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Columbia Pyrford International Stock Fund (PISDX) is an MF managed by Columbia Threadneedle. Its largest position is NESTLE SA (NSRGY), representing 2.66% of fund assets.

Columbia Pyrford International Stock Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
PISDX
Type:
MF
Manager:
Columbia Threadneedle
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 27, 2026
Showing 50 out of 78 holdings
Holding Weight Market Value Shares
-
NESTLE SA
2.66% $6,739,730.45 61,685
-
JAPAN TOBACCO INC.
2.50% $6,334,533.75 165,568
-
ROCHE HOLDING AG
2.39% $6,043,948.49 12,700
-
BRAMBLES LIMITED
2.28% $5,780,358.55 324,118
-
AIR LIQUIDE SA
2.25% $5,688,368.74 27,052
-
MITSUBISHI ELECTRIC CORPORATION
2.21% $5,583,845.52 146,700
-
UNILEVER PLC
2.21% $5,579,524.52 75,957
-
UNITED OVERSEAS BANK LIMITED
2.17% $5,497,094.77 188,402
-
TELENOR ASA
2.13% $5,385,472.44 290,452
-
KDDI CORP
2.11% $5,328,465.82 310,200
-
WOOLWORTHS GROUP LTD.
2.09% $5,295,141.75 206,549
-
NOVARTIS AG
2.05% $5,184,990.09 30,837
-
AIA GROUP LIMITED
2.00% $5,048,029.95 457,600
-
MALAYAN BANKING BHD
1.88% $4,759,774.37 1,549,100
-
NABTESCO CORP.
1.81% $4,576,793.54 141,200
-
Sampo OYJ
1.75% $4,436,996.06 400,339
-
SAP SE
1.71% $4,313,963.23 21,474
-
NISSAN CHEMICAL CORP
1.68% $4,257,489.31 93,600
-
DEUTSCHE POST AG
1.61% $4,067,493.33 69,075
-
NATIONAL GRID PLC
1.58% $3,985,036.53 213,028
-
NIHON KOHDEN CORP
1.55% $3,910,213.93 350,500
-
WOODSIDE ENERGY GROUP LTD
1.54% $3,907,708.74 191,395
-
COMPUTERSHARE LTD
1.53% $3,868,594.69 175,455
-
QBE INSURANCE GROUP LIMITED
1.50% $3,789,995.79 244,053
-
LEGRAND SA
1.49% $3,767,263.34 20,799
-
BANK RAKYAT INDONESIA PERSERO TBK PT
1.48% $3,748,132.46 16,105,800
-
LEGAL AND GENERAL GROUP PLC
1.43% $3,608,822.43 987,973
-
FUCHS SE
1.42% $3,587,137.08 83,066
-
VENTURE CORP LTD
1.40% $3,548,727.91 287,400
-
BRITISH AMERICAN TOBACCO PLC
1.40% $3,548,396.98 56,824
-
GSK plc
1.38% $3,496,687.19 117,681
-
BUREAU VERITAS SA
1.34% $3,398,868.73 97,805
-
COLUMBIA SHORT TERM CASH FUND
1.33% $3,361,031.75 3,361,704
-
TELKOM INDONESIA PERSERO TBK PT
1.27% $3,207,115.42 15,188,500
-
ABC-MART INC
1.26% $3,180,152.72 189,300
-
MERCK KGAA
1.25% $3,172,436.76 20,938
-
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
1.23% $3,119,909.68 50,000
-
RECKITT BENCKISER GROUP PLC
1.22% $3,088,762.55 35,060
-
SINGAPORE TELECOMMUNICATIONS LIMITED
1.17% $2,958,487.68 743,607
-
RIO TINTO LTD
1.12% $2,833,862.16 23,838
-
SINGAPORE TECHNOLOGIES ENGINEERING LTD
1.10% $2,776,154.72 352,800
-
KONINKLIJKE PHILIPS NV
1.09% $2,758,719.28 86,088
-
INFINEON TECHNOLOGIES AG
1.08% $2,741,468.11 50,867
-
SANOFI SA
1.04% $2,620,098.47 26,790
-
L'OREAL SA
1.03% $2,598,088.95 5,545
-
KONE OYJ
1.03% $2,594,885.24 34,418
-
BRENNTAG SE
1.02% $2,584,761.38 42,025
-
ESSITY AB
1.02% $2,582,834.28 81,312
-
IMPERIAL BRANDS PLC
1.00% $2,529,003.32 56,465
-
ADVANTECH CO LTD.
0.97% $2,457,004.56 231,674
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