
| Vesa Tontti |
2 PIVs
8 other
accounts |
$11.89 billion
$33.32 million |
None |
$10,001 –
$50,000(a) $100,001 – $500,000(b) | |||
| Global Opportunities
Fund |
Dan Boncarosky |
20 RICs
28 PIVs
64 other
accounts |
$61.09 billion
$5.89 billion
$116.56 million |
None |
$1 –
$10,000(b) |
Columbia
Management |
Columbia Management |
| Thomas Nakamura |
5 RICs
29 PIVs
53 other
accounts |
$4.57 billion
$6.04 billion
$114.63 million |
None |
$10,001 –
$50,000(a) $10,001 – $50,000(b) | |||
| Income Opportunities Fund |
Daniel DeYoung |
5 RICs
2 PIVs
9 other
accounts |
$2.98 billion
$11.89 billion
$377.76 million |
None |
None |
Columbia
Management |
Columbia Management |
| Spencer Sutcliffe |
3 RICs
13 other
accounts |
$2.19 billion
$1.39 billion |
None |
None | |||
| MN Tax-Exempt Fund |
Travis Bates |
13 RICs
4 other
accounts |
$7.32 billion
$0.50 million |
None |
None |
Columbia
Management |
Columbia Management |
| Douglas Rangel |
13 RICs
6 other
accounts |
$7.32 billion
$43.36 million |
None |
None | |||
| Shannon Rinehart |
6 RICs
8 other
accounts |
$4.70 billion
$1.97 million |
None |
$10,001 –
$50,000(a) | |||
| OR
Intermediate Municipal Bond
Fund |
Travis Bates |
13 RICs
4 other
accounts |
$7.50 billion
$0.50 million |
None |
None |
Columbia Management |
Columbia Management |
| Paul Fox |
6 RICs
9 other
accounts |
$2.34 billion
$22.77 million |
None |
None | |||
| Douglas Rangel |
13 RICs 6 other accounts |
$7.50 billion $43.36 million |
None |
None | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Select Short
Corporate Income Fund |
John Dawson |
8 RICs
1 PIV
23 other
accounts |
$4.36 billion
$28.86 million
$3.72 billion |
None |
$50,001 –
$100,000(a) $50,001 – $100,000(b) |
Columbia
Management |
Columbia Management |
| Tom Murphy |
8 RICs
17 PIVs
30 other
accounts |
$4.36 billion
$35.00 billion
$3.76 billion |
None |
$500,001 –
$1,000,000(b) | |||
| Royce Wilson |
8 RICs
1 PIV
22 other
accounts |
$4.36 billion
$28.86 million
$3.72 billion |
None |
$50,001 –
$100,000(a) $10,001 – $50,000(b) | |||
| Strategic Municipal Income Fund |
Travis Bates |
13 RICs
4 other
accounts |
$6.15 billion
$0.50 million |
None |
None |
Columbia
Management |
Columbia Management |
| Douglas Rangel |
13 RICs
6 other
accounts |
$6.15 billion
$43.36 million |
None |
$10,001 –
$50,000(b) | |||
| Shannon Rinehart |
6 RICs
8 other
accounts |
$3.53 billion
$1.97 million |
None |
$50,001 –
$100,000(b) | |||
| Total Return Municipal Income
Fund |
Travis Bates |
13 RICs
4 other
accounts |
$6.04 billion
$0.50 million |
None |
None |
Columbia
Management |
Columbia Management |
| Douglas Rangel |
13 RICs
6 other
accounts |
$6.04 billion
$43.36 million |
None |
None | |||
| Shannon Rinehart |
6 RICs
8 other
accounts |
$3.41 billion
$1.97 million |
None |
None | |||
| Ultra Short Term Bond Fund |
Gregory Liechty |
6 RICs
12 PIVs
79 other
accounts |
$6.04 billion
$1.40 billion
$3.31 billion |
None |
$50,001–
$100,000(a) |
Columbia
Management |
Columbia Management |
| Ronald Stahl |
7 RICs
12 PIVs
90 other
accounts |
$6.08 billion
$1.40 billion
$4.44 billion |
None |
$50,001 –
$100,000(a) $10,001 – $50,000(b) | |||
| For Funds with fiscal year ending August 31 – Information is as of August
31, 2025, unless otherwise noted | |||||||
| Balanced Fund |
Jason Callan |
13 RICs
12 PIVs
573 other
accounts |
$18.91 billion
$28.21 billion
$1.80 billion |
1 other account ($342.06 M) |
None |
Columbia Management |
Columbia Management |
| |
Gregory Liechty |
6 RICs
12 PIVs
79 other
accounts |
$4.11 billion
$1.40 billion
$3.23 billion |
None |
$500,001 –
$1,000,000(a) |
|
|
| |
Guy Pope |
6 RICs
7 PIVs
69 other
accounts |
$18.34 billion $2.04 billion $4.12 billion |
2 other accounts ($3.03 B) |
Over
$1,000,000(a) |
|
|
| |
Ronald Stahl |
6 RICs 12 PIVs 87 other accounts |
$4.14 billion $1.40 billion $4.35 billion |
None |
$500,001 – $1,000,000(a)
$50,001 –
$100,000(b) |
|
|
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Contrarian Core Fund |
Harvey Liu(h) |
9 other
accounts |
$6.95 million |
None |
$10,001 –
$50,000(a) $50,001 – $100,000(b) |
Columbia
Management |
Columbia Management |
| Guy Pope |
6 RICs
7 PIVs
69 other
accounts |
$8.96 billion $2.04 billion $4.12 billion |
2 other accounts ($3.03 B) |
Over
$1,000,000(a) | |||
| J. Nicholas Smith(h) |
21 other
accounts |
$125.02 million |
None |
$100,001 –
$500,000(a) $100,001 – $500,000(b) | |||
| Michael Welter(h) |
11 other
accounts |
$7.57 million |
None |
Over $1,000,000(a) $100,001 – $500,000(b) | |||
| Emerging Markets Bond Fund |
Christopher Cooke |
1 RIC
6 PIVs
14 other
accounts |
$396.96 million
$2.22 billion
$962.82 million |
1 other account ($259.36 M) |
None(c) |
Columbia
Management |
Threadneedle |
| Adrian Hilton |
1 RIC
6 PIVs
13 other
accounts |
$396.96 million
$2.22 billion
$962.82 million |
1 other account ($259.36 M) |
None(c) | |||
| Emerging Markets Fund |
Derek Lin |
3 RICs
7 PIVs
19 other
accounts |
$562.68 million
$886.78 million
$1.57 billion |
None |
$10,001 –
$50,000(a) $10,001 – $50,000(b) |
Columbia Management |
Columbia Management |
| |
Darren Powell |
2 RICs
7 PIVs
10 other
accounts |
$511.90 million
$886.78 million
$1.57 billion |
None |
$50,001 –
$100,000(b) |
|
|
| |
Cory Unal |
2 RICs
13 PIVs
11 other
accounts |
$511.90 million
$1.55 billion
$1.98 billion |
None |
None(c) |
Columbia
Management |
Threadneedle |
| |
Perry Vickery |
2 RICs
8 PIVs
19 other
accounts |
$511.90 million
$1.06 billion
$1.58 billion |
None |
$10,001 –
$50,000(b) |
Columbia Management |
Columbia Management |
| |
Dara White |
3 RICs
9 PIVs
11 other
accounts |
$562.68 million $983.50 million $1.61 billion |
None |
Over $1,000,000(a) $100,001 – $500,000(b) |
|
|
| Global
Technology Growth Fund |
Rahul Narang |
1 RIC
8 other
accounts |
$27.60 million
$353.62 million |
None |
$500,001 –
$1,000,000(b) |
Columbia
Management |
Columbia Management |
| Greater China
Fund |
Derek Lin |
3 RICs
7 PIVs
19 other
accounts |
$1.24 billion
$886.78 million
$1.57 billion |
None |
$10,001 –
$50,000(a) $10,001 – $50,000(b) |
Columbia Management |
Columbia Management |
| Dara White |
3 RICs 9 PIVs 11 other accounts |
$1.24 billion $983.50 million $1.61 billion |
None |
Over $1,000,000(a)
$100,001 –
$500,000(b | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Integrated Small Cap Growth Fund |
Jason Hans |
4 RICs
2 PIVs
51 other accounts |
$656.50 million
$99.94 million
$5.99 billion |
None |
$50,001 –
$100,000(a) $100,001 – $500,000 (b) |
Columbia
Management |
Columbia Management |
| Oleg Nusinzon |
11 RICs
5 PIVs
65 other accounts |
$12.54 billion
$383.42 million
$16.73 billion |
4 other accounts ($2.39 B) |
None | |||
| Raghavendran
Sivaraman |
11 RICs
5 PIVs
63 other accounts |
$12.54 billion
$383.42 million
$16.74 billion |
4 other accounts ($2.39 B) |
$10,001 –
$50,000 (b) | |||
| International Dividend Income
Fund |
Georgina Hellyer |
5 PIVs
5 other accounts |
$4.89 billion
$1.01 billion |
None |
None(c) |
Columbia
Management |
Threadneedle |
| MM
Alternative Strategies Fund |
AlphaSimplex:
Tansu Demirbilek |
1 RIC |
$6.00 million |
None |
None |
AlphaSimplex |
AlphaSimplex |
| |
Alexander Healy |
6 RICs
2 PIVs
6 other
accounts |
$1.65 billion
$1.16 billion
$549.40 million |
1 PIV
($862.90 M) |
None |
|
|
| |
Kathryn Kaminski |
6 RICs
2 PIVs
5 other
accounts |
$1.65 billion
$1.16 billion
$549.20 million |
None |
None |
|
|
| |
Philippe Lüdi |
4 RICs
2 PIVs
4 other
accounts |
$1.62 billion
$1.16 billion
$549.20 million |
None |
None |
|
|
| |
Crabel:
Grant Jaffarian |
6 RICs
4 PIVs
13 other
accounts |
$406.00 million
$554.00 million
$907.00 million |
2 other
accounts
($95.00 M) |
None |
Crabel |
Crabel |
| |
Michael Pomada |
6 RICs
11 PIVs
24 other
accounts |
$406.00 million
$1.43 billion
$2.18 billion |
7 PIVs
($872.00 M)
12 other
accounts
($1.29 B) |
None |
|
|
| |
Manulife:
David Bees(j) |
8 RICs
38 PIVs
16 other
accounts |
$9.47 billion
$12.59 billion
$5.74 billion |
None |
None |
Manulife |
Manulife |
| |
Christopher
Chapman |
4 RICs
41 PIVs
16 other
accounts |
$4.80 billion
$14.08 billion
$5.35 billion |
None |
None |
|
|
| |
Thomas Goggins |
4 RICs 41 PIVs 16 other accounts |
$4.80 billion $14.08 billion $5.35 billion |
None |
None |
|
|
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| |
Kelly Lim(j) |
4 RICs
25 PIVs
13 other
accounts |
$4.57 billion
$2.73 billion
$4.02 billion |
None |
None |
|
|
| |
Bradley Lutz |
4 RICs
41 PIVs
16 other
accounts |
$4.80 billion
$14.08 billion
$5.35 billion |
None |
None |
|
|
| |
Kisoo Park |
4 RICs
41 PIVs
16 other
accounts |
$4.80 billion
$14.08 billion
$5.35 billion |
None |
None |
|
|
| |
Christopher Smith(j) |
4 RICs
41 PIVs
16 other
accounts |
$4.57 billion
$12.80 billion
$5.74 billion |
None |
None |
|
|
| |
MidOcean:
Ryan Dean(h) |
1 RIC
4 PIVs |
$176.00 million
$1.31 billion |
3 PIVs
($471.00 M) |
None |
MidOcean |
MidOcean |
| |
Michael Levitin(h) |
1 RIC
4 PIVs |
$176.00 million
$1.31 billion |
3 PIVs
($471.00 M) |
None |
|
|
| |
TCW:
Jerry Cudzil |
24 RICs
39 PIVs
165 other
accounts |
$72.65 billion
$16.31 billion
$53.64 billion |
10 PIVs
($3.98 B)
5 other
accounts
($3.05 B) |
None |
TCW |
TCW |
| |
Ruben
Hovhannisyan |
25 RICs
18 PIVs
146 other
accounts |
$72.47 billion
$8.84 billion
$46.26 billion |
1 PIV
($197.10 M)
5 other
accounts
($3.05 B) |
None |
|
|
| |
Steven J. Purdy |
2 RICs
29 PIVs
35 other
accounts |
$3.14 billion
$9.63 billion
$12.58 billion |
10 PIVs
($3.98 B)
1 other
account
($85.90 M) |
None |
|
|
| |
Bryan Whalen |
25 RICs
31 PIVs
197 other
accounts |
$74.06 billion
$11.65 billion
$66.61 billion |
4 PIVs
($483.50 M)
10 other
accounts ($6.97 B) |
None |
|
|
| MM
International Equity
Strategies Fund |
Arrowstreet:
Brandon Berger |
4 RICs
83 PIVs
66 other
accounts |
$4.08 billion
$165.08 billion
$90.19 billion |
1 RIC
($165.90 M)
43 PIVs
($88.66 B)
9 other
accounts
($15.96 B) |
None |
Arrowstreet |
Arrowstreet |
| |
Christopher Malloy |
4 RICs 83 PIVs 66 other accounts |
$4.08 billion $165.08 billion $90.19 billion |
1 RIC ($165.90 M) 43 PIVs ($88.66 B) 9 other accounts ($15.96 B) |
None |
|
|
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| |
Samuel
Thompson(k) |
4 RICs
82 PIVs
68 other
accounts |
$6.46 billion
$186.23 billion
$98.45 billion |
1 RIC
($220.00 M)
44 PIVs
($102.45 B)
9 other
accounts
($16.94 B) |
None |
|
|
| |
Derek Vance |
4 RICs
83 PIVs
66 other
accounts |
$4.08 billion
$165.08 billion
$90.19 billion |
1 RIC
($165.90 M)
43 PIVs
($88.66 B)
9 other
accounts
($15.96 B) |
None |
|
|
| |
Julia Yuan |
4 RICs
83 PIVs
66 other
accounts |
$4.08 billion
$165.08 billion
$90.19 billion |
1 RIC
($165.90 M)
43 PIVs
($88.66 B)
9 other
accounts
($15.96 B) |
None |
|
|
| |
Baillie Gifford:
Chris Davies |
4 RICs
4 PIVs
30 other
accounts |
$4.51 billion
$1.44 billion
$11.74 billion |
2 other
accounts
($2.44 B) |
None |
Baillie Gifford |
Baillie Gifford |
| |
Jenny Davis |
4 RICs
1 PIV
29 other
accounts |
$4.51 billion
$521.00 million
$11.68 billion |
2 other
accounts
($2.44 B) |
None |
|
|
| |
Donald Farquharson |
4 RICs
2 PIVs
32 other
accounts |
$4.51 billion
$569.00 million
$12.64 billion |
3 other
accounts
($2.65 B) |
None |
|
|
| |
Roderick Snell |
4 RICs
7 PIVs
43 other
accounts |
$4.51 billion
$6.29 billion
$21.83 billion |
3 other
accounts
($5.03 B) |
None |
|
|
| |
Steve Vaughan |
4 RICs
1 PIV
29 other
accounts |
$4.51 billion
$521.00 million
$11.68 billion |
2 other
accounts
($2.44 B) |
None |
|
|
| |
Tom Walsh |
4 RICs
1 PIV
29 other
accounts |
$4.51 billion
$521.00 million
$11.68 billion |
2 other
accounts
($2.44 B) |
None |
|
|
| |
Causeway:
Brian Woonhyung
Cho |
13 RICs
17 PIVs
111 other
accounts |
$24.67 billion
$5.59 billion
$27.65 billion |
3 other
accounts
($2.13 B) |
None |
Causeway |
Causeway |
| |
Jonathan Eng |
13 RICs 17 PIVs 116 other accounts |
$24.67 billion $5.59 billion $27.83 billion |
3 other accounts ($2.13 B) |
None |
|
|
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| |
Harry Hartford |
13 RICs
17 PIVs
133 other
accounts |
$24.67 billion
$5.59 billion
$27.66 billion |
3 other
accounts
($2.13 B) |
None |
|
|
| |
Sarah Ketterer |
13 RICs
17 PIVs
136 other
accounts |
$24.67 billion
$5.59 billion
$27.83 billion |
3 other
accounts
($2.13 B) |
None |
|
|
| |
Ellen Lee |
13 RICs
17 PIVs
122 other
accounts |
$24.67 billion
$5.59 billion
$27.64 billion |
3 other
accounts
($2.13 B) |
None |
|
|
| |
Conor Muldoon |
13 RICs
17 PIVs
118 other
accounts |
$24.67 billion
$5.59 billion
$27.65 billion |
3 other
accounts
($2.13 B) |
None |
|
|
| |
Steven Nguyen |
13 RICs
17 PIVs
110 other
accounts |
$24.67 billion
$5.59 billion
$27.63 billion |
3 other
accounts
($2.13 B) |
None |
|
|
| |
Alessandro
Valentini |
13 RICs
17 PIVs
110 other
accounts |
$24.67 billion
$5.59 billion
$27.65 billion |
3 other
accounts
($2.13 B) |
None |
|
|
| |
Walter Scott:
Des Armstrong(l) |
4 RICs
34 PIVs
114 other
accounts |
$4.00 billion
$20.71 billion
$31.93 billion |
2 PIVs
($463.00 M)
16 other
accounts
($2.41 B) |
None |
Walter Scott |
Walter Scott |
| |
Jane Henderson |
4 RICs
39 PIVs
136 other
accounts |
$6.17 billion
$25.20 billion
$41.51 billion |
2 PIVs
($367.00 M)
18 other
accounts
($3.66 B) |
None |
|
|
| |
Roy Leckie |
4 RICs
39 PIVs
136 other
accounts |
$6.17 billion
$25.20 billion
$41.51 billion |
2 PIVs
($367.00 M)
18 other
accounts
($3.66 B) |
None |
|
|
| |
Thomas Miedema(l) |
4 RICs
34 PIVs
114 other
accounts |
$4.00 billion
$20.71 billion
$31.93 billion |
2 PIVs
($463.00 M)
16 other
accounts
($2.41 B) |
None |
|
|
| |
Maxim Skorniakov |
4 RICs
39 PIVs
136 other
accounts |
$6.17 billion
$25.20 billion
$41.51 billion |
2 PIVs
($367.00 M)
18 other
accounts
($3.66 B) |
None |
|
|
| MM Small Cap
Equity Strategies Fund |
Conestoga: Derek Johnston(g) |
2 RICs
2 PIVs
33 other
accounts |
$611.61 million
$248.24 million
$645.90 million |
None |
None |
Conestoga |
Conestoga |
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| |
Robert Mitchell |
2 RICs
4 PIVs
213 other
accounts |
$4.25 billion
$655.43 million
$1.79 billion |
None |
None |
|
|
| |
Hotchkis &
Wiley:
Judd Peters |
24 RICs
17 PIVs
50 other
accounts |
$22.83 billion
$3.84 billion
$6.72 billion |
2 RICs
($15.84 B)
2 PIVs
($351.00 M)
3 other
accounts
($684.00 M) |
None |
Hotchkis & Wiley |
Hotchkis & Wiley |
| |
Ryan Thomes |
24 RICs
17 PIVs
50 other
accounts |
$22.83 billion
$3.84 billion
$6.72 billion |
2 RICs
($15.84 B)
2 PIVs
($351.00 M)
3 other
accounts
($684.00 M) |
None |
|
|
| |
Jacobs Levy:
Bruce Jacobs |
13 RICs
13 PIVs
116 other
accounts |
$3.50 billion
$3.63 billion
$17.99 billion |
2 PIVs
($1.06 B)
18 other
accounts
($8.05 B) |
None |
Jacobs Levy |
Jacobs Levy |
| |
Kenneth Levy |
13 RICs
13 PIVs
116 other
accounts |
$3.50 billion
$3.63 billion
$17.99 billion |
2 PIVs
($1.06 B)
18 other
accounts
($8.05 B) |
None |
|
|
| |
JPMIM:
Philip Hart |
2 RICs
4 PIVs
1 other
account |
$4.74 billion
$3.48 billion
$418.00 million |
None |
None |
JPMIM |
JPMIM |
| |
Eytan Shapiro |
11 RICs
4 PIVs
3 other
accounts |
$9.60 billion
$1.04 billion
$882.00 million |
None |
None | ||
| |
Michael Stein |
8 RICs
4 PIVs
4 other
accounts |
$28.75 billion
$1.03 billion
$645.00 million |
None |
None | ||
| MM Total Return Bond Strategies Fund |
Loomis Sayles:
Daniel Conklin |
9 RICs
8 PIVs
199 other
accounts |
$7.56 billion
$10.28 billion
$29.77 billion |
None |
None |
Loomis Sayles |
Loomis
Sayles |
| |
Christopher Harms |
9 RICs
8 PIVs
367 other
accounts |
$7.56 billion
$10.28 billion
$30.30 billion |
None |
None |
|
|
| |
Clifton Rowe |
9 RICs 10 PIVs 195 other accounts |
$7.56 billion $10.28 billion $29.78 billion |
None |
None |
|
|
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| |
PGIM Fixed
Income:
Matt Angelucci |
48 RICs
27 PIVs
196 other
accounts |
$108.65 billion
$38.41 billion
$151.83 billion |
4 PIVs
($1.54 B)
12 other
accounts
($11.75 B) |
None |
PGIM Fixed
Income |
PGIM Fixed
Income |
| |
Gregory Peters |
49 RICs
25 PIVs
149 other
accounts |
$110.79 billion
$47.14 billion
$119.57 billion |
1 PIV
($74.00 M)
8 other
accounts
($5.99 B) |
None |
|
|
| |
Richard Piccirillo |
49 RICs
25 PIVs
149 other
accounts |
$110.79 billion
$47.14 billion
$119.57 billion |
1 PIV
($74.00 M)
8 other
accounts
($5.99 B) |
None |
|
|
| |
Tyler Thorn |
40 RICs
22 PIVs
81 other
accounts |
$102.37 billion
$34.21 billion
$52.65 billion |
1 PIV
($74.00 M)
3 other
accounts
($1.48 B) |
None |
|
|
| |
Robert Tipp |
45 RICs
25 PIVs
157 other
accounts |
$106.58 billion
$46.05 billion
$122.94 billion |
8 other
accounts
($5.99 B) |
None |
|
|
| |
TCW:
Jerry Cudzil |
24 RICs
39 PIVs
165 other
accounts |
$69.30 billion
$16.31 billion
$53.64 billion |
10 PIVs
($3.98 B)
5 other
accounts
($3.05 B) |
None |
TCW |
TCW |
| |
Ruben
Hovhannisyan |
25 RICs
18 PIVs
146 other
accounts |
$69.11 billion
$8.84 billion
$46.26 billion |
1 PIV
($197.10 M)
5 other
accounts
($3.05 B) |
None |
|
|
| |
Bryan Whalen |
25 RICs
31 PIVs
197 other
accounts |
$70.70 billion
$11.65 billion
$66.61 billion |
4 PIVs
($483.50 M)
10 other
accounts
($6.97 B) |
None |
|
|
| |
Voya:
Sean Banai |
10 RICs
109 PIVs
130 other
accounts |
$15.65 billion
$5.61 billion
$26.50 billion |
1 other
account
($304.00 M) |
None |
Voya |
Voya |
| |
David Goodson |
8 RICs
80 PIVs
128 other
accounts |
$12.55 billion
$3.21 billion
$25.41 billion |
None |
None |
|
|
| |
Rajen Jadav(i) |
25 other
accounts |
$682.85 million |
None |
None |
|
|
| |
Anuranjan Sharma(i) |
1 RIC |
$218.28 million |
None |
None |
|
|
| |
Vinay Viralam(i) |
2 other accounts |
$1.45 billion |
None |
None |
|
|
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Multisector Bond SMA Completion Portfolio |
Jason Callan |
13 RICs
12 PIVs
573 other
accounts |
$22.33 billion
$28.21 billion
$1.80 billion |
1 other
account
($342.06 M) |
None |
Columbia
Management |
Columbia Management |
| Alex Christensen |
6 RICs
4 PIVs
725 other
accounts |
$14.01 billion
$822.71 million
$2.01 billion |
None |
None | |||
| Gene Tannuzzo |
7 RICs
3 PIVs
570 other
accounts |
$14.39 billion
$383.92 million
$1.78 billion |
None |
None | |||
| Overseas SMA
Completion Portfolio |
Fred Copper |
7 RICs
1 PIV
49 other
accounts |
$11.54 billion
$271.08 million
$1.08 billion |
None |
None |
Columbia
Management |
Columbia Management |
| Paul DiGiacomo |
6 RICs
1 PIV
54 other
accounts |
$10.69 billion
$271.08 million
$1.08 billion |
None |
None | |||
| Daisuke Nomoto |
6 RICs
6 PIVs
49 other
accounts |
$10.69 billion
$2.71 billion
$1.36 billion |
1 other
account
($276.93 M) |
None | |||
| Pyrford International Stock Fund |
Pyrford:
Tony Cousins |
2 RICs
5 PIVs
20 other
accounts |
$680.26 million
$2.19 billion
$4.73 billion |
None |
None(c) |
Pyrford |
Pyrford |
| Daniel McDonagh |
2 RICs
5 PIVs
20 other
accounts |
$680.26 million
$2.19 billion
$4.73 billion |
None |
None(c) | |||
| Paul Simons |
2 RICs
5 PIVs
20 other
accounts |
$680.26 million
$2.19 billion
$4.73 billion |
None |
None(c) | |||
| Select Mid Cap
Growth Fund |
Daniel Cole |
3 RICs
1 PIV
11 other
accounts |
$3.33 billion
$204.34 million
$34.17 million |
None |
$100,001 –
$500,000(a) $100,001 – $500,000(b) |
Columbia Management |
Columbia Management |
| Wayne Collette |
3 RICs
1 PIV
14 other
accounts |
$3.33 billion
$204.34 million
$32.71 million |
None |
$500,001 –
$1,000,000(a) $100,001 – $500,000(b) | |||
| Dana Kelley |
3 RICs 1 PIV 7 other accounts |
$3.33 billion $204.34 million $24.39 million |
None |
$100,001 – $500,000(a)
$10,001 –
$50,000(b) | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| Small Cap Growth Fund |
Daniel Cole |
3 RICs
1 PIV
11 other
accounts |
$2.59 billion
$204.34 million
$34.17 million |
None |
$500,001 –
$1,000,000(a) $100,001 – $500,000(b) |
Columbia
Management |
Columbia Management |
| Wayne Collette |
3 RICs
1 PIV
14 other
accounts |
$2.59 billion
$204.34 million
$32.71 million |
None |
$50,001 –
$100,000(b) | |||
| Dana Kelley |
3 RICs
1 PIV
7 other
accounts |
$2.59 billion
$204.34 million
$24.39 million |
None |
$100,001 –
$500,000(a) $10,001 – $50,000(b) | |||
| Strategic Income Fund |
Jason Callan |
13 RICs
12 PIVs
573 other
accounts |
$16.49 billion
$28.21 billion
$1.80 billion |
1 other
account
($342.06 M) |
None |
Columbia
Management |
Columbia Management |
| Alex Christensen |
6 RICs
4 PIVs
725 other
accounts |
$8.17 billion
$822.71 million
$2.01 billion |
None |
$50,001 –
$100,000(a) $10,001 – $50,000(b) | |||
| Gene Tannuzzo |
7 RICs
3 PIVs
570 other
accounts |
$8.55 billion
$383.92 million
$1.78 billion |
None |
$500,001 –
$1,000,000(a) $500,001 – $1,000,000(b) | |||
| Ultra Short Duration Municipal Bond Fund |
Travis Bates |
13 RICs
4 other accounts |
$7.69 billion
$0.51 million |
None |
None |
Columbia
Management |
Columbia Management |
| Paul Fox |
6 RICs
9 other accounts |
$2.55 billion
$16.54 million |
None |
None | |||
| Douglas Rangel |
13 RICs
6 other accounts |
$7.69 billion
$43.59 million |
None |
None | |||
| For Funds with fiscal year ending October 31 – Information is as of
October 31, 2025, unless otherwise noted | |||||||
| Intermediate Duration Municipal Bond Fund |
Travis Bates |
13 RICs
4 other
accounts |
$6.37 billion
$0.54 million |
None |
None |
Columbia
Management |
Columbia Management |
| Paul Fox |
6 RICs
9 other
accounts |
$1.12 billion
$17.06 million |
None |
$10,001 –
$50,000(a) $10,001 – $50,000(b) | |||
| Douglas Rangel |
13 RICs
8 other
accounts |
$6.37 billion
$43.74 million |
None |
None | |||
| MA
Intermediate Municipal Bond
Fund |
Travis Bates |
13 RICs
4 other
accounts |
$7.83 billion
$0.54 million |
None |
None |
Columbia Management |
Columbia Management |
| Paul Fox |
6 RICs
9 other
accounts |
$2.58 billion
$17.06 million |
None |
None | |||
| Douglas Rangel |
13 RICs 8 other accounts |
$7.83 billion $43.74 million |
None |
None | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| NY Intermediate Municipal Bond
Fund |
Travis Bates |
13 RICs
4 other
accounts |
$7.81 billion
$0.54 million |
None |
None |
Columbia
Management |
Columbia Management |
| Paul Fox |
6 RICs
9 other
accounts |
$2.56 billion
$17.06 million |
None |
None | |||
| Douglas Rangel |
13 RICs
8 other
accounts |
$7.81 billion
$43.74 million |
None |
None | |||
| Select Global Equity
Fund |
David Dudding |
4 PIVs
11 other
accounts |
$1.58 billion
$1.61 billion |
None |
None(c) |
Columbia
Management |
Threadneedle |
| Alex Lee |
9 PIVs
11 other
accounts |
$1.78 billion
$3.27 billion |
1 other
account
($292.01 M) |
None(c) | |||
| Seligman Global
Technology Fund |
Christopher Boova |
2 RICs
8 other
accounts |
$1.04 billion
$10.74 million |
None |
None |
Columbia Management |
Columbia Management– Tech Team |
| Sanjay Devgan |
2 RICs
329 other
accounts |
$19.89 billion
$146.62 million |
None |
$10,001 –
$50,000(a) |
|
| |
| |
Vimal Patel |
3 RICs
1 PIV
333 other
accounts |
$20.60 billion
$1.39 billion
$776.02 million |
None |
$100,001 –
$500,000(a) |
|
|
| |
Shekhar Pramanick |
3 RICs
331 other
accounts |
$20.60 billion
$151.98 million |
None |
None |
|
|
| |
Sanjiv Wadhwani |
1 RIC
6 other
accounts |
$336.40 million
$6.93 million |
None |
None |
|
|
| |
Paul Wick |
3 RICs
3 PIVs
335 other
accounts |
$20.60 billion
$3.37 billion
$2.79 billion |
2 PIVs ($1.99 B) 2 other accounts ($1.68 B) |
Over $1,000,000(a) |
|
|
| Strategic CA Municipal Income
Fund |
Travis Bates |
13 RICs
4 other
accounts |
$7.59 billion
$0.54 million |
None |
None |
Columbia
Management |
Columbia Management |
| Douglas Rangel |
13 RICs
8 other
accounts |
$7.59 billion
$43.74 million |
None |
None | |||
| Shannon Rinehart |
6 RICs
8 other
accounts |
$4.95 billion
$1.82 million |
None |
None | |||
| Strategic NY Municipal Income
Fund |
Travis Bates |
13 RICs
4 other
accounts |
$7.78 billion
$0.54 million |
None |
None |
Columbia Management |
Columbia Management |
| Douglas Rangel |
13 RICs
8 other
accounts |
$7.78 billion
$43.74 million |
None |
None | |||
| Shannon Rinehart |
6 RICs 8 other accounts |
$5.14 billion $1.82 million |
None |
None | |||
| |
|
Other
Accounts Managed (Excluding the Fund) |
Ownership
of Fund
Shares |
Potential
Conflicts
of Interest |
Structure
of Compensation | ||
| Fund |
Portfolio Manager |
Number
and Type
of Account* |
Approximate
Total Net
Assets |
Performance-
Based
Accounts** | |||
| For Funds with fiscal year ending December 31 – Information is as of
December 31, 2025, unless otherwise noted | |||||||
| Acorn European Fund |
Philip Dicken |
4 PIVs
13 other
accounts |
$2.26 billion
$1.44 billion |
None |
None(c) |
Columbia
Management |
Threadneedle |
| Mine Tezgul |
4 PIVs
7 other
accounts |
$2.26 billion
$637.48 million |
None |
None(c) | |||
| Acorn Fund |
Erika Maschmeyer |
1 RIC
1 PIV
4 other
accounts |
$470.60 million
$4.07 million
$2.11 million |
None |
$500,001 –
$1,000,000(a) $100,001 – $500,000(b) |
Columbia
Management |
Columbia Management |
| Pratyasha Rath |
1 RIC
7 other
accounts |
$470.60 million
$1.18 million |
None |
$10,001 –
$50,000(b) | |||
| Acorn International Fund |
Nitisha Bosamia |
2 RICs
6 PIVs
6 other
accounts |
$459.37 million
$227.37 million
$1.59 billion |
None |
None(c) |
Columbia
Management |
Threadneedle |
| Charlotte Friedrichs |
1 RIC
2 PIVs
3 other
accounts |
$270.84 million
$1.29 billion
$393.51 million |
1 other
account
($229.42 M) |
None(c) | |||
| Simon Haines |
2 RICs
8 other
accounts |
$472.08 million
$2.04 billion |
3 other
accounts
($210.94 M) |
None(c) | |||
| Acorn International Select Fund |
Nitisha Bosamia |
2 RICs
6 PIVs
6 other
accounts |
$1.15 billion
$227.37 million
$1.59 billion |
None |
None(c) |
Columbia
Management |
Threadneedle |
| Simon Haines |
2 RICs
8 other
accounts |
$472.08 million
$2.04 billion |
3 other
accounts
($210.94 M) |
None(c) | |||
| Real Estate Equity Fund |
Alban Lhonneur |
1 RIC
1 PIV
6 other
accounts |
$168.73 million
$1.01 million
$2.45 billion |
3 other
accounts
($1.83 B) |
None(c) |
Columbia
Management |
Thames River Capital |
| Daniel
Winterbottom |
1 RIC
1 PIV
4 other
accounts |
$168.73 million
$1.01 million
$538.40 million |
2 other
accounts
($341.97 M) |
None(c) | |||
| Thermostat Fund |
Corey Lorenzen |
2 RICs
16 other
accounts |
$34.56 million
$4.05 million |
None |
$1 –
$10,000(a) |
Columbia Management |
Columbia Management |
| Alex Rivas |
2 other accounts |
$0.55 million |
None |
$50,001 – $100,000(b) | |||
| Name of Fund |
Benchmark |
| Multi-Manager Small Cap Equity Strategies Fund |
Russell 2000® Growth Index |
| |
Administration
Fees Paid | ||
| Fund |
|
|
|
| For Funds with fiscal period ending December 31 |
2025* |
2024 |
2023 |
| Acorn European Fund |
$5,105 |
$25,898 |
$32,322 |
| Acorn Fund |
322,198 |
1,394,976 |
1,335,986 |
| Acorn International Fund |
110,533 |
527,622 |
662,625 |
| Acorn International Select Fund |
23,974 |
106,986 |
114,054 |
| Thermostat Fund |
96,776 |
639,989 |
676,743 |
| |
Sales Charges Paid to Distributor |
Amount Retained by Distributor
After Paying Commissions | ||||
| Fund |
2026 |
2025 |
2024 |
2026 |
2025 |
2024 |
| For Funds with fiscal period ending January 31
| ||||||
| Capital Allocation Aggressive Portfolio |
$614,989 |
$690,482 |
$693,854 |
$91,446 |
$105,665 |
$104,782 |
| Capital Allocation Conservative Portfolio |
54,506 |
37,936 |
34,261 |
9,047 |
6,015 |
6,688 |
| Capital Allocation Moderate Aggressive Portfolio |
577,486 |
644,390 |
698,117 |
87,920 |
100,743 |
106,715 |
| Capital Allocation Moderate Conservative Portfolio |
128,325 |
113,772 |
128,751 |
20,183 |
17,291 |
20,694 |
| Capital Allocation Moderate Portfolio |
390,137 |
471,576 |
479,053 |
65,707 |
71,356 |
73,541 |
| Income Builder Fund |
187,204 |
127,576 |
150,985 |
29,011 |
21,077 |
26,972 |
| For Funds with fiscal period ending February
28/29 | ||||||
| Convertible Securities Fund |
87,285 |
38,248 |
108,804 |
13,174 |
5,958 |
16,804 |
| Cornerstone Equity Fund |
54,174 |
119,734 |
84,830 |
8,672 |
17,317 |
14,424 |
| Global Value Fund |
64,195 |
46,806 |
53,114 |
9,282 |
7,157 |
8,150 |
| Large Cap Growth Opportunity Fund |
65,653 |
131,288 |
62,584 |
9,459 |
18,609 |
9,045 |
| Large Cap Index Fund |
0 |
20 |
0 |
0 |
20 |
0 |
| Mid Cap Index Fund |
0 |
1,515 |
0 |
0 |
1,515 |
0 |
| Overseas Core Fund |
98,187 |
11,060 |
19,705 |
13,490 |
1,559 |
2,705 |
| Overseas Value Fund |
346,292 |
84,317 |
126,931 |
47,795 |
12,667 |
18,629 |
| Select Mid Cap Value Fund |
101,582 |
201,009 |
213,154 |
15,500 |
28,994 |
32,035 |
| Small Cap Value and Inflection Fund |
15,472 |
28,613 |
42,848 |
2,199 |
7,641 |
6,114 |
| |
2025 |
2024 |
2023 |
2025 |
2024 |
2023 |
| For Funds with fiscal period ending March 31
| ||||||
| Select Large Cap Growth Fund |
89,310 |
103,369 |
97,752 |
12,504 |
15,327 |
16,497 |
| Short Term Bond Fund |
599,593 |
292,235 |
150,289 |
169,352 |
82,348 |
45,512 |
| For Funds with fiscal period ending April 30
| ||||||
| CA Intermediate Municipal Bond Fund |
17,159 |
4,118 |
8,760 |
3,017 |
701 |
1,368 |
| Select Corporate Income Fund |
112,130 |
119,429 |
37,209 |
17,520 |
18,732 |
5,912 |
| Short Duration Municipal Bond Fund |
35,773 |
33,852 |
45,620 |
10,191 |
9,440 |
22,938 |
| Small Cap Value Discovery Fund |
233,796 |
103,497 |
101,940 |
34,464 |
15,039 |
14,957 |
| Total Return Bond Fund |
334,938 |
344,555 |
233,993 |
60,549 |
54,537 |
55,731 |
| U.S. Treasury Index Fund |
0 |
6 |
0 |
0 |
6 |
0 |
| |
Sales Charges Paid to
Distributor |
Amount Retained by
Distributor
After Paying Commissions | ||||
| |
2025 |
2024 |
2023 |
2025 |
2024 |
2023 |
| For Funds with fiscal period ending May 31
| ||||||
| Adaptive Risk Allocation Fund |
$48,530 |
$149,998 |
$123,327 |
$9,044 |
$26,957 |
$25,413 |
| Commodity Strategy Fund |
10,872 |
28,450 |
148,243 |
1,766 |
5,516 |
24,341 |
| Dividend Income Fund |
3,879,233 |
3,498,834 |
4,324,969 |
656,492 |
562,121 |
852,960 |
| Dividend Opportunity Fund |
287,400 |
302,903 |
778,608 |
44,864 |
50,011 |
120,545 |
| Flexible Capital Income Fund |
296,744 |
436,220 |
742,647 |
45,465 |
74,245 |
128,885 |
| High Yield Bond Fund |
142,240 |
121,083 |
95,912 |
21,834 |
18,816 |
15,984 |
| High Yield Municipal Fund |
76,504 |
66,250 |
86,686 |
12,774 |
11,931 |
16,712 |
| Intrinsic Value Fund |
222,255 |
253,487 |
294,645 |
33,111 |
37,092 |
43,360 |
| Mortgage Opportunities Fund |
98,772 |
99,394 |
168,178 |
16,864 |
19,357 |
44,594 |
| Multi Strategy Alternatives Fund |
960 |
695 |
13,516 |
945 |
206 |
9,091 |
| Quality Income Fund |
24,299 |
35,447 |
26,265 |
6,079 |
5,901 |
5,988 |
| Select Large Cap Value Fund |
124,241 |
127,581 |
392,798 |
20,508 |
23,555 |
81,078 |
| Select Small Cap Value Fund |
38,263 |
38,374 |
56,973 |
6,050 |
5,694 |
8,476 |
| Seligman Technology and Information Fund |
3,229,058 |
3,833,561 |
1,726,555 |
490,028 |
557,329 |
269,315 |
| For Funds with fiscal period ending July 31
| ||||||
| Cornerstone Growth Fund |
874,627 |
869,929 |
465,210 |
127,826 |
129,134 |
69,185 |
| Disciplined Core Fund |
515,455 |
584,282 |
463,648 |
76,445 |
84,538 |
67,288 |
| Disciplined Growth Fund |
185,496 |
236,079 |
177,019 |
27,965 |
34,229 |
26,239 |
| Disciplined Value Fund |
63,630 |
41,116 |
33,527 |
9,157 |
6,071 |
4,889 |
| Floating Rate Fund |
108,751 |
172,549 |
159,595 |
23,494 |
33,579 |
39,597 |
| Global Opportunities Fund |
33,831 |
46,114 |
44,879 |
4,865 |
6,727 |
6,460 |
| Government Money Market Fund |
101 |
2,229 |
11,825 |
101 |
2,229 |
11,825 |
| Income Opportunities Fund |
89,201 |
73,797 |
44,942 |
13,731 |
11,731 |
6,686 |
| MN Tax-Exempt Fund |
58,949 |
71,767 |
113,310 |
10,746 |
17,774 |
22,067 |
| OR Intermediate Municipal Bond Fund |
5,288 |
11,724 |
16,199 |
1,029 |
2,289 |
2,429 |
| Select Short Corporate Income Fund |
22,827 |
86,656 |
72,882 |
10,910 |
16,426 |
13,801 |
| Strategic Municipal Income Fund |
167,475 |
168,707 |
209,654 |
42,398 |
35,920 |
55,321 |
| Total Return Municipal Income Fund |
157,136 |
180,871 |
245,582 |
26,267 |
30,940 |
48,821 |
| Ultra Short Term Bond Fund |
13 |
100 |
0 |
13 |
100 |
0 |
| For Funds with fiscal period ending August 31
| ||||||
| Balanced Fund |
3,699,625 |
4,043,807 |
2,634,310 |
628,247 |
644,027 |
433,368 |
| Contrarian Core Fund |
1,586,572 |
1,811,389 |
1,009,451 |
250,485 |
269,001 |
159,535 |
| Emerging Markets Bond Fund |
3,708 |
5,673 |
9,912 |
565 |
805 |
1,308 |
| Emerging Markets Fund |
25,398 |
39,116 |
52,611 |
3,779 |
5,726 |
8,540 |
| Global Technology Growth Fund |
996,825 |
1,261,811 |
759,966 |
161,170 |
186,154 |
116,213 |
| Greater China Fund |
39,606 |
12,138 |
29,876 |
5,618 |
1,760 |
4,358 |
| Integrated Small Cap Growth Fund |
120 |
505 |
748 |
16 |
73 |
108 |
| International Dividend Income Fund |
46,770 |
56,974 |
68,447 |
6,647 |
8,284 |
11,517 |
| Pyrford International Stock Fund |
2,142 |
10,751 |
40 |
326 |
1,678 |
5 |
| Select Mid Cap Growth Fund |
128,109 |
127,608 |
90,361 |
18,932 |
20,694 |
13,544 |
| Small Cap Growth Fund |
327,451 |
248,365 |
167,467 |
50,099 |
37,078 |
26,605 |
| Strategic Income Fund |
840,393 |
1,106,484 |
666,942 |
139,221 |
178,658 |
120,771 |
| |
Sales Charges Paid to
Distributor |
Amount Retained by
Distributor
After Paying Commissions | ||||
| |
2025 |
2024 |
2023 |
2025 |
2024 |
2023 |
| For Funds with fiscal period ending October 31
| ||||||
| Intermediate Duration Municipal Bond Fund |
$41,652 |
$69,021 |
$47,929 |
$10,358 |
$12,258 |
$8,188 |
| MA Intermediate Municipal Bond Fund |
5,871 |
4,980 |
356 |
903 |
778 |
123 |
| NY Intermediate Municipal Bond Fund |
4,007 |
3,266 |
4,986 |
822 |
981 |
867 |
| Select Global Equity Fund |
202,577 |
204,638 |
126,680 |
29,339 |
29,828 |
19,110 |
| Seligman Global Technology Fund |
473,955 |
774,841 |
376,430 |
73,677 |
118,839 |
59,020 |
| Strategic CA Municipal Income Fund |
13,625 |
26,961 |
20,112 |
2,710 |
6,838 |
4,900 |
| Strategic NY Municipal Income Fund |
7,238 |
13,650 |
11,138 |
2,027 |
2,245 |
2,256 |
| For Funds with fiscal period ending December 31
| ||||||
| Acorn European Fund |
10,558 |
2,116 |
17,503 |
2,329 |
305 |
3,157 |
| Acorn Fund |
38,731 |
46,981 |
68,548 |
6,148 |
6,889 |
10,989 |
| Acorn International Fund |
19,549 |
24,800 |
29,226 |
3,691 |
3,608 |
4,631 |
| Acorn International Select Fund |
13,667 |
9,659 |
12,918 |
2,023 |
1,336 |
1,839 |
| Real Estate Equity Fund |
11,911 |
10,706 |
15,977 |
1,778 |
1,545 |
2,384 |
| Thermostat Fund |
169,075 |
207,605 |
284,090 |
28,164 |
33,882 |
50,004 |
| |
Distribution Fee* |
Service Fee* |
Combined Total* |
| Class A |
up to 0.25% |
up to 0.25%(c) |
up to
0.35%(a)(c)(d) |
| Class C |
0.75%(b)
|
0.25%(c)
|
1.00%(c) |
| Class Inst |
None |
None |
None |
| Class Inst2 |
None |
None |
None |
| Class Inst3 |
None |
None |
None |
| Class E |
0.10% |
0.25% |
0.35% |
| Class R (series of CFST and CFST I) |
0.50% |
—(e) |
0.50% |
| Class R (series of CFST II) |
up to 0.50% |
up to 0.25% |
0.50%(e) |
| Class S |
None |
None |
None |
| Funds |
Maximum
Class A
Distribution Fee |
Maximum
Class A
Service Fee |
Maximum Class A Combined
Total |
| Series of CFST and CFST II (other than
Government Money Market Fund) |
— |
— |
0.25%; these Funds pay a combined distribution and
service fee |
| Government Money Market Fund |
— |
— |
0.10% |
| Funds |
Maximum
Class A
Distribution Fee |
Maximum
Class A
Service Fee |
Maximum Class A Combined
Total |
| Ultra Short Duration Municipal Bond Fund
Ultra Short Term Bond Fund |
up to 0.15% |
up to 0.15% |
0.15% |
| Balanced Fund, Contrarian Core Fund,
Cornerstone Growth Fund, Dividend Income Fund,
Global Technology Growth Fund,
OR Intermediate Municipal Bond Fund,
Real Estate Equity Fund, Select Mid Cap
Growth Fund, Small Cap Growth Fund,
Total Return Bond Fund |
up to 0.10% |
up to 0.25% |
up to 0.35%; these Funds may pay distribution and
service fees up to a maximum of 0.35% of their average daily
net assets attributable to Class A shares
(comprised of up to 0.10% for distribution services
and up to 0.25% for shareholder liaison services) but
currently limit such fees to an aggregate fee of not more than
0.25% for Class A shares |
| Adaptive Risk Allocation Fund, Emerging Markets
Fund, Greater China Fund, International Dividend
Income Fund, MA Intermediate Municipal Bond Fund,
Multi Strategy Alternatives Fund, NY Intermediate
Municipal Bond Fund, Select Corporate Income Fund,
Select Large Cap Growth Fund, Small Cap Value
Discovery Fund, Strategic Income Fund, Strategic NY
Municipal Income Fund |
— |
0.25% |
0.25% |
| High Yield Municipal Fund, Intermediate
Duration Municipal Bond Fund, Total
Return Municipal Income Fund, Strategic CA
Municipal Income Fund |
— |
0.20% |
0.20% |
| U.S. Treasury Index Fund |
— |
0.15% |
0.15% |
| Fund |
Class A |
Class C |
Class R |
| For Funds with fiscal period ending January 31 | |||
| Capital Allocation Aggressive Portfolio |
$2,866,019 |
$624,844 |
$12,560 |
| Capital Allocation Conservative Portfolio |
325,172 |
78,230 |
N/A |
| Capital Allocation Moderate Aggressive Portfolio |
3,773,214 |
622,516 |
25,591 |
| Capital Allocation Moderate Conservative Portfolio |
755,712 |
175,368 |
6,658 |
| Capital Allocation Moderate Portfolio |
2,353,142 |
523,090 |
N/A |
| Fund |
Class A |
Class C |
Class R |
| Income Builder Fund |
$1,440,068 |
$667,977 |
$42,873 |
| For Funds with fiscal period ending February 28/29
| |||
| Convertible Securities Fund |
698,175 |
218,367 |
N/A |
| Cornerstone Equity Fund |
657,243 |
81,485 |
N/A |
| Global Value Fund |
1,625,289 |
36,743 |
30,846 |
| Large Cap Enhanced Core Fund |
176,039 |
N/A |
235,530 |
| Large Cap Growth Opportunity Fund |
2,245,934 |
N/A |
75,753 |
| Large Cap Index Fund |
1,167,440 |
N/A |
N/A |
| Mid Cap Index Fund |
1,299,137 |
N/A |
N/A |
| Overseas Core Fund |
148,037 |
N/A |
N/A |
| Overseas Value Fund |
916,516 |
120,084 |
74,943 |
| Select Mid Cap Value Fund |
2,484,969 |
70,824 |
125,789 |
| Small Cap Index Fund |
1,663,040 |
N/A |
N/A |
| Small Cap Value and Inflection Fund |
163,465 |
N/A |
10,407 |
| For Funds with fiscal period ending March 31 | |||
| Select Large Cap Growth Fund |
480,027 |
N/A |
36,625 |
| Short Term Bond Fund |
640,478 |
98,396 |
N/A |
| For Funds with fiscal period ending April 30 | |||
| CA Intermediate Municipal Bond Fund |
78,636 |
N/A |
N/A |
| Select Corporate Income Fund |
259,230 |
N/A |
N/A |
| Short Duration Municipal Bond Fund |
133,570 |
N/A |
N/A |
| Small Cap Value Discovery Fund |
688,099 |
81,776 |
9,380 |
| Total Return Bond Fund |
1,364,870 |
235,553 |
23,263 |
| U.S. Treasury Index Fund |
67,714 |
N/A |
N/A |
| For Funds with fiscal period ending May 31 |
|||
| Adaptive Risk Allocation Fund |
307,065 |
394,274 |
N/A |
| Commodity Strategy Fund |
36,446 |
N/A |
N/A |
| Dividend Income Fund |
11,516,424 |
13,066,118 |
999,782 |
| Dividend Opportunity Fund |
3,002,071 |
610,168 |
192,506 |
| Flexible Capital Income Fund |
891,355 |
1,577,767 |
N/A |
| High Yield Bond Fund |
1,066,290 |
77,329 |
78,610 |
| High Yield Municipal Fund |
292,837 |
158,192 |
N/A |
| Intrinsic Value Fund |
4,025,439 |
97,376 |
N/A |
| Mortgage Opportunities Fund |
1,099,997 |
374,457 |
N/A |
| Multi Strategy Alternatives Fund |
11,239 |
49,479 |
N/A |
| Quality Income Fund |
490,909 |
34,592 |
N/A |
| Select Large Cap Value Fund |
846,698 |
403,652 |
198,458 |
| Select Small Cap Value Fund |
773,928 |
N/A |
N/A |
| Seligman Technology and Information Fund |
19,413,669 |
3,739,180 |
419,244 |
| For Funds with fiscal period ending July 31 | |||
| Cornerstone Growth Fund(a) |
8,007,410 |
450,468 |
97,507 |
| Disciplined Core Fund |
10,680,139 |
298,194 |
N/A |
| Disciplined Growth Fund |
426,530 |
88,631 |
N/A |
| Disciplined Value Fund |
199,731 |
80,383 |
N/A |
| Fund |
Class A |
Class C |
Class R |
| Floating Rate Fund |
$471,297 |
$273,475 |
N/A |
| Global Opportunities Fund |
765,738 |
N/A |
N/A |
| Income Opportunities Fund |
469,098 |
56,131 |
N/A |
| MN Tax-Exempt Fund |
639,213 |
206,957 |
N/A |
| OR Intermediate Municipal Bond Fund |
64,531 |
N/A |
N/A |
| Select Short Corporate Income Fund |
348,092 |
86,938 |
N/A |
| Strategic Municipal Income Fund |
1,533,143 |
379,188 |
N/A |
| Total Return Municipal Income Fund |
2,939,269 |
133,761 |
N/A |
| Ultra Short Term Bond Fund |
585,270 |
N/A |
N/A |
| For Funds with fiscal period ending August 31 | |||
| Balanced Fund |
9,886,113 |
9,790,308 |
$784,856 |
| Contrarian Core Fund |
6,293,111 |
2,722,435 |
719,683 |
| Emerging Markets Bond Fund |
65,078 |
N/A |
62,810 |
| Emerging Markets Fund |
362,878 |
53,469 |
N/A |
| Global Technology Growth Fund |
2,216,564 |
1,843,711 |
N/A |
| Greater China Fund |
70,458 |
N/A |
N/A |
| Integrated Small Cap Growth Fund |
43,813 |
N/A |
N/A |
| International Dividend Income Fund |
224,513 |
N/A |
N/A |
| Pyrford International Stock Fund |
4,160 |
N/A |
13 |
| Select Mid Cap Growth Fund |
2,000,870 |
57,367 |
N/A |
| Small Cap Growth Fund |
1,035,048 |
334,337 |
59,806 |
| Strategic Income Fund |
2,415,045 |
1,493,705 |
90,372 |
| Ultra Short Duration Municipal Bond Fund |
5,002 |
N/A |
N/A |
| For Funds with fiscal period ending October 31 | |||
| Intermediate Duration Municipal Bond Fund |
613,540 |
62,418 |
N/A |
| MA Intermediate Municipal Bond Fund |
34,895 |
N/A |
N/A |
| NY Intermediate Municipal Bond Fund |
29,460 |
N/A |
N/A |
| Select Global Equity Fund |
1,285,875 |
115,100 |
N/A |
| Seligman Global Technology Fund |
3,493,880 |
714,782 |
1,127,399 |
| Strategic CA Municipal Income Fund |
407,598 |
83,751 |
N/A |
| Strategic NY Municipal Income Fund |
179,347 |
21,201 |
N/A |
| For Funds with fiscal period ending December 31 | |||
| Acorn European Fund |
60,005 |
N/A |
N/A |
| Acorn Fund |
1,221,225 |
57,542 |
N/A |
| Acorn International Fund |
310,804 |
N/A |
N/A |
| Acorn International Select Fund |
287,983 |
N/A |
N/A |
| Real Estate Equity Fund |
101,980 |
N/A |
N/A |
| Thermostat Fund |
968,282 |
852,044 |
N/A |
| Fund |
Class C |
Percentage of Class
C net assets |
| Capital Allocation Aggressive Portfolio |
$1,873,000 |
2.99% |
| Capital Allocation Conservative Portfolio |
315,000 |
3.58% |
| Capital Allocation Moderate Portfolio |
1,387,000 |
2.78% |
| Disciplined Core Fund |
1,041,000 |
3.89% |
| Disciplined Growth Fund |
41,000 |
0.51% |
| Disciplined Value Fund |
68,000 |
2.11% |
| Dividend Opportunity Fund |
749,000 |
1.34% |
| Flexible Capital Income Fund |
1,116,000 |
0.89% |
| Floating Rate Fund |
916,000 |
4.19% |
| Global Value Fund |
678,000 |
22.24% |
| High Yield Bond Fund |
5,522,000 |
78.48% |
| Income Builder Fund |
1,495,000 |
2.47% |
| Income Opportunities Fund |
864,000 |
16.87% |
| Intrinsic Value Fund |
575,000 |
6.29% |
| MN Tax-Exempt Fund |
447,000 |
2.48% |
| Mortgage Opportunities Fund |
288,000 |
0.91% |
| Quality Income Fund |
367,000 |
10.86% |
| Select Global Equity Fund |
1,107,000 |
10.32% |
| Select Large Cap Value Fund |
2,325,000 |
5.94% |
| Select Short Corporate Income Fund |
382,000 |
6.31% |
| Seligman Global Technology Fund |
3,422,000 |
4.23% |
| Seligman Technology and Information Fund |
12,836,000 |
2.73% |
| Strategic Municipal Income Fund |
342,000 |
1.34% |
| Securities Lending
Activities for the year ended December 31, 2025 | |||||
| |
Acorn European Fund |
Acorn Fund |
Acorn International
Fund |
Acorn International
Select Fund |
CAT Total |
| Gross income from securities lending activities (including income from cash collateral reinvestment) |
$2,727 |
$1,843,919 |
$285,303 |
$8,061 |
$2,140,010 |
| Fees paid to GSAL from revenue split |
$145 |
$42,560 |
$6,571 |
$93 |
$49,369 |
| Fees paid for cash collateral management |
$125 |
$88,021 |
$13,663 |
$402 |
$102,211 |
| Administrative fees not included in revenue split |
$0 |
$0 |
$0 |
$0 |
$0 |
| Securities Lending
Activities for the year ended December 31, 2025 | |||||
| |
Acorn European Fund |
Acorn Fund |
Acorn International
Fund |
Acorn International
Select Fund |
CAT Total |
| Indemnification fees not included in revenue split |
$0 |
$0 |
$0 |
$0 |
$0 |
| Rebates paid to borrowers |
$1,147 |
$1,328,745 |
$205,884 |
$6,730 |
$1,542,506 |
| Other fees not included in revenue split |
$0 |
$0 |
$0 |
$0 |
$0 |
| Aggregate fees / compensation for securities lending activities |
$1,417 |
$1,459,326 |
$226,118 |
$7,225 |
$1,694,086 |
| Net income from securities lending activities |
$1,310 |
$384,593 |
$59,185 |
$836 |
$445,924 |
| |
Amounts
Reimbursed | ||
| |
2026 |
2025 |
2024 |
| For Funds with fiscal period ending January 31 | |||
| Capital Allocation Aggressive Portfolio |
$0 |
$0 |
$0 |
| Capital Allocation Conservative Portfolio |
0 |
0 |
0 |
| Capital Allocation Moderate Aggressive Portfolio |
0 |
0 |
0 |
| Capital Allocation Moderate Conservative Portfolio |
0 |
0 |
0 |
| Capital Allocation Moderate Portfolio |
0 |
0 |
0 |
| Income Builder Fund |
0 |
0 |
0 |
| For Funds with fiscal period ending February 28/29
| |||
| Convertible Securities Fund |
894,456 |
1,074,361 |
1,003,055 |
| Cornerstone Equity Fund |
3,178,461 |
3,429,253 |
3,832,348 |
| Global Value Fund |
0 |
0 |
0 |
| Large Cap Enhanced Core Fund |
1,879,168 |
1,845,345 |
1,647,653 |
| Large Cap Growth Opportunity Fund |
871,019 |
852,592 |
914,427 |
| Large Cap Index Fund |
109,566 |
102,966 |
107,722 |
| Mid Cap Index Fund |
2,675,288 |
2,677,389 |
2,713,997 |
| Overseas Core Fund |
1,007,871 |
554,949 |
694,768 |
| Overseas Value Fund |
719,033 |
1,045,254 |
1,567,295 |
| Select Mid Cap Value Fund |
0 |
168,998 |
650,517 |
| Small Cap Index Fund |
102,908 |
99,910 |
116,224 |
| |
Amounts
Reimbursed | ||
| |
2026 |
2025 |
2024 |
| Small Cap Value and Inflection Fund |
$1,279,620 |
$1,310,657 |
$1,013,302 |
| |
2025 |
2024 |
2023 |
| For Funds with fiscal period ending March 31 | |||
| Integrated Large Cap Growth Fund II |
229,907 |
965,656 |
1,366,707 |
| MM Large Cap Growth Strategies Fund(a)
|
N/A |
N/A |
N/A |
| Select Large Cap Growth Fund |
1,351,992 |
1,534,519 |
1,359,968 |
| Short Term Bond Fund |
1,413,465 |
1,217,899 |
1,280,122 |
| For Funds with fiscal period ending April 30 | |||
| CA Intermediate Municipal Bond Fund |
309,561 |
313,959 |
344,007 |
| MM Directional Alternative Strategies Fund |
254,933 |
773,794 |
688,882 |
| Select Corporate Income Fund |
1,251,041 |
1,459,437 |
874,999 |
| Short Duration Municipal Bond Fund |
618,436 |
811,709 |
1,132,996 |
| Small Cap Value Discovery Fund |
268,005 |
0 |
0 |
| Total Return Bond Fund |
4,190,427 |
4,222,849 |
3,917,486 |
| U.S. Treasury Index Fund |
1,985,997 |
2,632,271 |
2,656,199 |
| For Funds with fiscal period ending May 31 |
|||
| Adaptive Risk Allocation Fund |
0 |
0 |
0 |
| Commodity Strategy Fund |
0 |
0 |
0 |
| Dividend Income Fund |
0 |
0 |
0 |
| Dividend Opportunity Fund |
0 |
0 |
0 |
| Flexible Capital Income Fund |
0 |
0 |
0 |
| High Yield Bond Fund |
802,245 |
834,710 |
573,353 |
| High Yield Municipal Fund |
299,661 |
313,918 |
233,788 |
| Intrinsic Value Fund |
186,644 |
247,839 |
0 |
| MM Value Strategies Fund |
415,607 |
663,573 |
0 |
| Mortgage Opportunities Fund |
470,882 |
454,929 |
167,103 |
| Multi Strategy Alternatives Fund |
744,349 |
943,788 |
1,037,096 |
| Quality Income Fund |
847,720 |
727,555 |
150,409 |
| Select Large Cap Value Fund |
6,603,289 |
6,657,294 |
6,557,512 |
| Select Small Cap Value Fund |
263,998 |
180,328 |
130,337 |
| Seligman Technology and Information Fund |
0 |
0 |
0 |
| For Funds with fiscal period ending July 31 | |||
| Cornerstone Growth Fund |
0 |
0 |
645 |
| Disciplined Core Fund |
0 |
0 |
0 |
| Disciplined Growth Fund |
280,213 |
302,952 |
277,568 |
| Disciplined Value Fund |
353,822 |
439,159 |
384,959 |
| Floating Rate Fund |
515,986 |
198,976 |
316,516 |
| Global Opportunities Fund |
0 |
42,995 |
0 |
| Government Money Market Fund |
1,407,206 |
2,915,001 |
1,458,051 |
| Income Opportunities Fund |
754,227 |
788,207 |
817,406 |
| MN Tax-Exempt Fund |
0 |
0 |
0 |
| OR Intermediate Municipal Bond Fund |
121,237 |
108,560 |
114,035 |
| Select Short Corporate Income Fund |
759,721 |
678,220 |
537,840 |
| |
Amounts
Reimbursed | ||
| |
2025 |
2024 |
2023 |
| Strategic Municipal Income Fund |
$1,056,507 |
$1,006,564 |
$525,033 |
| Total Return Municipal Income Fund |
111,363 |
102,445 |
0 |
| Ultra Short Term Bond Fund |
0 |
0 |
24,972 |
| For Funds with fiscal period ending August 31 | |||
| Balanced Fund |
0 |
0 |
0 |
| Contrarian Core Fund |
901,978 |
3,262,670 |
2,371,756 |
| Emerging Markets Bond Fund |
0 |
0 |
551 |
| Emerging Markets Fund |
1,346,570 |
1,373,655 |
788,253 |
| Global Technology Growth Fund |
0 |
0 |
0 |
| Greater China Fund |
137,609 |
135,030 |
61,577 |
| Integrated Small Cap Growth Fund |
149,041 |
199,214 |
262,836 |
| International Dividend Income Fund |
426,998 |
312,565 |
294,206 |
| MM Alternative Strategies Fund |
0 |
0 |
0 |
| MM International Equity Strategies Fund |
0 |
254,916 |
77,584 |
| MM Small Cap Equity Strategies Fund |
1,259,961 |
2,447,544 |
2,517,366 |
| MM Total Return Bond Strategies Fund |
0 |
0 |
1,056,414 |
| Multisector Bond SMA Completion Portfolio |
140,707 |
133,677 |
135,787 |
| Overseas SMA Completion Portfolio |
126,222 |
126,128 |
117,546 |
| Pyrford International Stock Fund |
604,613 |
705,333 |
889,592 |
| Select Mid Cap Growth Fund |
257,378 |
304,478 |
0 |
| Small Cap Growth Fund |
1,657 |
15,566 |
1,883 |
| Strategic Income Fund |
277,054 |
0 |
0 |
| Ultra Short Duration Municipal Bond Fund |
130,475 |
77,035 |
32,747 |
| For Funds with fiscal period ending October 31 | |||
| Intermediate Duration Municipal Bond Fund |
3,182,009 |
3,513,049 |
3,669,271 |
| MA Intermediate Municipal Bond Fund |
132,141 |
139,825 |
160,053 |
| NY Intermediate Municipal Bond Fund |
186,135 |
198,971 |
223,954 |
| Select Global Equity Fund |
182,008 |
257,261 |
138,467 |
| Seligman Global Technology Fund |
606,606 |
281,366 |
0 |
| Strategic CA Municipal Income Fund |
172,697 |
179,271 |
144,008 |
| Strategic NY Municipal Income Fund |
190,276 |
174,600 |
136,446 |
| For Funds with fiscal period ending December 31 | |||
| Acorn European Fund |
187,213 |
269,458 |
301,421 |
| Acorn Fund |
609,314 |
2,283,403 |
1,781,144 |
| Acorn International Fund |
831,097 |
1,680,686 |
1,654,568 |
| Acorn International Select Fund |
685,120 |
679,157 |
730,898 |
| Real Estate Equity Fund |
86,874 |
78,722 |
108,063 |
| Thermostat Fund |
0 |
811,567 |
1,097,936 |
| |
Fees
Waived | ||
| |
2026 |
2025 |
2024 |
| For Funds with fiscal period ending February 28/29
| |||
| Cornerstone Equity Fund |
$7,939 |
$6,236 |
$9,995 |
| Large Cap Enhanced Core Fund |
0 |
0 |
4,716 |
| Overseas Value Fund |
43,801 |
68,365 |
0 |
| Select Mid Cap Value Fund |
0 |
0 |
14,982 |
| |
2025 |
2024 |
2023 |
| For Funds with fiscal period ending March 31 | |||
| Select Large Cap Growth Fund |
9,109 |
0 |
9,418 |
| Short Term Bond Fund |
28,655 |
18,170 |
36,374 |
| For Funds with fiscal period ending April 30 | |||
| MM Directional Alternative Strategies Fund |
281,807 |
0 |
0 |
| Select Corporate Income Fund |
55,524 |
44,562 |
52,724 |
| Short Duration Municipal Bond Fund |
2,621 |
10,222 |
21,068 |
| Total Return Bond Fund |
49,420 |
13,762 |
32,956 |
| For Funds with fiscal period ending May 31 |
|||
| Dividend Opportunity Fund |
0 |
0 |
9,632 |
| High Yield Bond Fund |
26,270 |
0 |
13,204 |
| Quality Income Fund |
0 |
0 |
573 |
| Select Large Cap Value Fund |
4,101 |
0 |
5,887 |
| Seligman Technology and Information Fund |
102,147 |
88,011 |
63,070 |
| For Funds with fiscal period ending July 31 | |||
| Cornerstone Growth Fund |
22,580 |
27,743 |
13,540 |
| Disciplined Value Fund |
0 |
0 |
177 |
| Floating Rate Fund |
0 |
0 |
4,007 |
| Income Opportunities Fund |
6,465 |
0 |
6,425 |
| Total Return Municipal Income Fund |
0 |
0 |
2,077 |
| For Funds with fiscal period ending August 31 | |||
| Emerging Markets Bond Fund |
0 |
0 |
1,673 |
| Emerging Markets Fund |
9,772 |
25,914 |
5,622 |
| Greater China Fund |
0 |
0 |
2,227 |
| Pyrford International Stock Fund |
1,933 |
4,410 |
0 |
| Strategic Income Fund |
60,242 |
0 |
0 |
| For Funds with fiscal period ending October 31 | |||
| Intermediate Duration Municipal Bond Fund |
39,770 |
0 |
0 |
| Seligman Global Technology Fund |
3,915 |
18,278 |
13,812 |
| For Funds with fiscal period ending December 31 | |||
| Acorn European Fund |
0 |
75 |
477 |
| Acorn International Fund |
0 |
185 |
10,349 |
| Acorn International Select Fund |
225 |
535 |
0 |
| Thermostat Fund |
53,628 |
7,543 |
0 |
| Name, address, year of birth |
Position held with Subsidiary
and length of service |
Principal occupation during past five years |
| Brian M. Engelking 901 3rd Avenue South
Minneapolis, MN 55402 Born 1979 |
Director since March 2020 |
Global Lead Financial Officer – Columbia Threadneedle
Investments® at Ameriprise Financial, Inc. since June 2020.
Previously, Vice President – Finance, Ameriprise Financial, Inc.
and served in various finance leadership roles with Ameriprise
Financial, Inc. since 2000. |
| Christopher O. Petersen 901 3rd Avenue South
Minneapolis, MN 55402 Born 1970 |
Director since
January 2015 |
See Fund Governance – The Officers – Fund
Officers. |
| Subsidiary |
Assets
(millions) |
Annual rate at each asset level(a) |
| ASGM Offshore Fund, Ltd. |
$0 - $500 |
1.100% |
| ASMF Offshore Fund, Ltd. |
˃$500 - $1,000 |
1.050% |
| (Subsidiaries of MM Alternative Strategies Fund)(a)
|
˃$1,000 - $3,000 |
1.020% |
| |
˃$3,000 - $6,000 |
0.990% |
| |
˃$6,000 - $12,000 |
0.960% |
| |
˃$12,000 |
0.950% |
| CCSF Offshore Fund, Ltd. |
$0 - $500 |
0.630% |
| (Subsidiary of Commodity Strategy Fund)(a)
|
˃$500 - $1,000 |
0.580% |
| |
˃$1,000 - $3,000 |
0.550% |
| |
˃$3,000 - $6,000 |
0.520% |
| |
˃$6,000 - $12,000 |
0.500% |
| |
˃$12,000 |
0.490% |
| CMSAF1 Offshore Fund, Ltd. |
$0 - $500 |
0.960% |
| CMSAF2 Offshore Fund, Ltd. |
˃$500 - $1,000 |
0.955% |
| CMSAF3 Offshore Fund, Ltd. |
˃$1,000 - $3,000 |
0.950% |
| (Subsidiaries of Multi Strategy Alternatives
Fund)(a) |
˃$3,000 - $12,000 |
0.940% |
| |
˃$12,000 |
0.930% |
| Name, Address, Year of Birth |
Position Held
with the Columbia
Funds and Length
of Service |
Principal Occupation(s)
During the Past Five Years and
Other Relevant
Professional Experience |
Number of Funds in the Columbia Funds Complex* Overseen |
Other Directorships
Held by Trustee During
the Past Five Years and
Other Relevant Board
Experience |
Committee Assignments |
| George S. Batejan
c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1954 |
Trustee since 2017 |
Executive Vice President, Global Head of Technology and Operations, Janus Capital Group, Inc., 2010-2016 |
179 |
Former Chairman of the Board, NICSA (National Investment Company Services Association) (Executive Committee, Nominating Committee and Governance Committee), 2014- 2016; former Director, Intech Investment Management, 2011- 2016; former Board Member, Metro Denver Chamber of Commerce, 2015-2016; former Advisory Board Member, University of Colorado Business School, 2015-2018; former Board Member, Chase Bank International, 1993- 1994 |
Compliance,
Contracts, Investment Review
Committee |
| Name, Address, Year of Birth |
Position Held
with the Columbia
Funds and Length
of Service |
Principal Occupation(s)
During the Past Five Years and
Other Relevant
Professional Experience |
Number
of Funds
in the
Columbia
Funds
Complex*
Overseen |
Other Directorships
Held by Trustee During
the Past Five Years and
Other Relevant Board
Experience |
Committee Assignments |
| Kathleen Blatz c/o
Columbia Management Investment Advisers, LLC,
290 Congress Street Boston, MA 02210
1954 |
Trustee since 2006 |
Attorney, specializing in arbitration and mediation, since 2006; Trustee of Gerald Rauenhorst 1982 Trusts, 2020-2024; Interim President and Chief Executive Officer, Blue Cross Blue Shield of Minnesota (health care insurance), February-July 2018, April-October 2021; Chief Justice, Minnesota Supreme Court, 1998-2006; Associate Justice, Minnesota Supreme Court, 1996-1998; Fourth Judicial District Court Judge, Hennepin County, 1994-1996; Attorney in private practice and public service, 1984-1993; State Representative, Minnesota House of Representatives, 1979-1993, which included service on the Tax and Financial Institutions and Insurance Committees; Member and Interim Chair, Minnesota Sports Facilities Authority, January-July 2017 |
179 |
Former Trustee, Blue Cross and Blue Shield of Minnesota, 2009- 2021 (Chair of the Business Development Committee, 2014-2017; Chair of the Governance Committee, 2017-2019); former Member and Chair of the Board, Minnesota Sports Facilities Authority, January 2017-July 2017; former Director, Robina Foundation, 2009-2020 (Chair, 2014-2020); Director, Richard M. Schulze Family Foundation, since 2021 |
Compliance,
Contracts, Investment Review
Committee |
| Name, Address, Year of Birth |
Position Held
with the Columbia
Funds and Length
of Service |
Principal Occupation(s)
During the Past Five Years and
Other Relevant
Professional Experience |
Number
of Funds
in the
Columbia
Funds
Complex*
Overseen |
Other Directorships
Held by Trustee During
the Past Five Years and
Other Relevant Board
Experience |
Committee Assignments |
| Pamela G. Carlton c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1954 |
Chair since
2023; Trustee
since 2007 |
President, Springboard-
Partners in Cross Cultural
Leadership (consulting
company), since 2003;
Managing Director of US
Equity Research, JP Morgan
Chase, 1999-2003; Director of
US Equity Research, Chase
Asset Management, 1996-
1999; Co-Director Latin
America Research, 1993-
1996, COO Global Research,
1992-1996, Co-Director of US
Research, 1991-1992,
Investment Banker, 1982-
1991, Morgan Stanley;
Attorney, Cleary Gottlieb
Steen & Hamilton LLP, 1980-
1982 |
179 |
Trustee, New York
Presbyterian Hospital
Board since 1996;
Director, DR Bank since
2017 (Audit Committee
and Audit Committee
Chair since November
2023); Director,
Evercore Inc. since
2019 (Audit Committee,
Nominating and
Governance
Committee); Director,
Apollo Commercial Real
Estate Finance, Inc.
since 2021 (Chair,
Nominating and
Governance Committee
since 2023); Director,
Apollo Asset-Backed
Finance Lending
Company since 2024
(Audit Committee and
Nominating and
Governance
Committee); former
member, Independent
Directors Council (IDC)
Governing Council,
2021-2025; former
member, Investment
Company Institute (ICI)
Board of Governors,
2024-2025 |
Contracts, Board Governance,
Investment Review
Committee |
| Janet Langford Carrig c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1957 |
Trustee since 1996 |
Senior Vice President, General Counsel and Corporate Secretary, ConocoPhillips (independent energy company), September 2007- October 2018 |
179 |
Director, Waterbridge Infrastructure LLC (Audit Committee) (water infrastructure company), since December 2025; Former Director, EQT Corporation (natural gas producer), July 2019-April 2025; former Director, Whiting Petroleum Corporation (independent oil and gas company), 2020- 2022 |
Contracts, Board
Governance, Investment Review
Committee |
| Name, Address, Year of Birth |
Position Held
with the Columbia
Funds and Length
of Service |
Principal Occupation(s)
During the Past Five Years and
Other Relevant
Professional Experience |
Number
of Funds
in the
Columbia
Funds
Complex*
Overseen |
Other Directorships
Held by Trustee During
the Past Five Years and
Other Relevant Board
Experience |
Committee Assignments |
| J. Kevin Connaughton c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1964 |
Trustee since
2020 |
CEO and President,
RhodeWay Financial (non-
profit financial planning firm),
since December 2022;
Member, FINRA National
Adjudicatory Council, January
2020-December 2023;
Adjunct Professor of Finance,
Bentley University, January
2018-April 2023; Consultant
to Independent Trustees of
CFVIT and CFST I from March
2016 to June 2020 with
respect to CFVIT and to
December 2020 with respect
to CFST I; Managing Director
and General Manager of
Mutual Fund Products,
Columbia Management
Investment Advisers, LLC,
May 2010-February 2015;
President, Columbia Funds,
2008-2015; and senior officer
of Columbia Funds and
affiliated funds, 2003-2015 |
177 |
Director and Chairman,
RhodeWay Financial
since 2022; Former
Director, The Autism
Project, March 2015-
December 2021; former
Member of the
Investment Committee,
St. Michael’s College,
November 2015-
February 2020; former
Trustee, St. Michael’s
College, June 2017-
September 2019;
former Trustee, New
Century Portfolios
(former mutual fund
complex), January
2015-December 2017 |
Audit, Board Governance,
Contracts, Investment Review
Committee |
| Olive M. Darragh
c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1962 |
Trustee since
2020 |
Managing Director of Darragh
Inc. (strategy and talent
management consulting firm),
since 2010; Founder and CEO,
Zolio, Inc. (investment
management talent
identification platform), since
2004; Consultant to
Independent Trustees of
CFVIT and CFST I from June
2019 to June 2020 with
respect to CFVIT and to
December 2020 with respect
to CFST I; Partner, Tudor
Investments, 2004-2010;
Senior Partner, McKinsey &
Company (consulting), 1990-
2004; Touche Ross CPA,
1985-1988 |
177 |
Treasurer, Edinburgh
University US Trust
Board, since January
2023; Member, HBS
Community Action
Partners Board, since
September 2022;
former Director,
University of Edinburgh
Business School
(Member of US Board),
2004-2019; former
Director, Boston Public
Library Foundation,
2008-2017 |
Contracts,
Investment Review
Committee |
| Brian J. Gallagher
c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1954 |
Trustee since 2017 |
Retired; Partner with Deloitte & Touche LLP and its predecessors, 1977-2016 |
179 |
Trustee, Catholic Schools Foundation, 2004-2024 |
Audit, Contracts,
Board Governance,
Investment Review
Committee |
| Name, Address, Year of Birth |
Position Held
with the Columbia
Funds and Length
of Service |
Principal Occupation(s)
During the Past Five Years and
Other Relevant
Professional Experience |
Number
of Funds
in the
Columbia
Funds
Complex*
Overseen |
Other Directorships
Held by Trustee During
the Past Five Years and
Other Relevant Board
Experience |
Committee Assignments |
| Douglas A. Hacker c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1955 |
Trustee since
1996 |
Independent business
executive, since May 2006;
Executive Vice President –
Strategy of United Airlines,
December 2002-May 2006;
President of UAL Loyalty
Services (airline marketing
company), September 2001-
December 2002; Executive
Vice President and Chief
Financial Officer of United
Airlines, July 1999-September
2001 |
179 |
Former Director,
SpartanNash Company
(food distributor),
November 2013-
September 2025
(Former Chair of the
Board, May 2021-
September 2025);
Director, Aircastle
Limited (aircraft
leasing), since August
2006 (Chair of Audit
Committee); former
Director, Nash Finch
Company (food
distributor), 2005-2013;
former Director,
SeaCube Container
Leasing Ltd. (container
leasing), 2010-2013;
and former Director,
Travelport Worldwide
Limited (travel
information
technology), 2014-2019 |
Audit, Contracts, Board
Governance, Investment Review
Committee |
| Amrit Kanwal c/o
Columbia Management Investment Advisers, LLC,
290 Congress Street Boston, MA 02210
1965 |
Trustee since
2026 |
Executive Vice President and
Chief Financial Officer, MFS
Investment Management
(asset management firm),
2009-2025; Executive Board
Member, MFS Investment
Management, 2022-2024;
Executive Committee
Member, Sun Life Financial,
2021-2024 |
177 |
Director, ABSLAMC
(Indian investment
management
company); Director,
MFS Meridian Funds
(Luxembourg
investment
management fund
complex), 2021-2024 |
Audit, Contracts,
Investment Review
Committee |
| Nancy T. Lukitsh c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1956 |
Trustee since
2011 |
Senior Vice President, Partner
and Director of Marketing,
Wellington Management
Company, LLP (investment
adviser), 1997-2010; Chair,
Wellington Management
Portfolios (commingled non-
U.S. investment pools), 2007
-2010; Director, Wellington
Trust Company, NA and other
Wellington affiliates, 1997-
2010 |
179 |
None |
Compliance, Contracts, Board
Governance, Investment Review
Committee |
| Jeninne C. McGee
c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1962 |
Trustee since 2025 |
Retired; Executive Vice President and Chief Risk Officer of Ameriprise Financial, Inc., 2021–2023; Senior Vice President, Operational Risk and Data Governance, Ameriprise Financial Inc., 2018-2021 |
177 |
Director, First Command (Chair of Risk Committee) (financial planning firm for military personnel), since 2023; Trustee and Vice Chair, Carleton College (on the Finance Committee and Investment Committee), since 2017 |
Compliance,
Contracts, Investment Review
Committee |
| Name, Address, Year of Birth |
Position Held
with the Columbia
Funds and Length
of Service |
Principal Occupation(s)
During the Past Five Years and
Other Relevant
Professional Experience |
Number
of Funds
in the
Columbia
Funds
Complex*
Overseen |
Other Directorships
Held by Trustee During
the Past Five Years and
Other Relevant Board
Experience |
Committee Assignments |
| David M. Moffett c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1952 |
Trustee since
2011 |
Retired; former Chief
Executive Officer of Freddie
Mac and Chief Financial
Officer of U.S. Bank |
179 |
Director, CSX
Corporation
(transportation
suppliers); Director,
PayPal Holdings Inc.
(payment and data
processing services);
former Director, eBay
Inc. (online trading
community), 2007-
2015; and former
Director, CIT Bank, CIT
Group Inc. (commercial
and consumer finance),
2010-2016; former
Senior Adviser to The
Carlyle Group (financial
services), March 2008-
September 2008;
former Governance
Consultant to
Bridgewater Associates
(investment company),
January 2013-
December 2015 |
Audit, Contracts,
Investment Review
Committee |
| Catherine James Paglia c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1952 |
Trustee since 2004 |
Director, Enterprise Asset Management, Inc. (private real estate and asset management company), since September 1998; Managing Director and Partner, Interlaken Capital, Inc., 1989-1997; Vice President, 1982-1985, Principal, 1985-1987, Managing Director, 1987- 1989, Morgan Stanley; Vice President, Investment Banking, 1980-1982, Associate, Investment Banking, 1976-1980, Dean Witter Reynolds, Inc. |
179 |
Director, Valmont Industries, Inc. (irrigation systems manufacturer), since 2012; Trustee, Carleton College (on the Investment Committee), since 1987; Trustee, Carnegie Endowment for International Peace (on the Investment Committee), 2009-2025 |
Compliance,
Contracts, Board Governance,
Investment Review
Committee |
| Name, Address, Year of Birth |
Position Held
with the Columbia
Funds and Length
of Service |
Principal Occupation(s)
During the Past Five Years and
Other Relevant
Professional Experience |
Number
of Funds
in the
Columbia
Funds
Complex*
Overseen |
Other Directorships
Held by Trustee During
the Past Five Years and
Other Relevant Board
Experience |
Committee Assignments |
| Natalie A. Trunow c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1967 |
Trustee since
2020 |
Chief Executive Officer,
Millennial Portfolio Solutions
LLC (asset management and
consulting services) January
2016-January 2021; Non-
executive Member of the
Investment Committee and
Valuation Committee, Sarona
Asset Management Inc.
(private equity firm)
September 2019-December
2022; Advisor, Horizon
Investments (asset
management and consulting
services), August 2018-
January 2022; Advisor,
Paradigm Asset
Management, November
2016-January 2022;
Consultant to Independent
Trustees of CFVIT and CFST I
from September 2016 to June
2020 with respect to CFVIT
and to December 2020 with
respect to CFST I; Director of
Investments/Consultant,
Casey Family Programs, April
2016-November 2016; Senior
Vice President and Chief
Investment Officer, Calvert
Investments, August 2008-
January 2016; Section Head
and Portfolio Manager,
General Motors Asset
Management, June 1997-
August 2008 |
177 |
Independent Director,
(Investment
Committee), Health
Services for Children
with Special Needs,
Inc., 2010-2021;
Independent Director,
(Executive Committee
and Chair, Audit
Committee), Consumer
Credit Counseling
Services (formerly
Guidewell Financial
Solutions), 2016-2023;
Independent Director
(Investment
Committee), Sarona
Asset Management,
2019-2022 |
Compliance, Contracts,
Investment Review
Committee |
| Sandra L. Yeager
c/o Columbia Management Investment Advisers, LLC, 290 Congress Street
Boston, MA 02210 1964 |
Trustee since 2017 |
Retired; President and founder, Hanoverian Capital, LLC (SEC registered investment advisor firm), 2008-2016; Managing Director, DuPont Capital, 2006-2008; Managing Director, Morgan Stanley Investment Management, 2004-2006; Senior Vice President, Alliance Bernstein, 1990-2004 |
179 |
Former Director, NAPE (National Alliance for Partnerships in Equity) Education Foundation, October 2016-October 2020; Advisory Board, Jennersville YMCA, June 2022-June 2023 |
Audit, Contracts,
Investment Review
Committee |
| Name, Address, Year of Birth |
Position Held
with the Columbia
Funds and Length
of Service |
Principal Occupation(s)
During the Past Five Years
and Other Relevant
Professional Experience |
Number of
Funds in the
Columbia Funds
Complex*
Overseen |
Other Directorships Held
by Trustee During the Past
Five Years and Other
Relevant Board
Experience |
Committee Assignments |
| Ryan C. Larrenaga
c/o Columbia Management Investment Advisers, LLC 290 Congress Street
Boston, MA 02210
1970 |
Trustee since September 2025
Senior Vice
President since
2017, Chief
Legal Officer
since 2017 and
Secretary since
2015 |
Vice President and Chief Counsel – Legal, Ameriprise Financial, Inc., since August 2018; Vice President and General Counsel, Ameriprise Certificate Company (registered investment company), since April 2025; officer of the Columbia Funds or affiliated registered and unregistered funds since 2005 |
179 |
None |
None |
| Name, Address
and Year of Birth |
Position and Year
First Appointed to
Position for any Fund in the Columbia Funds Complex or a Predecessor Thereof |
Principal Occupation(s) During Past Five Years |
| Michael G. Clarke
290 Congress Street Boston, MA 02210
1969 |
President and Principal Executive Officer (2025) |
Senior Vice President and North America Head of Global Operations & Investor Services and Member of Board of Governors, Columbia Management Investment Advisers, LLC, since June 2023 and January 2024, respectively (previously Senior Vice President and Head of Global Operations & Investor Services, March 2022 - June 2023, Vice President, Head of North America Operations, and Co-Head of Global Operations, June 2019 - February 2022 and Vice President – Accounting and Tax, May 2010 - May 2019); formerly Chief Financial Officer and Principal Financial Officer of the Columbia Funds, January 2009 – September 2025; formerly Senior Vice President of the Columbia Funds, January 2019 – September 2025; senior officer of Columbia Funds and affiliated funds, since 2002; Director, Ameriprise Trust Company, since June 2023; Chair and President since August 2025; Director, Columbia Management Investment Services Corp., since September 2024. |
| Name, Address and Year of Birth |
Position and Year
First Appointed to
Position for any Fund in the
Columbia Funds Complex
or a Predecessor Thereof |
Principal Occupation(s) During Past Five Years |
| Charles H. Chiesa
290 Congress Street
Boston, MA 02210
1978 |
Chief Financial Officer
(2025) and Principal
Financial Officer,
Treasurer and Chief
Accounting Officer
(2024) |
Vice President, Head of Accounting and Tax, Columbia
Management Investment Advisers, LLC, since February 2026
(previously Vice President, Head of Accounting and Tax of Global
Operations & Investor Services, May 2024 - February 2026); Senior
Manager, KPMG, October 2022 - May 2024; Director - Business
Analyst, Columbia Management Investment Advisers, LLC,
December 2013 - October 2022. |
| William F. Truscott
290 Congress Street Boston, MA 02210
1960 |
Senior Vice President
(2001) |
Formerly, Trustee/Director of Columbia Funds Complex or legacy funds, November 2001 - January 1, 2021; Chief Executive Officer, Global Asset Management, Ameriprise Financial, Inc., since September 2012; Chairman of the Board and President, Columbia Management Investment Advisers, LLC, since July 2004 and February 2012, respectively; President, Chief Executive Officer and Chairman of the Board, Columbia Management Investment Distributors, Inc., since January 2024, February 2012 and November 2008, respectively; Chairman of the Board and Director, TAM UK International Holdings Limited, since July 2021; formerly Chairman of the Board and Director, Threadneedle Asset Management Holdings, Sàrl, March 2013 – December 2022 and December 2008 – December 2022, respectively; senior executive of various entities affiliated with Columbia Threadneedle Investments®. |
| Christopher O. Petersen
901 3rd Avenue South
Minneapolis, MN 55402 1970 |
Senior Vice President and
Assistant Secretary
(2021) |
Formerly, Trustee/Director of funds within the Columbia Funds
Complex, July 1, 2020 - November 22, 2021; Senior Vice President
and Assistant General Counsel, Ameriprise Financial, Inc., since
September 2021 (previously Vice President and Lead Chief
Counsel, January 2015 - September 2021); formerly, President and
Principal Executive Officer of the Columbia Funds, 2015 - 2021;
officer of Columbia Funds and affiliated funds, since 2007. |
| Thomas P. McGuire
290 Congress Street Boston, MA 02210
1972 |
Senior Vice President and
Chief Compliance Officer
(2012) |
Vice President – Asset Management Compliance, Ameriprise Financial, Inc., since May 2010; Chief Compliance Officer, Columbia Funds, since April 2012; formerly, Chief Compliance Officer, Ameriprise Certificate Company, September 2010 - September 2020. |
| Michael E. DeFao 290 Congress Street
Boston, MA 02210 1968 |
Vice President (2011)
and Assistant Secretary
(2010) |
Vice President and Lead Chief Counsel, Ameriprise Financial, Inc.,
since May 2010; Vice President, Chief Legal Officer and Assistant
Secretary, Columbia Management Investment Advisers, LLC and
Columbia Management Investment Distributors, LLC, since
October 2021 (previously Vice President and Assistant Secretary,
May 2010 - September 2021). |
| Christie Wiley
290 Congress Street Boston, MA 02210
1967 |
Vice President (2026) |
Vice President – Investor and Intermediary Services, Columbia Management Investment Advisers, LLC since May 2010; President, Columbia Management Investment Services Corp. since February 2026 (previously, Vice President since May 2010); officer Ameriprise Trust Company, since 2020. |
| Victoria K. Bender c/o Columbia Fund
Secretary 290 Congress Street
Boston, MA 02210 1980 |
Vice President (2026) |
Vice President and Chief Administrative Officer, Columbia
Management Investment Advisers, LLC since February 2020. |
| Joseph D’Alessandro 485 Lexington Avenue New York, NY 10017
1971 |
Vice President (2026) and Assistant Secretary (2009) |
Vice President and Group Counsel, Ameriprise Financial, Inc. since 2009; officer of the Columbia Funds since 2009. |
| Fiscal Period |
Audit
Committee |
Compliance
Committee |
Contracts
Committee |
Board Governance
Committee |
Investment
Review Committee |
| For the fiscal year ending January 31, 2026 |
4 |
4 |
5 |
5 |
4 |
| For the fiscal year
ending February 28, 2026 |
4 |
4 |
5 |
5 |
4 |
| For the fiscal year
ending March 31, 2025 |
4 |
4 |
5 |
5 |
4 |
| Fiscal Period |
Audit
Committee |
Compliance
Committee |
Contracts
Committee |
Board Governance
Committee |
Investment
Review Committee |
| For the fiscal year ending April 30, 2025 |
4 |
4 |
5 |
5 |
4 |
| For the fiscal year
ending May 31, 2025 |
4 |
4 |
5 |
5 |
4 |
| For the fiscal year ending July 31, 2025 |
4 |
4 |
5 |
5 |
4 |
| For the fiscal year
ending August 31, 2025 |
4 |
4 |
5 |
5 |
4 |
| For the fiscal year ending October 31, 2025 |
5 |
5 |
5 |
5 |
4 |
| For the fiscal year
ending December 31, 2025 |
4 |
4 |
5 |
5 |
4 |
| |
Batejan |
Blatz |
Carlton |
Carrig |
Connaughton |
Darragh |
Gallagher |
Hacker |
| Acorn European Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Acorn Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Acorn International Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Acorn International Select Fund |
A |
E |
A |
A |
A |
A |
A |
A |
| Adaptive Risk Allocation Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Balanced Fund |
A |
A |
A |
E(a) |
C |
A |
E(a) |
A |
| CA Intermediate Municipal Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Capital Allocation Aggressive Portfolio |
A |
A |
A |
A |
A |
A |
A |
A |
| Capital Allocation Conservative Portfolio |
A |
A |
A |
A |
A |
A |
A |
A |
| Capital Allocation Moderate Aggressive Portfolio |
A |
A |
A |
A |
A |
A |
D |
A |
| Capital Allocation Moderate Conservative Portfolio |
A |
A |
A |
A |
A |
A |
A |
A |
| Capital Allocation Moderate Portfolio |
A |
A |
A |
A |
A |
A |
A |
A |
| Commodity Strategy Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Contrarian Core Fund |
A |
A |
A |
E(a) |
D |
A |
A |
A |
| Convertible Securities Fund |
A |
A |
A |
A |
C |
E(a) |
A |
E |
| Cornerstone Equity Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Cornerstone Growth Fund |
C(a) |
A |
A |
E |
D |
A |
A |
E |
| Disciplined Core Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Disciplined Growth Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| |
Batejan |
Blatz |
Carlton |
Carrig |
Connaughton |
Darragh |
Gallagher |
Hacker |
| Disciplined Value Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Dividend Income Fund |
A |
A |
A |
E(a) |
D |
C |
E(a) |
A |
| Dividend Opportunity Fund |
E |
E |
A |
E(a) |
A |
A |
A |
A |
| Emerging Markets Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Emerging Markets Fund |
A |
E |
A |
A |
A |
A |
A |
E |
| Flexible Capital Income Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Floating Rate Fund |
A |
A |
A |
A |
A |
A |
D |
A |
| Global Opportunities Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Global Technology Growth Fund |
C(a) |
A |
E(a) |
A |
A |
E |
E(a) |
E |
| Global Value Fund |
A |
D |
A |
A |
A |
A |
E |
A |
| Government Money Market Fund |
B(a) |
A |
C(a) |
C(a) |
A |
B(a) |
C(a) |
A |
| Greater China Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| High Yield Bond Fund |
A |
A |
A |
A |
A |
E(a) |
A |
A |
| High Yield Municipal Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Income Builder Fund |
A |
A |
A |
A |
A |
A |
E |
A |
| Income Opportunities Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Integrated Large Cap Growth Fund II |
A |
A |
A |
A |
A |
A |
A |
A |
| Integrated Small Cap Growth Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Intermediate Duration Municipal Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| International Dividend Income Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Intrinsic Value Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Large Cap Enhanced Core Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Large Cap Growth Opportunity Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Large Cap Index Fund |
C(a) |
A |
A |
E(a) |
A |
A |
A |
A |
| MA Intermediate Municipal Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Mid Cap Index Fund |
A |
A |
A |
E(a) |
A |
A |
A |
A |
| MM Alternative Strategies Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| MM Directional Alternative Strategies Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| MM International Equity Strategies Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| MM Large Cap Growth Strategies Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| MM Small Cap Equity Strategies Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| MM Total Return Bond Strategies Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| MM Value Strategies Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| MN Tax-Exempt Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Mortgage Opportunities Fund |
A |
A |
E(a) |
A |
A |
A |
A |
A |
| Multisector Bond SMA Completion Portfolio |
A |
A |
A |
A |
A |
A |
A |
A |
| Multi Strategy Alternatives Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| NY Intermediate Municipal Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| OR Intermediate Municipal Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Overseas Core Fund |
A |
A |
E(a) |
A |
A |
A |
A |
A |
| Overseas SMA Completion Portfolio |
A |
A |
A |
A |
A |
A |
A |
A |
| Overseas Value Fund |
A |
A |
A |
A |
A |
A |
E |
A |
| Pyrford International Stock Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Quality Income Fund |
A |
D |
A |
A |
A |
A |
A |
A |
| |
Batejan |
Blatz |
Carlton |
Carrig |
Connaughton |
Darragh |
Gallagher |
Hacker |
| Real Estate Equity Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Select Corporate Income Fund |
A |
A |
A |
D(a) |
A |
D(a) |
A |
A |
| Select Global Equity Fund |
A |
E |
A |
A |
A |
A |
A |
A |
| Select Large Cap Growth Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Select Large Cap Value Fund |
E |
A |
A |
A |
A |
A |
A |
A |
| Select Mid Cap Growth Fund |
A |
A |
E(a) |
A |
A |
A |
A |
A |
| Select Mid Cap Value Fund |
C(a) |
A |
A |
A |
A |
D(a) |
A |
A |
| Select Short Corporate Income Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Select Small Cap Value Fund |
A |
A |
A |
A |
A |
A |
E(a) |
A |
| Seligman Global Technology Fund |
A |
C |
A |
A |
C |
E(a) |
A |
A |
| Seligman Technology and Information Fund |
A |
E |
E(a) |
A |
D |
E(a) |
A |
A |
| Short Duration Municipal Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Short Term Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Small Cap Growth Fund |
A |
A |
A |
A |
C |
A |
A |
E |
| Small Cap Index Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Small Cap Value Discovery Fund |
A |
A |
A |
A |
A |
E(a) |
A |
E |
| Small Cap Value and Inflection Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Strategic CA Municipal Income Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Strategic Income Fund |
A |
A |
A |
E(a) |
C |
A |
A |
A |
| Strategic Municipal Income Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Strategic NY Municipal Income Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Thermostat Fund |
A |
A |
A |
A |
C |
A |
A |
A |
| Total Return Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Total Return Municipal Income Fund |
A |
B |
A |
A |
A |
A |
A |
A |
| U.S. Treasury Index Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Ultra Short Duration Municipal Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Ultra Short Term Bond Fund |
A |
A |
A |
A |
A |
A |
A |
A |
| Aggregate Dollar Range of Equity Securities in all Funds in the Columbia Funds Complex Overseen by the Trustee |
E(a) |
E |
E(a) |
E(a) |
E |
E(a) |
E(a) |
E |
| |
Kanwal(b) |
Lukitsh |
McGee |
Moffett |
Paglia |
Trunow |
Yeager |
| Acorn European Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Acorn Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Acorn International Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Acorn International Select Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Adaptive Risk Allocation Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Balanced Fund |
N/A |
A |
A |
E(a) |
A |
C(a) |
A |
| CA Intermediate Municipal Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Capital Allocation Aggressive Portfolio |
N/A |
A |
A |
A |
A |
A |
A |
| Capital Allocation Conservative Portfolio |
N/A |
A |
A |
A |
A |
A |
A |
| Capital Allocation Moderate Aggressive Portfolio |
N/A |
A |
A |
A |
A |
A |
A |
| Capital Allocation Moderate Conservative Portfolio |
N/A |
A |
A |
A |
A |
A |
A |
| Capital Allocation Moderate Portfolio |
N/A |
A |
A |
A |
A |
A |
A |
| |
Kanwal(b) |
Lukitsh |
McGee |
Moffett |
Paglia |
Trunow |
Yeager |
| Commodity Strategy Fund |
N/A |
A |
A |
A |
A |
A |
E(a) |
| Contrarian Core Fund |
N/A |
A |
A |
A |
E(a) |
A |
A |
| Convertible Securities Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Cornerstone Equity Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Cornerstone Growth Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Disciplined Core Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Disciplined Growth Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Disciplined Value Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Dividend Income Fund |
N/A |
E |
A |
A |
E(a) |
C(a) |
A |
| Dividend Opportunity Fund |
N/A |
A |
A |
A |
A |
A |
E(a) |
| Emerging Markets Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Emerging Markets Fund |
N/A |
A |
A |
A |
A |
A |
E(a) |
| Flexible Capital Income Fund |
N/A |
A |
A |
A |
E(a) |
A |
A |
| Floating Rate Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Global Opportunities Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Global Technology Growth Fund |
N/A |
E |
A |
E(a) |
A |
A |
A |
| Global Value Fund |
N/A |
A |
C(a) |
A |
A |
A |
A |
| Government Money Market Fund |
N/A |
A |
C(a) |
B(a) |
D(a) |
E(a) |
C(a) |
| Greater China Fund |
N/A |
A |
A |
A |
A |
A |
A |
| High Yield Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| High Yield Municipal Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Income Builder Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Income Opportunities Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Integrated Large Cap Growth Fund II |
N/A |
A |
A |
A |
A |
A |
A |
| Integrated Small Cap Growth Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Intermediate Duration Municipal Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| International Dividend Income Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Intrinsic Value Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Large Cap Enhanced Core Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Large Cap Growth Opportunity Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Large Cap Index Fund |
N/A |
A |
A |
A |
A |
E(a) |
A |
| MA Intermediate Municipal Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Mid Cap Index Fund |
N/A |
A |
A |
A |
A |
E(a) |
A |
| MM Alternative Strategies Fund |
N/A |
A |
A |
A |
A |
A |
A |
| MM Directional Alternative Strategies Fund |
N/A |
A |
A |
A |
A |
A |
A |
| MM International Equity Strategies Fund |
N/A |
A |
A |
A |
A |
A |
A |
| MM Large Cap Growth Strategies Fund |
N/A |
A |
A |
A |
A |
A |
A |
| MM Small Cap Equity Strategies Fund |
N/A |
A |
A |
A |
A |
A |
A |
| MM Total Return Bond Strategies Fund |
N/A |
A |
A |
A |
A |
A |
A |
| MM Value Strategies Fund |
N/A |
A |
A |
A |
A |
A |
A |
| MN Tax-Exempt Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Mortgage Opportunities Fund |
N/A |
A |
A |
A |
A |
A |
E(a) |
| Multisector Bond SMA Completion Portfolio |
N/A |
A |
A |
A |
A |
A |
A |
| Multi Strategy Alternatives Fund |
N/A |
A |
A |
A |
A |
A |
A |
| |
Kanwal(b) |
Lukitsh |
McGee |
Moffett |
Paglia |
Trunow |
Yeager |
| NY Intermediate Municipal Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| OR Intermediate Municipal Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Overseas Core Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Overseas SMA Completion Portfolio |
N/A |
A |
A |
A |
A |
A |
A |
| Overseas Value Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Pyrford International Stock Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Quality Income Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Real Estate Equity Fund |
N/A |
A |
A |
A |
A |
A |
E(a) |
| Select Corporate Income Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Select Global Equity Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Select Large Cap Growth Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Select Large Cap Value Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Select Mid Cap Growth Fund |
N/A |
A |
A |
A |
A |
A |
E(a) |
| Select Mid Cap Value Fund |
N/A |
A |
A |
A |
A |
A |
E(a) |
| Select Short Corporate Income Fund |
N/A |
A |
A |
A |
A |
E(a) |
A |
| Select Small Cap Value Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Seligman Global Technology Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Seligman Technology and Information Fund |
N/A |
A |
A |
A |
E(a) |
A |
E(a) |
| Short Duration Municipal Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Short Term Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Small Cap Growth Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Small Cap Index Fund |
N/A |
A |
A |
A |
A |
E(a) |
A |
| Small Cap Value Discovery Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Small Cap Value and Inflection Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Strategic CA Municipal Income Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Strategic Income Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Strategic Municipal Income Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Strategic NY Municipal Income Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Thermostat Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Total Return Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Total Return Municipal Income Fund |
N/A |
A |
A |
A |
A |
A |
A |
| U.S. Treasury Index Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Ultra Short Duration Municipal Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Ultra Short Term Bond Fund |
N/A |
A |
A |
A |
A |
A |
A |
| Aggregate Dollar Range of Equity Securities in all Funds in the Columbia Funds Complex Overseen by the Trustee |
N/A |
E |
D(a) |
E(a) |
E(a) |
E(a) |
E(a) |
| |
Larrenaga |
| Acorn European Fund |
A |
| Acorn Fund |
C |
| Acorn International Fund |
A |
| Acorn International Select Fund |
A |
| Adaptive Risk Allocation Fund |
A |
| Balanced Fund |
A |
| CA Intermediate Municipal Bond Fund |
A |
| Capital Allocation Aggressive Portfolio |
A |
| Capital Allocation Conservative Portfolio |
A |
| Capital Allocation Moderate Aggressive Portfolio |
A |
| Capital Allocation Moderate Conservative Portfolio |
A |
| Capital Allocation Moderate Portfolio |
A |
| Commodity Strategy Fund |
A |
| Contrarian Core Fund |
E(a) |
| Convertible Securities Fund |
A |
| Cornerstone Equity Fund |
A |
| Cornerstone Growth Fund |
A |
| Disciplined Core Fund |
A |
| Disciplined Growth Fund |
A |
| Disciplined Value Fund |
A |
| Dividend Income Fund |
C |
| Dividend Opportunity Fund |
A |
| Emerging Markets Bond Fund |
A |
| Emerging Markets Fund |
C(a) |
| Flexible Capital Income Fund |
A |
| Floating Rate Fund |
A |
| Global Opportunities Fund |
A |
| Global Technology Growth Fund |
A |
| Global Value Fund |
A |
| Government Money Market Fund |
A |
| Greater China Fund |
A |
| High Yield Bond Fund |
A |
| High Yield Municipal Fund |
A |
| Income Builder Fund |
A |
| Income Opportunities Fund |
A |
| Integrated Large Cap Growth Fund II |
A |
| Integrated Small Cap Growth Fund |
A |
| Intermediate Duration Municipal Bond Fund |
A |
| International Dividend Income Fund |
A |
| Intrinsic Value Fund |
A |
| Large Cap Enhanced Core Fund |
A |
| Large Cap Growth Opportunity Fund |
A |
| Large Cap Index Fund |
A |
| |
Larrenaga |
| MA Intermediate Municipal Bond Fund |
A |
| Mid Cap Index Fund |
A |
| MM Alternative Strategies Fund |
A |
| MM Directional Alternative Strategies Fund |
A |
| MM International Equity Strategies Fund |
A |
| MM Large Cap Growth Strategies Fund |
A |
| MM Small Cap Equity Strategies Fund |
C |
| MM Total Return Bond Strategies Fund |
C |
| MM Value Strategies Fund |
C |
| MN Tax-Exempt Fund |
A |
| Mortgage Opportunities Fund |
A |
| Multisector Bond SMA Completion Portfolio |
A |
| Multi Strategy Alternatives Fund |
A |
| NY Intermediate Municipal Bond Fund |
A |
| OR Intermediate Municipal Bond Fund |
A |
| Overseas Core Fund |
A |
| Overseas SMA Completion Portfolio |
A |
| Overseas Value Fund |
A |
| Pyrford International Stock Fund |
A |
| Quality Income Fund |
A |
| Real Estate Equity Fund |
A |
| Select Corporate Income Fund |
C(a) |
| Select Global Equity Fund |
A |
| Select Large Cap Growth Fund |
A |
| Select Large Cap Value Fund |
A |
| Select Mid Cap Growth Fund |
C(a) |
| Select Mid Cap Value Fund |
A |
| Select Short Corporate Income Fund |
A |
| Select Small Cap Value Fund |
A |
| Seligman Global Technology Fund |
A |
| Seligman Technology and Information Fund |
A |
| Short Duration Municipal Bond Fund |
A |
| Short Term Bond Fund |
A |
| Small Cap Growth Fund |
C(a) |
| Small Cap Index Fund |
A |
| Small Cap Value Discovery Fund |
A |
| Small Cap Value and Inflection Fund |
A |
| Strategic CA Municipal Income Fund |
A |
| Strategic Income Fund |
A |
| Strategic Municipal Income Fund |
A |
| Strategic NY Municipal Income Fund |
A |
| Thermostat Fund |
A |
| Total Return Bond Fund |
C(a) |
| Total Return Municipal Income Fund |
A |
| |
Larrenaga |
| U.S. Treasury Index Fund |
A |
| Ultra Short Duration Municipal Bond Fund |
A |
| Ultra Short Term Bond Fund |
A |
| Aggregate Dollar Range of Equity Securities in all Funds in the
Columbia Funds Complex Overseen by the Trustee |
E(a)
|
| Trustees |
Total Cash
Compensation
from the Columbia
Funds
Complex
Paid to Trustee(a) |
Amount Deferred
from Total Compensation(b) |
| George S. Batejan |
$449,333 |
$33,243 |
| Kathleen Blatz |
$447,333 |
$0 |
| Pamela G. Carlton |
$622,167 |
$93,325 |
| Janet Langford Carrig |
$462,333 |
$462,333 |
| J. Kevin Connaughton |
$455,333 |
$0 |
| Olive M. Darragh |
$440,333 |
$0 |
| Brian J. Gallagher |
$469,833 |
$234,917 |
| Douglas A. Hacker |
$449,333 |
$0 |
| Amrit Kanwal(d) |
N/A |
N/A |
| Nancy T. Lukitsh |
$427,333 |
$0 |
| Jeninne C. McGee |
$234,750 |
$77,468 |
| David M. Moffett |
$431,333 |
$0 |
| Catherine James Paglia |
$443,333 |
$0 |
| Natalie A. Trunow |
$442,333 |
$131,467 |
| Sandra L. Yeager |
$450,333 |
$225,167 |
| Trustees |
Estimated Total Cash
Compensation from
the Columbia Funds
Complex To Be Paid to
Trustee for Fiscal Year
Ended 2026 |
Estimated Amount to be Deferred from Total Compensation |
| George S. Batejan |
$331,667 |
$23,217 |
| Kathleen Blatz |
$328,000 |
$0 |
| Pamela G. Carlton |
$479,167 |
$71,875 |
| Janet Langford Carrig |
$328,000 |
$328,000 |
| J. Kevin Connaughton |
$340,000 |
$0 |
| Olive M. Darragh |
$328,000 |
$0 |
| Patricia M. Flynn(c) |
$319,667 |
$0 |
| Brian J. Gallagher |
$331,167 |
$165,584 |
| Douglas A. Hacker |
$319,167 |
$0 |
| Amrit Kanwal(d) |
N/A |
N/A |
| Nancy T. Lukitsh |
$319,167 |
$0 |
| Jeninne C. McGee(e) |
N/A |
N/A |
| David M. Moffett |
$319,667 |
$0 |
| Catherine James Paglia |
$319,167 |
$0 |
| Natalie A. Trunow |
$331,667 |
$82,917 |
| Sandra L. Yeager |
$328,000 |
$164,000 |
| Fund |
Aggregate Compensation from Fund
Independent Trustees | ||||||||||
| Batejan(a) |
Blatz |
Carlton(b) |
Carrig(c) |
Connaughton |
Darragh(d) |
Eisen(e) |
Flynn(f) |
Gallagher(g) |
Hacker |
Heaton(h) | |
| For Funds with fiscal period ending January 31
| |||||||||||
| Capital Allocation Aggressive Portfolio |
$1,934 |
$1,925 |
$2,703 |
$1,979 |
$1,992 |
$1,939 |
N/A |
$1,756 |
$1,993 |
$1,908 |
N/A |
| Amount Deferred |
$139 |
$0 |
$405 |
$1,979 |
$0 |
$0 |
N/A |
$0 |
$997 |
$0 |
N/A |
| Capital Allocation Conservative Portfolio |
$976 |
$972 |
$1,365 |
$999 |
$1,006 |
$979 |
N/A |
$888 |
$1,006 |
$963 |
N/A |
| Amount Deferred |
$70 |
$0 |
$205 |
$999 |
$0 |
$0 |
N/A |
$0 |
$503 |
$0 |
N/A |
| Capital Allocation Moderate Aggressive Portfolio |
$2,246 |
$2,236 |
$3,140 |
$2,298 |
$2,314 |
$2,251 |
N/A |
$2,040 |
$2,315 |
$2,215 |
N/A |
| Amount Deferred |
$162 |
$0 |
$471 |
$2,298 |
$0 |
$0 |
N/A |
$0 |
$1,157 |
$0 |
N/A |
| Capital Allocation Moderate Conservative Portfolio |
$1,125 |
$1,120 |
$1,574 |
$1,152 |
$1,159 |
$1,128 |
N/A |
$1,023 |
$1,160 |
$1,110 |
N/A |
| Amount Deferred |
$81 |
$0 |
$236 |
$1,152 |
$0 |
$0 |
N/A |
$0 |
$580 |
$0 |
N/A |
| Capital Allocation Moderate Portfolio |
$1,696 |
$1,688 |
$2,371 |
$1,735 |
$1,747 |
$1,700 |
N/A |
$1,541 |
$1,747 |
$1,672 |
N/A |
| Amount Deferred |
$122 |
$0 |
$356 |
$1,735 |
$0 |
$0 |
N/A |
$0 |
$874 |
$0 |
N/A |
| Income Builder Fund |
$1,548 |
$1,540 |
$2,165 |
$1,584 |
$1,594 |
$1,552 |
N/A |
$1,408 |
$1,595 |
$1,526 |
N/A |
| Amount Deferred |
$111 |
$0 |
$325 |
$1,584 |
$0 |
$0 |
N/A |
$0 |
$797 |
$0 |
N/A |
| For Funds with fiscal period ending February
28/29 | |||||||||||
| Convertible Securities Fund |
$1,932 |
$1,924 |
$2,692 |
$1,990 |
$2,003 |
$1,937 |
N/A |
$1,602 |
$2,023 |
$1,934 |
N/A |
| Amount Deferred |
$144 |
$0 |
$404 |
$1,990 |
$0 |
$0 |
N/A |
$0 |
$1,011 |
$0 |
N/A |
| Cornerstone Equity Fund |
$2,168 |
$2,159 |
$3,019 |
$2,232 |
$2,247 |
$2,173 |
N/A |
$1,808 |
$2,270 |
$2,169 |
N/A |
| Amount Deferred |
$161 |
$0 |
$453 |
$2,232 |
$0 |
$0 |
N/A |
$0 |
$1,135 |
$0 |
N/A |
| Global Value Fund |
$1,538 |
$1,531 |
$2,142 |
$1,584 |
$1,594 |
$1,542 |
N/A |
$1,292 |
$1,610 |
$1,538 |
N/A |
| Amount Deferred |
$114 |
$0 |
$321 |
$1,584 |
$0 |
$0 |
N/A |
$0 |
$805 |
$0 |
N/A |
| Large Cap Enhanced Core Fund |
$1,260 |
$1,254 |
$1,753 |
$1,297 |
$1,306 |
$1,263 |
N/A |
$1,061 |
$1,319 |
$1,260 |
N/A |
| Amount Deferred |
$93 |
$0 |
$263 |
$1,297 |
$0 |
$0 |
N/A |
$0 |
$659 |
$0 |
N/A |
| Large Cap Growth Opportunity Fund |
$1,903 |
$1,894 |
$2,644 |
$1,959 |
$1,972 |
$1,907 |
N/A |
$1,599 |
$1,992 |
$1,903 |
N/A |
| Amount Deferred |
$141 |
$0 |
$397 |
$1,959 |
$0 |
$0 |
N/A |
$0 |
$996 |
$0 |
N/A |
| Large Cap Index Fund |
$3,458 |
$3,439 |
$4,794 |
$3,557 |
$3,582 |
$3,464 |
N/A |
$2,921 |
$3,621 |
$3,457 |
N/A |
| Amount Deferred |
$255 |
$0 |
$719 |
$3,557 |
$0 |
$0 |
N/A |
$0 |
$1,810 |
$0 |
N/A |
| Mid Cap Index Fund |
$2,909 |
$2,894 |
$4,045 |
$2,993 |
$3,014 |
$2,914 |
N/A |
$2,447 |
$3,045 |
$2,908 |
N/A |
| Amount Deferred |
$215 |
$0 |
$607 |
$2,993 |
$0 |
$0 |
N/A |
$0 |
$1,522 |
$0 |
N/A |
| Overseas Core Fund |
$1,643 |
$1,635 |
$2,289 |
$1,691 |
$1,703 |
$1,647 |
N/A |
$1,381 |
$1,719 |
$1,642 |
N/A |
| Amount Deferred |
$121 |
$0 |
$343 |
$1,691 |
$0 |
$0 |
N/A |
$0 |
$860 |
$0 |
N/A |
| Overseas Value Fund |
$4,644 |
$4,631 |
$6,525 |
$4,787 |
$4,817 |
$4,657 |
N/A |
$3,779 |
$4,860 |
$4,657 |
N/A |
| Amount Deferred |
$348 |
$0 |
$979 |
$4,787 |
$0 |
$0 |
N/A |
$0 |
$2,430 |
$0 |
N/A |
| Select Mid Cap Value Fund |
$2,887 |
$2,874 |
$4,022 |
$2,973 |
$2,992 |
$2,894 |
N/A |
$2,416 |
$3,023 |
$2,887 |
N/A |
| Amount Deferred |
$214 |
$0 |
$603 |
$2,973 |
$0 |
$0 |
N/A |
$0 |
$1,511 |
$0 |
N/A |
| Small Cap Index Fund |
$2,996 |
$2,981 |
$4,160 |
$3,083 |
$3,104 |
$3,002 |
N/A |
$2,530 |
$3,136 |
$2,994 |
N/A |
| Amount Deferred |
