Columbia Dividend Income Fund
Third Quarter Report
February 28, 2026 (Unaudited)
Not FDIC or NCUA Insured
No Financial Institution Guarantee
May Lose Value

Portfolio of Investments
Columbia Dividend Income Fund, February 28, 2026 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Common Stocks 98.4%
Issuer
Shares
Value ($)
Communication Services 6.6%
Diversified Telecommunication Services 3.1%
AT&T, Inc.
27,904,110
781,594,121
Comcast Corp., Class A
22,103,363
684,320,119
Total
1,465,914,240
Entertainment 1.5%
Walt Disney Co. (The)
6,720,036
712,592,617
Interactive Media & Services 2.0%
Alphabet, Inc., Class A
3,108,276
969,036,126
Total Communication Services
3,147,542,983
Consumer Discretionary 5.1%
Broadline Retail 0.7%
eBay, Inc.
3,570,101
324,379,377
Hotels, Restaurants & Leisure 1.6%
McDonald’s Corp.
2,296,220
783,148,793
Specialty Retail 2.8%
Home Depot, Inc. (The)
1,978,020
753,071,774
TJX Companies, Inc. (The)
3,565,784
576,444,642
Total
1,329,516,416
Total Consumer Discretionary
2,437,044,586
Consumer Staples 9.7%
Beverages 2.2%
Coca-Cola Co. (The)
7,704,739
628,398,513
PepsiCo, Inc.
2,557,352
434,084,928
Total
1,062,483,441
Consumer Staples Distribution & Retail 2.5%
Walmart, Inc.
9,194,907
1,176,488,351
Food Products 0.6%
Mondelez International, Inc., Class A
4,842,129
298,178,304
Household Products 2.2%
Procter & Gamble Co. (The)
6,335,642
1,059,319,342
Common Stocks (continued)
Issuer
Shares
Value ($)
Tobacco 2.2%
Altria Group, Inc.
8,713,260
601,563,471
Philip Morris International, Inc.
2,214,293
413,696,361
Total
1,015,259,832
Total Consumer Staples
4,611,729,270
Energy 6.8%
Oil, Gas & Consumable Fuels 6.8%
Chevron Corp.
4,973,221
928,798,754
ConocoPhillips Co.
4,868,391
552,367,643
EOG Resources, Inc.
2,068,893
256,708,243
Exxon Mobil Corp.
7,052,405
1,075,491,763
Valero Energy Corp.
2,190,833
448,332,065
Total
3,261,698,468
Total Energy
3,261,698,468
Financials 19.0%
Banks 8.4%
Bank of America Corp.
18,547,950
924,244,348
JPMorgan Chase & Co.
6,005,250
1,803,376,575
PNC Financial Services Group, Inc. (The)
2,734,810
580,736,904
Wells Fargo & Co.
8,786,090
715,627,030
Total
4,023,984,857
Capital Markets 6.1%
Bank of New York Mellon Corp. (The)
7,297,365
869,116,171
Blackrock, Inc.
522,872
555,933,197
CME Group, Inc.
2,249,725
718,787,138
Morgan Stanley
4,685,498
780,182,272
Total
2,924,018,778
Consumer Finance 0.6%
American Express Co.
962,985
297,466,067
Financial Services 0.9%
Visa, Inc., Class A
1,251,645
400,701,630
Insurance 3.0%
Chubb Ltd.
3,019,910
1,029,366,522
Marsh & McLennan Companies, Inc.
2,147,074
400,944,599
Total
1,430,311,121
Total Financials
9,076,482,453
2
Columbia Dividend Income Fund  | 2026

