Columbia Corporate Income Fund Institutional 3 Class is a mutual fund specializing in U.S. investment-grade corporate bonds. Its primary function is to generate total return, emphasizing current income while managing risk through diversified fixed income holdings. The fund’s portfolio is composed largely of high-quality corporate debt across sectors, complemented by cash equivalents for liquidity and flexibility. Key holdings include securities from major corporations such as Principal Life Global Funding, Morgan Stanley, Verizon Communications, and Bank of America, highlighting its exposure to leading issuers in financials, communications, and utilities. The fund has a medium credit quality and maintains moderate interest rate sensitivity, reflected by an effective duration of approximately 6.5 years. Designed for institutional investors, it offers a relatively low expense ratio and a significant asset base, supporting efficient large-scale investment. Columbia Corporate Income Fund Institutional 3 Class serves an important role in providing stable, income-oriented exposure to the corporate bond market, appealing to investors seeking to balance yield potential with credit and interest rate risk management in diversified fixed income portfolios.
See your Portfolio Score and get data driven insights in ~60 seconds.
Opens in PortfolioPilot
Based on technical indicators and chart patterns, CRIYX shows...
Market sentiment analysis indicates...