$221 |
$0 |
$624 |
$3,083 |
$0 |
$0 |
N/A |
$0 |
$1,568 |
$0 |
N/A |
| Small Cap Value and Inflection Fund |
$1,550 |
$1,543 |
$2,153 |
$1,595 |
$1,606 |
$1,553 |
N/A |
$1,308 |
$1,623 |
$1,550 |
N/A |
| Amount Deferred |
$114 |
$0 |
$323 |
$1,595 |
$0 |
$0 |
N/A |
$0 |
$811 |
$0 |
N/A |
| For Funds with fiscal period ending March 31
| |||||||||||
| Integrated Large Cap Growth Fund II |
$4,623 |
$4,602 |
$6,080 |
$4,667 |
$4,731 |
$4,601 |
N/A |
$4,493 |
$4,655 |
$4,526 |
N/A |
| Amount Deferred |
$253 |
$0 |
$687 |
$4,667 |
$0 |
$707 |
N/A |
$0 |
$547 |
$0 |
N/A |
| MM Large Cap Growth Strategies Fund(i)
|
$3,582 |
$3,543 |
$5,175 |
$3,543 |
$3,672 |
$3,543 |
N/A |
$3,453 |
$3,577 |
$3,447 |
N/A |
| Amount Deferred |
$251 |
$0 |
$776 |
$3,543 |
$0 |
$0 |
N/A |
$0 |
$1,788 |
$0 |
N/A |
| Select Large Cap Growth Fund |
$1,758 |
$1,750 |
$2,314 |
$1,773 |
$1,800 |
$1,751 |
N/A |
$1,709 |
$1,768 |
$1,719 |
N/A |
| Fund |
Aggregate Compensation from Fund
Independent Trustees | ||||||||||
| Batejan(a) |
Blatz |
Carlton(b) |
Carrig(c) |
Connaughton |
Darragh(d) |
Eisen(e) |
Flynn(f) |
Gallagher(g) |
Hacker |
Heaton(h) | |
| Amount Deferred |
$95 |
$0 |
$258 |
$1,773 |
$0 |
$278 |
N/A |
$0 |
$184 |
$0 |
N/A |
| Short Term Bond Fund |
$1,789 |
$1,780 |
$2,349 |
$1,807 |
$1,831 |
$1,780 |
N/A |
$1,738 |
$1,804 |
$1,753 |
N/A |
| Amount Deferred |
$99 |
$0 |
$269 |
$1,807 |
$0 |
$265 |
N/A |
$0 |
$233 |
$0 |
N/A |
| For Funds with fiscal period ending April 30
| |||||||||||
| CA Intermediate Municipal Bond Fund |
$1,134 |
$1,128 |
$1,503 |
$1,144 |
$1,160 |
$1,128 |
N/A |
$1,094 |
$1,149 |
$1,102 |
N/A |
| Amount Deferred |
$64 |
$0 |
$177 |
$1,144 |
$0 |
$156 |
N/A |
$0 |
$179 |
$0 |
N/A |
| MM Directional Alternative Strategies Fund |
$1,116 |
$1,110 |
$1,479 |
$1,126 |
$1,142 |
$1,110 |
N/A |
$1,077 |
$1,131 |
$1,084 |
N/A |
| Amount Deferred |
$63 |
$0 |
$174 |
$1,126 |
$0 |
$154 |
N/A |
$0 |
$175 |
$0 |
N/A |
| Select Corporate Income Fund |
$2,373 |
$2,362 |
$3,147 |
$2,396 |
$2,428 |
$2,362 |
N/A |
$2,290 |
$2,406 |
$2,306 |
N/A |
| Amount Deferred |
$134 |
$0 |
$371 |
$2,396 |
$0 |
$323 |
N/A |
$0 |
$384 |
$0 |
N/A |
| Short Duration Municipal Bond Fund |
$1,145 |
$1,139 |
$1,517 |
$1,155 |
$1,171 |
$1,139 |
N/A |
$1,105 |
$1,160 |
$1,112 |
N/A |
| Amount Deferred |
$64 |
$0 |
$178 |
$1,155 |
$0 |
$159 |
N/A |
$0 |
$178 |
$0 |
N/A |
| Small Cap Value Discovery Fund |
$2,160 |
$2,150 |
$2,864 |
$2,181 |
$2,211 |
$2,150 |
N/A |
$2,085 |
$2,191 |
$2,101 |
N/A |
| Amount Deferred |
$122 |
$0 |
$338 |
$2,181 |
$0 |
$292 |
N/A |
$0 |
$355 |
$0 |
N/A |
| Total Return Bond Fund |
$3,252 |
$3,236 |
$4,308 |
$3,281 |
$3,328 |
$3,237 |
N/A |
$3,137 |
$3,296 |
$3,159 |
N/A |
| Amount Deferred |
$183 |
$0 |
$506 |
$3,281 |
$0 |
$447 |
N/A |
$0 |
$513 |
$0 |
N/A |
| U.S. Treasury Index Fund |
$1,611 |
$1,602 |
$2,141 |
$1,624 |
$1,649 |
$1,604 |
N/A |
$1,554 |
$1,632 |
$1,564 |
N/A |
| Amount Deferred |
$90 |
$0 |
$251 |
$1,624 |
$0 |
$223 |
N/A |
$0 |
$252 |
$0 |
N/A |
| For Funds with fiscal period ending May 31
| |||||||||||
| Adaptive Risk Allocation Fund |
$2,988 |
$2,996 |
$3,991 |
$3,057 |
$3,078 |
$2,993 |
N/A |
$2,905 |
$3,029 |
$2,926 |
N/A |
| Amount Deferred |
$171 |
$0 |
$483 |
$3,057 |
$0 |
$381 |
N/A |
$0 |
$540 |
$0 |
N/A |
| Commodity Strategy Fund |
$1,102 |
$1,105 |
$1,479 |
$1,128 |
$1,135 |
$1,105 |
N/A |
$1,072 |
$1,117 |
$1,079 |
N/A |
| Amount Deferred |
$63 |
$0 |
$179 |
$1,128 |
$0 |
$140 |
N/A |
$0 |
$200 |
$0 |
N/A |
| Dividend Income Fund |
$35,201 |
$35,284 |
$47,167 |
$36,039 |
$36,281 |
$35,292 |
N/A |
$34,203 |
$35,706 |
$34,454 |
N/A |
| Amount Deferred |
$2,024 |
$0 |
$5,761 |
$36,039 |
$0 |
$4,349 |
N/A |
$0 |
$6,713 |
$0 |
N/A |
| Dividend Opportunity Fund |
$2,654 |
$2,660 |
$3,546 |
$2,715 |
$2,734 |
$2,659 |
N/A |
$2,579 |
$2,691 |
$2,598 |
N/A |
| Amount Deferred |
$152 |
$0 |
$431 |
$2,715 |
$0 |
$334 |
N/A |
$0 |
$491 |
$0 |
N/A |
| Flexible Capital Income Fund |
$1,892 |
$1,896 |
$2,531 |
$1,936 |
$1,949 |
$1,896 |
N/A |
$1,839 |
$1,918 |
$1,852 |
N/A |
| Amount Deferred |
$108 |
$0 |
$308 |
$1,936 |
$0 |
$237 |
N/A |
$0 |
$352 |
$0 |
N/A |
| High Yield Bond Fund |
$2,009 |
$2,014 |
$2,690 |
$2,056 |
$2,071 |
$2,014 |
N/A |
$1,953 |
$2,037 |
$1,967 |
N/A |
| Amount Deferred |
$115 |
$0 |
$327 |
$2,056 |
$0 |
$253 |
N/A |
$0 |
$372 |
$0 |
N/A |
| High Yield Municipal Fund |
$1,288 |
$1,291 |
$1,724 |
$1,318 |
$1,327 |
$1,291 |
N/A |
$1,252 |
$1,306 |
$1,261 |
N/A |
| Amount Deferred |
$74 |
$0 |
$210 |
$1,318 |
$0 |
$162 |
N/A |
$0 |
$239 |
$0 |
N/A |
| Intrinsic Value Fund |
$2,897 |
$2,904 |
$3,876 |
$2,964 |
$2,985 |
$2,903 |
N/A |
$2,815 |
$2,938 |
$2,836 |
N/A |
| Amount Deferred |
$166 |
$0 |
$472 |
$2,964 |
$0 |
$363 |
N/A |
$0 |
$540 |
$0 |
N/A |
| MM Value Strategies Fund |
$5,120 |
$5,131 |
$6,820 |
$5,236 |
$5,273 |
$5,127 |
N/A |
$4,977 |
$5,191 |
$5,015 |
N/A |
| Amount Deferred |
$292 |
$0 |
$825 |
$5,236 |
$0 |
$656 |
N/A |
$0 |
$917 |
$0 |
N/A |
| Mortgage Opportunities Fund |
$2,755 |
$2,762 |
$3,682 |
$2,819 |
$2,839 |
$2,761 |
N/A |
$2,678 |
$2,793 |
$2,697 |
N/A |
| Amount Deferred |
$158 |
$0 |
$447 |
$2,819 |
$0 |
$349 |
N/A |
$0 |
$503 |
$0 |
N/A |
| Multi Strategy Alternatives Fund |
$1,310 |
$1,313 |
$1,753 |
$1,340 |
$1,350 |
$1,313 |
N/A |
$1,274 |
$1,328 |
$1,283 |
N/A |
| Amount Deferred |
$75 |
$0 |
$213 |
$1,340 |
$0 |
$165 |
N/A |
$0 |
$241 |
$0 |
N/A |
| Quality Income Fund |
$2,003 |
$2,008 |
$2,680 |
$2,049 |
$2,064 |
$2,008 |
N/A |
$1,947 |
$2,031 |
$1,961 |
N/A |
| Amount Deferred |
$115 |
$0 |
$325 |
$2,049 |
$0 |
$253 |
N/A |
$0 |
$367 |
$0 |
N/A |
| Select Large Cap Value Fund |
$2,869 |
$2,876 |
$3,836 |
$2,936 |
$2,956 |
$2,875 |
N/A |
$2,789 |
$2,909 |
$2,809 |
N/A |
| Amount Deferred |
$164 |
$0 |
$466 |
$2,936 |
$0 |
$362 |
N/A |
$0 |
$528 |
$0 |
N/A |
| Select Small Cap Value Fund |
$1,220 |
$1,223 |
$1,630 |
$1,248 |
$1,257 |
$1,222 |
N/A |
$1,186 |
$1,237 |
$1,195 |
N/A |
| Amount Deferred |
$70 |
$0 |
$198 |
$1,248 |
$0 |
$155 |
N/A |
$0 |
$223 |
$0 |
N/A |
| Seligman Technology and Information Fund |
$11,930 |
$11,957 |
$16,000 |
$12,208 |
$12,287 |
$11,951 |
N/A |
$11,595 |
$12,100 |
$11,683 |
N/A |
| Amount Deferred |
$686 |
$0 |
$1,953 |
$12,208 |
$0 |
$1,473 |
N/A |
$0 |
$2,281 |
$0 |
N/A |
| For Funds with fiscal period ending July 31
| |||||||||||
| Cornerstone Growth Fund |
$5,723 |
$5,697 |
$7,736 |
$5,855 |
$5,893 |
$5,734 |
N/A |
$5,526 |
$5,842 |
$5,606 |
N/A |
| Fund |
Aggregate Compensation from Fund
Independent Trustees | ||||||||||
| Batejan(a) |
Blatz |
Carlton(b) |
Carrig(c) |
Connaughton |
Darragh(d) |
Eisen(e) |
Flynn(f) |
Gallagher(g) |
Hacker |
Heaton(h) | |
| Amount Deferred |
$349 |
$0 |
$1,008 |
$5,855 |
$0 |
$515 |
N/A |
$0 |
$1,604 |
$0 |
N/A |
| Disciplined Core Fund |
$4,869 |
$4,846 |
$6,572 |
$4,980 |
$5,013 |
$4,878 |
N/A |
$4,700 |
$4,969 |
$4,768 |
N/A |
| Amount Deferred |
$296 |
$0 |
$855 |
$4,980 |
$0 |
$444 |
N/A |
$0 |
$1,349 |
$0 |
N/A |
| Disciplined Growth Fund |
$1,124 |
$1,119 |
$1,517 |
$1,149 |
$1,157 |
$1,126 |
N/A |
$1,085 |
$1,147 |
$1,100 |
N/A |
| Amount Deferred |
$68 |
$0 |
$197 |
$1,149 |
$0 |
$103 |
N/A |
$0 |
$310 |
$0 |
N/A |
| Disciplined Value Fund |
$1,027 |
$1,022 |
$1,386 |
$1,050 |
$1,058 |
$1,029 |
N/A |
$991 |
$1,048 |
$1,006 |
N/A |
| Amount Deferred |
$62 |
$0 |
$180 |
$1,050 |
$0 |
$94 |
N/A |
$0 |
$283 |
$0 |
N/A |
| Floating Rate Fund |
$1,507 |
$1,500 |
$2,040 |
$1,542 |
$1,552 |
$1,511 |
N/A |
$1,454 |
$1,538 |
$1,475 |
N/A |
| Amount Deferred |
$92 |
$0 |
$266 |
$1,542 |
$0 |
$135 |
N/A |
$0 |
$423 |
$0 |
N/A |
| Global Opportunities Fund |
$1,145 |
$1,140 |
$1,546 |
$1,171 |
$1,180 |
$1,148 |
N/A |
$1,106 |
$1,169 |
$1,121 |
N/A |
| Amount Deferred |
$70 |
$0 |
$201 |
$1,171 |
$0 |
$106 |
N/A |
$0 |
$314 |
$0 |
N/A |
| Government Money Market Fund |
$2,979 |
$2,966 |
$4,049 |
$3,053 |
$3,071 |
$2,989 |
N/A |
$2,875 |
$3,043 |
$2,917 |
N/A |
| Amount Deferred |
$183 |
$0 |
$533 |
$3,053 |
$0 |
$252 |
N/A |
$0 |
$877 |
$0 |
N/A |
| Income Opportunities Fund |
$1,480 |
$1,473 |
$1,999 |
$1,514 |
$1,525 |
$1,483 |
N/A |
$1,429 |
$1,510 |
$1,449 |
N/A |
| Amount Deferred |
$90 |
$0 |
$260 |
$1,514 |
$0 |
$136 |
N/A |
$0 |
$407 |
$0 |
N/A |
| MN Tax-Exempt Fund |
$1,306 |
$1,300 |
$1,764 |
$1,336 |
$1,345 |
$1,309 |
N/A |
$1,261 |
$1,333 |
$1,279 |
N/A |
| Amount Deferred |
$79 |
$0 |
$229 |
$1,336 |
$0 |
$120 |
N/A |
$0 |
$360 |
$0 |
N/A |
| OR Intermediate Municipal Bond Fund |
$1,129 |
$1,124 |
$1,525 |
$1,155 |
$1,163 |
$1,132 |
N/A |
$1,090 |
$1,152 |
$1,106 |
N/A |
| Amount Deferred |
$69 |
$0 |
$198 |
$1,155 |
$0 |
$104 |
N/A |
$0 |
$311 |
$0 |
N/A |
| Select Short Corporate Income Fund |
$1,321 |
$1,315 |
$1,783 |
$1,351 |
$1,361 |
$1,324 |
N/A |
$1,275 |
$1,348 |
$1,293 |
N/A |
| Amount Deferred |
$80 |
$0 |
$232 |
$1,351 |
$0 |
$121 |
N/A |
$0 |
$364 |
$0 |
N/A |
| Strategic Municipal Income Fund |
$2,396 |
$2,385 |
$3,235 |
$2,451 |
$2,468 |
$2,402 |
N/A |
$2,313 |
$2,445 |
$2,345 |
N/A |
| Amount Deferred |
$146 |
$0 |
$421 |
$2,451 |
$0 |
$218 |
N/A |
$0 |
$665 |
$0 |
N/A |
| Total Return Municipal Income Fund |
$2,515 |
$2,503 |
$3,392 |
$2,572 |
$2,591 |
$2,521 |
N/A |
$2,428 |
$2,566 |
$2,462 |
N/A |
| Amount Deferred |
$153 |
$0 |
$440 |
$2,572 |
$0 |
$233 |
N/A |
$0 |
$687 |
$0 |
N/A |
| Ultra Short Term Bond Fund |
$1,791 |
$1,783 |
$2,426 |
$1,834 |
$1,846 |
$1,796 |
N/A |
$1,729 |
$1,829 |
$1,754 |
N/A |
| Amount Deferred |
$109 |
$0 |
$317 |
$1,834 |
$0 |
$159 |
N/A |
$0 |
$507 |
$0 |
N/A |
| For Funds with fiscal period ending August 31
| |||||||||||
| Balanced Fund |
$9,096 |
$8,994 |
$12,154 |
$9,241 |
$9,365 |
$9,118 |
N/A |
$8,787 |
$9,343 |
$8,910 |
N/A |
| Amount Deferred |
$566 |
$0 |
$1,634 |
$9,241 |
$0 |
$697 |
N/A |
$0 |
$2,861 |
$0 |
N/A |
| Contrarian Core Fund |
$13,259 |
$13,108 |
$17,711 |
$13,466 |
$13,647 |
$13,287 |
N/A |
$12,810 |
$13,620 |
$12,991 |
N/A |
| Amount Deferred |
$825 |
$0 |
$2,382 |
$13,466 |
$0 |
$1,014 |
N/A |
$0 |
$4,174 |
$0 |
N/A |
| Emerging Markets Bond Fund |
$1,126 |
$1,114 |
$1,502 |
$1,144 |
$1,159 |
$1,129 |
N/A |
$1,088 |
$1,157 |
$1,103 |
N/A |
| Amount Deferred |
$70 |
$0 |
$201 |
$1,144 |
$0 |
$88 |
N/A |
$0 |
$349 |
$0 |
N/A |
| Emerging Markets Fund |
$1,608 |
$1,589 |
$2,126 |
$1,631 |
$1,654 |
$1,610 |
N/A |
$1,553 |
$1,650 |
$1,575 |
N/A |
| Amount Deferred |
$99 |
$0 |
$283 |
$1,631 |
$0 |
$133 |
N/A |
$0 |
$479 |
$0 |
N/A |
| Global Technology Growth Fund |
$3,912 |
$3,867 |
$5,232 |
$3,972 |
$4,025 |
$3,920 |
N/A |
$3,780 |
$4,019 |
$3,833 |
N/A |
| Amount Deferred |
$244 |
$0 |
$705 |
$3,972 |
$0 |
$296 |
N/A |
$0 |
$1,241 |
$0 |
N/A |
| Greater China Fund |
$933 |
$923 |
$1,243 |
$948 |
$961 |
$935 |
N/A |
$902 |
$959 |
$914 |
N/A |
| Amount Deferred |
$58 |
$0 |
$167 |
$948 |
$0 |
$74 |
N/A |
$0 |
$288 |
$0 |
N/A |
| Integrated Small Cap Growth Fund |
$912 |
$902 |
$1,215 |
$926 |
$939 |
$914 |
N/A |
$881 |
$936 |
$893 |
N/A |
| Amount Deferred |
$57 |
$0 |
$163 |
$926 |
$0 |
$72 |
N/A |
$0 |
$282 |
$0 |
N/A |
| International Dividend Income Fund |
$1,358 |
$1,343 |
$1,810 |
$1,379 |
$1,398 |
$1,361 |
N/A |
$1,312 |
$1,395 |
$1,330 |
N/A |
| Amount Deferred |
$84 |
$0 |
$243 |
$1,379 |
$0 |
$106 |
N/A |
$0 |
$421 |
$0 |
N/A |
| MM Alternative Strategies Fund |
$1,299 |
$1,285 |
$1,734 |
$1,320 |
$1,338 |
$1,302 |
N/A |
$1,255 |
$1,334 |
$1,273 |
N/A |
| Amount Deferred |
$81 |
$0 |
$233 |
$1,320 |
$0 |
$101 |
N/A |
$0 |
$405 |
$0 |
N/A |
| MM International Equity Strategies Fund |
$3,285 |
$3,248 |
$4,395 |
$3,338 |
$3,383 |
$3,294 |
N/A |
$3,173 |
$3,376 |
$3,216 |
N/A |
| Amount Deferred |
$205 |
$0 |
$592 |
$3,338 |
$0 |
$247 |
N/A |
$0 |
$1,046 |
$0 |
N/A |
| MM Small Cap Equity Strategies Fund |
$2,540 |
$2,512 |
$3,430 |
$2,583 |
$2,617 |
$2,549 |
N/A |
$2,455 |
$2,611 |
$2,488 |
N/A |
| Amount Deferred |
$160 |
$0 |
$466 |
$2,583 |
$0 |
$177 |
N/A |
$0 |
$845 |
$0 |
N/A |
| MM Total Return Bond Strategies Fund |
$12,200 |
$12,067 |
$16,315 |
$12,400 |
$12,564 |
$12,232 |
N/A |
$11,784 |
$12,526 |
$11,946 |
N/A |
| Fund |
Aggregate Compensation from Fund
Independent Trustees | ||||||||||
| Batejan(a) |
Blatz |
Carlton(b) |
Carrig(c) |
Connaughton |
Darragh(d) |
Eisen(e) |
Flynn(f) |
Gallagher(g) |
Hacker |
Heaton(h) | |
| Amount Deferred |
$759 |
$0 |
$2,192 |
$12,400 |
$0 |
$940 |
N/A |
$0 |
$3,821 |
$0 |
N/A |
| Multisector Bond SMA Completion Portfolio |
$909 |
$899 |
$1,213 |
$923 |
$936 |
$911 |
N/A |
$878 |
$933 |
$890 |
N/A |
| Amount Deferred |
$56 |
$0 |
$163 |
$923 |
$0 |
$70 |
N/A |
$0 |
$284 |
$0 |
N/A |
| Overseas SMA Completion Portfolio |
$897 |
$887 |
$1,195 |
$911 |
$923 |
$899 |
N/A |
$867 |
$921 |
$879 |
N/A |
| Amount Deferred |
$56 |
$0 |
$160 |
$911 |
$0 |
$71 |
N/A |
$0 |
$277 |
$0 |
N/A |
| Pyrford International Stock Fund |
$1,173 |
$1,160 |
$1,560 |
$1,191 |
$1,207 |
$1,175 |
N/A |
$1,133 |
$1,204 |
$1,149 |
N/A |
| Amount Deferred |
$73 |
$0 |
$209 |
$1,191 |
$0 |
$93 |
N/A |
$0 |
$359 |
$0 |
N/A |
| Select Mid Cap Growth Fund |
$2,285 |
$2,259 |
$3,056 |
$2,321 |
$2,351 |
$2,290 |
N/A |
$2,208 |
$2,347 |
$2,239 |
N/A |
| Amount Deferred |
$142 |
$0 |
$411 |
$2,321 |
$0 |
$174 |
N/A |
$0 |
$723 |
$0 |
N/A |
| Small Cap Growth Fund |
$2,803 |
$2,772 |
$3,754 |
$2,849 |
$2,885 |
$2,810 |
N/A |
$2,709 |
$2,880 |
$2,748 |
N/A |
| Amount Deferred |
$175 |
$0 |
$505 |
$2,849 |
$0 |
$212 |
N/A |
$0 |
$888 |
$0 |
N/A |
| Strategic Income Fund |
$5,756 |
$5,692 |
$7,702 |
$5,850 |
$5,928 |
$5,772 |
N/A |
$5,560 |
$5,911 |
$5,637 |
N/A |
| Amount Deferred |
$358 |
$0 |
$1,036 |
$5,850 |
$0 |
$440 |
N/A |
$0 |
$1,813 |
$0 |
N/A |
| Ultra Short Duration Municipal Bond Fund |
$958 |
$947 |
$1,275 |
$973 |
$986 |
$959 |
N/A |
$925 |
$983 |
$938 |
N/A |
| Amount Deferred |
$59 |
$0 |
$171 |
$973 |
$0 |
$76 |
N/A |
$0 |
$295 |
$0 |
N/A |
| For Funds with fiscal period ending October 31
| |||||||||||
| Intermediate Duration Municipal Bond Fund |
$2,123 |
$2,114 |
$2,935 |
$2,174 |
$2,188 |
$2,129 |
N/A |
$2,063 |
$2,183 |
$2,093 |
N/A |
| Amount Deferred |
$139 |
$0 |
$417 |
$2,174 |
$0 |
$90 |
N/A |
$0 |
$853 |
$0 |
N/A |
| MA Intermediate Municipal Bond Fund |
$920 |
$916 |
$1,270 |
$941 |
$948 |
$922 |
N/A |
$894 |
$945 |
$907 |
N/A |
| Amount Deferred |
$60 |
$0 |
$180 |
$941 |
$0 |
$40 |
N/A |
$0 |
$368 |
$0 |
N/A |
| NY Intermediate Municipal Bond Fund |
$934 |
$930 |
$1,290 |
$956 |
$962 |
$936 |
N/A |
$908 |
$960 |
$921 |
N/A |
| Amount Deferred |
$61 |
$0 |
$183 |
$956 |
$0 |
$40 |
N/A |
$0 |
$374 |
$0 |
N/A |
| Select Global Equity Fund |
$1,458 |
$1,451 |
$2,013 |
$1,492 |
$1,502 |
$1,461 |
N/A |
$1,417 |
$1,499 |
$1,438 |
N/A |
| Amount Deferred |
$96 |
$0 |
$286 |
$1,492 |
$0 |
$62 |
N/A |
$0 |
$586 |
$0 |
N/A |
| Seligman Global Technology Fund |
$2,896 |
$2,883 |
$4,007 |
$2,962 |
$2,982 |
$2,901 |
N/A |
$2,816 |
$2,976 |
$2,856 |
N/A |
| Amount Deferred |
$190 |
$0 |
$570 |
$2,962 |
$0 |
$121 |
N/A |
$0 |
$1,170 |
$0 |
N/A |
| Strategic CA Municipal Income Fund |
$1,122 |
$1,117 |
$1,550 |
$1,149 |
$1,156 |
$1,125 |
N/A |
$1,091 |
$1,154 |
$1,107 |
N/A |
| Amount Deferred |
$74 |
$0 |
$220 |
$1,149 |
$0 |
$49 |
N/A |
$0 |
$449 |
$0 |
N/A |
| Strategic NY Municipal Income Fund |
$957 |
$953 |
$1,322 |
$980 |
$986 |
$959 |
N/A |
$930 |
$984 |
$944 |
N/A |
| Amount Deferred |
$63 |
$0 |
$188 |
$980 |
$0 |
$41 |
N/A |
$0 |
$383 |
$0 |
N/A |
| For Funds with fiscal period ending December 31
| |||||||||||
| Acorn European Fund |
$776 |
$768 |
$1,034 |
$793 |
$799 |
$774 |
$537 |
$751 |
$805 |
$769 |
$537 |
| Amount Deferred |
$54 |
$0 |
$155 |
$793 |
$0 |
$0 |
$0 |
$0 |
$403 |
$0 |
$0 |
| Acorn Fund |
$2,519 |
$2,494 |
$3,349 |
$2,574 |
$2,594 |
$2,513 |
$33,187 |
$2,439 |
$2,617 |
$2,497 |
$33,187 |
| Amount Deferred |
$176 |
$0 |
$502 |
$2,574 |
$0 |
$0 |
$0 |
$0 |
$1,309 |
$0 |
$0 |
| Acorn International Fund |
$1,382 |
$1,368 |
$1,843 |
$1,412 |
$1,423 |
$1,380 |
$11,799 |
$1,338 |
$1,435 |
$1,369 |
$11,799 |
| Amount Deferred |
$97 |
$0 |
$277 |
$1,412 |
$0 |
$0 |
$0 |
$0 |
$718 |
$0 |
$0 |
| Acorn International Select Fund |
$890 |
$881 |
$1,186 |
$909 |
$916 |
$888 |
$2,553 |
$861 |
$924 |
$881 |
$2,553 |
| Amount Deferred |
$62 |
$0 |
$178 |
$909 |
$0 |
$0 |
$0 |
$0 |
$462 |
$0 |
$0 |
| Real Estate Equity Fund |
$976 |
$972 |
$1,376 |
$999 |
$1,006 |
$978 |
N/A |
$949 |
$1,003 |
$962 |
N/A |
| Amount Deferred |
$68 |
$0 |
$206 |
$999 |
$0 |
$0 |
N/A |
$0 |
$501 |
$0 |
N/A |
| Thermostat Fund |
$1,634 |
$1,618 |
$2,180 |
$1,670 |
$1,683 |
$1,631 |
$15,775 |
$1,582 |
$1,696 |
$1,619 |
$15,775 |
| Amount Deferred |
$114 |
$0 |
$327 |
$1,670 |
$0 |
$0 |
$0 |
$0 |
$848 |
$0 |
$0 |
| Fund |
Aggregate Compensation from Fund
Independent Trustees | ||||||||||
| Kanwal(a) |
Lob(b) |
Lukitsh |
McGee(c) |
Moffett(d) |
Paglia(e) |
Phillips(f) |
Rudis(g) |
Trunow(h) |
Wanger(i) |
Yeager(j) | |
| For Funds with fiscal period ending January 31
| |||||||||||
| Capital Allocation Aggressive Portfolio |
N/A |
N/A |
$1,867 |
$915 |
$1,840 |
$1,894 |
N/A |
N/A |
$1,948 |
N/A |
$1,925 |
| Amount Deferred |
N/A |
N/A |
$0 |
$302 |
$0 |
$0 |
N/A |
N/A |
$531 |
N/A |
$963 |
| Capital Allocation Conservative Portfolio |
N/A |
N/A |
$942 |
$457 |
$929 |
$956 |
N/A |
N/A |
$983 |
N/A |
$972 |
| Amount Deferred |
N/A |
N/A |
$0 |
$151 |
$0 |
$0 |
N/A |
N/A |
$267 |
N/A |
$486 |
| Capital Allocation Moderate Aggressive Portfolio |
N/A |
N/A |
$2,168 |
$1,056 |
$2,137 |
$2,199 |
N/A |
N/A |
$2,262 |
N/A |
$2,236 |
| Amount Deferred |
N/A |
N/A |
$0 |
$348 |
$0 |
$0 |
N/A |
N/A |
$616 |
N/A |
$1,118 |
| Capital Allocation Moderate Conservative Portfolio |
N/A |
N/A |
$1,086 |
$526 |
$1,071 |
$1,102 |
N/A |
N/A |
$1,133 |
N/A |
$1,120 |
| Amount Deferred |
N/A |
N/A |
$0 |
$173 |
$0 |
$0 |
N/A |
N/A |
$308 |
N/A |
$560 |
| Capital Allocation Moderate Portfolio |
N/A |
N/A |
$1,637 |
$791 |
$1,613 |
$1,660 |
N/A |
N/A |
$1,707 |
N/A |
$1,687 |
| Amount Deferred |
N/A |
N/A |
$0 |
$261 |
$0 |
$0 |
N/A |
N/A |
$464 |
N/A |
$844 |
| Income Builder Fund |
N/A |
N/A |
$1,494 |
$716 |
$1,473 |
$1,515 |
N/A |
N/A |
$1,559 |
N/A |
$1,540 |
| Amount Deferred |
N/A |
N/A |
$0 |
$236 |
$0 |
$0 |
N/A |
N/A |
$424 |
N/A |
$770 |
| For Funds with fiscal period ending February
28/29 | |||||||||||
| Convertible Securities Fund |
N/A |
N/A |
$1,880 |
$1,069 |
$1,853 |
$1,907 |
N/A |
N/A |
$1,945 |
N/A |
$1,938 |
| Amount Deferred |
N/A |
N/A |
$0 |
$353 |
$0 |
$0 |
N/A |
N/A |
$584 |
N/A |
$969 |
| Cornerstone Equity Fund |
N/A |
N/A |
$2,110 |
$1,177 |
$2,079 |
$2,140 |
N/A |
N/A |
$2,182 |
N/A |
$2,174 |
| Amount Deferred |
N/A |
N/A |
$0 |
$388 |
$0 |
$0 |
N/A |
N/A |
$651 |
N/A |
$1,087 |
| Global Value Fund |
N/A |
N/A |
$1,496 |
$818 |
$1,475 |
$1,517 |
N/A |
N/A |
$1,549 |
N/A |
$1,542 |
| Amount Deferred |
N/A |
N/A |
$0 |
$270 |
$0 |
$0 |
N/A |
N/A |
$459 |
N/A |
$771 |
| Large Cap Enhanced Core Fund |
N/A |
N/A |
$1,225 |
$664 |
$1,208 |
$1,243 |
N/A |
N/A |
$1,269 |
N/A |
$1,262 |
| Amount Deferred |
N/A |
N/A |
$0 |
$219 |
$0 |
$0 |
N/A |
N/A |
$375 |
N/A |
$631 |
| Large Cap Growth Opportunity Fund |
N/A |
N/A |
$1,852 |
$1,016 |
$1,824 |
$1,878 |
N/A |
N/A |
$1,916 |
N/A |
$1,907 |
| Amount Deferred |
N/A |
N/A |
$0 |
$335 |
$0 |
$0 |
N/A |
N/A |
$567 |
N/A |
$953 |
| Large Cap Index Fund |
N/A |
N/A |
$3,364 |
$1,794 |
$3,313 |
$3,410 |
N/A |
N/A |
$3,482 |
N/A |
$3,461 |
| Amount Deferred |
N/A |
N/A |
$0 |
$592 |
$0 |
$0 |
N/A |
N/A |
$1,024 |
N/A |
$1,731 |
| Mid Cap Index Fund |
N/A |
N/A |
$2,828 |
$1,532 |
$2,788 |
$2,868 |
N/A |
N/A |
$2,928 |
N/A |
$2,914 |
| Amount Deferred |
N/A |
N/A |
$0 |
$506 |
$0 |
$0 |
N/A |
N/A |
$865 |
N/A |
$1,457 |
| Overseas Core Fund |
N/A |
N/A |
$1,597 |
$865 |
$1,575 |
$1,620 |
N/A |
N/A |
$1,654 |
N/A |
$1,646 |
| Amount Deferred |
N/A |
N/A |
$0 |
$286 |
$0 |
$0 |
N/A |
N/A |
$489 |
N/A |
$823 |
| Overseas Value Fund |
N/A |
N/A |
$4,520 |
$2,745 |
$4,465 |
$4,588 |
N/A |
N/A |
$4,672 |
N/A |
$4,674 |
| Amount Deferred |
N/A |
N/A |
$0 |
$906 |
$0 |
$0 |
N/A |
N/A |
$1,431 |
N/A |
$2,337 |
| Select Mid Cap Value Fund |
N/A |
N/A |
$2,809 |
$1,535 |
$2,769 |
$2,848 |
N/A |
N/A |
$2,907 |
N/A |
$2,894 |
| Amount Deferred |
N/A |
N/A |
$0 |
$507 |
$0 |
$0 |
N/A |
N/A |
$864 |
N/A |
$1,447 |
| Small Cap Index Fund |
N/A |
N/A |
$2,914 |
$1,557 |
$2,872 |
$2,954 |
N/A |
N/A |
$3,017 |
N/A |
$2,999 |
| Amount Deferred |
N/A |
N/A |
$0 |
$514 |
$0 |
$0 |
N/A |
N/A |
$888 |
N/A |
$1,500 |
| Small Cap Value and Inflection Fund |
N/A |
N/A |
$1,508 |
$814 |
$1,486 |
$1,529 |
N/A |
N/A |
$1,561 |
N/A |
$1,552 |
| Amount Deferred |
N/A |
N/A |
$0 |
$269 |
$0 |
$0 |
N/A |
N/A |
$460 |
N/A |
$776 |
| For Funds with fiscal period ending March 31
| |||||||||||
| Integrated Large Cap Growth Fund II |
N/A |
N/A |
$4,526 |
N/A |
$4,426 |
$4,526 |
N/A |
N/A |
$4,525 |
N/A |
$4,700 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$1,995 |
N/A |
$2,350 |
| MM Large Cap Growth Strategies Fund(k)
|
N/A |
N/A |
$3,447 |
N/A |
$3,453 |
$3,447 |
N/A |
N/A |
$3,582 |
N/A |
$3,543 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$896 |
N/A |
$1,771 |
| Select Large Cap Growth Fund |
N/A |
N/A |
$1,719 |
N/A |
$1,684 |
$1,719 |
N/A |
N/A |
$1,720 |
N/A |
$1,789 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$770 |
N/A |
$894 |
| Short Term Bond Fund |
N/A |
N/A |
$1,753 |
N/A |
$1,712 |
$1,753 |
N/A |
N/A |
$1,752 |
N/A |
$1,817 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$762 |
N/A |
$908 |
| Fund |
Aggregate Compensation from Fund
Independent Trustees | ||||||||||
| Kanwal(a) |
Lob(b) |
Lukitsh |
McGee(c) |
Moffett(d) |
Paglia(e) |
Phillips(f) |
Rudis(g) |
Trunow(h) |
Wanger(i) |
Yeager(j) | |
| For Funds with fiscal period ending April 30
| |||||||||||
| CA Intermediate Municipal Bond Fund |
N/A |
N/A |
$1,110 |
N/A |
$1,078 |
$1,102 |
N/A |
N/A |
$1,110 |
N/A |
$1,145 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$468 |
N/A |
$572 |
| MM Directional Alternative Strategies Fund |
N/A |
N/A |
$1,092 |
N/A |
$1,061 |
$1,084 |
N/A |
N/A |
$1,092 |
N/A |
$1,127 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$461 |
N/A |
$563 |
| Select Corporate Income Fund |
N/A |
N/A |
$2,323 |
N/A |
$2,256 |
$2,306 |
N/A |
N/A |
$2,323 |
N/A |
$2,395 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$975 |
N/A |
$1,198 |
| Short Duration Municipal Bond Fund |
N/A |
N/A |
$1,120 |
N/A |
$1,089 |
$1,112 |
N/A |
N/A |
$1,120 |
N/A |
$1,156 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$474 |
N/A |
$578 |
| Small Cap Value Discovery Fund |
N/A |
N/A |
$2,116 |
N/A |
$2,054 |
$2,101 |
N/A |
N/A |
$2,116 |
N/A |
$2,180 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$885 |
N/A |
$1,090 |
| Total Return Bond Fund |
N/A |
N/A |
$3,182 |
N/A |
$3,092 |
$3,159 |
N/A |
N/A |
$3,182 |
N/A |
$3,283 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$1,342 |
N/A |
$1,641 |
| U.S. Treasury Index Fund |
N/A |
N/A |
$1,575 |
N/A |
$1,532 |
$1,564 |
N/A |
N/A |
$1,576 |
N/A |
$1,627 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$665 |
N/A |
$813 |
| For Funds with fiscal period ending May 31
| |||||||||||
| Adaptive Risk Allocation Fund |
N/A |
N/A |
$2,946 |
N/A |
$2,884 |
$2,926 |
N/A |
N/A |
$2,966 |
N/A |
$3,018 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$1,212 |
N/A |
$1,509 |
| Commodity Strategy Fund |
N/A |
N/A |
$1,086 |
N/A |
$1,063 |
$1,079 |
N/A |
N/A |
$1,094 |
N/A |
$1,113 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$446 |
N/A |
$557 |
| Dividend Income Fund |
N/A |
N/A |
$34,707 |
N/A |
$33,951 |
$34,454 |
N/A |
N/A |
$34,959 |
N/A |
$35,524 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$14,118 |
N/A |
$17,762 |
| Dividend Opportunity Fund |
N/A |
N/A |
$2,617 |
N/A |
$2,559 |
$2,598 |
N/A |
N/A |
$2,634 |
N/A |
$2,679 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$1,071 |
N/A |
$1,340 |
| Flexible Capital Income Fund |
N/A |
N/A |
$1,865 |
N/A |
$1,825 |
$1,852 |
N/A |
N/A |
$1,878 |
N/A |
$1,910 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$763 |
N/A |
$955 |
| High Yield Bond Fund |
N/A |
N/A |
$1,981 |
N/A |
$1,939 |
$1,967 |
N/A |
N/A |
$1,995 |
N/A |
$2,029 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$811 |
N/A |
$1,014 |
| High Yield Municipal Fund |
N/A |
N/A |
$1,270 |
N/A |
$1,242 |
$1,261 |
N/A |
N/A |
$1,278 |
N/A |
$1,301 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$520 |
N/A |
$650 |
| Intrinsic Value Fund |
N/A |
N/A |
$2,856 |
N/A |
$2,794 |
$2,836 |
N/A |
N/A |
$2,876 |
N/A |
$2,925 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$1,167 |
N/A |
$1,462 |
| MM Value Strategies Fund |
N/A |
N/A |
$5,049 |
N/A |
$4,937 |
$5,015 |
N/A |
N/A |
$5,079 |
N/A |
$5,171 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$2,081 |
N/A |
$2,586 |
| Mortgage Opportunities Fund |
N/A |
N/A |
$2,716 |
N/A |
$2,658 |
$2,697 |
N/A |
N/A |
$2,734 |
N/A |
$2,783 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$1,115 |
N/A |
$1,391 |
| Multi Strategy Alternatives Fund |
N/A |
N/A |
$1,292 |
N/A |
$1,264 |
$1,283 |
N/A |
N/A |
$1,300 |
N/A |
$1,323 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$530 |
N/A |
$661 |
| Quality Income Fund |
N/A |
N/A |
$1,975 |
N/A |
$1,933 |
$1,961 |
N/A |
N/A |
$1,988 |
N/A |
$2,023 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$810 |
N/A |
$1,012 |
| Select Large Cap Value Fund |
N/A |
N/A |
$2,829 |
N/A |
$2,767 |
$2,809 |
N/A |
N/A |
$2,848 |
N/A |
$2,897 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$1,159 |
N/A |
$1,449 |
| Select Small Cap Value Fund |
N/A |
N/A |
$1,203 |
N/A |
$1,177 |
$1,195 |
N/A |
N/A |
$1,211 |
N/A |
$1,233 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$494 |
N/A |
$616 |
| Seligman Technology and Information Fund |
N/A |
N/A |
$11,765 |
N/A |
$11,499 |
$11,683 |
N/A |
N/A |
$11,841 |
N/A |
$12,041 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$4,781 |
N/A |
$6,020 |
| For Funds with fiscal period ending July 31
| |||||||||||
| Cornerstone Growth Fund |
N/A |
N/A |
$5,566 |
N/A |
$5,404 |
$5,606 |
N/A |
N/A |
$5,682 |
N/A |
$5,738 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$2,050 |
N/A |
$2,869 |
| Disciplined Core Fund |
N/A |
N/A |
$4,735 |
N/A |
$4,597 |
$4,768 |
N/A |
N/A |
$4,832 |
N/A |
$4,882 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$1,751 |
N/A |
$2,441 |
| Fund |
Aggregate Compensation from Fund
Independent Trustees | ||||||||||
| Kanwal(a) |
Lob(b) |
Lukitsh |
McGee(c) |
Moffett(d) |
Paglia(e) |
Phillips(f) |
Rudis(g) |
Trunow(h) |
Wanger(i) |
Yeager(j) | |
| Disciplined Growth Fund |
N/A |
N/A |
$1,093 |
N/A |
$1,061 |
$1,100 |
N/A |
N/A |
$1,115 |
N/A |
$1,127 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$405 |
N/A |
$563 |
| Disciplined Value Fund |
N/A |
N/A |
$999 |
N/A |
$970 |
$1,006 |
N/A |
N/A |
$1,019 |
N/A |
$1,030 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$370 |
N/A |
$515 |
| Floating Rate Fund |
N/A |
N/A |
$1,465 |
N/A |
$1,423 |
$1,475 |
N/A |
N/A |
$1,496 |
N/A |
$1,510 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$539 |
N/A |
$755 |
| Global Opportunities Fund |
N/A |
N/A |
$1,114 |
N/A |
$1,082 |
$1,121 |
N/A |
N/A |
$1,137 |
N/A |
$1,149 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$413 |
N/A |
$574 |
| Government Money Market Fund |
N/A |
N/A |
$2,895 |
N/A |
$2,812 |
$2,917 |
N/A |
N/A |
$2,963 |
N/A |
$2,983 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$1,048 |
N/A |
$1,492 |
| Income Opportunities Fund |
N/A |
N/A |
$1,439 |
N/A |
$1,398 |
$1,449 |
N/A |
N/A |
$1,469 |
N/A |
$1,484 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$533 |
N/A |
$742 |
| MN Tax-Exempt Fund |
N/A |
N/A |
$1,270 |
N/A |
$1,234 |
$1,279 |
N/A |
N/A |
$1,297 |
N/A |
$1,310 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$471 |
N/A |
$655 |
| OR Intermediate Municipal Bond Fund |
N/A |
N/A |
$1,098 |
N/A |
$1,067 |
$1,106 |
N/A |
N/A |
$1,121 |
N/A |
$1,133 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$407 |
N/A |
$566 |
| Select Short Corporate Income Fund |
N/A |
N/A |
$1,284 |
N/A |
$1,248 |
$1,293 |
N/A |
N/A |
$1,311 |
N/A |
$1,325 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$476 |
N/A |
$662 |
| Strategic Municipal Income Fund |
N/A |
N/A |
$2,330 |
N/A |
$2,263 |
$2,345 |
N/A |
N/A |
$2,379 |
N/A |
$2,402 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$861 |
N/A |
$1,201 |
| Total Return Municipal Income Fund |
N/A |
N/A |
$2,446 |
N/A |
$2,376 |
$2,462 |
N/A |
N/A |
$2,496 |
N/A |
$2,522 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$909 |
N/A |
$1,261 |
| Ultra Short Term Bond Fund |
N/A |
N/A |
$1,740 |
N/A |
$1,692 |
$1,754 |
N/A |
N/A |
$1,780 |
N/A |
$1,795 |
| Amount Deferred |
N/A |
N/A |
$0 |
N/A |
$0 |
$0 |
N/A |
N/A |
$640 |
N/A |
$898 |
| For Funds with fiscal period ending August 31
| |||||||||||
| Balanced Fund |
N/A |
N/A |
$8,787 |
$597 |
$8,601 |
$8,848 |
N/A |
N/A |
$9,035 |
N/A |
$9,117 |
| Amount Deferred |
N/A |
N/A |
$0 |
$197 |
$0 |
$0 |
N/A |
N/A |
$3,112 |
N/A |
$4,559 |
| Contrarian Core Fund |
N/A |
N/A |
$12,807 |
$891 |
$12,535 |
$12,898 |
N/A |
N/A |
$13,166 |
N/A |
$13,291 |
| Amount Deferred |
N/A |
N/A |
$0 |
$294 |
$0 |
$0 |
N/A |
N/A |
$4,534 |
N/A |
$6,645 |
| Emerging Markets Bond Fund |
N/A |
N/A |
$1,088 |
$72 |
$1,065 |
$1,096 |
N/A |
N/A |
$1,118 |
N/A |
$1,129 |
| Amount Deferred |
N/A |
N/A |
$0 |
$24 |
$0 |
$0 |
N/A |
N/A |
$388 |
N/A |
$565 |
| Emerging Markets Fund |
N/A |
N/A |
$1,554 |
$99 |
$1,520 |
$1,564 |
N/A |
N/A |
$1,594 |
N/A |
$1,613 |
| Amount Deferred |
N/A |
N/A |
$0 |
$33 |
$0 |
$0 |
N/A |
N/A |
$562 |
N/A |
$806 |
| Global Technology Growth Fund |
N/A |
N/A |
$3,778 |
$272 |
$3,698 |
$3,805 |
N/A |
N/A |
$3,884 |
N/A |
$3,921 |
| Amount Deferred |
N/A |
N/A |
$0 |
$90 |
$0 |
$0 |
N/A |
N/A |
$1,333 |
N/A |
$1,961 |
| Greater China Fund |
N/A |
N/A |
$902 |
$59 |
$883 |
$908 |
N/A |
N/A |
$927 |
N/A |
$936 |
| Amount Deferred |
N/A |
N/A |
$0 |
$20 |
$0 |
$0 |
N/A |
N/A |
$322 |
N/A |
$468 |
| Integrated Small Cap Growth Fund |
N/A |
N/A |
$881 |
$58 |
$862 |
$887 |
N/A |
N/A |
$905 |
N/A |
$914 |
| Amount Deferred |
N/A |
N/A |
$0 |
$19 |
$0 |
$0 |
N/A |
N/A |
$314 |
N/A |
$457 |
| International Dividend Income Fund |
N/A |
N/A |
$1,312 |
$88 |
$1,284 |
$1,321 |
N/A |
N/A |
$1,348 |
N/A |
$1,362 |
| Amount Deferred |
N/A |
N/A |
$0 |
$29 |
$0 |
$0 |
N/A |
N/A |
$467 |
N/A |
$681 |
| MM Alternative Strategies Fund |
N/A |
N/A |
$1,255 |
$83 |
$1,229 |
$1,264 |
N/A |
N/A |
$1,290 |
N/A |
$1,303 |
| Amount Deferred |
N/A |
N/A |
$0 |
$27 |
$0 |
$0 |
N/A |
N/A |
$446 |
N/A |
$651 |
| MM International Equity Strategies Fund |
N/A |
N/A |
$3,170 |
$224 |
$3,106 |
$3,193 |
N/A |
N/A |
$3,265 |
N/A |
$3,291 |
| Amount Deferred |
N/A |
N/A |
$0 |
$74 |
$0 |
$0 |
N/A |
N/A |
$1,119 |
N/A |
$1,646 |
| MM Small Cap Equity Strategies Fund |
N/A |
N/A |
$2,449 |
$184 |
$2,402 |
$2,469 |
N/A |
N/A |
$2,528 |
N/A |
$2,544 |
| Amount Deferred |
N/A |
N/A |
$0 |
$61 |
$0 |
$0 |
N/A |
N/A |
$849 |
N/A |
$1,272 |
| MM Total Return Bond Strategies Fund |
N/A |
N/A |
$11,790 |
$763 |
$11,543 |
$11,867 |
N/A |
N/A |
$12,119 |
N/A |
$12,229 |
| Amount Deferred |
N/A |
N/A |
$0 |
$252 |
$0 |
$0 |
N/A |
N/A |
$4,181 |
N/A |
$6,115 |
| Multisector Bond SMA Completion Portfolio |
N/A |
N/A |
$878 |
$60 |
$859 |
$884 |
