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INUTX

Columbia Dividend Opportunity Fund Class A
1W: -1.4% 1M: -5.2% 3M: -1.7% YTD: +10.6% 1Y: +7.9% 3Y: +51.2% 5Y: +56.2%
$44.94
+0.23 (+0.51%)
 
Weekly Expected Move ±1.1%
$44 $44 $45 $45 $46
ETF NASDAQ · AUM $2.4B
Total Changes (90d)
106
New Holdings
36
Removed Holdings
7
328 changes · Page 1 of 7
Date Holding Name Ticker Change Type Old Value New Value
2026-10-01 GSBD GSBD Removed 62000 shares —
2026-10-01 GS.TO GS.TO New — 62000 shares
2026-09-10 UNH.NE UNH.NE New — 64000 shares
2026-09-10 VZ VZ Removed 744300 shares —
2026-09-10 VZ.NE VZ.NE New — 744300 shares
2026-09-10 UNH UNH Removed 64000 shares —
2026-09-09 SBUX SBUX shares 199600 212100
2026-09-09 STWD STWD Removed 373100 shares —
2026-09-09 CAG CAG Removed 447300 shares —
2026-09-09 ARCC ARCC New — 660000 shares
2026-09-09 KHNZ.DE KHNZ.DE New — 1047700 shares
2026-09-09 SWKS SWKS Removed 209400 shares —
2026-09-09 OMF OMF shares 469900 527300
2026-09-09 BBY BBY shares 330400 335100
2026-09-09 CSCO CSCO shares 697500 674000
2026-09-09 F F shares 2324900 2735500
2026-09-09 ANG.JO ANG.JO shares 272000 296100
2026-09-09 TSN TSN shares 424000 598400
2026-09-09 HPE HPE shares 391000 322000
2026-09-09 PEP PEP shares 240300 251500
2026-09-09 STX STX shares 28800 27400
2026-09-09 MSM MSM shares 151400 185400
2026-09-09 WSO WSO shares 74800 39200
2026-09-09 UPS UPS shares 280700 338400
2026-09-09 IP IP shares 495500 635300
2026-09-09 HOME.L HOME.L shares 95100 106100
2026-09-09 AEP AEP Removed 113500 shares —
2026-09-09 EMN EMN shares 357800 387300
2026-09-01 PAYX PAYX New — 231400 shares
2026-09-01 GLW GLW shares 0 144400
2026-09-01 BG BG shares 0 186700
2026-09-01 SWKS SWKS shares 0 209400
2026-09-01 JNJ JNJ shares 0 282800
2026-09-01 TFC TFC shares 0 384300
2026-09-01 MMM MMM shares 0 140600
2026-09-01 EMN EMN shares 0 357800
2026-09-01 UDR UDR New — 726700 shares
2026-09-01 HOME.L HOME.L New — 95100 shares
2026-09-01 0UAN.L 0UAN.L New — 759800 shares
2026-09-01 OMF OMF New — 469900 shares
2026-09-01 MET MET New — 285300 shares
2026-09-01 7DZ.DE 7DZ.DE New — 564800 shares
2026-09-01 MSM MSM New — 151400 shares
2026-09-01 STWD STWD New — 373100 shares
2026-09-01 UNP UNP New — 47900 shares
2026-09-01 TSN TSN New — 424000 shares
2026-09-01 HPE HPE New — 391000 shares
2026-09-01 SPG SPG New — 160100 shares
2026-09-01 VLO VLO New — 108600 shares
2026-09-01 NTR.TO NTR.TO shares 0 255600
1 2 3 ... 7 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms