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Stock Style
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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
63
7
7
2
5
0
48
13
7
COLUMBIA ASSET MANAGEMENT

Time Period2018-12-31

Total Holdings205

Total Value ($x1000)329,019
Activities
New6

Increased47

Unchanged63

Decreased89

Sold Out25

Top 10 Stock Holdingstotal 29.84%
AAPL4.46

MSFT4.37

MRK3.56

DIS2.93

JNJ2.76

 
INTC2.66

ERIE2.53

MMM2.32

DWDP2.15

AMZN2.1

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
AAPL
4.46%
COM
MSFT
4.37%
COM
MRK
3.56%
COM
DIS
2.93%
COM DISNEY
JNJ
2.76%
COM
INTC
2.66%
COM
ERIE
2.53%
CL A
MMM
2.32%
COM
DWDP
2.15%
COM
AMZN
2.1%
COM
HD
2.1%
COM
NKE
2.08%
CL B
MCD
2.03%
COM
CSCO
1.97%
COM
BRK.B
1.96%
CL B NEW
V
1.95%
COM CL A
BA
1.86%
COM
SBUX
1.77%
COM
AMGN
1.69%
COM
CAT
1.55%
COM
GOOGL
1.55%
CL A
KO
1.55%
COM
PG
1.43%
COM
PFE
1.39%
COM
CVX
1.33%
COM
VZ
1.29%
COM
PEP
1.19%
COM
XOM
1.14%
CALL
SYK
1.12%
COM
JPM
1.09%
COM
GOOG
1.06%
CL C
ADBE
0.99%
COM
ABBV
0.97%
COM
T
0.97%
COM
EMR
0.96%
COM
HON
0.95%
COM
UNP
0.94%
COM
AXP
0.91%
COM
RDS/A
0.86%
SPONS ADR A
GM
0.79%
COM
IBM
0.74%
COM
UPS
0.72%
CL B
C
0.65%
COM NEW
GAM
0.62%
COM
GLW
0.58%
COM
TGT
0.57%
COM
BP
0.54%
SPONSORED ADR
SNE
0.53%
ADR NEW
MDT
0.52%
COM
BAC
0.47%
COM
ORCL
0.46%
COM
QCOM
0.46%
COM
ITW
0.46%
COM
INGN
0.45%
COM
COP
0.43%
COM
GIS
0.41%
COM
SO
0.41%
COM
CVS
0.4%
COM
AVGO
0.39%
COM
LULU
0.38%
COM
DEO
0.38%
SPON ADR NEW
VO
0.38%
MID CAP ETF
PYPL
0.37%
COM
UTX
0.36%
COM
VXUS
0.36%
VG TL INTL STK F
BUD
0.36%
SPONSORED ADR
ABT
0.35%
COM
AEP
0.35%
COM
DUK
0.34%
COM NEW
GE
0.33%
COM
IWR
0.32%
RUS MID-CAP ETF
COST
0.3%
COM
WM
0.28%
COM
AGN
0.28%
SHS
WAT
0.27%
COM
KRFT
0.27%
COM
DAL
0.27%
COM NEW
EBAY
0.27%
COM
SYY
0.26%
COM
MAR
0.25%
CL A
WBA
0.24%
COM
MSG
0.24%
CL A
FDX
0.23%
COM
EPD
0.23%
COM
VFC
0.23%
COM
CLX
0.23%
COM
VB
0.22%
SMALL CP ETF
MO
0.22%
COM
HAS
0.21%
COM
BMY
0.21%
COM
WPC
0.2%
COM
F
0.19%
COM PAR $0.01
DTE
0.19%
COM
DE
0.19%
COM
NFG
0.19%
COM
HPT
0.18%
COM SH BEN INT
MDLZ
0.18%
CL A
GSK
0.18%
SPONSORED ADR
CMCSA
0.17%
CL A
VWO
0.17%
FTSE EMR MKT ETF
LLY
0.17%
COM
WMT
0.17%
COM
BWA
0.16%
COM
AZN
0.16%
SPONSORED ADR
GOLDMAN ...
0.16%
SPONSORED ADR
ARNC
0.16%
COM
HPQ
0.15%
COM
VMW
0.15%
CL A COM
MTD
0.15%
COM
VOD
0.14%
SPNSR ADR NO PAR
IP
0.14%
COM
WFC
0.14%
COM
PM
0.13%
COM
FB
0.13%
CL A
MCHP
0.13%
COM
D
0.13%
COM
ABB
0.13%
SPONSORED ADR
HSY
0.13%
COM
RACE
0.13%
COM
CL
0.12%
COM
UL
0.12%
SPON ADR NEW
GPC
0.12%
COM
MTN
0.12%
COM
KMB
0.11%
COM
GD
0.11%
COM
TRV
0.11%
COM
DECK
0.11%
COM
PSX
0.1%
COM
HPE
0.1%
COM
MAS
0.1%
COM
ADP
0.1%
COM
MHK
0.09%
COM
CELG
0.09%
COM
ORLY
0.09%
COM
SLB
0.09%
COM
ED
0.08%
COM
ACN
0.08%
SHS CLASS A
K
0.08%
COM
WASH
0.08%
COM
TOT
0.08%
SPONSORED ADR
KDP
0.08%
COM
TJX
0.08%
COM
O
0.08%
COM
ODFL
0.07%
COM
OLED
0.07%
COM
RCI
0.07%
CL B
GILD
0.07%
COM
NOK
0.07%
SPONSORED ADR
RHT
0.07%
COM
PANW
0.07%
COM
PAYX
0.07%
COM
LUV
0.06%
COM
CTSH
0.06%
CL A
LZB
0.06%
COM
BABA
0.06%
SPONSORED ADS
AMT
0.06%
COM
SNY
0.06%
SPONSORED ADR
HRS
0.06%
COM
MIC
0.06%
MEMBERSHIP INT
CMI
0.06%
COM
SEE
0.06%
COM
MMP
0.06%
COM UNIT RP LP
OXY
0.06%
COM
REGN
0.06%
COM
DLB
0.05%
CALL
TME
0.05%
SPON ADS
GT
0.05%
COM
ELECTRON...
0.05%
UNIT LTD PARTN
HCN
0.05%
COM
WTM
0.05%
COM
BNS
0.05%
COM
PSA
0.05%
COM
RDS/B
0.05%
SPON ADR B
BK
0.05%
COM
VOO
0.05%
SHS
APA
0.04%
COM
VYM
0.04%
HIGH DIV YLD
MRO
0.04%
COM
ETN
0.04%
SHS
UNH
0.04%
COM
SRE
0.04%
COM
VTR
0.04%
COM
IRM
0.04%
COM
BEP
0.04%
PARTNERSHIP UNIT
NFLX
0.04%
COM
GNTX
0.04%
COM
BMO
0.04%
COM
CCK
0.04%
COM
VIG
0.04%
DIV APP ETF
NVS
0.04%
SPONSORED ADR
FMX
0.04%
SPON ADR UNITS
ONB
0.04%
COM
TPR
0.04%
COM
REZI
0.04%
COM
INTU
0.04%
COM
MPC
0.03%
COM
IWF
0.03%
RUS 1000 GRW ETF
CIK
0.03%
COM
TSCO
0.03%
COM
ALSN
0.03%
COM
LITE
0.03%
COM
BOH
0.03%
COM
BIIB
0.03%
COM
FUN
0.03%
DEPOSITRY UNIT
COTY
0.03%
COM CL A
ESRX
0.23%
COM
WDC
0.09%
COM
KR
0.07%
COM
XRX
0.06%
COM
PCAR
0.06%
COM
TM
0.06%
SP ADR REP2COM
BCS
0.06%
ADR
CY
0.05%
COM
DXC
0.04%
COM
PII
0.04%
COM
WFC/PL
0.04%
PERP PFD CNV A
NVDA
0.04%
COM
ALXN
0.04%
COM
TIF
0.03%
COM
CET
0.03%
COM
JW/A
0.03%
CL A
SONO
0.03%
COM
CMA
0.03%
COM
MCK
0.03%
COM
SQ
0.03%
CL A
LOW
0.03%
COM
CRY
0.03%
COM
HBAN
0.03%
COM
NUE
0.03%
COM
LGF/A
0.03%
CL A VTG