N/A |
N/A |
$902 |
N/A |
$911 |
| Amount Deferred |
N/A |
N/A |
$0 |
$20 |
$0 |
$0 |
N/A |
N/A |
$312 |
N/A |
$456 |
| Fund |
Aggregate Compensation from Fund
Independent Trustees | ||||||||||
| Kanwal(a) |
Lob(b) |
Lukitsh |
McGee(c) |
Moffett(d) |
Paglia(e) |
Phillips(f) |
Rudis(g) |
Trunow(h) |
Wanger(i) |
Yeager(j) | |
| Overseas SMA Completion Portfolio |
N/A |
N/A |
$867 |
$57 |
$848 |
$873 |
N/A |
N/A |
$891 |
N/A |
$900 |
| Amount Deferred |
N/A |
N/A |
$0 |
$19 |
$0 |
$0 |
N/A |
N/A |
$309 |
N/A |
$450 |
| Pyrford International Stock Fund |
N/A |
N/A |
$1,133 |
$73 |
$1,109 |
$1,141 |
N/A |
N/A |
$1,164 |
N/A |
$1,176 |
| Amount Deferred |
N/A |
N/A |
$0 |
$24 |
$0 |
$0 |
N/A |
N/A |
$405 |
N/A |
$588 |
| Select Mid Cap Growth Fund |
N/A |
N/A |
$2,207 |
$155 |
$2,160 |
$2,223 |
N/A |
N/A |
$2,269 |
N/A |
$2,290 |
| Amount Deferred |
N/A |
N/A |
$0 |
$51 |
$0 |
$0 |
N/A |
N/A |
$780 |
N/A |
$1,145 |
| Small Cap Growth Fund |
N/A |
N/A |
$2,710 |
$187 |
$2,650 |
$2,728 |
N/A |
N/A |
$2,784 |
N/A |
$2,810 |
| Amount Deferred |
N/A |
N/A |
$0 |
$62 |
$0 |
$0 |
N/A |
N/A |
$956 |
N/A |
$1,405 |
| Strategic Income Fund |
N/A |
N/A |
$5,559 |
$375 |
$5,445 |
$5,598 |
N/A |
N/A |
$5,719 |
N/A |
$5,770 |
| Amount Deferred |
N/A |
N/A |
$0 |
$124 |
$0 |
$0 |
N/A |
N/A |
$1,969 |
N/A |
$2,885 |
| Ultra Short Duration Municipal Bond Fund |
N/A |
N/A |
$925 |
$61 |
$905 |
$932 |
N/A |
N/A |
$950 |
N/A |
$960 |
| Amount Deferred |
N/A |
N/A |
$0 |
$20 |
$0 |
$0 |
N/A |
N/A |
$330 |
N/A |
$480 |
| For Funds with fiscal period ending October 31
| |||||||||||
| Intermediate Duration Municipal Bond Fund |
N/A |
N/A |
$2,064 |
$455 |
$2,019 |
$2,079 |
N/A |
N/A |
$2,124 |
N/A |
$2,128 |
| Amount Deferred |
N/A |
N/A |
$0 |
$150 |
$0 |
$0 |
N/A |
N/A |
$642 |
N/A |
$1,064 |
| MA Intermediate Municipal Bond Fund |
N/A |
N/A |
$894 |
$200 |
$874 |
$901 |
N/A |
N/A |
$920 |
N/A |
$922 |
| Amount Deferred |
N/A |
N/A |
$0 |
$66 |
$0 |
$0 |
N/A |
N/A |
$279 |
N/A |
$461 |
| NY Intermediate Municipal Bond Fund |
N/A |
N/A |
$908 |
$203 |
$888 |
$915 |
N/A |
N/A |
$934 |
N/A |
$937 |
| Amount Deferred |
N/A |
N/A |
$0 |
$67 |
$0 |
$0 |
N/A |
N/A |
$283 |
N/A |
$468 |
| Select Global Equity Fund |
N/A |
N/A |
$1,418 |
$319 |
$1,386 |
$1,428 |
N/A |
N/A |
$1,458 |
N/A |
$1,462 |
| Amount Deferred |
N/A |
N/A |
$0 |
$105 |
$0 |
$0 |
N/A |
N/A |
$440 |
N/A |
$731 |
| Seligman Global Technology Fund |
N/A |
N/A |
$2,817 |
$667 |
$2,755 |
$2,836 |
N/A |
N/A |
$2,894 |
N/A |
$2,904 |
| Amount Deferred |
N/A |
N/A |
$0 |
$220 |
$0 |
$0 |
N/A |
N/A |
$871 |
N/A |
$1,452 |
| Strategic CA Municipal Income Fund |
N/A |
N/A |
$1,091 |
$242 |
$1,067 |
$1,099 |
N/A |
N/A |
$1,122 |
N/A |
$1,125 |
| Amount Deferred |
N/A |
N/A |
$0 |
$80 |
$0 |
$0 |
N/A |
N/A |
$340 |
N/A |
$563 |
| Strategic NY Municipal Income Fund |
N/A |
N/A |
$931 |
$208 |
$910 |
$937 |
N/A |
N/A |
$957 |
N/A |
$960 |
| Amount Deferred |
N/A |
N/A |
$0 |
$69 |
$0 |
$0 |
N/A |
N/A |
$290 |
N/A |
$480 |
| For Funds with fiscal period ending December 31
| |||||||||||
| Acorn European Fund |
N/A |
$537 |
$750 |
$361 |
$733 |
$762 |
$157 |
$707 |
$782 |
$135 |
$768 |
| Amount Deferred |
N/A |
$0 |
$0 |
$119 |
$0 |
$0 |
$0 |
$0 |
$195 |
$135 |
$384 |
| Acorn Fund |
N/A |
$33,187 |
$2,438 |
$1,163 |
$2,379 |
$2,477 |
$9,816 |
$43,647 |
$2,539 |
$8,458 |
$2,494 |
| Amount Deferred |
N/A |
$0 |
$0 |
$384 |
$0 |
$0 |
$0 |
$0 |
$635 |
$8,458 |
$1,247 |
| Acorn International Fund |
N/A |
$11,799 |
$1,336 |
$632 |
$1,306 |
$1,358 |
$3,362 |
$15,526 |
$1,393 |
$2,897 |
$1,368 |
| Amount Deferred |
N/A |
$0 |
$0 |
$209 |
$0 |
$0 |
$0 |
$0 |
$348 |
$2,897 |
$684 |
| Acorn International Select Fund |
N/A |
$2,553 |
$860 |
$414 |
$840 |
$874 |
$698 |
$3,361 |
$897 |
$602 |
$881 |
| Amount Deferred |
N/A |
$0 |
$0 |
$136 |
$0 |
$0 |
$0 |
$0 |
$224 |
$602 |
$440 |
| Real Estate Equity Fund |
N/A |
N/A |
$942 |
$397 |
$928 |
$955 |
N/A |
N/A |
$983 |
N/A |
$971 |
| Amount Deferred |
N/A |
N/A |
$0 |
$131 |
$0 |
$0 |
N/A |
N/A |
$246 |
N/A |
$486 |
| Thermostat Fund |
N/A |
$15,775 |
$1,580 |
$765 |
$1,544 |
$1,606 |
$4,268 |
$20,769 |
$1,647 |
$3,678 |
$1,618 |
| Amount Deferred |
N/A |
$0 |
$0 |
$253 |
$0 |
$0 |
$0 |
$0 |
$412 |
$3,678 |
$809 |
| |
Total Brokerage
Commissions | ||
| Fund |
2026 |
2025 |
2024 |
| For Funds with fiscal period ending January 31 | |||
| Capital Allocation Aggressive Portfolio |
$99,301 |
$49,797 |
$54,836 |
| Capital Allocation Conservative Portfolio |
5,531 |
3,643 |
2,828 |
| Capital Allocation Moderate Aggressive Portfolio |
110,955 |
60,047 |
66,587 |
| Capital Allocation Moderate Conservative Portfolio |
17,412 |
9,445 |
7,659 |
| Capital Allocation Moderate Portfolio |
65,896 |
34,081 |
33,119 |
| Income Builder Fund |
24,635 |
0 |
0 |
| |
Total Brokerage
Commissions | ||
| Fund |
2026 |
2025 |
2024 |
| For Funds with fiscal period ending February 28/29
| |||
| Convertible Securities Fund |
$55,133 |
$48,515 |
$54,122 |
| Cornerstone Equity Fund |
458,774 |
351,555 |
460,529 |
| Global Value Fund |
409,333 |
310,153 |
415,816 |
| Large Cap Enhanced Core Fund |
97,067 |
90,536 |
118,435 |
| Large Cap Growth Opportunity Fund |
248,470 |
135,908 |
352,104 |
| Large Cap Index Fund |
87,388 |
108,829 |
62,592 |
| Mid Cap Index Fund |
121,441 |
82,428 |
69,820 |
| Overseas Core Fund |
919,210 |
748,047 |
597,977 |
| Overseas Value Fund |
5,237,619 |
2,208,146 |
1,532,180 |
| Select Mid Cap Value Fund |
218,466 |
235,390 |
389,201 |
| Small Cap Index Fund |
379,365 |
362,949 |
381,142 |
| Small Cap Value and Inflection Fund |
1,328,621 |
1,306,884 |
1,698,897 |
| Fund |
2025 |
2024 |
2023 |
| For Funds with fiscal period ending March 31 | |||
| Integrated Large Cap Growth Fund II |
542,106 |
489,103 |
897,477 |
| MM Large Cap Growth Strategies Fund(a)
|
N/A |
N/A |
N/A |
| Select Large Cap Growth Fund |
262,603 |
250,020 |
242,833 |
| Short Term Bond Fund |
62,376 |
33,055 |
44,288 |
| For Funds with fiscal period ending April 30 | |||
| CA Intermediate Municipal Bond Fund |
0 |
0 |
0 |
| MM Directional Alternative Strategies Fund |
1,405,076 |
369,492 |
747,237 |
| Select Corporate Income Fund |
125,257 |
303,083 |
131,269 |
| Short Duration Municipal Bond Fund |
0 |
0 |
4,613 |
| Small Cap Value Discovery Fund |
3,241,172 |
2,614,358 |
2,364,213 |
| Total Return Bond Fund |
317,028 |
356,841 |
355,896 |
| U.S. Treasury Index Fund |
0 |
0 |
0 |
| For Funds with fiscal period ending May 31 |
|||
| Adaptive Risk Allocation Fund |
673,219 |
619,390 |
468,959 |
| Commodity Strategy Fund |
4,060 |
196,815 |
243,380 |
| Dividend Income Fund |
3,030,968 |
3,339,022 |
3,029,600 |
| Dividend Opportunity Fund |
654,673 |
738,400 |
896,939 |
| Flexible Capital Income Fund |
151,965 |
219,328 |
280,440 |
| High Yield Bond Fund |
13,800 |
0 |
7,400 |
| High Yield Municipal Fund |
2,477 |
6,126 |
9,203 |
| Intrinsic Value Fund |
529,631 |
469,151 |
271,508 |
| MM Value Strategies Fund |
632,681 |
452,058 |
384,914 |
| Mortgage Opportunities Fund |
2,003,563 |
2,322,722 |
1,916,476 |
| Multi Strategy Alternatives Fund |
967,180 |
648,175 |
884,030 |
| Quality Income Fund |
374,588 |
382,846 |
269,865 |
| Select Large Cap Value Fund |
745,159 |
494,299 |
256,452 |
| Select Small Cap Value Fund |
103,706 |
86,226 |
124,555 |
| Seligman Technology and Information Fund |
4,547,700 |
3,529,918 |
1,720,064 |
| |
Total Brokerage
Commissions | ||
| Fund |
2025 |
2024 |
2023 |
| For Funds with fiscal period ending July 31 | |||
| Cornerstone Growth Fund |
$1,050,680 |
$737,310 |
$753,099 |
| Disciplined Core Fund |
887,543 |
812,496 |
1,317,923 |
| Disciplined Growth Fund |
41,606 |
42,242 |
59,856 |
| Disciplined Value Fund |
35,777 |
70,951 |
63,805 |
| Floating Rate Fund |
5,700 |
4,190 |
5,940 |
| Global Opportunities Fund |
149,302 |
161,210 |
157,317 |
| Government Money Market Fund |
0 |
0 |
0 |
| Income Opportunities Fund |
7,000 |
0 |
0 |
| MN Tax-Exempt Fund |
2,577 |
6,403 |
8,444 |
| OR Intermediate Municipal Bond Fund |
0 |
0 |
0 |
| Select Short Corporate Income Fund |
46,645 |
38,741 |
37,919 |
| Strategic Municipal Income Fund |
10,014 |
24,293 |
39,013 |
| Total Return Municipal Income Fund |
10,112 |
25,587 |
34,563 |
| Ultra Short Term Bond Fund |
19,688 |
18,358 |
26,436 |
| For Funds with fiscal period ending August 31 | |||
| Balanced Fund |
1,362,461 |
1,491,861 |
1,305,002 |
| Contrarian Core Fund |
2,948,369 |
3,033,908 |
2,553,890 |
| Emerging Markets Bond Fund |
0 |
0 |
0 |
| Emerging Markets Fund |
1,328,554 |
1,211,942 |
1,472,105 |
| Global Technology Growth Fund |
85,615 |
118,000 |
125,836 |
| Greater China Fund |
60,426 |
88,788 |
105,917 |
| Integrated Small Cap Growth Fund |
19,847 |
43,841 |
62,389 |
| International Dividend Income Fund |
73,100 |
241,164 |
171,321 |
| MM Alternative Strategies Fund |
132,895 |
168,324 |
407,053 |
| MM International Equity Strategies Fund |
1,227,263 |
1,241,038 |
884,806 |
| MM Small Cap Equity Strategies Fund |
1,689,517 |
1,157,720 |
1,252,397 |
| MM Total Return Bond Strategies Fund |
407,381 |
396,495 |
358,729 |
| Multisector Bond SMA Completion Portfolio |
4,305 |
332 |
203 |
| Overseas SMA Completion Portfolio |
3,376 |
3,421 |
3,900 |
| Pyrford International Stock Fund |
53,409 |
107,465 |
59,009 |
| Select Mid Cap Growth Fund |
1,630,591 |
1,349,064 |
1,314,426 |
| Small Cap Growth Fund |
2,790,717 |
3,187,693 |
2,288,144 |
| Strategic Income Fund |
1,084,851 |
852,896 |
756,138 |
| Ultra Short Duration Municipal Bond Fund |
0 |
0 |
0 |
| For Funds with fiscal period ending October 31 | |||
| Intermediate Duration Municipal Bond Fund |
0 |
0 |
0 |
| MA Intermediate Municipal Bond Fund |
0 |
0 |
0 |
| NY Intermediate Municipal Bond Fund |
0 |
0 |
0 |
| Select Global Equity Fund |
252,877 |
182,521 |
262,365 |
| Seligman Global Technology Fund |
788,120 |
838,427 |
403,420 |
| Strategic CA Municipal Income Fund |
1,518 |
2,575 |
9,659 |
| Strategic NY Municipal Income Fund |
566 |
861 |
2,991 |
| |
Total Brokerage
Commissions | ||
| Fund |
2025 |
2024 |
2023 |
| For Funds with fiscal period ending December 31 | |||
| Acorn European Fund |
$34,034 |
$29,614 |
$56,683 |
| Acorn Fund |
1,774,390 |
2,333,750 |
1,412,794 |
| Acorn International Fund |
347,405 |
489,286 |
1,742,316 |
| Acorn International Select Fund |
50,369 |
118,149 |
229,597 |
| Real Estate Equity Fund |
82,894 |
108,041 |
142,979 |
| Thermostat Fund |
214,035 |
245,767 |
341,675 |
| |
Broker |
Nature of
Affiliation |
Aggregate
dollar
amount of
commissions
paid to
broker |
Percent of
aggregate
brokerage
commissions |
Percent of
aggregate
dollar
amount of
transactions
involving
payment of
commissions |
Aggregate
amount of
commissions
paid to
broker |
Aggregate amount
of commissions
paid to broker |
| Fund |
2025 |
2024 |
2023 | ||||
| For Funds with fiscal period ending March 31 | |||||||
| Integrated Large Cap Growth Fund II |
BofA Securities, Inc. |
(1) |
$22,570 |
4.16% |
4.09% |
$23,860 |
$0 |
| For Funds with fiscal period ending April 30 | |||||||
| MM Directional Alternative Strategies Fund |
BofA Securities, Inc. |
(1) |
$2,005 |
0.14% |
0.49% |
$2,283 |
$0 |
| For Funds with fiscal period ending May 31 |
|||||||
| MM Value Strategies Fund |
BofA Securities, Inc. |
(1) |
$0 |
0% |
0% |
$450 |
$0 |
| For Funds with fiscal period ending August 31 | |||||||
| International Dividend Income Fund |
Merrill Lynch
International |
(1) |
$0 |
0% |
0% |
$0 |
$2,747 |
| MM Alternative Strategies Fund |
BofA Securities, Inc. |
(1) |
$5,245 |
3.95% |
8.03% |
$6,691 |
$29,192 |
| MM International Equity Strategies Fund |
BofA Securities, Inc. |
(1) |
$18,062 |
1.47% |
2.46% |
$16,127 |
$22,577 |
| MM Small Cap Equity
Strategies Fund |
BofA Securities, Inc. |
(1) |
$149,629 |
8.86% |
3.96% |
$84,699 |
$43,532 |
| For Funds with fiscal period ending October 31 | |||||||
| Select Global Equity Fund |
Merrill Lynch International |
(1) |
$0 |
0% |
0% |
$0 |
$571 |
| |
Brokerage directed
for research | |
| Fund |
Amount of
Transactions |
Amount of
Commissions Imputed or Paid |
| For Funds with fiscal period ending January 31 | ||
| Capital Allocation Aggressive Portfolio |
$0(a) |
$0(a) |
| Capital Allocation Conservative Portfolio |
0(a) |
0(a) |
| Capital Allocation Moderate Aggressive Portfolio |
0(a) |
0(a) |
| Capital Allocation Moderate Conservative Portfolio |
0(a) |
0(a) |
| Capital Allocation Moderate Portfolio |
0(a) |
0(a) |
| Income Builder Fund |
0(a) |
0(a) |
| For Funds with fiscal period ending February 28/29
| ||
| Convertible Securities Fund |
6,881,403 |
2,660 |
| Cornerstone Equity Fund |
820,299,119 |
86,875 |
| Global Value Fund |
194,023,671 |
59,286 |
| Large Cap Enhanced Core Fund |
22,224,716 |
4,392 |
| Large Cap Growth Opportunity Fund |
601,747,026 |
62,867 |
| Large Cap Index Fund |
0 |
0 |
| Mid Cap Index Fund |
0 |
0 |
| Overseas Core Fund |
192,504,921 |
135,444 |
| Overseas Value Fund |
909,947,163 |
672,512 |
| Select Mid Cap Value Fund |
21,119,152 |
2,349 |
| Small Cap Index Fund |
0 |
0 |
| Small Cap Value and Inflection Fund |
434,007,659 |
171,918 |
| For Funds with fiscal period ending March 31 | ||
| Integrated Large Cap Growth Fund II |
4,157,423,617 |
219,938 |
| MM Large Cap Growth Strategies Fund(b)
|
N/A |
N/A |
| Select Large Cap Growth Fund |
790,293,703 |
83,653 |
| Short Term Bond Fund |
0 |
0 |
| For Funds with fiscal period ending April 30 | ||
| CA Intermediate Municipal Bond Fund |
0 |
0 |
| MM Directional Alternative Strategies Fund |
179,983,539 |
274,964 |
| Select Corporate Income Fund |
0 |
0 |
| Short Duration Municipal Bond Fund |
0 |
0 |
| Small Cap Value Discovery Fund |
624,088,224 |
464,060 |
| Total Return Bond Fund |
0 |
0 |
| U.S. Treasury Index Fund |
0 |
0 |
| For Funds with fiscal period ending May 31 |
||
| Adaptive Risk Allocation Fund |
0 |
0 |
| Commodity Strategy Fund |
0 |
0 |
| Dividend Income Fund |
11,092,108,928 |
1,184,525 |
| Dividend Opportunity Fund |
725,288,016 |
100,054 |
| Flexible Capital Income Fund |
220,496,377 |
35,073 |
| High Yield Bond Fund |
0 |
0 |
| High Yield Municipal Fund |
0 |
0 |
| |
Brokerage directed
for research | |
| Fund |
Amount of
Transactions |
Amount of
Commissions Imputed or Paid |
| Intrinsic Value Fund |
$1,118,394,382 |
$209,078 |
| MM Value Strategies Fund |
1,258,038,522 |
203,689 |
| Mortgage Opportunities Fund |
0 |
0 |
| Multi Strategy Alternatives Fund |
0 |
0 |
| Quality Income Fund |
0 |
0 |
| Select Large Cap Value Fund |
1,043,967,395 |
247,022 |
| Select Small Cap Value Fund |
10,756,799 |
3,958 |
| Seligman Technology and Information Fund |
5,489,362,408 |
1,281,780 |
| For Funds with fiscal period ending July 31 | ||
| Cornerstone Growth Fund |
2,845,206,732 |
235,104 |
| Disciplined Core Fund |
557,070,166 |
75,097 |
| Disciplined Growth Fund |
19,355,523 |
2,657 |
| Disciplined Value Fund |
5,257,706 |
1,449 |
| Floating Rate Fund |
0 |
0 |
| Global Opportunities Fund |
33,316,952 |
11,280 |
| Government Money Market Fund |
0 |
0 |
| Income Opportunities Fund |
0 |
0 |
| MN Tax-Exempt Fund |
0 |
0 |
| OR Intermediate Municipal Bond Fund |
0 |
0 |
| Select Short Corporate Income Fund |
0 |
0 |
| Strategic Municipal Income Fund |
0 |
0 |
| Total Return Municipal Income Fund |
0 |
0 |
| Ultra Short Term Bond Fund |
0 |
0 |
| For Funds with fiscal period ending August 31 | ||
| Balanced Fund |
2,922,561,501 |
350,643 |
| Contrarian Core Fund |
7,296,228,653 |
871,660 |
| Emerging Markets Bond Fund |
0 |
0 |
| Emerging Markets Fund |
178,748,258 |
245,569 |
| Global Technology Growth Fund |
176,615,615 |
24,419 |
| Greater China Fund |
23,359,699 |
29,292 |
| Integrated Small Cap Growth Fund |
228,886 |
61 |
| International Dividend Income Fund |
1,579,628 |
306 |
| MM Alternative Strategies Fund |
0 |
0 |
| MM International Equity Strategies Fund |
57,997,116 |
57,997 |
| MM Small Cap Equity Strategies Fund |
2,770,555,163 |
604,189 |
| MM Total Return Bond Strategies Fund |
0 |
0 |
| Multisector Bond SMA Completion Portfolio |
0 |
0 |
| Overseas SMA Completion Portfolio |
953,291 |
560 |
| Pyrford International Stock Fund |
0 |
0 |
| Select Mid Cap Growth Fund |
4,861,987,584 |
660,334 |
| Small Cap Growth Fund |
3,776,111,086 |
1,067,727 |
| Strategic Income Fund |
0 |
0 |
| |
Brokerage directed
for research | |
| Fund |
Amount of
Transactions |
Amount of
Commissions Imputed or Paid |
| Ultra Short Duration Municipal Bond Fund |
$0 |
$0 |
| For Funds with fiscal period ending October 31 | ||
| Intermediate Duration Municipal Bond Fund |
0 |
0 |
| MA Intermediate Municipal Bond Fund |
0 |
0 |
| NY Intermediate Municipal Bond Fund |
0 |
0 |
| Select Global Equity Fund |
10,143,430 |
2,484 |
| Seligman Global Technology Fund |
820,571,531 |
172,536 |
| Strategic CA Municipal Income Fund |
0 |
0 |
| Strategic NY Municipal Income Fund |
0 |
0 |
| For Funds with fiscal period ending December 31 | ||
| Acorn European Fund |
0 |
0 |
| Acorn Fund |
2,072,258,110 |
435,016 |
| Acorn International Fund |
0 |
0 |
| Acorn International Select Fund |
0 |
0 |
| Real Estate Equity Fund |
0 |
0 |
| Thermostat Fund |
0 |
0 |
| Fund |
Issuer |
Value of securities owned at end of fiscal period |
| For Funds with fiscal period ending January 31, 2026
| ||
| Capital Allocation Aggressive Portfolio |
None |
N/A |
| Capital Allocation Conservative Portfolio |
None |
N/A |
| Capital Allocation Moderate Aggressive Portfolio |
None |
N/A |
| Capital Allocation Moderate Conservative Portfolio |
None |
N/A |
| Capital Allocation Moderate Portfolio |
None |
N/A |
| Income Builder Fund |
None |
N/A |
| For Funds with fiscal period ending February 28/29,
2026 | ||
| Convertible Securities Fund |
Barclays Bank PLC |
$12,319,416 |
| Cornerstone Equity Fund |
Citigroup, Inc. |
$33,651,365 |
| Goldman Sachs Group, Inc. (The) |
$29,798,713 | |
| JPMorgan Chase & Co. |
$47,193,346 | |
| Global Value Fund |
Citigroup, Inc. |
$21,870,732 |
| Goldman Sachs Group, Inc. (The) |
$22,202,693 | |
| JPMorgan Chase & Co. |
$34,066,933 | |
| Fund |
Issuer |
Value of securities owned at end of fiscal period |
| Large Cap Enhanced Core Fund |
Goldman Sachs Group, Inc. (The) |
$3,850,014 |
| JPMorgan Chase & Co. |
$6,107,802 | |
| Morgan Stanley |
$4,847,106 | |
| Large Cap Growth Opportunity Fund |
Goldman Sachs Group, Inc. (The) |
$11,321,396 |
| Large Cap Index Fund |
Goldman Sachs Group, Inc. (The) |
$13,041,396 |
| Morgan Stanley |
$10,174,094 | |
| Wells Fargo & Co. |
$12,933,771 | |
| Mid Cap Index Fund |
Jefferies Financial Group, Inc. |
$5,402,903 |
| Overseas Core Fund |
None |
N/A |
| Overseas Value Fund |
None |
N/A |
| Select Mid Cap Value Fund |
None |
N/A |
| Small Cap Index Fund |
None |
N/A |
| Small Cap Value and Inflection Fund |
None |
N/A |
| For Funds with fiscal period ending March 31, 2025
| ||
| Integrated Large Cap Growth Fund II |
Goldman Sachs Group, Inc. (The) |
$10,955,300 |
| MM Large Cap Growth Strategies Fund(a)
|
N/A |
N/A |
| Select Large Cap Growth Fund |
None |
N/A |
| Short Term Bond Fund |
Bank of America Corp. |
$14,697,703 |
| Citigroup, Inc. |
$11,342,930 | |
| Goldman Sachs Group, Inc. (The) |
$11,426,203 | |
| JPMorgan Chase & Co. |
$15,135,185 | |
| Morgan Stanley |
$12,593,017 | |
| Wells Fargo & Co. |
$12,198,405 | |
| For Funds with fiscal period ending April 30, 2025
| ||
| CA Intermediate Municipal Bond Fund |
None |
N/A |
| MM Directional Alternative Strategies Fund |
Evercore, Inc. |
$295,618 |
| Goldman Sachs Group, Inc. (The) |
$200,951 | |
| JPMorgan Chase & Co. |
$1,615,960 | |
| Morgan Stanley |
$264,427 | |
| Select Corporate Income Fund |
Bank of America Corp. |
$53,148,320 |
| Citigroup, Inc. |
$44,465,688 | |
| Goldman Sachs Group, Inc. (The) |
$15,596,086 | |
| HSBC Holdings PLC |
$22,458,456 | |
| JPMorgan Chase & Co. |
$54,171,508 | |
| Morgan Stanley |
$28,541,675 | |
| Royal Bank of Canada |
$25,652,030 | |
| Wells Fargo & Co. |
$25,765,246 | |
| Short Duration Municipal Bond Fund |
None |
N/A |
| Small Cap Value Discovery Fund |
None |
N/A |
| Total Return Bond Fund |
Citigroup, Inc. |
$15,821,390 |
| Goldman Sachs Group, Inc. (The) |
$16,781,875 | |
| JPMorgan Chase & Co. |
$19,806,864 | |
| Morgan Stanley |
$32,388,120 | |
| Wells Fargo & Co. |
$438,793 | |
| U.S. Treasury Index Fund |
None |
N/A |
| Fund |
Issuer |
Value of securities owned at end of fiscal period |
| For Funds with fiscal period ending May 31, 2025 | ||
| Adaptive Risk Allocation Fund |
None |
N/A |
| Commodity Strategy Fund |
Goldman Sachs Group, Inc. (The) |
$1,155,092 |
| Morgan Stanley |
$1,133,862 | |
| Royal Bank of Canada |
$625,987 | |
| US Bank NA |
$676,078 | |
| Wells Fargo & Co. |
$1,104,154 | |
| Dividend Income Fund |
JPMorgan Chase & Co. |
$1,856,916,864 |
| Morgan Stanley |
$618,707,280 | |
| Wells Fargo & Co. |
$801,722,886 | |
| Dividend Opportunity Fund |
Citigroup, Inc. |
$28,154,616 |
| Goldman Sachs Group, Inc. (The) |
$48,036,000 | |
| JPMorgan Chase & Co. |
$72,072,000 | |
| Truist Financial Corp. |
$15,179,850 | |
| Wells Fargo & Co. |
$29,089,420 | |
| Flexible Capital Income Fund |
Bank of America Corp. |
$11,613,000 |
| Citigroup Capital XIII |
$5,830,000 | |
| Citigroup, Inc. |
$6,383,487 | |
| JPMorgan Chase & Co. |
$19,264,446 | |
| Morgan Stanley |
$11,522,700 | |
| High Yield Bond Fund |
None |
N/A |
| High Yield Municipal Fund |
None |
N/A |
| Intrinsic Value Fund |
Citigroup, Inc. |
$50,517,124 |
| Goldman Sachs Group, Inc. (The) |
$38,789,070 | |
| JPMorgan Chase & Co. |
$98,762,400 | |
| Morgan Stanley |
$33,697,496 | |
| MM Value Strategies Fund |
JPMorgan Chase & Co. |
$127,679,904 |
| Morgan Stanley |
$42,215,972 | |
| Mortgage Opportunities Fund |
None |
N/A |
| Multi Strategy Alternatives Fund |
None |
N/A |
| Quality Income Fund |
None |
N/A |
| Select Large Cap Value Fund |
Citigroup, Inc. |
$72,288,069 |
| JPMorgan Chase & Co. |
$70,786,056 | |
| Morgan Stanley |
$62,391,580 | |
| Wells Fargo & Co. |
$51,821,344 | |
| Select Small Cap Value Fund |
None |
N/A |
| Seligman Technology and Information Fund |
None |
N/A |
| For Funds with fiscal period ending July 31, 2025
| ||
| Cornerstone Growth Fund |
Goldman Sachs Group, Inc. (The) |
$79,422,686 |
| Disciplined Core Fund |
Citigroup, Inc. |
$106,691,880 |
| JPMorgan Chase & Co. |
$22,131,794 | |
| Disciplined Growth Fund |
Citigroup, Inc. |
$1,769,525 |
| Goldman Sachs Group, Inc. (The) |
$447,179 | |
| Morgan Stanley |
$570,267 | |
| Disciplined Value Fund |
JPMorgan Chase & Co. |
$6,953,345 |
| Virtu Financial, Inc. |
$1,042,896 | |
| Floating Rate Fund |
None |
N/A |
| Fund |
Issuer |
Value of securities owned at end of fiscal period |
| Global Opportunities Fund |
Citigroup, Inc. |
$1,612,764 |
| Goldman Sachs Group, Inc. (The) |
$1,668,599 | |
| JPMorgan Chase & Co. |
$2,625,575 | |
| Societe Generale SA |
$576,819 | |
| Government Money Market Fund |
None |
N/A |
| Income Opportunities Fund |
None |
N/A |
| MN Tax-Exempt Fund |
None |
N/A |
| OR Intermediate Municipal Bond Fund |
None |
N/A |
| Select Short Corporate Income Fund |
Bank of America Corp. |
$17,326,884 |
| Citigroup, Inc. |
$8,859,716 | |
| Goldman Sachs Group, Inc. (The) |
$13,501,293 | |
| HSBC Holdings PLC |
$7,603,798 | |
| JPMorgan Chase & Co. |
$16,780,898 | |
| Morgan Stanley |
$6,783,362 | |
| Morgan Stanley Private Bank NA |
$12,351,193 | |
| Royal Bank of Canada |
$7,738,883 | |
| Wells Fargo & Co. |
$7,482,813 | |
| Strategic Municipal Income Fund |
None |
N/A |
| Total Return Municipal Income Fund |
None |
N/A |
| Ultra Short Term Bond Fund |
Bank of America Corp. |
$12,100,674 |
| Goldman Sachs Group, Inc. (The) |
$11,067,314 | |
| JPMorgan Chase & Co. |
$12,211,843 | |
| Morgan Stanley |
$11,160,320 | |
| Royal Bank of Canada |
$6,016,329 | |
| Wells Fargo & Co. |
$11,056,430 | |
| For Funds with fiscal period ending August 31, 2025
| ||
| Balanced Fund |
Citigroup, Inc. |
$16,068,738 |
| Goldman Sachs Group, Inc. (The) |
$16,259,400 | |
| JPMorgan Chase & Co. |
$190,084,887 | |
| Morgan Stanley |
$67,124,125 | |
| Morgan Stanley Private Bank NA |
$8,521,293 | |
| Wells Fargo & Co. |
$103,246,000 | |
| Contrarian Core Fund |
JPMorgan Chase & Co. |
$368,319,868 |
| Morgan Stanley |
$129,989,891 | |
| Wells Fargo & Co. |
$227,302,566 | |
| Emerging Markets Bond Fund |
None |
N/A |
| Emerging Markets Fund |
None |
N/A |
| Global Technology Growth Fund |
None |
N/A |
| Greater China Fund |
None |
N/A |
| Integrated Small Cap Growth Fund |
None |
N/A |
| International Dividend Income Fund |
BNP Paribas SA |
$14,799,115 |
| Mizuho Financial Group, Inc. |
$6,319,687 | |
| Fund |
Issuer |
Value of securities owned at end of fiscal period |
| MM Alternative Strategies Fund |
Bank of Montreal |
$1,627,492 |
| Barclays PLC |
$422,682 | |
| Citibank NA |
$246,381 | |
| Citigroup, Inc. |
$175,111 | |
| Goldman Sachs Group, Inc. (The) |
$175,585 | |
| JPMorgan Chase & Co. |
$1,155,095 | |
| Morgan Stanley |
$297,082 | |
| Morgan Stanley Private Bank NA |
$512,152 | |
| Wells Fargo & Co. |
$1,476,208 | |
| MM International Equity Strategies Fund |
Barclays Bank PLC |
$39,820,490 |
| Barclays Bank PLC, ADR |
$6,520,949 | |
| UBS AG |
$7,350,436 | |
| UBS Group AG, Registered Shares |
$7,868,741 | |
| MM Small Cap Equity Strategies Fund |
None |
N/A |
| MM Total Return Bond Strategies Fund |
Bank of Montreal |
$4,899,769 |
| Barclays PLC |
$20,609,959 | |
| Citadel Securities Global Holdings LLC |
$1,267,775 | |
| Citibank NA |
$5,115,352 | |
| Citigroup, Inc. |
$46,050,841 | |
| Deutsche Bank AG |
$13,879,834 | |
| Goldman Sachs Bank |
$1,016,564 | |
| Goldman Sachs Bank USA |
$4,714,127 | |
| Goldman Sachs Group, Inc. (The) |
$50,800,089 | |
| JPMorgan Chase & Co. |
$81,806,159 | |
| Mizuho Financial Group, Inc. |
$11,623,914 | |
| Morgan Stanley |
$73,009,492 | |
| Morgan Stanley Private Bank NA |
$5,476,670 | |
| Wells Fargo & Co. |
$65,705,469 | |
| Multisector Bond SMA Completion Portfolio |
Bank of America Corp. |
$135,876 |
| Overseas SMA Completion Portfolio |
None |
N/A |
| Pyrford International Stock Fund |
None |
N/A |
| Select Mid Cap Growth Fund |
None |
N/A |
| Small Cap Growth Fund |
None |
N/A |
| Strategic Income Fund |
Bank of America Corp. |
$81,553,440 |
| Citigroup, Inc. |
$24,932,451 | |
| Goldman Sachs Group, Inc. (The) |
$27,583,871 | |
| JPMorgan Chase & Co. |
$27,404,819 | |
| Morgan Stanley |
$12,810,464 | |
| Morgan Stanley Private Bank NA |
$17,883,356 | |
| Wells Fargo & Co. |
$4,376,949 | |
| Ultra Short Duration Municipal Bond Fund |
None |
N/A |
| For Funds with fiscal period ending October 31, 2025
| ||
| Intermediate Duration Municipal Bond Fund |
None |
N/A |
| MA Intermediate Municipal Bond Fund |
None |
N/A |
| NY Intermediate Municipal Bond Fund |
None |
N/A |
| Select Global Equity Fund |
None |
N/A |
| Seligman Global Technology Fund |
None |
N/A |
| Strategic CA Municipal Income Fund |
None |
N/A |
| Strategic NY Municipal Income Fund |
None |
N/A |
| Fund |
Issuer |
Value of securities owned at end of fiscal period |
| For Funds with fiscal period ending December 31, 2025
| ||
| Acorn European Fund |
None |
N/A |
| Acorn Fund |
None |
N/A |
| Acorn International Fund |
None |
N/A |
| Acorn International Select Fund |
None |
N/A |
| Real Estate Equity Fund |
None |
N/A |
| Thermostat Fund |
None |
N/A |
| Fund |
|
Predecessor fund |
|
For periods prior to: |
| Integrated Small Cap Growth Fund |
|
BMO Small-Cap Growth Fund |
|
January 21, 2022 |
| Pyrford International Stock Fund |
|
BMO Pyrford International Stock Fund |
|
December 10, 2021 |
| Ultra Short Duration Municipal Bond Fund |
|
BMO Ultra Short Tax-Free Fund |
|
January 21, 2022 |
| Identity of Recipient |
|
Conditions/restrictions on use of information |
|
Frequency of Disclosure |
| Recipients under arrangements with the Funds or Investment Manager: |
|
| ||
| Abel Noser |
|
Used for evaluating and assessing
trading activity, execution and practices. |
|
Quarterly |
| ACA Global |
|
Used to evaluate and assess trading activity, execution and practices in respect of market abuse regulatory requirements. |
|
Daily |
| Identity of Recipient |
|
Conditions/restrictions on use of information |
|
Frequency of Disclosure |
| Axioma Inc. |
|
Used as a hosted risk analytics platform
designed for research, portfolio holdings,
investment oversight and strategy
development. |
|
Daily |
| BlackRock, Inc. |
|
Used for front office trading and
analytics, back office settlements,
portfolio accounting and reconciliations,
collateral management, portfolio risk
oversight, compliance mandate
monitoring and portfolio performance
calculations. Used to provide portfolio
attribution reports for Columbia
Convertible Securities Fund. Used for
portfolio analytics. |
|
Daily |
| Bloomberg Finance L.P. |
|
Used for portfolio analytics, statistical
analysis and independent research. Used
for executing cleared swaps
electronically. Used for executing fixed
income trades. Used for evaluating and
assessing trading activity, execution and
practices in respect of market abuse
regulatory requirements, and best
execution and TCA. Used to provide
portfolio attribution reports for Columbia
Convertible Securities Fund. Used for
portfolio analytics. |
|
Daily |
| Bolger, Inc. |
|
Used for commercial printing. |
|
As Needed |
| Bond Connect Company Limited |
|
Used for executing Chinese fixed income
trades. |
|
As Needed |
| Boston Investors Communications Group, LLC |
|
Used for writing services that require
disclosing portfolio holdings in advance
of their dissemination to the general
public. |
|
Quarterly |
| Broadridge Financial Solutions Inc. |
|
Used for printing of prospectuses and
tailored shareholder reports. |
|
As Needed |
| Capital Markets Services Group |
|
Used for hedging activities supporting
the Columbia Funds. |
|
Daily |
| Castine LLC |
|
Used for facilitating the evaluation of
commission rates and providing flexible
commission reporting. |
|
Daily |
| Citigroup, Inc. |
|
Used for mortgage decision support. |
|
Daily |
| Compliance Solutions Strategies LLC |
|
Used for reporting returns and analytics
to client facing materials. Used for data
storage and as a transformation solution
to support Client Regulatory Reporting
and Fund Detail reporting. |
|
Monthly |
| Deloitte Haskins & Sells, LLP |
|
Used for calculating foreign capital gains
tax accruals irrespective of the tax lot
relief method. |
|
Weekly |
| Donnelley Financial Solutions |
|
Used for providing EDGAR filing and
typesetting services, and printing of
prospectuses, factsheets, annual and
semi-annual reports. |
|
As Needed |
| DS Graphics/Universal Wilde, Inc. |
|
Used for printing of prospectuses,
factsheets, annual and semi-annual
reports. |
|
As Needed |
| Depository Trust & Clearing Corporation |
|
Used for providing trade allocation and acceptance services with brokers. |
|
Daily |
| Identity of Recipient |
|
Conditions/restrictions on use of information |
|
Frequency of Disclosure |
| ENPOINTE |
|
Used for commercial print. |
|
As Needed |
| Ernst & Young, LLP |
|
Used for analyzing passive foreign
investment company investments. |
|
Monthly |
| FactSet Research Systems, Inc. |
|
Used for calculating portfolio
performance attribution, portfolio
analytics, data for fundamental research,
and general market news and analysis.
