Columbia Capital Allocation Moderate Aggressive Portfolio Class R (CLBRX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
12.09
-0.01 (-0.08%)
At close: Mar 30, 2026

CLBRX Holdings Information

CLBRX is a mutual fund with a total of 54 individual holdings.

Total Holdings
54
Top 10 Percentage
94.15%
Asset Class
n/a
Fund Category
Allocation--50% to 70% Equity
Assets
1.78B
Forward PE Ratio
18.55

Breakdown by Sector

Top 25 Holdings

No.SymbolName WeightShares
1n/aColumbia Core Bond ETF Shares15.75%9,114,405
2n/aColumbia Contrarian Core Inst312.27%5,503,369
3n/aColumbia Cornerstone Equity Inst 312.10%9,246,532
4n/aColumbia Cornerstone Growth Inst 311.24%2,536,177
5n/aColumbia Intrinsic Value Institutional 311.22%10,076,069
6n/aColumbia Overseas Core Institutional 310.45%13,348,700
7n/aFGBPUSD20260311BCAP Purchased8.84%1,397,285
8n/aColumbia Select Corporate Income Inst 35.25%9,970,670
9n/aColumbia Quality Income Inst33.53%3,361,422
10n/aColumbia High Yield Bond Inst33.49%5,554,415
11ECONColumbia Research Enhanced Emerging Economies ETF3.04%1,699,055
12n/aS&P TSX 60 Index Future Mar 262.61%160
13n/aColumbia Emerging Markets Inst32.52%2,293,303
14n/aMSCI Emerging Markets Index Future Mar 262.35%520
15n/aFGBPUSD20260311JPMB Purchased2.19%6,113,000
16n/aE-mini S&P 500 Future Mar 262.06%106
17n/aColumbia US Treasury Index Inst32.00%3,492,639
18n/aColumbia Short-Term Cash1.99%35,206,272
19CFH6CAC 40 Index Future Mar 261.83%319
20n/aTRSWAP: RU10VATR INDEX1.81%31,469,915
21n/aFSEKUSD20260311BCAP Purchased1.79%283,408,000
22n/aColumbia Emerging Markets Bond Inst31.76%3,042,885
23n/a10 Year Treasury Note Future June 261.69%263
24n/aFEURUSD20260311BCAP Purchased1.53%22,043,000
25n/aColumbia Select Small Cap Value Inst31.09%749,187
Showing 25 of 54 holdings
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As of Feb 28, 2026