Columbia U.S. Treasury Index Fund Institutional 3 Class is a mutual fund designed to closely track the performance of the FTSE USBIG Treasury Index, aiming to replicate the total return of U.S. Treasury securities before fees and expenses. As an institutional-class fund, it is structured primarily for large-scale investors, requiring a significant minimum initial investment. The portfolio is composed almost entirely of U.S. Treasury notes and bonds, ensuring a high credit quality profile with virtually all holdings rated AAA, which minimizes credit risk. Positioned within the 'Intermediate Government' category, the fund’s holdings feature moderate interest rate sensitivity and an effective duration of around six years, making it sensitive to changes in interest rates but less so than long-term bond funds. The fund’s principal purpose is to offer broad exposure to the U.S. Treasury market, serving as a tool for capital preservation and stability within an investor's fixed-income allocation. It distributes income monthly and maintains a competitive expense ratio, making it cost-efficient among its peers. Columbia U.S. Treasury Index Fund Institutional 3 Class plays a foundational role for institutional portfolios seeking stable, government-backed returns in line with the broader Treasury market.
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