Used for executing equity and
convertible trades. |
|
Daily |
| Fidelity National Information Services, Inc. |
|
Used as a portfolio accounting system. |
|
Daily |
| FMR LLC |
|
Used for advertising review. |
|
As Needed |
| FX Connect, LLC |
|
Used to execute foreign exchange
orders. |
|
Daily |
| Harte-Hanks, Inc. |
|
Used for printing of prospectuses,
factsheets, annual and semi-annual
reports and commercial print. |
|
As Needed |
| Institutional Shareholder Services, Inc. |
|
Used for proxy voting administration and
research on proxy matters. |
|
Daily |
| Intex Solutions Inc. |
|
Used for providing mortgage analytics. |
|
As Needed |
| Investment Company Institute |
|
Disclosure of Form N-PORT data. |
|
As Needed |
| Investortools, Inc. |
|
Used for municipal bond analytics,
research, and decision support. |
|
As Needed |
| JDP Marketing Services |
|
Used for writing services that require
disclosing portfolio holdings in advance
of their dissemination to the general
public. |
|
Quarterly |
| John Roberts, Inc. |
|
Used for fund fact sheets and
commercial print. |
|
As Needed |
| KPMG LLC |
|
Used by State Street to provide tax
services as a sub-contractor. |
|
Daily |
| Kurtosys Systems |
|
Used for reporting of fund holdings detail
via our website. |
|
Monthly |
| MarketAxess |
|
Used for executing fixed income trades. |
|
Daily |
| Morningstar Investment Services, LLC |
|
Used for independent research and
ranking of funds. Used for statistical
analysis. |
|
As Needed |
| Neovest |
|
Used to execute futures. |
|
As Needed |
| PwC |
|
Used to review tax services prepared by
State Street and to prepare tax services
PwC performs for the funds. |
|
Daily |
| R. R. Donnelley & Sons Co. |
|
Used for printing of prospectuses,
factsheets, annual and semi-annual
reports. Used for commercial printing. |
|
As Needed |
| Refinitiv |
|
Used to execute foreign exchange
orders. |
|
Daily |
| RegEd, Inc. |
|
Used for reviewing external and certain
internal communications prior to
dissemination. |
|
As Needed |
| Sky Road |
|
Used for front office trading, optimization, bank loan analytics, and compliance. |
|
Daily |
| Identity of Recipient |
|
Conditions/restrictions on use of information |
|
Frequency of Disclosure |
| State Street Bank and Trust |
|
Used to provide certain sub-
administration services to the Funds,
including fund accounting and financial
reporting services. |
|
Daily |
| S.W.I.F.T. Scrl. |
|
Used for sending trade messages via
SWIFT to custodian. |
|
Daily |
| TP ICAP |
|
Used for executing equity and fixed
income trades. |
|
Daily |
| Thomson Reuters Corp. |
|
Used for statistical analysis. |
|
As Needed |
| Toppan Merrill Corporation |
|
Used for printing of prospectuses,
factsheets, annual and semi-annual
reports. |
|
As Needed |
| Tradeweb |
|
Used for executing fixed income trades. |
|
Daily |
| Trepp, Inc. |
|
Used for insights about commercial
mortgage-backed securities mortgage
bonds. |
|
Daily |
| Virtu Financial |
|
Used for executing equity trades. |
|
Daily |
| Visions, Inc. |
|
Used for commercial printing. |
|
As Needed |
| Wilshire Associates, Inc. |
|
Used for providing performance attribution reporting. |
|
Daily |
| Identity of Recipient |
|
Conditions/restrictions on use of information |
|
Frequency of Disclosure |
| Recipients under arrangements with subadvisers: |
|
| ||
| Abel/Noser Corp. |
|
Used by certain subadvisers for trade
execution cost analysis. |
|
Daily or Quarterly |
| ACA Compliance Group Holdings, LLC. |
|
Used by certain subadvisers for
compliance services. |
|
Daily |
| AcadiaSoft, Inc |
|
Used by certain subadvisers for risk
management services. |
|
Daily |
| Adviser Compliance Associates, LLC. |
|
Used by certain subadvisers for
compliance services and performance
evaluation. |
|
Monthly or Quarterly |
| Alpha Financial Software LLC |
|
Used by certain subadvisers for trade
monitoring, trade settlement, and for
confirming TBA. |
|
Daily |
| Arria NLG |
|
Used by certain subadvisers for updating
attribution commentary |
|
Monthly |
| Ashland Partners & Co. LLP |
|
Used by certain subadvisers for audit
and Global Investment Performance
Standards (GIPS) evaluation. |
|
Annually |
| BlackRock, Inc. |
|
Used by certain subadvisers for order
management and compliance services. |
|
Daily |
| Bloomberg Finance L.P. |
|
Used by certain subadvisers for
analytical, portfolio management,
statistical information, compliance and
personal trade monitoring. |
|
Daily or Annually |
| BNY Mellon Corp. |
|
Used by certain subadvisers for
custodian reconciliation. |
|
Daily |
| Broadridge Financial Solutions Inc. |
|
Used by certain subadvisers for proxy voting administration and research services. |
|
Daily |
| Identity of Recipient |
|
Conditions/restrictions on use of information |
|
Frequency of Disclosure |
| Brown Brothers Harriman & Co. |
|
Used by certain subadvisers for foreign
exchange (FX) derivatives reconciliation,
electronic trade transmission and
settlement. |
|
Daily |
| Compliance Solutions Strategies LLC |
|
Used by certain subadvisers for back-
office operations. |
|
Monthly |
| ConsenSys Inc. |
|
Used by certain subadvisers for
commission reconciliation. |
|
Daily |
| Eagle Investment Systems, LLC |
|
Used by certain subadvisers for MiFID II
transaction reporting, performance
management, data management, and
portfolio analysis & reporting. |
|
Daily |
| FactSet Research Systems, Inc. |
|
Used by certain subadvisers for
analytical, portfolio management,
statistical information, compliance and
personal trade monitoring. |
|
Daily |
| Financial Recovery Technology LLC |
|
Used by certain subadvisers for class
action monitoring services. |
|
Quarterly |
| FIS Brokerage Securities Services LLC |
|
Used by certain subadvisers for
corporate actions management. |
|
Daily |
| Flextrade Systems Inc. |
|
Used by certain subadvisers for an
execution management system. |
|
Daily |
| FX Connect, LLC |
|
Used by certain subadvisers for FX
derivatives reconciliation. |
|
Daily |
| Global Relay Communications Inc. |
|
Used by certain subadvisers for
compliance services. |
|
Daily |
| Global Trading Analytics, LLC |
|
Used by certain subadvisers for trade
execution cost analysis. |
|
Daily |
| Gresham Technologies Limited |
|
Used by certain subadvisers for
custodian reconciliation. |
|
Daily or Monthly |
| ICE Data Services Inc. |
|
Used by certain subadvisers for liquidity
reporting. |
|
Daily |
| IHS Markit Ltd. |
|
Used by certain subadvisers for
confirmation and settlement of bank
loan trades. |
|
Daily |
| Indus Valley Partners Corp |
|
Used by certain subadviers for
compliance and trade monitoring. |
|
Daily |
| Infinit-O Global, Ltd. |
|
Used by certain subadvisers for
reconciliation services. |
|
Daily |
| Instinet Holdings Incorporated |
|
Used by certain subadvisers for
execution management system. |
|
Daily |
| Institutional Shareholder Services, Inc. |
|
Used by certain subadvisers for proxy
voting administration and research
services. |
|
Daily or Weekly |
| JPMorgan Chase & Co. |
|
Used by certain subadvisers for portfolio
management, and risk analytics. |
|
Daily |
| Kirkland & Ellis LLP |
|
Used by certain subadvisers for legal
advisory services. |
|
As Needed |
| Lightkeeper LLC |
|
Used by certain subadvisers for risk
management services. |
|
Daily |
| Microsoft Corporation (Dynamics 365 – CRM) |
|
Used by certain subadvisers to create marketing material for use in client meetings. |
|
Daily |
| Identity of Recipient |
|
Conditions/restrictions on use of information |
|
Frequency of Disclosure |
| Morgan Stanley Fund Services USA LLC |
|
Used by certain subadvisers for portfolio
accounting systems. |
|
Daily |
| MSCI Barra Inc. |
|
Used by certain subadvisers for
Derivatives Rule (Rule 18f-4) analysis. |
|
Daily |
| Nautilus Capital LLC |
|
Used by certain subadvisers for risk
management services. |
|
Daily |
| NAV Consulting, Inc. |
|
Used by certain subadvisers for
electronic reconciliations of portfolio
holdings. |
|
Daily |
| Nex Group plc |
|
Used by certain subadvisers for daily
reconciliations on collateral
management. |
|
Daily |
| Northern Trust Co. |
|
Used by certain subadvisers for back-
office operations. |
|
Daily |
| Omgeo, LLC |
|
Used by certain subadvisers for
electronic trade monitoring, trade
transmission, trade settlement, and for
confirming TBAs. |
|
Daily |
| Qontigo |
|
Used by certain subadvisers for
Derivatives Rule (Rule 18f-4) analysis. |
|
Daily |
| QUANTIFI, INC. |
|
Used by certain subadvisers for
analytical, portfolio management, and
statistical information. |
|
Daily |
| REFINITIV US LLC |
|
Used by certain subadvisers for FX
derivatives reconciliation. |
|
Daily |
| RELX Group |
|
Used by certain subadvisers for
compliance services. |
|
Weekly |
| RIMES TECHNOLOGIES CORPORATION |
|
Used by certain subadvisers for
analytical, portfolio management,
statistical information, compliance and
personal trade monitoring. |
|
Daily |
| S&P Global Market Intelligence LLC |
|
Used by certain subadvisers for
corporate actions management. |
|
Daily |
| SALESFORCE, INC. |
|
Used by certain subadvisers for back-
office operations. |
|
Daily |
| SimCorp USA Inc. |
|
Used by certain subadvisers for portfolio
accounting systems. |
|
Daily |
| SLACK TECHNOLOGIES, LLC |
|
Used by certain subadvisers for
compliance services. |
|
As Needed |
| Snowflake Inc. |
|
Used by certain subadvisers for
analytics. |
|
Daily |
| SS&C Technologies, Inc. |
|
Used by certain subadvisers for: Asset &
Portfolio Management Services; trading,
risk & front-office solutions; middle &
back office financial operations; data,
analytics & reporting services. |
|
Daily |
| StarCompliance LLC |
|
Used by certain subadvisers for COE
monitoring, compliance and personal
trade monitoring. |
|
Daily or As Needed |
| State Street Bank and Trust Company |
|
Used by certain subadvisers for middle
office functions, SWIFT messages from
custodians to facilitate automated
reconciliation. |
|
Daily or Monthly |
| State Street Corp. |
|
Used by certain subadviers for compliance and trade monitoring. |
|
Daily or As Needed |
| Identity of Recipient |
|
Conditions/restrictions on use of information |
|
Frequency of Disclosure |
| Trade Informatics LLC |
|
Used by certain subadvisers for
transaction cost analysis and other
analytics. |
|
Daily |
| Tradeweb Markets LLC |
|
Used by certain subadvisers for
confirming TBAs, treasuries, and
discount notes. |
|
Daily |
| UNAVISTA LIMITED |
|
Used by certain subadvisers for
electronic trade transmission and
settlement. |
|
Daily |
| VERMEG Co. |
|
Used by certain subadvisers for
management of swap counterparty
exposure. |
|
Daily |
| Vermilion Software Ltd |
|
Used by certain subadvisers for client
reporting. |
|
Monthly |
| Virtu Financial, Inc. |
|
Used by certain subadvisers for trade
execution cost analysis. |
|
Daily |
| Watson Wheatley Limited |
|
Used by certain subadvisers for custodian reconciliation. |
|
Daily |
| Fund |
Total
Capital Loss
Carryovers |
Amount not
Expiring | |
| Short-term |
Long-term | ||
| For Funds with fiscal period
ending January 31 | |||
| Capital Allocation Conservative Portfolio |
$4,322,264 |
$0 |
$4,322,264 |
| Income Builder Fund |
$32,668,805 |
$14,431,593 |
$18,237,212 |
| For Funds with fiscal period
ending February 28/29 | |||
| Global Value Fund |
$49,265,973 |
$3,811,982 |
$45,453,991 |
| Overseas Value Fund |
$259,785,178 |
$0 |
$259,785,178 |
| For Funds with fiscal period
ending March 31 | |||
| Short Term Bond Fund |
$41,844,432 |
$9,766,099 |
$32,078,333 |
| For Funds with fiscal period
ending April 30 | |||
| CA Intermediate Municipal Bond Fund |
$13,766,125 |
$5,261,274 |
$8,504,851 |
| Select Corporate Income Fund |
$192,385,433 |
$40,285,729 |
$152,099,704 |
| Short Duration Municipal Bond Fund |
$24,468,193 |
$8,620,223 |
$15,847,970 |
| Small Cap Value Discovery Fund |
$5,221,344 |
$5,221,344 |
$0 |
| Total Return Bond Fund |
$561,012,343 |
$241,496,510 |
$319,515,833 |
| U.S. Treasury Index Fund |
$147,245,257 |
$12,875,915 |
$134,369,342 |
| For Funds with fiscal period
ending May 31 | |||
| Adaptive Risk Allocation Fund |
$404,536,897 |
$247,570,257 |
$156,966,640 |
| Commodity Strategy Fund |
$1,636,525 |
$1,148,208 |
$488,317 |
| Flexible Capital Income Fund |
$40,221,784 |
$40,221,784 |
$0 |
| High Yield Bond Fund |
$105,549,314 |
$16,487,853 |
$89,061,461 |
| High Yield Municipal Fund |
$60,603,352 |
$11,252,337 |
$49,351,015 |
| Mortgage Opportunities Fund |
$728,512,281 |
$415,274,387 |
$313,237,894 |
| Multi Strategy Alternatives Fund |
$79,767,872 |
$41,284,209 |
$38,483,663 |
| Quality Income Fund |
$276,391,830 |
$152,506,106 |
$123,885,724 |
| For Funds with fiscal period
ending July 31 | |||
| Floating Rate Fund |
$118,343,835 |
$14,492,034 |
$103,851,801 |
| Income Opportunities Fund |
$47,340,823 |
$5,942,766 |
$41,398,057 |
| MN Tax-Exempt Fund |
$41,757,067 |
$6,314,062 |
$35,443,005 |
| OR Intermediate Municipal Bond Fund |
$3,197,523 |
$203,478 |
$2,994,045 |
| Select Short Corporate Income Fund |
$51,933,292 |
$12,211,599 |
$39,721,693 |
| Strategic Municipal Income Fund |
$224,871,856 |
$98,491,535 |
$126,380,321 |
| Total Return Municipal Income Fund |
$207,804,642 |
$26,605,406 |
$181,199,236 |
| Ultra Short Term Bond Fund |
$1,854,387 |
$0 |
$1,854,387 |
| For Funds with fiscal period
ending August 31 | |||
| Emerging Markets Bond Fund |
$83,181,401 |
$14,493,383 |
$68,688,018 |
| Greater China Fund |
$22,591,141 |
$22,591,141 |
$0 |
| MM Alternative Strategies Fund |
$36,313,421 |
$1,230,032 |
$35,083,389 |
| MM Total Return Bond Strategies Fund |
$1,355,863,595 |
$634,403,818 |
$721,459,777 |
| Multisector Bond SMA Completion Portfolio |
$777,399 |
$777,399 |
$0 |
| Overseas SMA Completion Portfolio |
$417,614 |
$365,389 |
$52,225 |
| Strategic Income Fund |
$632,824,003 |
$99,605,047 |
$533,218,956 |
| Ultra Short Duration Municipal Bond Fund |
$2,975,840 |
$1,034,067 |
$1,941,773 |
| Fund |
Total
Capital Loss
Carryovers |
Amount not
Expiring | |
| Short-term |
Long-term | ||
| For Funds with fiscal period
ending October 31 | |||
| Intermediate Duration Municipal Bond Fund |
$41,393,639 |
$28,872,066 |
$12,521,573 |
| MA Intermediate Municipal Bond Fund |
$5,825,518 |
$0 |
$5,825,518 |
| NY Intermediate Municipal Bond Fund |
$4,274,090 |
$178,333 |
$4,095,757 |
| Strategic CA Municipal Income Fund |
$43,615,856 |
$18,401,881 |
$25,213,975 |
| Strategic NY Municipal Income Fund |
$11,815,255 |
$4,818,233 |
$6,997,022 |
| For Funds with fiscal period
ending December 31 | |||
| Acorn Fund |
$3,367,063 |
$2,163,220 |
$1,203,843 |
| Acorn International Fund |
$72,593,166 |
$46,324,067 |
$26,269,099 |
| Thermostat Fund |
$55,531,268 |
$0 |
$55,531,268
|
| Fund |
Class |
Percentage of Class Beneficially Owned |
| Adaptive Risk Allocation Fund |
Class Inst2 |
2.49% |
| Contrarian Core Fund |
Class Inst2 |
1.08% |
| Emerging Markets Fund |
Class Inst2 |
7.36% |
| Flexible Capital Income Fund |
Class Inst2 |
2.89% |
| Floating Rate Fund |
Class Inst2 |
1.54% |
| Overseas Core Fund |
Class Inst2 |
33.53% |
| Select Large Cap Growth Fund |
Class Inst2 |
18.45% |
| Select Large Cap Value Fund |
Class Inst2 |
2.81% |
| Select Mid Cap Value Fund |
Class Inst2 |
2.65% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| Capital Allocation Aggressive Portfolio |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
75.35% |
69.50% |
| Class C |
86.05% | |||
| Class Inst |
11.19% | |||
| |
ASCENSUS TRUST COMPANY FBO
COMPANION ANIMAL HOSPITAL OF INDIAN
PO BOX 10758
FARGO ND 58106-0758 |
Class R |
8.75% |
N/A |
| |
EMPOWER TRUST FBO
EMPOWER BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst3 |
20.69% |
N/A |
| |
EMPOWER TRUST COMPANY LLC FBO
EMPLOYEE BENEFITS CLIENTS 401K
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class R |
46.70% |
N/A |
| |
MID ATLANTIC TRUST COMPANY FBO NORTH AMERICAN SIGNS INC. DEFERRED 1251 WATERFRONT PL STE 525 PITTSBURGH PA 15222-4228 |
Class Inst3 |
10.24% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MATC FBO PERSHING LLC FBO
JARS INC 401(K) PLAN
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class R |
8.68% |
N/A |
| |
MATRIX TRUST CO CUST FBO
PHX-ONEAMERICA (WI OFFICE)
PO BOX 52129
PHOENIX AZ 85072-2129 |
Class R |
12.72% |
N/A |
| |
MATRIX TRUST COMPANY AS AGENT FOR
ADVISOR TRUST INC
ASPIRE- INVESTLINK
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class R |
5.22% |
N/A |
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
7.82% |
N/A |
| Class Inst |
25.54% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class R |
7.05% |
N/A |
| |
VOYA INSTITUTIONAL TRUST COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773 |
Class Inst |
37.01% |
N/A |
| Class Inst3 |
57.06% | |||
| Class R |
9.77% | |||
| Capital Allocation Conservative Portfolio |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
76.72% |
70.63% |
| Class C |
75.43% | |||
| Class Inst |
16.75% | |||
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
5.29% |
N/A |
| Class Inst |
8.38% | |||
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class Inst |
27.87% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst |
9.50% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst |
15.99% |
N/A |
| |
VOYA INSTITUTIONAL TRUST COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773 |
Class Inst |
7.18% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
5.95% |
N/A |
| Capital Allocation Moderate Aggressive Portfolio |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
59.23% |
55.99% |
| Class C |
90.54% | |||
| Class Inst |
8.94% | |||
| |
ASCENSUS TRUST COMPANY FBO GRECO MASONRY RATE GRP 401(K) PSP & TRUST 401(K) PO BOX 10758 FARGO ND 58106-0758 |
Class Inst3 |
5.40% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
ASCENSUS TRUST COMPANY FBO
MICHAEL J MANOLE DDS 401(K) PSP
PO BOX 10758
FARGO ND 58106-0758 |
Class R |
8.68% |
N/A |
| |
CHARLES SCHWAB BANK CUST
WOODRIDGE CLINIC SC PS & 401K PLAN
2423 E LINCOLN DR
PHOENIX AZ 85016-1215 |
Class R |
10.22% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class S |
55.58% |
N/A |
| |
EMPOWER TRUST FBO
EMPOWER BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst3 |
53.61% |
N/A |
| |
MID ATLANTIC TRUST COMPANY FBO
NORTH AMERICAN SIGNS INC. DEFERRED
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class Inst3 |
8.19% |
N/A |
| |
MATRIX TRUST CO CUST FBO
PHX-ONEAMERICA (WI OFFICE)
PO BOX 52129
PHOENIX AZ 85072-2129 |
Class R |
46.65% |
N/A |
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
10.81% |
N/A |
| Class Inst |
16.00% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class R |
15.40% |
N/A |
| Class S |
39.43% | |||
| |
VOYA INSTITUTIONAL TRUST COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773 |
Class Inst |
14.97% |
N/A |
| Class Inst3 |
23.71% | |||
| Class R |
16.60% | |||
| Capital Allocation Moderate Conservative Portfolio |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
81.98% |
79.96% |
| Class C |
88.74% | |||
| Class Inst |
21.34% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst |
12.26% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
9.58% |
N/A |
| |
DR JOHN SYMINGTON FBO
INFECTIOUS DISEASES ASSOCIATES
401 K PROFIT SHARING PLAN & TRUST
8988 LORTON STATION BLVD STE 204
LORTON VA 22079-4758 |
Class R |
15.85% |
N/A |
| |
MATRIX TRUST CO CUST FBO LIFETIME CARE 717 17TH ST STE 1300 DENVER CO 80202-3304 |
Class R |
22.29% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MID ATLANTIC TRUST COMPANY FBO
NAMSUNG AMERICA INC 401(K) PROFITS
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class R |
61.56% |
N/A |
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
5.16% |
N/A |
| Class Inst |
8.72% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst |
6.70% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON 14G
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
7.89% |
N/A |
| |
UMB BANK NA
WHITE PLAINS ROOFING & SIDING INC
JAMES J CLARK
2 BERKSHIRE DR
BALLSTON SPA NY 12020-2496 |
Class Inst |
6.13% |
N/A |
| Capital Allocation Moderate Portfolio |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
86.89% |
84.90% |
| Class C |
90.89% | |||
| Class Inst |
30.63% | |||
| |
ASCENSUS TRUST COMPANY FBO
WESTVIEW PARTNERS LLC 401(K) P/S PL
PO BOX 10758
FARGO ND 58106-0758 |
Class Inst3 |
7.92% |
N/A |
| |
AUL AMERICAN GROUP
RETIREMENT ANNUITY
ONE AMERICAN SQUARE
PO BOX 368
INDIANAPOLIS IN 46206-0368 |
Class Inst3 |
9.24% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
8.07% |
N/A |
| |
MID ATLANTIC TRUST COMPANY FBO
NORTH AMERICAN SIGNS INC. DEFERRED
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class Inst3 |
54.12% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON 14G
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
13.14% |
N/A |
| |
VOYA INSTITUTIONAL TRUST COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773 |
Class Inst |
29.71% |
N/A |
| Class Inst3 |
26.49% | |||
| Income Builder Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
74.54% |
66.17% |
| Class C |
62.38% | |||
| Class Inst |
52.75% | |||
| |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT FBO CUSTOMERS ATTENTION MUTUAL FUND 101 MONTGOMERY ST SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
17.78% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
69.74% |
N/A |
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFITS CLIENTS 401K
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst3 |
8.56% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
6.60% |
N/A |
| Class Inst |
8.74% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class Inst |
10.78% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class C |
5.53% |
N/A |
| Class Inst2 |
47.64% | |||
| Class Inst3 |
7.59% | |||
| |
NATIONWIDE TRUST COMPANY/FSB
C/O IPO PORTFOLIO ACCOUNTING
PO BOX 182029
COLUMBUS OH 43218-2029 |
Class Inst2 |
5.73% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
25.68% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON 14G
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
5.49% |
N/A |
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
94.02% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523 |
Class C |
8.64% |
N/A |
| Class Inst |
10.13% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| Convertible Securities Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
20.13% |
N/A |
| Class C |
25.93% | |||
| Class Inst |
31.42% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
5.64% |
N/A |
| Class Inst2 |
38.70% | |||
| Class S |
52.59% | |||
| |
J P MORGAN SECURITIES LLC OMNIBUS ACCOUNT FOR THE EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CENTER 3RD FL MUTUAL FUND DEPARTMENT BROOKLYN NY 11245-0003 |
Class Inst3 |
80.14% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
JPMCB NA CUST FOR SOUTH CAROLINA
529 PLAN 70% EQUITY PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
5.65% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
6.63% |
N/A |
| Class Inst |
5.68% | |||
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
31.57% |
N/A |
| Class Inst |
6.03% | |||
| Class Inst3 |
6.84% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
6.25% |
N/A |
| Class Inst |
7.62% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
8.85% |
N/A |
| Class Inst2 |
50.68% | |||
| Class S |
39.24% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst |
7.05% |
N/A |
| Class S |
7.39% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
19.30% |
N/A |
| Class Inst |
6.55% | |||
| |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
ATTN MUTUAL FUND OPS MANAGER
250 NICOLLET MALL SUITE 1400
MINNEAPOLIS MN 55401-7582 |
Class Inst |
8.42% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
6.26% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
6.04% |
N/A |
| Class C |
19.02% | |||
| Class Inst |
7.14% | |||
| Cornerstone Equity Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
12.86% |
N/A |
| Class C |
46.23% | |||
| Class Inst |
8.29% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
81.84% |
N/A |
| Class S |
74.56% | |||
| |
COLUMBIA MGMT INVESTMENT ADVSR LLC
ATTN KATRINA MACBAIN
50807 AMERIPRISE FINANCIAL CTR
MINNEAPOLIS MN 55474-0508 |
N/A |
N/A |
41.12%(a) |
| |
JPMCB NA CUST FOR COLUMBIA CAPITAL ALLOCATION AGGRESSIVE PORTFOLIO 4 CHASE METROTECH CENTER 3RD FLOOR BROOKLYN NY 11245-0003 |
Class Inst3 |
32.70% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
34.23% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
16.25% |
N/A |
| |
JPMCB NA CUST FOR SOUTH CAROLINA
529 PLAN 20% EQUITY PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
15.03% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
11.10% |
N/A |
| Class Inst |
40.19% | |||
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
53.65% |
N/A |
| Class Inst |
7.18% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
6.16% |
N/A |
| Class S |
21.17% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
7.26% |
N/A |
| Class Inst2 |
12.24% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
8.18% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
20.14% |
N/A |
| Global Value Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
46.26% |
38.89% |
| Class C |
35.09% | |||
| Class Inst |
18.24% | |||
| |
ASCENSUS TRUST COMPANY FBO
MADISON SEAFOOD SAVINGS & RETIREMENT
PO BOX 10758
FARGO ND 58106-0758 |
Class Inst2 |
11.03% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
27.28% |
N/A |
| Class S |
71.99% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
55.21% |
N/A |
| |
EMPOWER TRUST FBO EMPLOYEE BENEFIT PLANS 8515 E ORCHARD RD # 2T2 GREENWOOD VILLAGE CO 80111-5002 |
Class Inst2 |
5.50% |
N/A |
| Class Inst3 |
5.45% | |||
| Class R |
21.07% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MASSACHUSETTS MUTUAL LIFE INSURANCE
1295 STATE STREET MIP M200-INVST
SPRINGFIELD MA 01111-0001 |
Class Inst3 |
9.49% |
N/A |
| Class R |
30.84% | |||
| |
MATRIX TRUST COMPANY CUST. FBO
SORENSON ENGINEERING INC PS 401K
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class R |
5.38% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
5.90% |
N/A |
| Class Inst |
8.95% | |||
| |
MID ATLANTIC TRUST COMPANY FBO
GLOBAL INFORMATION SERVICES 401(K)
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class Inst2 |
5.46% |
N/A |
| Class R |
5.71% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
5.36% |
N/A |
| Class Inst2 |
24.61% | |||
| Class S |
23.42% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
6.33% |
N/A |
| Class Inst2 |
12.72% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
8.59% |
N/A |
| |
STATE STREET BANK AND TRUST AS
TRUSTEE AND/OR CUSTODIAN FBO
ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
Class R |
20.19% |
N/A |
| |
THE HARTFORD
1 HARTFORD PLZ
HARTFORD CT 06155-0001 |
Class Inst3 |
8.59% |
N/A |
| Class R |
9.57% | |||
| |
UMB BANK NA
TBYRD INC
BONNIE SKELLS
4676 S VAN GORDON CT
MORRISON CO 80465-1845 |
Class C |
5.14% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
15.20% |
N/A |
| Large Cap Enhanced Core Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
31.40% |
N/A |
| Class Inst |
10.66% | |||
| |
ASCENSUS TRUST COMPANY FBO
BRENTCO AERIAL PATROL INC EES SAVI
PO BOX 10758
FARGO ND 58106-0758 |
Class Inst3 |
5.04% |
N/A |
| |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT FBO CUSTOMERS ATTN MUTUAL FUND DEPARTMENT 101 MONTGOMERY ST SAN FRANCISCO CA 94104-4141 |
Class Inst3 |
6.39% |
N/A |
| Class S |
12.28% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class Inst3 |
9.56% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA THERMOSTAT FUND
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
36.66% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
19.44% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
26.38% |
N/A |
| Class Inst |
19.33% | |||
| Class Inst3 |
25.62% | |||
| |
MID ATLANTIC TRUST COMPANY FBO
DISTILLER INC 401(K) PROFIT SHARING
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class R |
82.79% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
8.21% |
N/A |
| Class Inst |
12.94% | |||
| Class S |
41.02% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class S |
46.13% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class Inst |
5.72% |
N/A |
| Large Cap Growth Opportunity Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
6.34% |
N/A |
| Class Inst |
11.05% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
5.06% |
N/A |
| Class Inst2 |
55.77% | |||
| Class S |
40.36% | |||
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class R |
27.50% |
N/A |
| |
FIIOC FBO
AXT INC 401K PLAN
100 MAGELLAN WAY # KW1C
COVINGTON KY 41015-1987 |
Class Inst2 |
11.72% |
N/A |
| |
HARTFORD LIFE INS. CO.
SEPARATE ACCOUNT
ATTN UIT OPERATIONS
PO BOX 2999
HARTFORD CT 06104-2999 |
Class R |
27.28% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
6.06% |
N/A |
| Class Inst |
9.83% | |||
| |
MATRIX TRUST COMPANY CUST. FBO RESOURCE REFOCUS 401(K) PLAN 717 17TH ST STE 1300 DENVER CO 80202-3304 |
Class R |
15.95% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
29.91% |
26.14% |
| Class Inst |
18.83% | |||
| |
MID ATLANTIC TRUST COMPANY FBO
MOSELEY REAL ESTATE ADVISORS
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class R |
14.65% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
8.41% |
N/A |
| Class Inst |
8.70% | |||
| |
MORI & CO
922 WALNUT ST
MAILSTOP TBTS 2
KANSAS CITY MO 64106-1802 |
Class Inst3 |
28.05% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
9.18% |
N/A |
| Class Inst2 |
21.73% | |||
| Class Inst3 |
17.19% | |||
| Class S |
42.18% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
6.89% |
N/A |
| Class Inst3 |
50.51% | |||
| Class S |
16.59% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
8.81% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
13.69% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
6.65% |
N/A |
| Class Inst |
9.93% | |||
| Large Cap Index Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
5.04% |
N/A |
| |
ASCENSUS TRUST COMPANY FBO
BULLER WUITE OLSSON & ROSENBERG 401(K)
PLAN
PO BOX 10758
FARGO ND 58106-0758 |
Class Inst2 |
9.13% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
17.63% |
N/A |
| |
COLUMBIA MGMT INVESTMENT ADVSR LLC
ATTN KATRINA MACBAIN
50807 AMERIPRISE FINANCIAL CTR
MINNEAPOLIS MN 55474-0508 |
N/A |
N/A |
37.57%(a) |
| |
EMPOWER TRUST FBO EMPLOYEE BENEFIT PLANS 8515 E ORCHARD RD # 2T2 GREENWOOD VILLAGE CO 80111-5002 |
Class A |
20.84% |
N/A |
| Class Inst2 |
11.34% | |||
| Class Inst3 |
5.15% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
EMPOWER TRUST FBO RTC TTEE
FBO CERTAIN RETIREMENT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst2 |
5.64% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA THERMOSTAT FUND
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
30.68% |
N/A |
| |
JPMCB NA CUST FOR SOUTH CAROLINA
529 PLAN FUTURE SCHOLAR 20% EQUITY
PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
50.20% |
N/A |
| |
LINCOLN RETIREMENT SERVICES COMPANY
FBO CHINESE HOSPITAL 403B PLAN
PO BOX 7876
FORT WAYNE IN 46801-7876 |
Class A |
7.88% |
N/A |
| |
MATRIX TRUST COMPANY CUST. FBO
BONUTTI RESEARCH
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class A |
6.16% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
9.27% |
N/A |
| Class Inst3 |
60.16% | |||
| |
MID ATLANTIC TRUST COMPANY FBO
OOSTERBAAN SCAFFOLDING COMPANY
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class A |
5.48% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
12.82% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
6.23% |
N/A |
| |
TIAA TRUST, N.A. AS CUST/TTEE
OF RETIREMENT PLANS
RECORDKEPT BY TIAA
ATTN: FUND OPERATIONS
8500 ANDREW CARNEGIE BLVD
CHARLOTTE NC 28262-8500 |
Class Inst2 |
17.63% |
N/A |
| Mid Cap Index Fund |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
5.45% |
N/A |
| Class Inst2 |
5.25% | |||
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class A |
15.30% |
N/A |
| Class Inst |
5.63% | |||
| Class Inst2 |
8.83% | |||
| Class Inst3 |
14.97% | |||
| |
FIIOC FBO
CORTINA SOLUTIONS LLC 401K PLAN
100 MAGELLAN WAY # KW1C
COVINGTON KY 41015-1987 |
Class A |
6.93% |
N/A |
| Class Inst2 |
5.72% | |||
| |
JPMCB NA CUST FOR SOUTH CAROLINA COLUMBIA GROWTH 529 PORTFOLIO 4 CHASE METROTECH CENTER 3RD FLOOR BROOKLYN NY 11245-0003 |
Class Inst |
47.53% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
29.03% |
N/A |
| Class Inst2 |
32.01% | |||
| Class Inst3 |
62.78% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
5.08% |
N/A |
| Class Inst2 |
6.19% | |||
| |
STANDARD INSURANCE COMPANY
1100 SW 6TH AVE
ATTN: SEP ACCT
PORTLAND OR 97204-1093 |
Class Inst2 |
6.37% |
N/A |
| |
TIAA TRUST, N.A. AS CUST/TTEE
OF RETIREMENT PLANS
RECORDKEPT BY TIAA
ATTN: FUND OPERATIONS
8500 ANDREW CARNEGIE BLVD
CHARLOTTE NC 28262-8500 |
Class Inst |
8.07% |
N/A |
| Class Inst2 |
9.34% | |||
| Class Inst3 |
6.18% | |||
| |
WELLS FARGO BANK NA TRUSTEE
FBO NEW JERSEY TRANSIT PLANS
C/O FASCORE LLC
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst |
6.74% |
N/A |
| Overseas Core Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
75.90% |
N/A |
| Class Inst |
9.97% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
83.69% |
N/A |
| |
COLUMBIA MGMT INVESTMENT ADVSR LLC
ATTN KATRINA MACBAIN
50807 AMERIPRISE FINANCIAL CTR
MINNEAPOLIS MN 55474-0508 |
N/A |
N/A |
71.27%(a) |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
36.21% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
33.93% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
19.84% |
N/A |
| |
JPMCB NA CUST FOR SOUTH CAROLINA
COLUMBIA AGGRESSIVE GROWTH 529
PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
59.46% |
N/A |
| |
LPL FINANCIAL 9785 TOWNE CENTRE DR SAN DIEGO CA 92121-1968 |
Class A |
7.73% |
N/A |
| Class Inst |
29.26% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
14.34% |
N/A |
| Overseas Value Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
54.07% |
N/A |
| Class C |
28.20% | |||
| Class Inst |
8.02% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
79.48% |
N/A |
| Class S |
58.77% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
5.27% |
N/A |
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class Inst |
5.11% |
N/A |
| Class Inst3 |
5.98% | |||
| Class R |
16.36% | |||
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
10.47% |
N/A |
| Class Inst |
10.31% | |||
| |
MASSACHUSETTS MUTUAL LIFE INSURANCE
1295 STATE STREET MIP M200-INVST
SPRINGFIELD MA 01111-0001 |
Class R |
10.51% |
N/A |
| |
MID ATLANTIC TRUST COMPANY FBO
GEAUGA REHABILITATION ENGINEERING
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class R |
6.16% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
16.89% |
N/A |
| Class Inst |
6.88% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
6.82% |
N/A |
| Class Inst |
5.98% | |||
| Class Inst2 |
14.01% | |||
| Class Inst3 |
13.31% | |||
| Class R |
8.08% | |||
| Class S |
36.43% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst |
43.31% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class A |
11.11% |
N/A |
| Class C |
10.76% | |||
| |
SEI PRIVATE TRUST COMPANY
C/O VANGUARD NATIONAL TRUST COMPANY
1 FREEDOM VALLEY DR
OAKS PA 19456-9989 |
Class Inst3 |
50.55% |
N/A |
| |
STATE STREET CORPORATION
FBO ADP ACCESS
1 LINCOLN ST
BOSTON MA 02111-2901 |
Class R |
17.54% |
N/A |
| |
THE HARTFORD 1 HARTFORD PLZ HARTFORD CT 06155-0001 |
Class R |
33.85% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
9.35% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
10.28% |
N/A |
| Select Mid Cap Value Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
42.03% |
N/A |
| Class C |
36.69% | |||
| Class Inst |
8.31% | |||
| |
ASCENSUS TRUST COMPANY FBO
BOZELL JACOBS LLC
PO BOX 10758
FARGO ND 58106-0758 |
Class R |
5.06% |
N/A |
| |
CHAIR OF THE BRD OF TRUSTEES OF TN
CONSLDTD RET SYS & THE COMM OF FINA
C/O FASCORE LLC
FBO STATE OF TENNESSEE 401K
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst |
17.29% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
46.60% |
N/A |
| Class S |
56.91% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
6.45% |
N/A |
| Class Inst3 |
34.50% | |||
| |
EMPOWER ANNUITY INSURANCE
FBO FUTURE FUNDS II
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class R |
6.98% |
N/A |
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class Inst |
8.07% |
N/A |
| Class Inst2 |
11.35% | |||
| Class R |
16.49% | |||
| |
HARTFORD LIFE INS. CO.
SEPARATE ACCOUNT
ATTN UIT OPERATIONS
PO BOX 2999
HARTFORD CT 06104-2999 |
Class R |
19.16% |
N/A |
| |
LINCOLN RETIREMENT SERVICES COMPANY
FBO UNIV OF TEXAS
PO BOX 7876
FORT WAYNE IN 46801-7876 |
Class S |
8.98% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
5.01% |
N/A |
| |
MATRIX TRUST COMPANY CUST. FBO
JOHN R. WATERS &
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class R |
6.00% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH INC FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTENTION SERVICE TEAM 4800 DEER LAKE DRIVE EAST 3RD FLOOR JACKSONVILLE FL 32246-6484 |
Class Inst2 |
10.30% |
N/A |
| Class Inst3 |
6.49% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
20.53% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
6.10% |
N/A |
| Class Inst2 |
13.67% | |||
| Class Inst3 |
7.93% | |||
| Class S |
26.38% | |||
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
26.98% |
N/A |
| |
TIAA TRUST, N.A. AS CUST/TTEE
OF RETIREMENT PLANS
RECORDKEPT BY TIAA
ATTN: FUND OPERATIONS
8500 ANDREW CARNEGIE BLVD
CHARLOTTE NC 28262-8500 |
Class Inst3 |
20.59% |
N/A |
| |
VOYA RETIREMENT INSURANCE
& ANNUITY COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773 |
Class Inst3 |
6.87% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
12.88% |
N/A |
| Small Cap Index Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
33.26% |
N/A |
| Class Inst |
6.89% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
8.17% |
N/A |
| Class Inst2 |
7.91% | |||
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class A |
10.01% |
N/A |
| Class Inst2 |
12.26% | |||
| Class Inst3 |
10.92% | |||
| |
FIIOC FBO
FAITH GROUP LLC 401K PLAN
100 MAGELLAN WAY # KW1C
COVINGTON KY 41015-1987 |
Class Inst2 |
9.27% |
N/A |
| |
JPMCB NA CUST FOR SOUTH CAROLINA
529 PLAN 70% EQUITY PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
19.87% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
13.31% |
N/A |
| Class Inst2 |
8.92% | |||
| Class Inst3 |
58.51% | |||
| |
MID ATLANTIC TRUST COMPANY FBO
DATA MODUL INC 401(K) PROFIT SHARING
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class Inst3 |
5.23% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC FEBO CUSTOMERS MUTUAL FUNDS 200 LIBERTY STREET 1WFC NEW YORK NY 10281-1015 |
Class A |
5.72% |
N/A |
| Class Inst |
6.64% | |||
| Class Inst2 |
21.25% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
11.50% |
N/A |
| |
TIAA TRUST, N.A. AS CUST/TTEE
OF RETIREMENT PLANS
RECORDKEPT BY TIAA
ATTN: FUND OPERATIONS
8500 ANDREW CARNEGIE BLVD
CHARLOTTE NC 28262-8500 |
Class Inst2 |
6.59% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class Inst |
6.12% |
N/A |
| Small Cap Value and Inflection Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
19.29% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN MUTUAL FUND DEPARTMENT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
34.85% |
N/A |
| Class S |
18.16% | |||
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class A |
5.59% |
N/A |
| Class Inst3 |
13.32% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
9.54% |
N/A |
| Class Inst3 |
13.40% | |||
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class A |
14.50% |
N/A |
| Class Inst |
21.27% | |||
| Class Inst2 |
5.68% | |||
| Class Inst3 |
7.63% | |||
| Class R |
19.76% | |||
| |
HARTFORD LIFE INS. CO.
