| Class |
Ticker Symbol |
| A |
LIIAX |
| Institutional (Class Inst) |
SRINX |
| Institutional 2 (Class Inst2) |
CPIRX |
| Institutional 3 (Class Inst3) |
CRIYX |
| S |
SRIJX |
| Shareholder Fees (fees paid directly from your
investment) | ||
| |
Class A |
Classes Inst, Inst2,
Inst3 and S |
| Maximum sales charge (load) imposed on purchases (as a % of offering price)
|
4.75 % |
None |
| Maximum deferred sales charge (load) imposed on redemptions (as a % of the lower of the original
purchase price or current net asset value) |
1.00
%(a) |
None |
| Annual Fund Operating Expenses (expenses that you pay
each year as a percentage of the value of your investment) | |||||
| |
Class A |
Class Inst |
Class Inst2 |
Class Inst3 |
Class S |
| Management fees |
0.49 % |
0.49 % |
0.49 % |
0.49 % |
0.49 % |
| Distribution and/or service (12b-1) fees |
0.25 % |
0.00 % |
0.00 % |
0.00 % |
0.00 % |
| Other expenses |
0.16 % |
0.16 % |
0.07 % |
0.02 % |
0.16 % |
| Total annual Fund operating expenses(b) |
0.90 % |
0.65 % |
0.56 % |
0.51 % |
0.65 % |
| Less: Fee waivers and/or expense reimbursements(c) |
(0.05 %) |
(0.05 %) |
(0.06 %) |
(0.04 %) |
(0.05 %) |
| Total annual Fund operating expenses after fee waivers and/or expense
reimbursements |
0.85 % |
0.60 % |
0.50 % |
0.47 % |
0.60 % |
| |
1 year |
3 years |
5 years |
10 years |
| Class A (whether or not shares are redeemed) |
$558 |
$744 |
$945 |
$1,526 |
| Class Inst (whether or not shares are redeemed) |
$61 |
$203 |
$357 |
$806 |
| Class Inst2 (whether or not shares are redeemed) |
$51 |
$173 |
$307 |
$696 |
| Class Inst3 (whether or not shares are redeemed) |
$48 |
$160 |
$281 |
$637 |
| Class S (whether or not shares are redeemed) |
$61 |
$203 |
$357 |
$806 |
| Year by Year Total Return (%) as of December 31 Each Year* |
Best and Worst Quarterly Returns
During the Period Shown in the Bar Chart | ||
![]() |
Best |
2nd Quarter 2020 |
10.14% |
| Worst |
2nd Quarter 2022 |
-8.34% | |
| |
Share Class
Inception Date |
1 Year |
5 Years |
10 Years |
| Class A |
07/31/2000 |
|
|
|
| returns before taxes |
|
1.98% |
-0.90% |
3.01% |
| returns after taxes on distributions |
|
0.21% |
-2.39% |
1.54% |
| returns after taxes on distributions and sale of Fund shares |
|
1.14% |
-1.30% |
1.72% |
| Class Inst returns before taxes |
03/05/1986 |
7.33% |
0.32% |
3.77% |
| Class Inst2 returns before taxes |
11/08/2012 |
7.57% |
0.45% |
3.88% |
| Class Inst3 returns before taxes |
11/08/2012 |
7.49% |
0.48% |
3.92% |
| Class S returns before taxes |
10/02/2024 |
7.33% |
0.32% |
3.77% |
| Blended Benchmark (consisting of 85% Bloomberg U.S. Corporate Bond
Index and 15% ICE BofA U.S. Cash Pay High Yield
Constrained Index) (reflects no deduction for fees, expenses, taxes or, for ICE BofA U.S. Cash Pay High Yield Constrained Index for periods prior to July 2022, transaction costs) |
|
7.89% |
0.60% |
3.75% |
| Bloomberg U.S. Corporate Bond Index (reflects no deductions for fees, expenses or taxes) |
|
7.77% |
-0.09% |
3.27% |
| Bloomberg U.S. Aggregate Bond Index (reflects no deductions for
fees, expenses or taxes) |
|
7.30% |
-0.36% |
2.01% |
| Portfolio Management |
Title |
Role with Fund |
Managed Fund Since |
| Tom Murphy, CFA |
Vice President, Senior Portfolio Manager and Head of Investment Grade Credit |
Lead Portfolio Manager |
2011 |
| Royce D. Wilson, CFA |
Senior Portfolio Manager |
Portfolio Manager |
2020 |
| John Dawson, CFA |
Senior Portfolio Manager |
Portfolio Manager |
2020 |
| Online |
Regular Mail |
Express Mail |
By Telephone |
| columbiathreadneedleus.com/investor/ |
Columbia Management Investment Services Corp.
P.O. Box 219104
Kansas City, MO 64121-9104 |
Columbia Management Investment Services Corp.
801 Pennsylvania Ave., STE. 219104
Kansas City, MO 64105-1307 |
800.422.3737 |
| Class |
Category of eligible account |
For accounts other than
Systematic Investment
Plan accounts (as described in the Fund’s Prospectus) |
For Systematic Investment
Plan accounts |
| Class A |
All accounts other than
IRAs |
$2,000 |
$100 |
| IRAs |
$1,000 |
$100 | |
| Class Inst |
All eligible accounts |
$0, $1,000 or $2,000 depending upon the
category of eligible investor |
$100 |
| Class Inst2 |
All eligible accounts |
None |
N/A |
| Class Inst3 |
All eligible accounts |
$0, $1,000, $2,000
or $1 million depending
upon the category of
eligible investor |
$100 (for certain
eligible investors) |