Columbia Capital Allocation Aggressive Portfolio Class A is a mutual fund designed to pursue the highest level of total return while maintaining an aggressive risk profile. As a 'fund of funds,' it invests primarily in a diversified mix of underlying equity funds—typically allocating 75-85% of assets to equities—with the remainder in fixed income funds, generally 15-25%. This allocation is meant to provide substantial exposure to growth assets, making the fund suitable for investors with a higher risk tolerance who are seeking capital appreciation over the long term. The portfolio features a broad market diversification strategy, spanning both domestic and international equities, as well as fixed income securities. Its holdings include large-cap growth, value, and international equities, and a modest allocation to high-yield and quality income bonds. The fund is actively managed and can tactically adjust allocations in response to changing market conditions, aiming to capture opportunities while managing risk. Columbia Capital Allocation Aggressive Portfolio Class A stands out in the market for its combination of robust diversification and opportunistic asset allocation, offering investors a single, comprehensive vehicle to access a broad spectrum of growth-oriented investments within a disciplined risk framework.
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