Find Institutional Investor
Institutional Investor
Browse Institutional Investors
Time Period
Activity
Security Type
Top Percentile
?
Use this filter to see holdings within a selected percentile portfolio.

For example, click 10 to show only holdings in the top 10 percentile.

100908070605040302010%
Sectors
?
Use the pull down list to add one or more sectors to the space below and click Apply to filter out the holdings that belong to your selected sector(s).
 
Stock Style
?
Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
61
10
7
3
2
0
39
10
5
COLUMBIA ASSET MANAGEMENT

Time Period2018-03-31

Total Holdings179

Total Value ($x1000)341,035
Activities
New5

Increased58

Unchanged56

Decreased60

Sold Out8

Top 10 Stock Holdingstotal 27.8%
AAPL4.57

MSFT3.82

INTC2.81

DWDP2.63

JNJ2.51

 
MRK2.5

DIS2.43

MMM2.23

ERIE2.21

CSCO2.09

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
AAPL
4.57%
COM
MSFT
3.82%
COM
INTC
2.81%
COM
DWDP
2.63%
COM
JNJ
2.51%
COM
MRK
2.5%
COM
DIS
2.43%
COM DISNEY
MMM
2.23%
COM
ERIE
2.21%
CL A
CSCO
2.09%
COM
HD
1.96%
COM
AMZN
1.9%
COM
BRK.B
1.82%
CL B NEW
NKE
1.74%
CL B
BA
1.72%
COM
MCD
1.69%
COM
V
1.66%
COM CL A
CVX
1.43%
COM
SBUX
1.41%
COM
GOOGL
1.4%
CL A
CAT
1.4%
COM
XOM
1.35%
CALL
AMGN
1.33%
COM
JPM
1.29%
COM
IBM
1.28%
COM
KO
1.27%
COM
EMR
1.23%
COM
SPY
1.15%
TR UNIT
GE
1.11%
COM
SYK
1.09%
COM
PFE
1.05%
COM
PG
1.04%
COM
GOOG
1.02%
CL C
TWX
0.95%
COM NEW
ADBE
0.91%
COM
VZ
0.91%
COM
GM
0.9%
COM
UNP
0.89%
COM
HON
0.88%
COM
PEP
0.88%
COM
RDS/A
0.87%
SPONS ADR A
C
0.87%
COM NEW
AXP
0.87%
COM
ABBV
0.82%
COM
TGT
0.71%
COM
T
0.67%
COM
BSV
0.63%
SHORT TRM BOND
UPS
0.62%
CL B
GAM
0.6%
COM
ITW
0.59%
COM
BUD
0.57%
SPONSORED ADR
INGN
0.56%
COM
BAC
0.54%
COM
GLW
0.53%
COM
AGN
0.5%
SHS
SNE
0.5%
ADR NEW
ORCL
0.45%
COM
FDX
0.44%
COM
MDT
0.44%
COM
BP
0.44%
SPONSORED ADR
QCOM
0.41%
COM
UTX
0.41%
COM
GD
0.41%
COM
VXUS
0.4%
VG TL INTL STK F
VO
0.4%
MID CAP ETF
MAR
0.4%
CL A
GIS
0.4%
COM
COP
0.39%
COM
EBAY
0.38%
COM
SO
0.38%
COM
WAT
0.36%
COM
DEO
0.36%
SPON ADR NEW
IWR
0.34%
RUS MID-CAP ETF
F
0.33%
COM PAR $0.01
LULU
0.33%
COM
MO
0.31%
COM
PYPL
0.31%
COM
BMY
0.3%
COM
AEP
0.29%
COM
GOLDMAN ...
0.29%
SPONSORED ADR
ABT
0.29%
COM
DUK
0.28%
COM NEW
MSG
0.28%
CL A
WM
0.28%
COM
COST
0.27%
COM
WFC
0.26%
COM
VFC
0.26%
COM
SYY
0.25%
COM
MHK
0.24%
COM
BWA
0.24%
COM
EPD
0.24%
COM
DAL
0.24%
COM NEW
VB
0.23%
SMALL CP ETF
CLX
0.23%
COM
SLB
0.23%
COM
WDC
0.23%
COM
PM
0.22%
COM
NFG
0.22%
COM
MDLZ
0.21%
CL A
MCHP
0.21%
COM
ARNC
0.21%
COM
CY
0.2%
COM
AIG
0.2%
COM NEW
HPT
0.2%
COM SH BEN INT
MTD
0.19%
COM
KRFT
0.19%
COM
ESRX
0.19%
COM
WBA
0.19%
COM
GSK
0.19%
SPONSORED ADR
DPS
0.19%
COM
DE
0.18%
COM
AZN
0.18%
SPONSORED ADR
VOD
0.18%
SPNSR ADR NO PAR
HPQ
0.17%
COM
FB
0.17%
CL A
GILD
0.16%
COM
MIC
0.16%
MEMBERSHIP INT
CL
0.16%
COM
CELG
0.16%
COM
WMT
0.16%
COM
UL
0.16%
SPON ADR NEW
RACE
0.15%
COM
IP
0.15%
COM
BCS
0.15%
ADR
MCK
0.14%
COM
WPC
0.14%
COM
CVS
0.14%
COM
HSY
0.14%
COM
MAS
0.13%
COM
HPE
0.13%
COM
PCAR
0.13%
COM
GPC
0.13%
COM
ABB
0.13%
SPONSORED ADR
MTB
0.12%
COM
TRV
0.12%
COM
DLB
0.12%
CALL
ELECTRON...
0.11%
UNIT LTD PARTN
LUV
0.11%
COM
LLY
0.11%
COM
PSX
0.11%
COM
KMB
0.11%
COM
HAS
0.11%
COM
ORLY
0.11%
COM
K
0.1%
COM
ALK
0.1%
COM
CMI
0.1%
COM
DTE
0.09%
COM
BEP
0.09%
PARTNERSHIP UNIT
ODFL
0.09%
COM
DECK
0.09%
COM
CTSH
0.09%
CL A
ACN
0.09%
SHS CLASS A
TOT
0.08%
SPONSORED ADR
ED
0.08%
COM
ADP
0.08%
COM
BK
0.08%
COM
SNY
0.07%
SPONSORED ADR
GNTX
0.07%
COM
GT
0.07%
COM
RCI
0.07%
CL B
SPUN
0.07%
GLOBAL SPINOFF
XRX
0.07%
COM
HRS
0.07%
COM
FDN
0.07%
DJ INTERNT IDX
KR
0.07%
COM
SEE
0.07%
COM
TM
0.07%
SP ADR REP2COM
APA
0.07%
COM
LZB
0.07%
COM
ETN
0.07%
SHS
IRM
0.06%
COM
NOK
0.06%
SPONSORED ADR
OXY
0.06%
COM
PANW
0.06%
COM
EEM
0.06%
MSCI EMG MKT ETF
PAYX
0.06%
COM
ONB
0.05%
COM
CIK
0.04%
COM
PPT
0.03%
SH BEN INT
WYNN
0.21%
COM
BGC
0.15%
COM
FXD
0.07%
CONSUMR DISCRE
LGF/A
0.07%
CL A VTG
MGLN
0.07%
COM NEW
PII
0.06%
COM
O
0.06%
COM
LGCY
0.01%
UNIT LP INT