Portfolio of Investments  (continued)
Columbia Dividend Income Fund, February 28, 2026 (Unaudited)
Common Stocks (continued)
Issuer
Shares
Value ($)
Health Care 13.5%
Biotechnology 2.8%
AbbVie, Inc.
3,318,518
770,161,657
Gilead Sciences, Inc.
3,695,871
550,499,986
Total
1,320,661,643
Health Care Equipment & Supplies 2.1%
Abbott Laboratories
4,407,481
512,810,414
Medtronic PLC
4,993,559
487,670,972
Total
1,000,481,386
Health Care Providers & Services 1.0%
UnitedHealth Group, Inc.
1,615,307
473,721,084
Life Sciences Tools & Services 0.6%
Danaher Corp.
1,433,949
302,047,018
Pharmaceuticals 7.0%
AstraZeneca PLC
2,347,970
489,434,346
Bristol-Myers Squibb Co.
5,708,956
356,067,586
Johnson & Johnson
7,645,924
1,899,476,899
Merck & Co., Inc.
4,940,829
611,773,447
Total
3,356,752,278
Total Health Care
6,453,663,409
Industrials 12.6%
Aerospace & Defense 2.7%
General Dynamics Corp.
1,697,055
605,933,488
L3Harris Technologies, Inc.
750,069
273,430,153
Northrop Grumman Corp.
543,835
393,943,197
Total
1,273,306,838
Building Products 1.0%
Trane Technologies PLC
1,078,049
498,403,614
Commercial Services & Supplies 1.1%
Waste Management, Inc.
2,189,963
527,430,689
Electrical Equipment 1.0%
Emerson Electric Co.
3,038,872
458,109,954
Ground Transportation 2.0%
CSX Corp.
8,904,567
380,135,965
Union Pacific Corp.
2,192,617
580,999,653
Total
961,135,618
Common Stocks (continued)
Issuer
Shares
Value ($)
Industrial Conglomerates 1.0%
Honeywell International, Inc.
2,069,089
504,009,389
Machinery 3.3%
Illinois Tool Works, Inc.
1,567,388
455,529,975
Parker-Hannifin Corp.
1,108,424
1,118,599,332
Total
1,574,129,307
Professional Services 0.5%
Automatic Data Processing, Inc.
1,123,848
240,908,057
Total Industrials
6,037,433,466
Information Technology 15.4%
Communications Equipment 2.9%
Cisco Systems, Inc.
11,814,287
938,763,245
Motorola Solutions, Inc.
873,701
421,351,044
Total
1,360,114,289
Electronic Equipment, Instruments & Components 1.0%
TE Connectivity PLC
2,153,698
495,673,595
IT Services 1.7%
Accenture PLC, Class A
1,166,015
243,370,651
International Business Machines Corp.
2,435,980
585,146,755
Total
828,517,406
Semiconductors & Semiconductor Equipment 7.9%
Analog Devices, Inc.
3,450,737
1,227,737,717
Broadcom, Inc.
2,635,199
842,077,841
KLA Corp.
476,503
726,452,649
Lam Research Corp.
3,067,910
717,553,470
Texas Instruments, Inc.
1,200,440
254,625,328
Total
3,768,447,005
Software 1.9%
Microsoft Corp.
2,341,112
919,448,327
Total Information Technology
7,372,200,622
Materials 2.5%
Chemicals 1.4%
Linde PLC
1,321,782
671,570,999
Columbia Dividend Income Fund  | 2026
3

Portfolio of Investments  (continued)
Columbia Dividend Income Fund, February 28, 2026 (Unaudited)
Common Stocks (continued)
Issuer
Shares
Value ($)
Containers & Packaging 1.1%
Avery Dennison Corp.
1,246,829
244,814,874
Packaging Corp. of America
1,106,016
256,750,554
Total
501,565,428
Total Materials
1,173,136,427
Real Estate 1.6%
Health Care REITs 0.3%
Welltower, Inc.
812,514
168,287,900
Industrial REITs 0.5%
Prologis, Inc.
1,676,214
238,977,830
Residential REITs 0.4%
AvalonBay Communities, Inc.
954,584
169,180,922
Specialized REITs 0.4%
Public Storage
589,925
181,142,370
Total Real Estate
757,589,022
Utilities 5.6%
Electric Utilities 3.7%
American Electric Power Co., Inc.
2,867,190
383,687,366
Entergy Corp.
5,496,469
588,726,795
NextEra Energy, Inc.
2,826,569
265,047,375
Southern Co. (The)
5,439,666
529,714,675
Total
1,767,176,211
Common Stocks (continued)
Issuer
Shares
Value ($)
Multi-Utilities 1.9%
Ameren Corp.
2,290,877
259,510,547
CMS Energy Corp.
2,517,212
196,518,741
DTE Energy Co.
1,111,385
164,751,712
WEC Energy Group, Inc.
2,350,595
274,925,591
Total
895,706,591
Total Utilities
2,662,882,802
Total Common Stocks
(Cost $24,448,123,618)
46,991,403,508
Money Market Funds 1.5%
 
Shares
Value ($)
Columbia Short-Term Cash Fund, 3.777%(a),(b)
695,945,642
695,806,453
Total Money Market Funds
(Cost $695,685,554)
695,806,453
Total Investments in Securities
(Cost: $25,143,809,172)
47,687,209,961
Other Assets & Liabilities, Net
69,113,890
Net Assets
47,756,323,851
Notes to Portfolio of Investments
(a)
The rate shown is the seven-day current annualized yield at February 28, 2026.
(b)
Under the Investment Company Act of 1940, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. The value of the holdings and transactions in these affiliated companies during the period ended February 28, 2026 are as follows:
Affiliated issuers
Beginning
of period($)
Purchases($)
Sales($)
Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Realized gain
(loss)($)
Dividends($)
End of
period shares
Columbia Short-Term Cash Fund, 3.777%
 
727,069,445
3,144,824,360
(3,176,143,102
)
55,750
695,806,453
76,004
22,390,353
695,945,642
Investments are valued using policies described in the Notes to Financial Statements included within the most recent financial statements and additional information.
4
Columbia Dividend Income Fund  | 2026

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3QT139_05_T01_(04/26)