SEPARATE ACCOUNT
ATTN UIT OPERATIONS
PO BOX 2999
HARTFORD CT 06104-2999 |
Class R |
17.41% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
19.99% |
N/A |
| |
MASSACHUSETTS MUTUAL LIFE INSURANCE
1295 STATE STREET MIP M200-INVST
SPRINGFIELD MA 01111-0001 |
Class Inst |
5.43% |
N/A |
| |
MATRIX TRUST COMPANY CUST. FBO
J&T CONSULTING, INC. 401(K) PROFIT
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class R |
15.49% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH INC FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTENTION SERVICE TEAM 4800 DEER LAKE DRIVE EAST 3RD FLOOR JACKSONVILLE FL 32246-6484 |
Class A |
14.79% |
N/A |
| Class Inst |
11.53% | |||
| Class Inst3 |
6.90% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
7.42% |
27.17% |
| Class Inst |
17.46% | |||
| Class Inst2 |
37.29% | |||
| Class Inst3 |
27.37% | |||
| Class R |
6.84% | |||
| Class S |
75.50% | |||
| |
PRINCIPAL BANK FBO
FBO CITY OF TORRANCE DCP 401A
C/O FASCORE LLC
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class Inst |
9.00% |
N/A |
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
24.10% |
N/A |
| |
TIAA TRUST, N.A. AS CUST/TTEE
OF RETIREMENT PLANS
RECORDKEPT BY TIAA
ATTN: FUND OPERATIONS
8500 ANDREW CARNEGIE BLVD
CHARLOTTE NC 28262-8500 |
Class Inst3 |
6.44% |
N/A |
| |
VANGUARD FDUCIARY TRUST CO
PO BOX 2600
ATTN: OUTSIDE FUNDS
VALLEY FORGE PA 19482-2600 |
Class Inst3 |
5.90% |
N/A |
| |
VRSCO FBO VTC CUST TTEE FBO TEXAS A&M UNIVERSITY 2727A ALLEN PKWY # 4-D1 HOUSTON TX 77019-2107 |
Class Inst2 |
8.46% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| MM Growth Strategies
Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class Inst |
99.99% |
99.99% |
| Select Large Cap Growth Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
31.45% |
N/A |
| Class Inst |
10.96% | |||
| |
ASCENSUS TRUST COMPANY FBO
RELIANCE SOLUTIONS 401(K) SAVINGS PLAN
PO BOX 10758
FARGO ND 58106-0758 |
Class R |
17.90% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
78.64% |
N/A |
| Class S |
47.82% | |||
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class R |
17.89% |
N/A |
| |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
Class Inst3 |
52.42% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFITS CLIENTS 401K
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class R |
42.45% |
N/A |
| |
MATRIX TRUST COMPANY AS AGENT FOR
ADVISOR TRUST INC
ULTRASONIC SYSTEMS 401(K) SAVINGS PLAN
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class A |
6.02% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH INC
FOR THE SOLE BENEFIT OF IT CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E
JACKSONVILLE FL 32246-6484 |
Class A |
12.82% |
N/A |
| Class Inst |
11.25% | |||
| Class Inst3 |
31.34% | |||
| |
MID ATLANTIC TRUST COMPANY FBO
ZUCKER & BENNETT P C 401(K) PROFIT
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class R |
5.09% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
11.98% |
N/A |
| Class Inst |
33.60% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
5.40% |
N/A |
| Class Inst2 |
10.23% | |||
| Class S |
40.10% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
499 WASHINGTON BLVD
JERSEY CITY NJ 07310-1995 |
Class R |
8.22% |
N/A |
| |
NATIONWIDE TRUST COMPANY FSB
FBO PARTICIPATING RETIREMENT PLANS
NTC-PLNS
C/O IPO PORTFOLIO ACCOUNTING
PO BOX 182029
COLUMBUS OH 43218-2029 |
Class Inst2 |
8.26% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class S |
10.60% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
6.97% |
N/A |
| |
RELIANCE TRUST CO FBO
DEUTSCHE BANK CR
PO BOX 570788
ATLANTA GA 30357-3114 |
Class Inst3 |
6.36% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
6.90% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
6.26% |
N/A |
| Class Inst |
6.46% | |||
| Short Term Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC 901 3RD AVE S MINNEAPOLIS MN 55402-3367 |
Class A |
47.09% |
28.44% |
| Class C |
33.60% | |||
| Class Inst |
36.13% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
ASCENSUS TRUST COMPANY FBO
HARTZELL & ASSOCIATES INC 401(K)
PO BOX 10758
FARGO ND 58106-0758 |
Class C |
8.05% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
50.78% |
N/A |
| Class S |
50.86% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
24.69% |
N/A |
| Class Inst3 |
13.65% | |||
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
19.49% |
N/A |
| Class Inst |
14.32% | |||
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FOR THE SOLE BENEFIT OF IT CUSTOMERS
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class Inst |
10.06% |
N/A |
| Class Inst3 |
37.81% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
6.40% |
N/A |
| Class Inst2 |
28.93% | |||
| Class S |
45.08% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
14.25% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
5.72% |
N/A |
| |
SEI PRIVATE TRUST COMPANY
C/O GWP US ADVISORS
1 FREEDOM VALLEY DR
OAKS PA 19456-9989 |
Class Inst3 |
38.38% |
N/A |
| |
STIFEL NICOLAUS & CO INC
EXCLUSIVE BENEFIT OF CUSTOMERS
501 N BROADWAY
SAINT LOUIS MO 63102-2188 |
Class C |
9.78% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
17.25% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523 |
Class C |
14.73% |
N/A |
| Class Inst |
5.35% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| CA Intermediate Municipal Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC 901 3RD AVE S MINNEAPOLIS MN 55402-3367 |
Class A |
51.43% |
29.96% |
| Class Inst |
49.53% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
97.64% |
N/A |
| Class S |
51.53% | |||
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class Inst3 |
47.59% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
8.14% |
N/A |
| Class Inst |
5.52% | |||
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FOR THE SOLE BENEFIT OF IT CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
7.77% |
N/A |
| Class Inst |
5.31% | |||
| Class Inst3 |
47.72% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class Inst |
7.73% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class S |
19.51% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst |
6.31% |
N/A |
| |
RELIANCE TRUST CO FBO
CITIZENS BUSINESS BANK NONEB CC
PO BOX 570788
ATLANTA GA 30357-3114 |
Class S |
26.55% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
9.33% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
13.50% |
N/A |
| Class Inst |
5.64% | |||
| MM Directional
Alternative Strategies
Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class Inst |
100.00% |
100.00% |
| Select Corporate Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
41.53% |
N/A |
| Class Inst |
41.06% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
11.62% |
N/A |
| Class Inst2 |
85.03% | |||
| Class S |
33.29% | |||
| |
COLUMBIA MGMT INVESTMENT ADVSR LLC
ATTN KATRINA MACBAIN
50807 AMERIPRISE FINANCIAL CTR
MINNEAPOLIS MN 55474-0508 |
N/A |
N/A |
37.37%(a) |
| |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
Class A |
9.72% |
N/A |
| Class Inst3 |
5.60% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
6.55% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
12.14% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
10.74% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA INCOME BUILDER FUND
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
6.41% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA THERMOSTAT FUND
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
21.66% |
N/A |
| |
JPMCB NA CUST FOR SOUTH CAROLINA
529 PLAN
COLUMBIA 529 20% EQUITY PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
28.12% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
10.07% |
N/A |
| |
MAC & CO
ATTN MUTUAL FUND OPERATIONS
500 GRANT ST RM 151-1010
PITTSBURGH PA 15219-2502 |
Class Inst3 |
10.87% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FOR THE SOLE BENEFIT OF ITS CUSTOMERS
4800 DEER LAKE DR E
JACKSONVILLE FL 32246-6484 |
Class Inst3 |
10.45% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
9.84% |
N/A |
| Class Inst2 |
8.97% | |||
| Class S |
54.99% | |||
| |
STATE STREET BANK AND TRUST AS
TRUSTEE AND/OR CUSTODIAN FBO
ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
Class S |
7.36% |
N/A |
| Short Duration Municipal Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
33.71% |
N/A |
| Class Inst |
13.97% | |||
| |
SEI PRIVATE TRUST COMPANY
C/O TRUIST ID
1 FREEDOM VALLEY DR
OAKS PA 19456-9989 |
Class Inst3 |
13.68% |
N/A |
| |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 101 MONTGOMERY ST SAN FRANCISCO CA 94104-4141 |
Class Inst |
12.66% |
N/A |
| Class S |
62.02% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
26.57% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
37.93% |
N/A |
| |
MARIL & CO FBO JH
C/O RELIANCE TRUST COMPANY WI
MAILCODE: BD1N – ATTN MF
4900 W BROWN DEER RD
MILWAUKEE WI 53223-2422 |
Class Inst2 |
48.20% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FOR THE SOLE BENEFIT OF IT CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E
JACKSONVILLE FL 32246-6484 |
Class A |
6.06% |
34.16% |
| Class Inst3 |
80.38% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst |
5.57% |
N/A |
| Class Inst2 |
38.69% | |||
| Class S |
35.31% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
6.68% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
7.42% |
N/A |
| Class Inst |
13.09% | |||
| Small Cap Value Discovery Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
18.05% |
N/A |
| Class C |
22.85% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
7.03% |
N/A |
| Class Inst2 |
18.89% | |||
| Class S |
34.74% | |||
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
ATTN NPIO TRADE DESK
OMNIBUS
711 HIGH ST
DES MOINES IA 50392-0001 |
Class Inst3 |
5.26% |
N/A |
| |
EMPOWER TRUST FBO
GREENE COUNTY GENERAL HOSPITAL
PHYSICIANS RETIREMENT PLAN
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst3 |
12.70% |
N/A |
| Class R |
48.65% | |||
| |
JPMCB NA CUST FOR
COLUMBIA INCOME BUILDER FUND
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
11.78% |
N/A |
| |
LINCOLN RETIREMENT SERVICES CO
FBO CITY OF RAHWAY
PO BOX 7876
FORT WAYNE IN 46801-7876 |
Class S |
22.25% |
N/A |
| |
LPL FINANCIAL 9785 TOWNE CENTRE DR SAN DIEGO CA 92121-1968 |
Class A |
5.19% |
N/A |
| Class C |
16.42% | |||
| Class Inst |
39.84% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MATRIX TRUST COMPANY AS AGENT FOR
ADVISOR TRUST INC
ASPIRE- INVESTLINK
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class R |
13.74% |
N/A |
| |
MATRIX TRUST COMPANY CUST FBO
LUMINARY LOGISTICS SOLUTIONS LLC
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class R |
22.94% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FBO TIMOTHY J CUSACK IRA
1300 MERRILL LYNCH DR
PENNINGTON NJ 08534-4124 |
Class A |
12.47% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FOR THE SOLE BENEFIT OF
ITS CUSTOMERS
ATTN FUND ADMINISTRATION
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class C |
9.01% |
N/A |
| Class Inst |
27.13% | |||
| Class Inst3 |
40.33% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
7.17% |
N/A |
| Class Inst |
11.89% | |||
| Class Inst2 |
25.09% | |||
| Class Inst3 |
6.33% | |||
| Class S |
34.05% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
19.21% |
N/A |
| Class R |
8.40% | |||
| Class S |
8.42% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
26.18% |
N/A |
| |
TIAA TRUST, N.A. AS CUST/TTEE
OF RETIREMENT PLANS
RECORDKEPT BY TIAA
ATTN: FUND OPERATIONS
8500 ANDREW CARNEGIE BLVD
CHARLOTTE NC 28262-8500 |
Class Inst2 |
22.07% |
N/A |
| |
WELLS FARGO BANK NA TRUSTEE
FBO NEW JERSEY TRANSIT PLANS
C/O FASCORE LLC
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst2 |
11.47% |
N/A |
| Total Return Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
77.91% |
31.30% |
| Class C |
59.89% | |||
| Class Inst |
28.89% | |||
| |
ASCENSUS TRUST COMPANY FBO
STUDIOPOLIS INC 401(K) P/S PLAN
PO BOX 10758
FARGO ND 58106-0758 |
Class R |
19.73% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
27.97% |
N/A |
| Class S |
60.65% | |||
| |
DCGT AS TTEE AND/OR CUST FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
Class R |
7.35% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
EMPOWER TRUST COMPANY LLC
FBO PLAN PREMIER RTMT PLANS OMNIBUS
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class R |
11.93% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA THERMOSTAT FUND
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
47.57% |
N/A |
| |
JPMCB NA CUST FOR SOUTH CAROLINA
529 PLAN
COLUMBIA 529 20% EQUITY PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
16.69% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
13.50% |
N/A |
| |
MATRIX TRUST COMPANY CUST FBO
SAUGET SANITARY DEVELOPMENT AND RES
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class Inst2 |
8.87% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FOR THE SOLE BENEFIT OF ITS CUSTOMERS
4800 DEER LAKE DR EAST
JACKSONVILLE FL 32246-6484 |
Class Inst3 |
29.96% |
N/A |
| |
MID ATLANTIC TRUST COMPANY FBO
GALLAGHER FIRE EQUIPMENT CO 401(K)
1251 WATERFRONT PL STE 525
PITTSBURGH PA 15222-4228 |
Class R |
12.70% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
15.05% |
N/A |
| Class Inst |
6.94% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst |
12.47% |
N/A |
| Class Inst2 |
29.28% | |||
| Class R |
30.63% | |||
| Class S |
18.87% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
26.28% |
N/A |
| Class R |
5.91% | |||
| |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
250 NICOLLET MALL SUITE 1400
MINNEAPOLIS MN 55401-7582 |
Class Inst |
6.18% |
N/A |
| |
RELIANCE TRUST CO FBO
DEUTSCHE BANK RR
PO BOX 570788
ATLANTA GA 30357-3114 |
Class S |
8.95% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
6.58% |
N/A |
| U.S. Treasury Index Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class Inst |
8.99% |
N/A |
| |
FIRST NATIONAL BANK OF HUNTSVILLE CASH – MANAGED 1300 11TH ST HUNTSVILLE TX 77340-3802 |
Class A |
9.35% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
CBNA AS CUSTODIAN FBO
KIDZ MEDICAL SERVICES INC 401(K)
6 RHOADS DR STE 7
UTICA NY 13502-6317 |
Class Inst2 |
6.85% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
22.33% |
N/A |
| Class Inst2 |
17.83% | |||
| |
COLUMBIA MGMT INVESTMENT ADVSR LLC
ATTN KATRINA MACBAIN
50807 AMERIPRISE FINANCIAL CTR
MINNEAPOLIS MN 55474-0508 |
N/A |
N/A |
79.82%(a) |
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class A |
5.59% |
N/A |
| |
ESSA BANK AND TRUST
744 MAIN ST STE 1
STROUDSBURG PA 18360-2268 |
Class A |
7.14% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
6.44% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
CONSERVATIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
5.65% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
14.22% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE CONSERVATIVE PORTFOLIO
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
10.64% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
17.37% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA THERMOSTAT FUND
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
43.52% |
N/A |
| |
JPMCB NA CUST FOR SOUTH CAROLINA
529 PLAN
COLUMBIA 529 20% EQUITY PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
75.88% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTENTION SERVICE TEAM 4800 DEER LAKE DR E JACKSONVILLE FL 32246-6484 |
Class A |
22.33% |
N/A |
| Class Inst2 |
41.09% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
23.97% |
N/A |
| |
WRIGHT – FALCON INTERNATIONAL BANK FALCON INTERNATIONAL BANK 19230 STONE OAK PARKWAY SAN ANTONIO TX 78258-3282 |
Class A |
6.58% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| Adaptive Risk Allocation Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
74.99% |
84.73% |
| Class C |
43.19% | |||
| Class Inst |
89.16% | |||
| |
CAPINCO
C/O US BANK NA
PO BOX 1787
MILWAUKEE WI 53201-1787 |
Class Inst3 |
99.12% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND DEPT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
22.78% |
N/A |
| Class S |
50.88% | |||
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
5.76% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class A |
6.59% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
42.58% |
N/A |
| Class S |
30.63% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
31.50% |
N/A |
| Class S |
14.23% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
6.32% |
N/A |
| |
STIFEL NICOLAUS & CO INC
EXCLUSIVE BENEFIT OF CUSTOMERS
501 N BROADWAY
SAINT LOUIS MO 63102-2188 |
Class C |
33.18% |
N/A |
| Commodity Strategy Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
32.73% |
N/A |
| Class Inst |
23.65% | |||
| |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO CUSTOMERS ATTN MUTUAL FUND DEPT 101 MONTGOMERY ST SAN FRANCISCO CA 94104-4141 |
Class A |
6.93% |
N/A |
| Class Inst2 |
97.46% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
COLUMBIA MGMT INVESTMENT ADVSR LLC
ATTN KATRINA MACBAIN
50807 AMERIPRISE FINANCIAL CTR
MINNEAPOLIS MN 55474-0508 |
N/A |
N/A |
65.56%(a) |
| |
JPMCB NA CUST FOR
COLUMBIA ADAPTIVE RISK ALLOCATION
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
70.49% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
5.36% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
11.35% |
N/A |
| Class Inst |
45.42% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
12.59% |
N/A |
| |
NATIONWIDE TRUST COMPANY/FSB
C/O IPO PORTFOLIO ACCOUNTING
PO BOX 182029
COLUMBUS OH 43218-2029 |
Class Inst3 |
10.67% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class A |
5.53% |
N/A |
| Class Inst |
24.29% | |||
| Dividend Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
23.35% |
N/A |
| Class C |
15.91% | |||
| Class Inst |
19.40% | |||
| |
ASCENSUS TRUST COMPANY FBO
ELECTRO REPS INC 401(K) PLAN
PO BOX 10758
FARGO ND 58106-0758 |
Class R |
7.16% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND DEPT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
5.72% |
N/A |
| Class Inst2 |
40.90% | |||
| Class S |
29.28% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
19.13% |
N/A |
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFITS CLIENTS 401K
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class R |
9.12% |
N/A |
| |
EQUITABLE LIFE FOR SA NO65
ON BEHALF OF VARIOUS 401K
EXPEDITER PLANS
1290 AVENUE OF THE AMERICAS
NEW YORK NY 10104-0101 |
Class R |
24.19% |
N/A |
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class Inst3 |
5.52% |
N/A |
| |
LPL FINANCIAL 9785 TOWNE CENTRE DR SAN DIEGO CA 92121-1968 |
Class C |
7.04% |
N/A |
| Class Inst |
12.35% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTN FUND ADMINISTRATOR
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class A |
17.73% |
N/A |
| Class C |
7.22% | |||
| Class Inst |
8.69% | |||
| Class Inst3 |
25.34% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
7.67% |
N/A |
| Class C |
19.53% | |||
| Class Inst |
16.16% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
11.68% |
N/A |
| Class Inst |
9.52% | |||
| Class Inst2 |
40.64% | |||
| Class Inst3 |
19.64% | |||
| Class R |
5.54% | |||
| Class S |
64.44% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
7.59% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
11.26% |
N/A |
| Class Inst |
11.54% | |||
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
11.97% |
N/A |
| |
VOYA INSTITUTIONAL TRUST COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773 |
Class R |
21.44% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
18.46% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
1 N JEFFERSON AVE
SAINT LOUIS MO 63103-2287 |
Class Inst |
6.07% |
|
| Dividend Opportunity Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
73.28% |
51.65% |
| Class C |
29.51% | |||
| Class Inst |
35.64% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
39.26% |
N/A |
| Class S |
17.33% | |||
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class Inst3 |
9.67% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
9.36% |
N/A |
| |
EMPOWER TRUST COMPANY LLC TTEE F CARTER MACHINERY COMPANY INC EMPLOY RETIREMENT AND SAVINGS PLAN 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
Class Inst3 |
11.91% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
JPMCB NA CUST FOR
COLUMBIA INCOME BUILDER FUND
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
38.17% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
6.86% |
N/A |
| |
MARIL & CO FBO
C/O RELIANCE TRUST COMPANY WI
MAILCODE: BD1N – ATTN: MF
4900 W BROWN DEER RD
MILWAUKEE WI 53223-2422 |
Class Inst2 |
15.67% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class Inst |
5.38% |
N/A |
| Class Inst3 |
6.58% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
10.91% |
N/A |
| Class Inst |
11.31% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst |
10.55% |
N/A |
| Class Inst2 |
29.66% | |||
| Class S |
72.64% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
14.08% |
N/A |
| Class Inst2 |
6.38% | |||
| Class S |
8.62% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
13.78% |
N/A |
| Class Inst |
9.37% | |||
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
88.24% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
11.85% |
N/A |
| Class Inst |
6.75% | |||
| Flexible Capital Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
56.08% |
34.59% |
| Class C |
22.34% | |||
| Class Inst |
27.93% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
40.34% |
N/A |
| Class S |
40.06% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
80.36% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
9.68% |
N/A |
| Class Inst |
13.84% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
Class A |
5.59% |
N/A |
| Class C |
10.70% | |||
| Class Inst |
13.90% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
30.22% |
N/A |
| Class S |
42.32% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
24.57% |
N/A |
| Class Inst3 |
11.55% | |||
| Class S |
17.62% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
13.27% |
N/A |
| Class Inst |
15.21% | |||
| |
STIFEL NICOLAUS & CO INC
EXCLUSIVE BENEFIT OF CUSTOMERS
501 N BROADWAY
SAINT LOUIS MO 63102-2188 |
Class C |
7.74% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
7.28% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
21.21% |
N/A |
| Class Inst |
8.20% | |||
| High Yield Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
68.24% |
31.26% |
| Class C |
53.13% | |||
| Class Inst |
30.85% | |||
| |
ASCENSUS TRUST COMPANY FBO
FINCHER ENGINEERING 401(K) PLAN
PO BOX 10758
FARGO ND 58106-0758 |
Class C |
5.41% |
N/A |
| |
BAND & CO
PO BOX 1787
MILWAUKEE WI 53201-1787 |
Class Inst |
14.32% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
32.89% |
N/A |
| Class S |
54.97% | |||
| |
COLUMBIA MGMT INVESTMENT ADVSR LLC
ATTN KATRINA MACBAIN
50807 AMERIPRISE FINANCIAL CTR
MINNEAPOLIS MN 55474-0508 |
N/A |
N/A |
25.78%(a) |
| |
EMPOWER TRUST COMPANY LLC TTEE F
RECORDKEEPING VARIOUS BENEFIT PL NY
C/O MUTUAL FUND TRADING
8525 E ORCHARD RD
GREENWOOD VILLAGE CO 80111-5002 |
Class Inst2 |
6.95% |
N/A |
| |
FIFTH THIRD BANK
FBO FIRST WESTERN TRUST BANK
38 FOUNTAIN SQUARE PLZ
CINCINNATI OH 45202-3102 |
Class Inst |
13.04% |
N/A |
| |
ING LIFE INSURANCE AND ANNUITY CO
ONE ORANGE WAY
WINDSOR CT 06095-4773 |
Class R |
17.55% |
N/A |
| |
JPMCB NA CUST FOR COLUMBIA CAPITAL ALLOCATION AGGRESSIVE PORTFOLIO 4 CHASE METROTECH CENTER 3RD FLOOR BROOKLYN NY 11245-0003 |
Class Inst3 |
6.38% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
14.17% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
10.87% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA INCOME BUILDER FUND
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
17.84% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA THERMOSTAT FUND
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
20.55% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
20.14% |
N/A |
| |
MINNESOTA LIFE INSURANCE COMPANY
400 ROBERT ST N
SAINT PAUL MN 55101-2037 |
Class Inst |
7.66% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
37.14% |
N/A |
| Class S |
23.04% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
14.86% |
N/A |
| Class S |
10.64% | |||
| |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
250 NICOLLET MALL SUITE 1400
MINNEAPOLIS MN 55401-7582 |
Class Inst |
6.55% |
N/A |
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
71.32% |
N/A |
| |
STATE STREET BANK AND TRUST AS
TRUSTEE AND/OR CUSTODIAN FBO
ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
Class S |
10.61% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
5.70% |
N/A |
| High Yield Municipal Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
39.69% |
N/A |
| Class C |
32.10% | |||
| Class Inst |
25.29% | |||
| |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO CUSTOMERS ATTN MUTUAL FUND DEPT 101 MONTGOMERY ST SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
66.67% |
N/A |
| Class S |
54.39% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
7.87% |
N/A |
| Class Inst3 |
6.40% | |||
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
6.88% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class Inst3 |
90.25% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
8.63% |
N/A |
| Class C |
13.06% | |||
| Class Inst |
9.88% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
27.71% |
N/A |
| Class S |
31.85% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class A |
7.34% |
N/A |
| Class C |
11.72% | |||
| Class S |
13.63% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
14.41% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
8.20% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
7.71% |
N/A |
| Class C |
13.06% | |||
| Class Inst |
5.94% | |||
| Intrinsic Value Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
84.17% |
62.35% |
| Class C |
66.27% | |||
| Class Inst |
54.62% | |||
| |
ASCENSUS TRUST COMPANY FBO
GALLON TAKACS & BOISSONEAULT CO L
PO BOX 10758
FARGO ND 58106-0758 |
Class Inst2 |
25.84% |
N/A |
| |
CHARLES SCHWAB & CO INC
CUST A/C FOR THE EXCLUSIVE BENEFIT
ATTN MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
15.37% |
N/A |
| |
ING LIFE INSURANCE AND ANNUITY CO
ONE ORANGE WAY
WINDSOR CT 06095-4773 |
Class Inst |
5.45% |
N/A |
| |
JPMCB NA AS CUSTODIAN FOR THE SC529 PLAN COLUMBIA GROWTH 529 PORTFOLIO 4 CHASE METROTECH CENTER 3RD FLOOR BROOKLYN NY 11245-0003 |
Class Inst |
6.39% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
35.57% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
37.95% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
18.48% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
5.33% |
N/A |
| Class Inst |
20.77% | |||
| |
MATRIX TRUST COMPANY AS AGENT FOR
NEWPORT TRUST COMPANY
NOMS 401(K) PROFIT SHARING PLAN
35 IRON POINT CIR STE 300
FOLSOM CA 95630-8589 |
Class Inst2 |
20.93% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
15.14% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
15.40% |
N/A |
| Class Inst2 |
11.68% | |||
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
5.60% |
N/A |
| MM Value Strategies
Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class Inst |
100.00% |
100.00% |
| Mortgage Opportunities Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
8.51% |
N/A |
| Class C |
19.28% | |||
| Class Inst |
16.32% | |||
| |
MAC & CO
ATTN MUTUAL FUND OPERATIONS
500 GRANT ST RM 151-1010
PITTSBURGH PA 15219-2502 |
Class Inst3 |
11.60% |
N/A |
| |
CHARLES SCHWAB & CO INC
CUST A/C FOR THE EXCLUSIVE BENEFIT
ATTN MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
53.96% |
N/A |
| Class S |
23.14% | |||
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class C |
5.92% |
N/A |
| |
JPMCB NA CUST FOR COLUMBIA INCOME BUILDER FUND 4 CHASE METROTECH CENTER 3RD FLOOR BROOKLYN NY 11245-0003 |
Class Inst3 |
20.28% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
5.83% |
N/A |
| Class Inst |
19.10% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
16.01% |
N/A |
| Class Inst |
9.12% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
85.45% |
32.88% |
| Class Inst |
7.54% | |||
| Class Inst2 |
37.07% | |||
| Class Inst3 |
29.68% | |||
| Class S |
67.73% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
7.62% |
N/A |
| Class Inst3 |
5.20% | |||
| Class S |
9.03% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
13.60% |
N/A |
| Class Inst |
9.23% | |||
| |
STIFEL NICOLAUS & CO INC
EXCLUSIVE BENEFIT OF CUSTOMERS
501 N BROADWAY
SAINT LOUIS MO 63102-2188 |
Class C |
5.07% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
17.50% |
N/A |
| Class Inst3 |
28.14% | |||
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
20.15% |
N/A |
| Class Inst |
10.55% | |||
| Multi Strategy Alternatives Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
32.65% |
94.04% |
| Class C |
52.63% | |||
| Class Inst |
94.66% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
5.57% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
12.22% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class A |
41.77% |
N/A |
| Class C |
42.27% | |||
| |
VANGUARD BROKERAGE SERVICES
100 VANGUARD BLVD
MALVERN PA 19355-2331 |
Class C |
5.11% |
N/A |
| Quality Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
19.69% |
N/A |
| Class C |
33.21% | |||
| Class Inst |
16.98% | |||
| |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO CUSTOMERS ATTN MUTUAL FUND DEPT 101 MONTGOMERY ST SAN FRANCISCO CA 94104-4141 |
Class C |
9.97% |
N/A |
| Class Inst2 |
10.68% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
COLUMBIA MGMT INVESTMENT ADVSR LLC
ATTN KATRINA MACBAIN
50807 AMERIPRISE FINANCIAL CTR
MINNEAPOLIS MN 55474-0508 |
N/A |
N/A |
60.81%(a) |
| |
JPMCB NA AS CUSTODIAN FOR THE SC529
PLAN COLUMBIA GROWTH 529 PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
49.86% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
8.06% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
10.30% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
7.03% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA INCOME BUILDER FUND
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
40.30% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA THERMOSTAT FUND
4 CHASE METROTECH CTR FL 3RD
BROOKLYN NY 11245-0003 |
Class Inst3 |
22.22% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
25.30% |
N/A |
| Class Inst |
18.70% | |||
| |
MERRILL LYNCH PIERCE FENNER
& SMITH FBO MELVIN SCHWARTZ IRA
1300 MERRILL LYNCH DR
PENNINGTON NJ 08534-4124 |
Class A |
10.00% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
6.54% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
70.98% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
12.68% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
5.58% |
N/A |
| Class C |
7.63% | |||
| Select Large Cap Value Fund |
AMERICAN ENTERPRISE INVESTMENT SVC 901 3RD AVE S MINNEAPOLIS MN 55402-3367 |
Class A |
15.00% |
N/A |
| Class C |
9.66% | |||
| Class Inst |
8.51% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
54.12% |
N/A |
| Class S |
18.00% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
25.16% |
N/A |
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFITS CLIENTS 401K
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class R |
5.80% |
N/A |
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class Inst3 |
15.48% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
|
6.58% |
N/A |
| Class Inst |
17.97% | |||
| |
MERRILL LYNCH PIERCE FENNER
SMITH INC FBO DAVID GEORGE &
ALLISON GEORGE
ATTN STOCK POWERS
4800 DEER LAKE DR E 2ND FL
JACKSONVILLE FL 32246-6484 |
Class A |
25.68% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class C |
19.14% |
N/A |
| Class Inst |
15.46% | |||
| Class Inst3 |
31.70% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
11.91% |
N/A |
| Class C |
14.08% | |||
| Class Inst |
12.29% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
6.59% |
N/A |
| Class Inst2 |
34.16% | |||
| Class Inst3 |
6.66% | |||
| Class S |
62.46% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
6.02% |
N/A |
| Class Inst |
16.91% | |||
| Class S |
17.26% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
7.86% |
N/A |
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
83.42% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
5.84% |
N/A |
| Class C |
20.98% | |||
| |
ZIONS FIRST NATIONAL BANK PO BOX 30880 SALT LAKE CTY UT 84130-0880 |
Class Inst |
5.82% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| Select Small Cap Value Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
72.62% |
63.44% |
| Class Inst |
57.80% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
31.17% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
34.80% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
36.57% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
17.26% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
5.75% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
34.61% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
29.63% |
N/A |
| |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
250 NICOLLET MALL SUITE 1400
MINNEAPOLIS MN 55401-7582 |
Class Inst |
18.98% |
N/A |
| Seligman Technology and Information |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
5.35% |
N/A |
| Class C |
10.38% | |||
| Class Inst |
15.41% | |||
| |
ASCENSUS TRUST COMPANY FBO
DMV CARPET CLEANING LLC 401K PLAN
PO BOX 10758
FARGO ND 58106-0758 |
Class R |
12.05% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
10.87% |
N/A |
| Class Inst2 |
45.64% | |||
| Class S |
45.01% | |||
| |
DONALDSON LUFKIN & JENRETTE
SECURITIES CORPORATION CUST
FBO ROB FOGEL
PO BOX 2052
JERSEY CITY NJ 07303-2052 |
Class A |
5.01% |
N/A |
| |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
Class Inst3 |
18.15% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
EMPOWER TRUST FBO
RECORDKEEPING FOR LARGE BENEFIT PL
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class Inst2 |
7.05% |
N/A |
| Class Inst3 |
9.60% | |||
| Class R |
13.16% | |||
| |
HARTFORD LIFE INSURANCE COMPANY
ATTN UIT OPERATIONS
PO BOX 2999
HARTFORD CT 06104-2999 |
Class R |
20.05% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
8.22% |
N/A |
| Class Inst |
10.98% | |||
| |
MERRILL LYNCH PIERCE FENNER & SMITH
C/F CARL BURNHAM IRA
ATTENTION ATS (BROKER TRANSFER)
4804 DEER LAKE DR E
JACKSONVILLE FL 32246-6484 |
Class A |
7.51% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class Inst |
12.25% |
N/A |
| Class Inst3 |
7.93% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
9.48% |
N/A |
| Class C |
9.42% | |||
| Class Inst |
7.74% | |||
| |
NATIONAL FINANCIAL SERVICES LLC FEBO
NFS/FMTC ROTH IRA
FBO PAUL WELLER KALFF
501 W HACIENDA AVE APT E 1
CAMPBELL CA 95008-6509 |
Class A |
9.37% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class C |
7.57% |
N/A |
| Class Inst |
5.46% | |||
| Class Inst2 |
26.57% | |||
| Class Inst3 |
23.68% | |||
| Class S |
42.44% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
8.10% |
N/A |
| Class Inst2 |
11.02% | |||
| Class Inst3 |
15.50% | |||
| Class S |
11.88% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
19.26% |
N/A |
| Class Inst |
14.92% | |||
| |
STATE STREET BANK AND TRUST AS
TRUSTEE AND/OR CUSTODIAN FBO
ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
Class R |
31.34% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
6.07% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523 |
Class A |
8.69% |
N/A |
| Class C |
20.45% | |||
| Class Inst |
9.83% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| Cornerstone Growth Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
52.57% |
34.52% |
| Class C |
62.90% | |||
| Class Inst |
17.12% | |||
| |
ASCENSUS TRUST COMPANY FBO
WILBRAHAM CAPITAL INC
PO BOX 10758
FARGO ND 58106-0758 |
Class R |
20.81% |
N/A |
| |
BRIDGET NEUMANN
ADVANTAGE PLAN TRUST
TRUST END DATE 11/17/2026
C/O CHRISTOPHER M NEUMANN
101 RAMBLE WOOD DR
SKANEATELES NY 13152-2275 |
Class E |
5.10% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
45.26% |
N/A |
| Class S |
64.37% | |||
| |
CLAIRE NEUMANN
ADVANTAGE PLAN TRUST
TRUST END DATE 09/01/2030
ROBERT S NEUMANN
101 RAMBLE WOOD DR
SKANEATELES NY 13152-2275 |
Class E |
5.11% |
N/A |
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class R |
23.68% |
N/A |
| |
EMPOWER TRUST COMPANY LLC
FBO PLANPREMIER RTMT PLANS OMNIBUS
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class R |
5.59% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
22.36% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
23.87% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
11.11% |
N/A |
| |
LILY ELIZABETH KRAMER
ADVANTAGE PLAN TRUST
TRUST END DATE 01/18/2028
C/O LEIGH A NEUMANN
5203 SILVER FOX DR
JAMESVILLE NY 13078-8742 |
Class E |
5.32% |
N/A |
| |
LPL FINANCIAL 9785 TOWNE CENTRE DR SAN DIEGO CA 92121-1968 |
Class Inst |
8.02% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MATRIX TRUST COMPANY AS AGENT FOR
ADVISOR TRUST INC
MOBILE ILLUMINATION INC 401(K) PLAN
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class R |
5.08% |
N/A |
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class Inst3 |
24.17% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
22.27% |
N/A |
| Class R |
21.83% | |||
| Class S |
26.71% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
26.01% |
N/A |
| Class S |
8.44% | |||
| |
STATE STREET CORPORATION
FBO ADP ACCESS
1 LINCOLN ST
BOSTON MA 02111-2901 |
Class R |
14.41% |
N/A |
| Disciplined Core Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
79.60% |
75.75% |
| Class C |
79.89% | |||
| Class Inst |
53.44% | |||
| |
ASCENSUS TRUST COMPANY FBO
INTELLECTUAL PROPERTIES MANAGEMENT
PO BOX 10758
FARGO ND 58106-0758 |
Class C |
5.04% |
N/A |
| |
CHARLES SCHWAB & CO INC
ATTENTION MUTUAL FUND OPS
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
42.13% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
15.11% |
N/A |
| |
EMPOWER TRUST FBO
EMPOWER BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst2 |
5.61% |
N/A |
| |
JPMCB NA AS CUSTODIAN FOR THE SC529
PLAN COLUMBIA GROWTH 529 PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
23.23% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
CONSERVATIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
14.68% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE CONSERVATIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
54.24% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC FEBO CUSTOMERS MUTUAL FUNDS 200 LIBERTY STREET 1WFC NEW YORK NY 10281-1015 |
Class Inst2 |
12.32% |
N/A |
| Class Inst3 |
8.83% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
VANGUARD FDUCIARY TRUST CO
PO BOX 2600 VM
ATTN: OUTSIDE FUNDS
VALLEY FORGE PA 19482-2600 |
Class Inst2 |
24.26% |
N/A |
| Disciplined Growth Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
65.42% |
53.80% |
| Class C |
50.12% | |||
| Class Inst |
53.15% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst |
5.88% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
13.16% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
6.84% |
N/A |
| Class C |
5.86% | |||
| Class Inst |
14.16% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
6.55% |
N/A |
| Class Inst3 |
69.96% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
14.00% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
HOUSE ACCT FIRM
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
8.53% |
N/A |
| Class Inst |
10.04% | |||
| |
VOYA RETIREMENT INSURANCE & ANNUITY
COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773 |
Class Inst3 |
8.29% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
9.27% |
N/A |
| Disciplined Value Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
18.72% |
N/A |
| Class C |
17.24% | |||
| Class Inst |
23.66% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst |
8.92% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
8.29% |
N/A |
| |
MERRILL LYNCH, PIERCE, FENNER & SMITH INC FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DRIVE EAST 3RD FLOOR JACKSONVILLE FL 32246-6484 |
Class A |
7.44% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
5.18% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
HOUSE ACCT FIRM
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
9.28% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class C |
62.66% |
N/A |
| Class Inst |
22.95% | |||
| Floating Rate Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
65.61% |
30.22% |
| Class C |
47.13% | |||
| Class Inst |
29.62% | |||
| |
BANK OF AMERICA CUSTODIAN
FBO MFO
PO BOX 843869
DALLAS TX 75284-3869 |
Class Inst2 |
22.23% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
8.45% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
7.90% |
N/A |
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class Inst2 |
11.76% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA INCOME BUILDER FUND
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
62.64% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
10.74% |
N/A |
| Class Inst |
7.78% | |||
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class Inst |
8.90% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class Inst |
14.25% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
10.21% |
N/A |
| |
PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-0002 |
Class A |
5.36% |
N/A |
| Class C |
10.01% | |||
| Class Inst2 |
44.98% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
7.22% |
N/A |
| Class Inst |
6.65% | |||
| |
SEI PRIVATE TRUST COMPANY
C/O M & T ID
ATTN MUTUAL FUND ADMIN
1 FREEDOM VALLEY DR
OAKS PA 19456-9989 |
Class Inst3 |
14.19% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
5.28% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
6.20% |
N/A |
| Class C |
10.87% | |||
| Class Inst |
17.82% | |||
| Global Opportunities Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
87.22% |
86.79% |
| Class Inst |
75.55% | |||
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
5.76% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst |
5.11% |
N/A |
| Government Money Market Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
16.32% |
27.86% |
| Class Inst |
80.56% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
44.26% |
26.81% |
| Class Inst3 |
99.48% | |||
| |
JPMCB NA AS CUSTODIAN FOR THE SC529
PLAN COLUMBIA GROWTH 529 PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst2 |
70.98% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class A |
7.71% |
N/A |
| Class Inst2 |
26.92% | |||
| |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
250 NICOLLET MALL SUITE 1400
MINNEAPOLIS MN 55401-7582 |
Class A |
16.97% |
N/A |
| Class Inst |
7.14% | |||
| Income Opportunities Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
62.69% |
27.39% |
| Class C |
56.30% | |||
| Class Inst |
29.46% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND DEPT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class C |
8.03% |
N/A |
| Class Inst2 |
58.27% | |||
| Class S |
46.37% | |||
| |
FIFTH THIRD BANK FBO NICOLET NATIONAL BANK 38 FOUNTAIN SQUARE PLZ CINCINNATI OH 45202-3102 |
Class Inst3 |
17.14% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
JPMCB NA AS CUSTODIAN FOR THE SC529
PLAN COLUMBIA GROWTH 529 PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
46.33% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
5.33% |
N/A |
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
9.88% |
N/A |
| Class Inst3 |
28.36% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
6.36% |
N/A |
| Class Inst2 |
29.34% | |||
| Class S |
49.22% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
8.88% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
5.24% |
N/A |
| |
THE NORTHERN TRUST COMPANY AS
TRUSTEE FBO SONY CORP – DV
PO BOX 92994
CHICAGO IL 60675-2994 |
Class Inst3 |
40.59% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
14.39% |
N/A |
| Class Inst |
7.20% | |||
| MN Tax-Exempt Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
71.18% |
64.38% |
| Class C |
81.47% | |||
| Class Inst |
63.00% | |||
| |
CHARLES SCHWAB & CO INC
CUST A/C FOR THE EXCLUSIVE BENEFIT
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
22.73% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
9.70% |
N/A |
| Class Inst3 |
96.86% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst |
11.08% |
N/A |
| Class Inst2 |
74.19% | |||
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
12.88% |
N/A |
| OR Intermediate Municipal Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
8.52% |
N/A |
| Class Inst |
9.95% | |||
| |
BAND & CO PO BOX 1787 MILWAUKEE WI 53201-1787 |
Class Inst3 |
65.35% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
7.80% |
N/A |
| Class Inst2 |
88.50% | |||
| Class S |
44.93% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
50.99% |
N/A |
| Class Inst3 |
15.31% | |||
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
6.57% |
N/A |
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
5.51% |
N/A |
| Class Inst3 |
18.00% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
5.26% |
N/A |
| Class Inst2 |
8.10% | |||
| Class S |
38.89% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class S |
16.18% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
7.35% |
N/A |
| Select Short Corporate Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
70.85% |
37.40% |
| Class C |
24.52% | |||
| Class Inst |
30.69% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
56.65% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
57.84% |
N/A |
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class Inst3 |
16.33% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
8.55% |
N/A |
| Class Inst |
5.69% | |||
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class A |
6.08% |
N/A |
| Class C |
17.91% | |||
| Class Inst |
14.42% | |||
| |
MINNESOTA LIFE INSURANCE COMPANY 400 ROBERT ST N SAINT PAUL MN 55101-2037 |
Class Inst |
22.57% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
36.21% |
N/A |
| Class Inst |
12.57% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
31.48% |
N/A |
| Class Inst3 |
14.45% | |||
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
6.73% |
N/A |
| Strategic Municipal Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
64.20% |
47.09% |
| Class C |
41.37% | |||
| Class Inst |
43.76% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
28.84% |
N/A |
| Class S |
47.89% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
7.31% |
N/A |
| Class Inst3 |
61.74% | |||
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
5.97% |
N/A |
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class Inst |
8.34% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
12.16% |
N/A |
| Class Inst |
12.29% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
67.80% |
N/A |
| Class Inst3 |
7.09% | |||
| Class S |
41.43% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class S |
10.37% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
6.06% |
N/A |
| Class Inst |
7.04% | |||
| |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
250 NICOLLET MALL SUITE 1400
MINNEAPOLIS MN 55401-7582 |
Class C |
5.10% |
N/A |
| |
SEI PRIVATE TRUST COMPANY C/O TIAA-SWP 1 FREEDOM VALLEY DR OAKS PA 19456-9989 |
Class Inst3 |
25.13% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
6.38% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
15.20% |
N/A |
| Class Inst |
5.83% | |||
| Total Return Municipal Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
41.54% |
36.30% |
| Class C |
36.05% | |||
| Class Inst |
29.97% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
74.66% |
N/A |
| Class S |
60.39% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
15.12% |
N/A |
| Class C |
5.93% | |||
| Class Inst3 |
19.45% | |||
| |
MERRILL LYNCH, PIERCE, FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class Inst3 |
76.78% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
16.12% |
N/A |
| Class Inst |
6.96% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
19.49% |
N/A |
| Class S |
31.79% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
5.01% |
N/A |
| Class S |
7.82% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
8.68% |
N/A |
| |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
250 NICOLLET MALL SUITE 1400
MINNEAPOLIS MN 55401-7582 |
Class C |
15.31% |
N/A |
| Ultra Short Term Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
85.72% |
61.50% |
| Class Inst |
65.81% | |||
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
5.04% |
N/A |
| |
MERRILL LYNCH, PIERCE, FENNER & SMITH INC FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTENTION SERVICE TEAM 4800 DEER LAKE DRIVE EAST 3RD FLOOR JACKSONVILLE FL 32246-6484 |
Class Inst3 |
86.03% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst3 |
5.73% |
N/A |
| |
UBS WM USA SPEC CDY A/C EXCL BEN CUST UBSFSI 1000 HARBOR BLVD WEEHAWKEN NJ 07086-6761 |
Class Inst |
9.79% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| Balanced Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
56.96% |
37.40% |
| Class C |
52.93% | |||
| Class Inst |
27.11% | |||
| |
ASCENSUS TRUST CO TTEE
FBO FUELX ENERGY 401K
PO BOX 10758
FARGO ND 58106-0758 |
Class Inst3 |
8.74% |
N/A |
| |
ASCENSUS TRUST CO FBO
CDW ENTERPRISES INC
401(K) PLAN
PO BOX 10758
FARGO ND 58106-0758 |
Class R |
8.74% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
39.83% |
N/A |
| Class S |
47.68% | |||
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class Inst2 |
9.72% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
18.55% |
N/A |
| |
EQUITABLE LIFE FOR SA
ON BEHALF OF VARIOUS 401K
EXPEDITER PLANS
1290 AVENUE OF THE AMERICAS
NEW YORK NY 10104-0101 |
Class R |
5.33% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
7.23% |
N/A |
| Class Inst |
11.55% | |||
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class Inst |
13.67% |
N/A |
| Class Inst3 |
34.93% | |||
| |
MID ATLANTIC TRUST COMPANY FBO 1251 WATERFRONT PL STE 525 PITTSBURGH PA 15222-4228 |
Class R |
5.91% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
5.26% |
N/A |
| Class Inst |
7.22% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
7.55% |
N/A |
| Class Inst |
5.03% | |||
| Class Inst2 |
27.26% | |||
| Class Inst3 |
10.21% | |||
| Class R |
6.35% | |||
| Class S |
38.76% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
12.23% |
N/A |
| Class S |
8.40% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
7.32% |
N/A |
| Class Inst |
7.50% | |||
| |
STATE STREET BANK
FBO ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
Class Inst3 |
6.86% |
N/A |
| Class R |
64.41% | |||
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
11.85% |
N/A |
| Class Inst |
7.15% | |||
| Contrarian Core Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
49.01% |
N/A |
| Class C |
46.42% | |||
| Class Inst |
26.12% | |||
| |
ASCENSUS TRUST CO FBO
MINNESOTA CENTER FOR PSYCHOLOGY 401K
PO BOX 10758
FARGO ND 58106-0758 |
Class R |
7.21% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
31.90% |
N/A |
| Class S |
58.78% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
10.89% |
N/A |
| |
EMPOWER TRUST FBO
EMPOWER BENEFIT PLANS
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class R |
6.17% |
N/A |
| |
JPMCB NA AS CUSTODIAN FOR
COLUMBIA GROWTH 529 PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
6.68% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
5.38% |
N/A |
| |
JPMCB NA CUST FOR COLUMBIA CAPITAL ALLOCATION MODERATE AGGRESSIVE PORTFOLIO 4 CHASE METROTECH CENTER 3RD FLOOR BROOKLYN NY 11245-0003 |
Class Inst3 |
5.57% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
LINCOLN RETIREMENT SERVICES COMPANY
FBO PARKVIEW HEALTH SYSTEMS 457 B
PO BOX 7876
FORT WAYNE IN 46801-7876 |
Class S |
8.34% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
7.35% |
N/A |
| Class Inst |
11.97% | |||
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class A |
8.06% |
N/A |
| Class Inst3 |
16.08% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
6.71% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
51.62% |
N/A |
| Class Inst3 |
24.57% | |||
| Class S |
28.92% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
6.11% |
N/A |
| Class Inst |
6.52% | |||
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
63.65% |
N/A |
| |
STIFEL NICOLAUS & CO INC
EXCLUSIVE BENEFIT OF CUSTOMERS
501 N BROADWAY
SAINT LOUIS MO 63102-2188 |
Class C |
7.15% |
N/A |
| Class Inst |
11.10% | |||
| |
TIAA TRUST, N.A. AS CUST/TTEE
OF RETIREMENT PLANS
RECORDKEPT BY TIAA
ATTN: FUND OPERATIONS
8500 ANDREW CARNEGIE BLVD
CHARLOTTE NC 28262-8500 |
Class Inst3 |
5.67% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
10.45% |
N/A |
| Emerging Markets Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
62.40% |
N/A |
| Class Inst |
22.02% | |||
| |
COLUMBIA MGMT INVESTMENT ADVSR LLC
ATTN KATRINA MACBAIN
50807 AMERIPRISE FINANCIAL CTR
MINNEAPOLIS MN 55474-0508 |
N/A |
N/A |
57.04%(a) |
| |
JPMCB NA AS CUSTODIAN FOR
COLUMBIA GROWTH 529 PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst |
68.81% |
N/A |
| |
JPMCB NA CUST FOR COLUMBIA CAPITAL ALLOCATION AGGRESSIVE PORTFOLIO 4 CHASE METROTECH CENTER 3RD FLOOR BROOKLYN NY 11245-0003 |
Class Inst3 |
9.30% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
20.71% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE CONSERVATIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
6.82% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
15.97% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA INCOME BUILDER FUND
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
40.42% |
N/A |
| |
MATRIX TRUST COMPANY
TRUSTEES OF COMMUNITY FIRST CREDIT
DB 3(38) MODERATELY CONSERVATIVE
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class Inst2 |
96.40% |
N/A |
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
97.45% |
N/A |
| Emerging Markets Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
70.40% |
N/A |
| Class C |
44.61% | |||
| Class Inst |
27.69% | |||
| |
ASCENSUS TRUST CO FBO
MEGAN INC 401K
PO BOX 10758
FARGO ND 58106-0758 |
Class C |
11.90% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
66.10% |
N/A |
| Class S |
79.08% | |||
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class C |
8.86% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
14.22% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE AGGRESSIVE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
13.59% |
N/A |
| |
JPMCB NA CUST FOR
COLUMBIA CAPITAL ALLOCATION
MODERATE PORTFOLIO
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
8.00% |
N/A |
| |
LPL FINANCIAL 9785 TOWNE CENTRE DR SAN DIEGO CA 92121-1968 |
Class Inst |
28.56% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class Inst |
9.52% |
N/A |
| Class Inst3 |
44.55% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
16.44% |
N/A |
| Class Inst3 |
9.43% | |||
| Class S |
18.74% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst |
12.05% |
N/A |
| Class Inst2 |
9.11% | |||
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class C |
5.03% |
N/A |
| Class Inst |
6.70% | |||
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
6.39% |
N/A |
| Global Technology Growth Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
27.70% |
N/A |
| Class C |
24.70% | |||
| Class Inst |
20.97% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
11.06% |
N/A |
| Class Inst2 |
35.74% | |||
| Class S |
66.87% | |||
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class Inst3 |
11.02% |
N/A |
| |
EMPOWER TRUST FBO
EMPOWER BENEFIT PLANS
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class Inst2 |
10.69% |
N/A |
| |
FIIOC FBO
LYNX SOFTWARE TECHNOLOGIES INC
100 MAGELLAN WAY # KW1C
COVINGTON KY 41015-1987 |
Class Inst3 |
5.09% |
N/A |
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class Inst3 |
14.61% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
6.58% |
N/A |
| Class C |
12.99% | |||
| Class Inst |
22.02% | |||
| |
MERRILL LYNCH PIERCE FENNER & SMITH INC FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTENTION SERVICE TEAM 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
Class A |
8.36% |
N/A |
| Class Inst |
9.73% | |||
| Class Inst3 |
22.96% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MINNESOTA LIFE INSURANCE COMPANY
400 ROBERT ST N
SAINT PAUL MN 55101-2037 |
Class Inst |
7.09% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
5.63% |
N/A |
| Class C |
6.88% | |||
| Class Inst |
7.37% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
12.04% |
N/A |
| Class Inst2 |
24.55% | |||
| Class Inst3 |
10.24% | |||
| Class S |
26.10% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
10.47% |
N/A |
| Class Inst3 |
16.97% | |||
| Class S |
5.16% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
7.35% |
N/A |
| Class Inst |
7.18% | |||
| |
RELIANCE TRUST COMPANY FBO
CALAMP DC PLAN
PO BOX 48529
ATLANTA GA 30362-1529 |
Class Inst2 |
5.39% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
6.51% |
N/A |
| Class C |
17.35% | |||
| Greater China Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
8.77% |
N/A |
| Class Inst |
7.23% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
10.18% |
N/A |
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class Inst3 |
5.25% |
N/A |
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class Inst3 |
88.14% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class A |
9.53% |
N/A |
| Class Inst |
17.82% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENEFIT OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
Class A |
7.06% |
N/A |
| Class Inst |
5.25% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
14.15% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class A |
5.33% |
N/A |
| |
TIMOTHY C TANG
SU CHIN TANG JT WROS
26638 PURISSIMA RD
LOS ALTOS CA 94022-3328 |
Class Inst |
9.07% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
15.03% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
8.82% |
N/A |
| Integrated Small Cap Growth Fund |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
12.55% |
N/A |
| |
JOHN C WIERSUM
DEBORAH C WIERSUM JTWROS
1456 94TH AVE
KENOSHA WI 53144-7724 |
Class A |
5.88% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
6.86% |
N/A |
| Class Inst |
47.54% | |||
| |
MATRIX TRUST COMPANY
HARRIS INVESTMENT MANAGEMENT INCENT
PO BOX 52129
PHOENIX AZ 85072-2129 |
Class Inst |
5.01% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
32.77% |
32.29% |
| Class Inst |
30.22% | |||
| International Dividend Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
20.99% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
7.58% |
N/A |
| Class Inst2 |
88.27% | |||
| Class S |
54.96% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
5.81% |
N/A |
| Class Inst3 |
42.30% | |||
| |
JPMCB NA CUST FOR
COLUMBIA INCOME BUILDER FUND
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
55.48% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC FEBO CUSTOMERS MUTUAL FUNDS 200 LIBERTY STREET 1WFC NEW YORK NY 10281-1015 |
Class A |
8.33% |
N/A |
| Class Inst2 |
7.03% | |||
| Class S |
37.42% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class S |
7.17% |
N/A |
| MM Alternative
Strategies Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class Inst |
100.00% |
100.00% |
| MM International Equity
Strategies Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class Inst |
100.00% |
100.00% |
| MM Small Cap Equity
Strategies Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class Inst |
100.00% |
100.00% |
| MM Total Return Bond
Strategies Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class Inst |
100.00% |
100.00% |
| Multisector Bond SMA
Completion Portfolio |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
N/A |
99.91% |
99.91% |
| Overseas SMA Completion Portfolio |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
N/A |
9.15% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
N/A |
89.33% |
89.33% |
| Pyrford International Stock Fund |
CAPINCO C/O US BANK NA
1555 N RIVERCENTER DR STE 302
MILWAUKEE WI 53212-3958 |
Class Inst |
11.92% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
43.51% |
N/A |
| Class Inst2 |
99.95% | |||
| |
COLUMBIA MGMT INVESTMENT ADVSR LLC
ATTN KATRINA MACBAIN
50807 AMERIPRISE FINANCIAL CTR
MINNEAPOLIS MN 55474-0508 |
Class R |
100.00% |
N/A |
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class Inst3 |
38.94% |
N/A |
| |
DIANA L LAMBOY TOD
BENEFICIARY INFORMATION ON FILE
SUBJECT TO STA TOD RULES
2510 CHAUCER CT
EUGENE OR 97405-1217 |
Class A |
5.25% |
N/A |
| |
EMPOWER TRUST FBO
EMPOWER BENEFIT PLANS
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class Inst3 |
8.36% |
N/A |
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class Inst3 |
9.06% |
N/A |
| |
LPL FINANCIAL 9785 TOWNE CENTRE DR SAN DIEGO CA 92121-1968 |
Class A |
5.57% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MATRIX TRUST COMPANY
TRUSTEES OF COMMUNITY FIRST CREDIT
DB 3(38) MODERATELY CONSERVATIVE
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class Inst3 |
11.12% |
N/A |
| |
MITRA & CO FBO 98
C/O RELIANCE TRUST COMPANY WI
4900 WEST BROWN DEER ROAD
MAILCODE: BD1N – ATTN: MF
MILWAUKEE WI 53223-2422 |
Class Inst |
5.24% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
12.25% |
25.78% |
| Class Inst |
39.07% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class A |
9.68% |
N/A |
| |
PRINCIPAL LIFE INS COMPANY CUST
FBO PFG OMNIBUS WRAPPED AND CUSTOM
ATTN PLIC PROXY COORDINATOR
FUNDS
711 HIGH ST
DES MOINES IA 50392-0001 |
Class Inst3 |
19.82% |
N/A |
| |
SEI PRIVATE TRUST COMPANY
C/O PRINCIPAL FINANCIAL
1 FREEDOM VALLEY DR
OAKS PA 19456-9989 |
Class Inst |
33.47% |
N/A |
| |
UMB BANK NA
CUST IRA FBO
JOANNE S LAFAY
230 POMANDER SQ
EAST AURORA NY 14052-1523 |
Class A |
5.45% |
N/A |
| Select Mid Cap Growth Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
57.21% |
31.03% |
| Class C |
39.70% | |||
| Class Inst |
6.14% | |||
| |
ASCENSUS TRUST CO FBO
MT. VIEW FARMING 401(K) PLAN
PO BOX 10758
FARGO ND 58106-0758 |
Class C |
13.63% |
N/A |
| |
ASCENSUS TRUST CO FBO
INDEX CORPORATION RETIREMENT PLAN
PO BOX 10758
FARGO ND 58106-0758 |
Class Inst2 |
6.04% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
28.63% |
N/A |
| Class S |
52.32% | |||
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class Inst3 |
7.41% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
5.04% |
N/A |
| |
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
Class Inst2 |
5.19% |
N/A |
| Class Inst3 |
9.46% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
7.68% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class Inst |
5.93% |
N/A |
| Class Inst3 |
39.81% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
24.85% |
N/A |
| Class Inst3 |
22.23% | |||
| Class S |
40.62% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
5.23% |
N/A |
| Class Inst2 |
28.47% | |||
| Class S |
5.45% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
6.77% |
N/A |
| |
TIAA TRUST, N.A. AS CUST/TTEE
OF RETIREMENT PLANS
RECORDKEPT BY TIAA
ATTN: FUND OPERATIONS
8500 ANDREW CARNEGIE BLVD
CHARLOTTE NC 28262-8500 |
Class Inst3 |
5.07% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
14.32% |
N/A |
| Small Cap Growth Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
26.92% |
N/A |
| Class C |
32.25% | |||
| Class Inst |
24.04% | |||
| |
BAND & CO
C/O US BANK NA
PO BOX 1787
MILWAUKEE WI 53201-1787 |
Class Inst3 |
16.52% |
N/A |
| |
CAPINCO C/O US BANK NA
1555 N RIVERCENTER DR STE 302
MILWAUKEE WI 53212-3958 |
Class Inst3 |
11.66% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
6.50% |
N/A |
| Class Inst2 |
36.77% | |||
| Class S |
64.12% | |||
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class R |
8.75% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
19.43% |
N/A |
| |
EMPOWER TRUST FBO FBO PLANPREMIER RTMT PLANS OMNIBUS 8515 E ORCHARD RD #2T2 GREENWOOD VILLAGE CO 80111-5002 |
Class R |
27.35% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
JOHN HANCOCK TRUST COMPANY LLC
200 BERKELEY ST
BOSTON MA 02116-5022 |
Class Inst2 |
6.16% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
8.25% |
N/A |
| Class Inst |
12.68% | |||
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class A |
15.17% |
N/A |
| Class Inst |
6.58% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
6.58% |
N/A |
| Class Inst |
5.23% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
6.68% |
N/A |
| Class Inst |
5.27% | |||
| Class Inst2 |
11.18% | |||
| Class Inst3 |
8.80% | |||
| Class S |
27.47% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
5.98% |
N/A |
| Class Inst2 |
17.82% | |||
| Class S |
7.18% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
12.72% |
N/A |
| Class Inst |
8.36% | |||
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
44.82% |
N/A |
| |
STATE STREET CORPORATION
FBO ADP ACCESS
1 LINCOLN ST
BOSTON MA 02111-2901 |
Class R |
5.95% |
N/A |
| |
STIFEL NICOLAUS & CO INC
EXCLUSIVE BENEFIT OF CUSTOMERS
501 N BROADWAY
SAINT LOUIS MO 63102-2188 |
Class C |
6.26% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
18.57% |
N/A |
| |
VANGUARD FDUCIARY TRUST CO
PO BOX 2600 VM 613
ATTN: OUTSIDE FUNDS
VALLEY FORGE PA 19482-2600 |
Class Inst2 |
17.00% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
20.70% |
N/A |
| Strategic Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVENUE SOUTH
MINNEAPOLIS MN 55402-3367 |
Class A |
54.13% |
N/A |
| Class C |
32.92% | |||
| Class Inst |
19.71% | |||
| |
ASCENSUS TRUST CO FBO ANDREINI BROS INC EMPLOYEES PS PLAN PO BOX 10758 FARGO ND 58106-0758 |
Class R |
8.28% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
49.63% |
N/A |
| Class S |
45.04% | |||
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
OMNIBUS
ATTN NPIO TRADE DESK
711 HIGH ST
DES MOINES IA 50392-0001 |
Class R |
16.37% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
15.66% |
N/A |
| |
EMPOWER TRUST FBO
EMPOWER BENEFIT PLANS
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111-5002 |
Class R |
6.06% |
N/A |
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class Inst3 |
11.16% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
5.78% |
N/A |
| Class C |
10.40% | |||
| Class Inst |
12.15% | |||
| |
MAILCODE BD1N ATTN MF
C/O RELIANCE TRUST COMPANY WI
MARIL & CO FBO JI
4900 W BROWN DEER RD
MILWAUKEE WI 53223-2422 |
Class Inst3 |
33.18% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class C |
5.43% |
N/A |
| Class Inst |
12.75% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENEFIT OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class C |
12.27% |
N/A |
| Class Inst |
14.00% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
6.20% |
N/A |
| Class Inst2 |
41.28% | |||
| Class Inst3 |
5.94% | |||
| Class R |
9.28% | |||
| Class S |
36.09% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst3 |
13.33% |
N/A |
| Class S |
17.77% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
7.14% |
N/A |
| Class Inst |
9.48% | |||
| |
RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS PROCESSING OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400 MINNEAPOLIS MN 55401-7582 |
Class Inst |
6.27% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
RELIANCE TRUST COMPANY FBO
WAUKESHA NON-EB C/C
PO BOX 570788
ATLANTA GA 30357-3114 |
Class Inst3 |
5.98% |
N/A |
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
49.70% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
8.84% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
15.84% |
N/A |
| Class Inst |
8.93% | |||
| Ultra Short Duration Municipal Bond Fund |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTENTION MUTUAL FUND
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
17.03% |
N/A |
| Class Inst |
7.53% | |||
| |
EMA INC
2355 HIGHWAY 36 W STE 301
SAINT PAUL MN 55113-3904 |
Class Inst |
5.21% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
5.09% |
N/A |
| Class Inst |
7.76% | |||
| |
MARIL & CO FBO 71
C/O RELIANCE TRUST COMPANY WI
4900 W BROWN DEER RD
MILWAUKEE WI 53223-2422 |
Class Inst |
7.99% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
20.01% |
59.01% |
| Class Inst |
62.28% | |||
| |
PATRICIA A FRAZIER TTEE
DANIEL G FRAZIER TTEE
FRAZIER REVOCABLE TRUST U/A DTD
09/16/1991
10042 N HOLMES CT
MEQUON WI 53092-5453 |
Class A |
14.04% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: COURTNEY WALLER
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class A |
11.80% |
N/A |
| |
STIFEL NICOLAUS & CO INC
EXCLUSIVE BENEFIT OF CUSTOMERS
501 N BROADWAY
SAINT LOUIS MO 63102-2188 |
Class A |
10.49% |
N/A |
| |
SUSAN A ERICKSON 3705 W MULBERRY DR MEQUON WI 53092-2759 |
Class A |
10.09% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| Intermediate Duration Municipal Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
23.14% |
N/A |
| Class C |
24.99% | |||
| Class Inst |
35.99% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY STREET
SAN FRANCISCO CA 94104-4141 |
Class A |
21.37% |
N/A |
| Class Inst2 |
77.13% | |||
| Class S |
48.94% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class A |
6.43% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
5.63% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class C |
10.65% |
27.98% |
| Class Inst |
6.73% | |||
| Class Inst3 |
67.75% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
11.94% |
N/A |
| Class C |
19.25% | |||
| Class Inst |
13.83% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
14.54% |
N/A |
| Class Inst2 |
17.55% | |||
| Class S |
41.79% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
5.07% |
N/A |
| Class S |
8.79% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
8.45% |
N/A |
| |
SEI PRIVATE TRUST COMPANY
C/O BNY MELLON
ATTN MUTUAL FUND ADMIN
1 FREEDOM VALLEY DR
OAKS PA 19456-9989 |
Class Inst3 |
26.79% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
6.39% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
23.50% |
N/A |
| MA Intermediate Municipal Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
12.88% |
N/A |
| Class Inst |
44.52% | |||
| |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
Class A |
5.82% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class Inst |
6.66% |
45.82% |
| Class Inst3 |
97.95% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
12.29% |
N/A |
| Class Inst |
22.57% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst |
11.95% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class A |
47.44% |
N/A |
| NY Intermediate Municipal Bond Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
17.97% |
N/A |
| Class Inst |
35.25% | |||
| |
CHARLES SCHWAB & CO INC
CUST A/C FOR THE EXCLUSIVE BENEFIT
ATTN MUTUAL FUNDS
101 MONTGOMERY STREET
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
77.37% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
6.92% |
N/A |
| |
J P MORGAN SECURITIES LLC OMNIBUS
ACCOUNT FOR THE EXCLUSIVE BENEFIT
OF CUSTOMERS
4 CHASE METROTECH CENTER
3RD FL MUTUAL FUND DEPARTMENT
BROOKLYN NY 11245-0003 |
Class A |
5.35% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
9.47% |
N/A |
| Class Inst |
8.12% | |||
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class A |
15.02% |
31.76% |
| Class Inst |
14.70% | |||
| Class Inst3 |
92.97% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
8.92% |
N/A |
| Class Inst |
5.29% | |||
| Class Inst2 |
21.81% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class A |
15.00% |
N/A |
| Class Inst |
8.72% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
8.52% |
N/A |
| Select Global Equity Fund |
AMERICAN ENTERPRISE INVESTMENT SVC 901 3RD AVE S MINNEAPOLIS MN 55402-3367 |
Class A |
70.17% |
65.98% |
| Class C |
64.60% | |||
| Class Inst |
65.99% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT FBO
CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY STREET
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
58.74% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
68.80% |
N/A |
| |
EMPOWER TRUST FBO
EMPLOYEE BENEFITS CLIENTS
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst3 |
6.21% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
7.44% |
N/A |
| Class Inst |
12.42% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst2 |
30.11% |
N/A |
| Class Inst3 |
7.07% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst |
5.49% |
N/A |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
5.91% |
N/A |
| |
STATE STREET BANK AND TRUST AS
TRUSTEE AND/OR CUSTODIAN FBO
ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
Class Inst3 |
7.17% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
10.00% |
N/A |
| Seligman Global Technology Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
32.86% |
28.09% |
| Class C |
41.80% | |||
| Class Inst |
34.93% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY STREET
SAN FRANCISCO CA 94104-4141 |
Class A |
7.26% |
N/A |
| Class Inst2 |
54.24% | |||
| Class S |
23.27% | |||
| |
DCGT AS TTEE AND/OR CUST
FBO PLIC VARIOUS RETIREMENT PLANS
ATTN NPIO TRADE DESK
OMNIBUS
711 HIGH ST
DES MOINES IA 50392-0001 |
Class Inst3 |
5.63% |
N/A |
| |
J P MORGAN SECURITIES LLC OMNIBUS ACCOUNT FOR THE EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CENTER 3RD FL MUTUAL FUND DEPARTMENT BROOKLYN NY 11245-0003 |
Class Inst3 |
48.25% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
7.29% |
N/A |
| Class Inst |
14.17% | |||
| |
MASSACHUSETTS MUTUAL LIFE INSURANCE
1295 STATE STREET MIP M200-INVST
SPRINGFIELD MA 01111-0001 |
Class Inst3 |
8.39% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
5.14% |
N/A |
| Class C |
14.12% | |||
| Class Inst |
5.65% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
10.75% |
N/A |
| Class Inst2 |
22.18% | |||
| Class S |
44.56% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class C |
8.92% |
N/A |
| Class Inst2 |
9.21% | |||
| Class Inst3 |
7.67% | |||
| Class S |
10.09% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
10.48% |
N/A |
| |
SAMMONS FINANCIAL NETWORK LLC
8300 MILLS CIVIC PKWY
WEST DES MOINES IA 50266-3833 |
Class R |
22.80% |
N/A |
| |
STATE STREET BANK AND TRUST AS
TRUSTEE AND/OR CUSTODIAN FBO
ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
Class Inst3 |
5.85% |
N/A |
| |
THE HARTFORD
1 HARTFORD PLZ
HARTFORD CT 06155-0001 |
Class Inst3 |
5.05% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
6.27% |
N/A |
| |
VOYA INSTITUTIONAL TRUST COMPANY
1 ORANGE WAY
WINDSOR CT 06095-4773 |
Class R |
68.27% |
N/A |
| Class S |
21.29% | |||
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class C |
12.76% |
N/A |
| Class Inst |
7.78% | |||
| Strategic CA Municipal Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
35.12% |
34.51% |
| Class C |
68.44% | |||
| Class Inst |
35.93% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY STREET
SAN FRANCISCO CA 94104-4141 |
Class A |
6.68% |
N/A |
| Class Inst2 |
59.82% | |||
| |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
Class Inst3 |
36.93% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
9.34% |
N/A |
| Class Inst |
11.16% | |||
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class A |
9.61% |
N/A |
| Class Inst |
11.60% | |||
| Class Inst3 |
59.97% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
6.13% |
N/A |
| Class Inst |
18.12% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst |
5.54% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0002 |
Class Inst2 |
40.18% |
N/A |
| |
UBS WM USA
SPEC CDY A/C EXCL BEN CUST UBSFSI
1000 HARBOR BLVD
WEEHAWKEN NJ 07086-6761 |
Class Inst |
5.54% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
6.56% |
N/A |
| Class C |
10.65% | |||
| Strategic NY Municipal Income Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
22.58% |
N/A |
| Class C |
37.83% | |||
| Class Inst |
17.80% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMERS
ATTN MUTUAL FUNDS
101 MONTGOMERY STREET
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
91.64% |
N/A |
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
10.28% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class C |
20.66% |
N/A |
| Class Inst |
15.83% | |||
| |
MERRILL LYNCH PIERCE FENNER
& SMITH INC FOR THE SOLE BENEFIT
OF ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class A |
8.39% |
N/A |
| Class Inst |
23.56% | |||
| Class Inst3 |
88.40% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class Inst |
8.70% |
N/A |
| |
PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-0002 |
Class A |
6.81% |
N/A |
| Class Inst |
9.36% | |||
| Class Inst2 |
8.36% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
10.59% |
N/A |
| |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER
250 NICOLLET MALL SUITE 1400
MINNEAPOLIS MN 55401-7582 |
Class C |
9.71% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523 |
Class A |
7.77% |
N/A |
| Class C |
13.60% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| Acorn European Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
34.94% |
32.97% |
| Class Inst |
29.19% | |||
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND DEPT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
27.60% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
5.43% |
N/A |
| Class Inst |
5.92% | |||
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class Inst |
15.22% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
15.31% |
N/A |
| Class Inst |
14.17% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON 14G
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class Inst |
11.28% |
N/A |
| Acorn Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
11.78% |
N/A |
| Class C |
16.19% | |||
| |
ASCENSUS TRUST COMPANY FBO
LCG ASSOCIATES INC 401(K) PLAN
PO BOX 10758
FARGO ND 58106-0758 |
Class Inst3 |
12.05% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND DEPT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
5.03% |
N/A |
| Class Inst2 |
37.36% | |||
| Class S |
44.16% | |||
| |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
Class Inst3 |
52.32% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
EMPOWER TRUST FBO
EMPOWER BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst3 |
5.91% |
N/A |
| |
FIIOC FBO
HALL & ASSOCIATES INC 401K &
PS PLAN
100 MAGELLAN WAY #KW1C
COVINGTON KY 41015-1987 |
Class Inst2 |
17.71% |
N/A |
| |
LINCOLN LIFE INSURANCE COMPANY
1300 S CLINTON ST
FORT WAYNE IN 46802-3518 |
Class S |
5.65% |
N/A |
| |
LOUIS L LAROCCO TTEE
LOUIS L LAROCCO DDS
2 JOSEPH LN
FARMINGDALE NY 11735-6001 |
Class C |
9.08% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
9.14% |
N/A |
| Class C |
9.49% | |||
| Class Inst2 |
5.31% | |||
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FBO LOUIS SENNELLO TTEE
LOUIS SENNELLO TRUST
4800 DEER LAKE DR E FL 2
JACKSONVILLE FL 32246-6484 |
Class A |
9.27% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC
FOR THE EXCLUSIVE BENE OF ITS CUST
1 NEW YORK PLZ FL 12
NEW YORK NY 10004-1965 |
Class A |
5.08% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
11.71% |
N/A |
| Class Inst2 |
18.61% | |||
| Class Inst3 |
14.59% | |||
| Class S |
41.84% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0001 |
Class A |
7.52% |
N/A |
| Class C |
14.12% | |||
| Class Inst2 |
6.79% | |||
| Class S |
5.59% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON 14G
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
9.22% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
Class A |
6.94% |
N/A |
| Class C |
11.03% | |||
| Acorn International Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
44.68% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND DEPT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
38.31% |
N/A |
| Class S |
49.98% | |||
| |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
Class Inst3 |
73.72% |
N/A |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
6.58% |
N/A |
| Class Inst2 |
30.86% | |||
| Class Inst3 |
16.17% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
499 WASHINGTON BLVD
ATTN MUTUAL FUNDS DEPARTMENT 4TH FL
JERSEY CITY NJ 07310-1995 |
Class S |
44.05% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0001 |
Class Inst2 |
15.72% |
N/A |
| |
TIAA TRUST, N.A. AS CUST/TTEE
OF RETIREMENT PLANS
RECORDKEPT BY TIAA
ATTN: FUND OPERATIONS
8500 ANDREW CARNEGIE BLVD
CHARLOTTE NC 28262-8500 |
Class Inst2 |
10.21% |
N/A |
| Acorn International Select Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
40.12% |
25.60% |
| Class Inst |
7.60% | |||
| |
BNY MELLON CUST
FBO EVERSOURCE NON UNION
MEDICAL TRUST
107 SELDEN ST
BERLIN CT 06037-1616 |
Class Inst3 |
40.33% |
N/A |
| |
CAPINCO
C/O US BANK NA
PO BOX 1787
MILWAUKEE WI 53201-1787 |
Class Inst |
5.27% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND DEPT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class A |
5.72% |
N/A |
| Class Inst2 |
74.90% | |||
| Class S |
58.36% | |||
| |
EDWARD D JONES & CO
FOR THE BENEFIT OF CUSTOMERS
12555 MANCHESTER RD
SAINT LOUIS MO 63131-3710 |
Class Inst3 |
51.88% |
N/A |
| |
FIIOC FBO
THE CAPROCK GROUP 401(K) PLAN
100 MAGELLAN WAY #KW1C
COVINGTON KY 41015-1987 |
Class S |
5.05% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FOR THE SOLE BENEFIT OF
ITS CUSTOMERS
ATTN FUND ADMINISTRATION
4800 DEER LAKE DR E FL 3
JACKSONVILLE FL 32246-6484 |
Class A |
6.98% |
N/A |
| Class Inst |
10.24% | |||
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
5.42% |
N/A |
| Class Inst2 |
10.31% | |||
| Class S |
28.29% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0001 |
Class Inst2 |
12.56% |
N/A |
| Class S |
8.03% | |||
| Real Estate Equity Fund |
AMERICAN ENTERPRISE INVESTMENT SVC 901 3RD AVE S MINNEAPOLIS MN 55402-3367 |
Class A |
61.37% |
N/A |
| Class Inst |
5.37% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND DEPT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
40.77% |
N/A |
| Class S |
67.98% | |||
| |
EMPOWER TRUST FBO
EMPOWER BENEFIT PLANS
8515 E ORCHARD RD # 2T2
GREENWOOD VLG CO 80111-5002 |
Class Inst2 |
49.43% |
N/A |
| Class Inst3 |
7.23% | |||
| |
JPMCB NA CUST FOR
COLUMBIA INCOME BUILDER FUND
4 CHASE METROTECH CENTER 3RD FLOOR
BROOKLYN NY 11245-0003 |
Class Inst3 |
86.21% |
N/A |
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class Inst |
12.63% |
N/A |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class S |
27.72% |
N/A |
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0001 |
Class Inst2 |
5.43% |
N/A |
| Thermostat Fund |
AMERICAN ENTERPRISE INVESTMENT SVC
901 3RD AVE S
MINNEAPOLIS MN 55402-3367 |
Class A |
39.21% |
N/A |
| Class C |
34.31% | |||
| Class Inst |
16.22% | |||
| |
ASCENSUS TRUST COMPANY FBO
HARGENS INC 401(K) PROFIT SHARING
PO BOX 10758
FARGO ND 58106-0758 |
Class Inst3 |
5.17% |
N/A |
| |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN MUTUAL FUND DEPT
101 MONTGOMERY ST
SAN FRANCISCO CA 94104-4141 |
Class Inst2 |
54.73% |
N/A |
| Class S |
23.13% | |||
| |
LPL FINANCIAL
9785 TOWNE CENTRE DR
SAN DIEGO CA 92121-1968 |
Class A |
5.97% |
N/A |
| Class C |
14.97% | |||
| Class Inst |
9.22% | |||
| |
MATRIX TRUST COMPANY CUST FBO
ENPURICON INC 401(K) PS PLAN
717 17TH ST STE 1300
DENVER CO 80202-3304 |
Class Inst3 |
5.00% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FOR THE SOLE BENEFIT OF
ITS CUSTOMERS
ATTN FUND ADMINISTRATION
4800 DEER LAKE DR E FL 2
JACKSONVILLE FL 32246-6484 |
Class A |
7.25% |
N/A |
| |
MERRILL LYNCH PIERCE FENNER & SMITH
FOR THE SOLE BENEFIT OF
ITS CUSTOMERS
ATTENTION SERVICE TEAM
4800 DEER LAKE DRIVE EAST 3RD FLOOR
JACKSONVILLE FL 32246-6484 |
Class Inst |
16.18% |
N/A |
| |
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
Class A |
6.99% |
N/A |
| Class C |
7.78% | |||
| Class Inst |
13.56% |
| Fund |
Shareholder Name and Address |
Share Class |
Percentage
of Class |
Percentage of Fund
(if greater than 25%) |
| |
NATIONAL FINANCIAL SERVICES LLC
FEBO CUSTOMERS
MUTUAL FUNDS
200 LIBERTY STREET 1WFC
NEW YORK NY 10281-1015 |
Class A |
12.52% |
N/A |
| Class C |
6.54% | |||
| Class Inst |
7.69% | |||
| Class Inst2 |
34.65% | |||
| Class Inst3 |
31.17% | |||
| Class S |
65.95% | |||
| |
PERSHING LLC
1 PERSHING PLZ
JERSEY CITY NJ 07399-0001 |
Class Inst3 |
23.34% |
N/A |
| Class S |
8.86% | |||
| |
RAYMOND JAMES
FBO OMNIBUS FOR MUTUAL FUNDS
ATTN: MUTUAL FUND RECON 14G
880 CARILLON PKWY
ST PETERSBURG FL 33716-1100 |
Class C |
6.02% |
N/A |
| Class Inst |
9.98% | |||
| |
VRSCO
FBO VTC CUST TTEE FBO
ANESTHESIA ASSOCIATES OF BOISE 401K
2727A ALLEN PKWY # 4-D1
HOUSTON TX 77019-2107 |
Class Inst3 |
20.96% |
N/A |
| |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523 |
Class A |
6.93% |
N/A |
| Class C |
12.55% | |||
| Class Inst |
7.52% |
| Long-Term Rating |
Short-Term Rating |
| AAA |
F1+ |
| AA+ |
F1+ |
| AA |
F1+ |
| AA– |
F1+ |
| A+ |
F1 or F1+ |
| A |
F1 or F1+ |
| A– |
F2 or F1 |
| BBB+ |
F2 or F1 |
| BBB |
F3 or F2 |
| BBB– |
F3 |
| BB+ |
B |
| BB |
B |
| BB– |
B |
| B+ |
B |
| B |
B |
| B– |
B |
| CCC+ / CCC / CCC– |
C |
| CC |
C |
| C |
C |
| RD / D |
RD / D |
| Long-Term Rating |
Short-Term Rating |
| AAA AA+
AA AA– |
K1+ |
| A+ |
K1+ or K1 |
| A |
K1 |
| A– |
K1 or K2 |
| BBB+ |
K2 |
| BBB |
K2 or K3 |
| BBB– |
K3 |
| BB+
BB BB–
B+ B
B– |
B |
| CCC+ CCC
CCC– CC C
|
C |
| D |
D |
| Corporate governance guidelines for equities |
B-1 |
| 1. Overview of key principles and approach |
B-1 |
| 2. Role, structure and operation of boards |
B-2 |
| 3. Board committees |
B-5 |
| 4. Compensation |
B-6 |
| 5. Audit, risk and control |
B-7 |
| 6. Shareholder rights |
B-8 |
| 7. Reporting |
B-9 |
| 8. Social and environmental factors |
B-10 |
| 9. Voting matters |
B-11 |
| Corporate governance guidelines for corporate debt |
B-13 |