Columbia Balanced Fund Class C is a mutual fund designed to provide investors with a high total return by investing in a diversified portfolio of both common stocks and debt securities. Its strategy is to maintain a balanced allocation, typically investing between 35% and 65% of assets in each asset class, though it can range from 25% to 75% depending on market conditions. The fund utilizes active management to assess the relative risks and returns of equities and fixed income securities, seeking to blend growth potential with income generation. Notable features of the fund include exposure to major sectors such as technology, consumer cyclical, and government securities, with top holdings often featuring large-cap technology firms and U.S. Treasury futures. The fund also places an emphasis on risk management, incorporating a disciplined approach to its equity sleeve and maintaining a securitized-heavy bond portfolio. In terms of sustainability, the fund is recognized for its low carbon risk and minimal fossil fuel exposure, which may appeal to environmentally conscious investors. Managed by Columbia Threadneedle since 2003, Columbia Balanced Fund Class C serves investors seeking a moderate allocation strategy that balances capital appreciation with risk-aware income production within the broader financial market.
See your Portfolio Score and get data driven insights in ~60 seconds.
Opens in PortfolioPilot
Based on technical indicators and chart patterns, CBLCX shows...
Market sentiment analysis indicates...