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Columbia Acorn International (LAIAX) is an MF managed by Columbia Threadneedle. Its largest position is PRYSMIAN SPA (PRYMY), representing 3.04% of fund assets.

Columbia Acorn International Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
LAIAX
Type:
MF
Manager:
Columbia Threadneedle
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 70 holdings
Holding Weight Market Value Shares
-
PRYSMIAN SPA
3.04% $22,926,911.58 194,146
-
NITERRA CO LTD
2.77% $20,940,012.25 444,100
-
HALMA PLC
2.77% $20,878,574.79 409,137
-
BANK OF IRELAND GROUP PLC
2.62% $19,768,640.86 1,089,587
-
TAISEI CORP.
2.56% $19,352,805.98 186,800
-
KRAFTIA CORP
2.47% $18,683,979.97 308,900
-
GAZTRANSPORT ET TECHNIGAZ SA
2.39% $18,058,645.07 76,782
-
FISHER AND PAYKEL HEALTHCARE CORPORATION LIMITED
2.35% $17,764,346.00 819,257
-
NOMURA REAL ESTATE HOLDINGS INC
2.35% $17,729,907.08 2,734,500
-
BE SEMICONDUCTOR INDUSTRIES NV
2.26% $17,075,534.70 79,720
-
BABCOCK INTERNATIONAL GROUP PLC
2.17% $16,356,265.07 1,053,570
-
NIPPON SANSO HOLDINGS CORPORATION
2.03% $15,349,942.05 432,900
-
ASICS CORP
2.02% $15,222,352.50 566,200
-
CAPCOM CO. LTD.
2.00% $15,100,876.61 714,600
-
ENDEAVOUR MINING PLC
1.97% $14,843,017.17 246,358
-
CRH PLC
1.91% $14,442,548.47 138,047
-
NATIONAL BANK OF GREECE SA
1.87% $14,122,378.67 914,195
-
YELLOW CAKE PLC
1.83% $13,791,748.16 1,722,108
-
SUNTORY BEVERAGE AND FOOD LIMITED
1.73% $13,092,112.44 463,600
-
Sunbelt Rentals Holdings, Inc.
1.70% $12,867,673.38 201,715
-
DISCO CORPORATION
1.70% $12,798,115.97 31,400
-
SIMPLEX HOLDINGS INC
1.63% $12,340,129.90 2,400,400
-
KOKUSAI ELECTRIC CORP
1.61% $12,176,672.21 360,100
-
SEKISUI CHEMICAL CO. LTD.
1.60% $12,087,838.91 720,000
-
VAT GROUP AG
1.58% $11,952,808.25 19,160
-
NISSIN FOODS CO LTD
1.58% $11,940,135.02 629,100
-
OMRON CORP
1.56% $11,775,189.95 409,300
-
OPEN HOUSE GROUP CO LTD
1.49% $11,267,327.56 175,800
-
SANWA HOLDINGS CORP
1.49% $11,258,554.88 495,050
-
ALS LTD.
1.48% $11,209,482.84 763,610
-
HEXAGON AB
1.46% $11,034,839.15 1,133,858
-
VALMET OYJ
1.45% $10,946,291.83 382,556
-
ADDTECH AB
1.43% $10,825,644.33 315,479
-
SILERGY CORP
1.37% $10,371,352.76 1,138,000
-
KONECRANES OYJ
1.34% $10,105,627.84 307,904
-
GUNMA BANK LTD/THE
1.32% $9,973,933.80 748,400
-
RENESAS ELECTRONICS CORPORATION
1.32% $9,968,029.42 697,200
-
ICG PLC
1.26% $9,546,473.82 465,471
-
KYORITSU MAINTENANCE CO LTD
1.25% $9,422,009.47 607,100
-
SAFESTORE HOLDINGS PLC
1.22% $9,232,061.47 1,099,285
-
CONVATEC GROUP PLC
1.19% $9,000,465.06 3,120,353
-
MATSUKIYOCOCOKARA AND CO.
1.13% $8,567,756.53 538,300
-
INTERPARFUMS INC
1.13% $8,533,418.76 93,939
-
BELIMO HOLDING AG
1.11% $8,399,243.02 10,342
-
NEMETSCHEK SE
1.11% $8,355,723.69 111,618
-
MODEC INC
1.10% $8,292,575.88 87,600
-
CTS EVENTIM AG AND CO. KGAA
1.08% $8,184,554.45 139,738
-
RENK GROUP AG
1.07% $8,055,550.62 134,772
-
SGS SA
1.02% $7,686,651.79 72,936
-
INFICON HOLDING AG
1.02% $7,669,748.05 60,601
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