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Holdings (Monthly) Guide ↗

Columbia International Dividend Income Fund

· Columbia Funds Series Trust I
Monthly Holdings $697M AUM 52 positions Period May 2026 Filed Jul 29, 2026 EDGAR ↗ ← All Funds
All 52 New 1 Added 1 Reduced 1 Exited · May 2026 vs Feb 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Taiwan Semiconductor Manufacturing Co Ltd 000000000 Feb 2026 564,000 NEW $41.8M 6.00% EC
2 Tokyo Electron Ltd 000000000 Feb 2026 74,300 NEW $24.9M 3.58% EC
3 Anglo American PLC 000000000 Feb 2026 335,928 NEW $18.0M 2.58% EC
4 Roche Holding AG 000000000 Feb 2026 42,020 NEW $17.7M 2.54% EC
5 BNP Paribas SA 000000000 Feb 2026 163,005 NEW $17.6M 2.52% EC
6 Iberdrola SA 000000000 Feb 2026 742,076 NEW $16.8M 2.42% EC
7 Siemens AG 000000000 Feb 2026 53,350 NEW $16.7M 2.40% EC
8 Mitsubishi Electric Corp 000000000 Feb 2026 393,100 NEW $16.0M 2.30% EC
9 AIA Group Ltd 000000000 Feb 2026 1,372,000 NEW $14.4M 2.07% EC
10 Bank of Ireland Group PLC 000000000 Feb 2026 707,958 NEW $14.4M 2.07% EC
11 TotalEnergies SE 000000000 Feb 2026 160,047 NEW $14.0M 2.02% EC
12 E.ON SE 000000000 Feb 2026 659,448 NEW $14.0M 2.01% EC
13 GSK PLC 000000000 Feb 2026 551,107 NEW $13.9M 2.00% EC
14 DBS Group Holdings Ltd 000000000 Feb 2026 271,980 NEW $13.4M 1.92% EC
15 Nestle SA 000000000 Feb 2026 131,274 NEW $13.3M 1.91% EC
16 Renesas Electronics Corp 000000000 Feb 2026 476,700 NEW $13.3M 1.91% EC
17 ORIX Corp 000000000 Feb 2026 339,600 NEW $13.2M 1.90% EC
18 Schneider Electric SE 000000000 Feb 2026 42,157 NEW $13.2M 1.90% EC
19 AXA SA 000000000 Feb 2026 272,378 NEW $12.6M 1.80% EC
20 Deutsche Telekom AG 000000000 Feb 2026 368,963 NEW $12.4M 1.78% EC
21 BT Group PLC 000000000 Feb 2026 4,345,403 NEW $12.2M 1.75% EC
22 Shell PLC 000000000 Feb 2026 282,397 NEW $11.9M 1.71% EC
23 Telstra Group Ltd 000000000 Feb 2026 3,094,504 NEW $11.6M 1.66% EC
24 Toyota Motor Corp 000000000 Feb 2026 553,000 NEW $10.5M 1.50% EC
25 Hong Kong Exchanges & Clearing Ltd 000000000 Feb 2026 200,400 NEW $10.2M 1.47% EC
26 Komatsu Ltd 000000000 Feb 2026 217,500 NEW $8.9M 1.28% EC
27 SAP SE 000000000 Feb 2026 48,584 NEW $8.8M 1.26% EC
28 SGS SA 000000000 Feb 2026 76,127 NEW $8.7M 1.24% EC
29 Tencent Holdings Ltd 000000000 Feb 2026 158,500 NEW $8.6M 1.24% EC
30 Mizuho Financial Group Inc 000000000 Feb 2026 190,200 NEW $8.5M 1.23% EC
31 Shin-Etsu Chemical Co Ltd 000000000 Feb 2026 170,500 NEW $8.3M 1.19% EC
32 RECKITT BENCKISER GROUP PLC 000000000 Feb 2026 134,292 NEW $8.3M 1.19% EC
33 Grupo Financiero Banorte SAB de CV 000000000 Feb 2026 779,022 NEW $8.1M 1.17% EC
34 Pearson PLC 000000000 Feb 2026 534,558 NEW $7.9M 1.14% EC
35 Unilever PLC 000000000 Feb 2026 134,242 NEW $7.6M 1.09% EC
36 Industria de Diseno Textil SA 000000000 Feb 2026 117,320 NEW $7.2M 1.04% EC
37 Convatec Group PLC 000000000 Feb 2026 2,584,518 NEW $7.0M 1.01% EC
38 DSM-Firmenich AG 000000000 Feb 2026 82,214 NEW $6.9M 0.99% EC
39 Smurfit WestRock PLC 000000000 Feb 2026 168,673 NEW $6.9M 0.99% EC
40 Medtronic PLC 000000000 Feb 2026 86,385 NEW $6.4M 0.92% EC
41 Linde PLC 000000000 Feb 2026 10,836 NEW $5.4M 0.77% EC
42 adidas AG 000000000 Feb 2026 27,640 NEW $5.3M 0.77% EC
43 Diageo PLC 000000000 Feb 2026 259,396 NEW $5.3M 0.76% EC
44 QBE Insurance Group Ltd 000000000 Feb 2026 321,477 NEW $5.2M 0.75% EC
45 SMC Corp 000000000 Feb 2026 11,900 NEW $5.2M 0.74% EC
46 Bank Rakyat Indonesia Persero Tbk PT 000000000 Feb 2026 30,477,752 NEW $5.0M 0.72% EC
47 Anglogold Ashanti Plc 000000000 Feb 2026 51,630 NEW $5.0M 0.72% EC
48 Taylor Wimpey PLC 000000000 Feb 2026 4,534,973 NEW $4.9M 0.70% EC
49 UniCredit SpA 000000000 Feb 2026 56,124 NEW $4.8M 0.70% EC
50 Rentokil Initial PLC 000000000 Feb 2026 752,978 NEW $4.5M 0.65% EC
51 TE Connectivity PLC 000000000 Feb 2026 18,728 NEW $4.0M 0.57% EC
52 Novo Nordisk A/S 000000000 Feb 2026 33,293 NEW $1.5M 0.22% EC