Columbia Strategic Income Fund Class A is an actively managed mutual fund that seeks a total return by balancing current income generation with capital appreciation. As a multisector bond fund, its portfolio spans a wide spectrum of fixed-income securities, including U.S. government and agency bonds, investment-grade and high-yield corporate debt, mortgage- and asset-backed securities, as well as both domestic and international bonds. The fund's construction emphasizes diversification across sectors and global markets, aiming to deliver reliable income through various market cycles. Consistent with this approach, its investments may include foreign government and sovereign debt, floating-rate instruments, and inflation-protected securities. The fund typically holds over a thousand distinct securities, reflecting its broad approach to risk dispersion and yield enhancement. Focused on income, Columbia Strategic Income Fund Class A pays dividends monthly and is suited for investors seeking exposure to diverse fixed income segments with the potential for capital growth alongside steady distributions. It has played a notable role within the multisector bond category by offering access to multiple sources of return and risk management across changing economic conditions.
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