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Product Literature: Columbia Global Value

Prospectus & SAI

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Classes A, B,C Classes A, B,C
The Prospectus describes the Fund to prospective investors, including the Fund’s investment objective, principal investment strategies and risks, services, performance and fees.
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5 copies
Class Z Class Z
The Prospectus describes the Fund to prospective investors, including the Fund’s investment objective, principal investment strategies and risks, services, performance and fees.
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Statement of Additional Information Statement of Additional Information
The Statement of Additional Information (“SAI”) contains additional information about the Fund that may be useful to investors but is not required to be included in the Prospectus
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5 copies

Shareholder Reports

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Annual Report, 02/28/2010 Annual Report, 02/28/2010
The annual report includes the Fund’s audited financial statements, the report of the Fund’s independent auditors, information on the Fund’s performance and the securities in the Fund’s portfolio on a specific date, and may include information on the securities markets and economy.
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Semiannual Report, 08/31/2009 Semiannual Report, 08/31/2009
The semiannual report includes the Fund’s unaudited financial statements, information on the Fund’s performance and the securities in the Fund’s portfolio on a specific date and may include information on the securities markets and economy.
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5 copies

Fact Sheets

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QuarterlyFact Sheet QuarterlyFact Sheet
The fact sheet provides general information on the Fund.
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5 copies

Commentary

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Quarterly Commentary Quarterly Commentary
The commentary provides an overview of the fund, including holdings and recent performance, or a review of the fund's market.
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Not available to order online.
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© 2010 Columbia Management Investment Advisers, LLC. All rights reserved.

On April 30, 2010, Ameriprise Financial, Inc., the parent company of RiverSource Investments, LLC, acquired the long-term asset management business of Columbia Management Group, LLC, including certain of its affiliates, which were, prior to this acquisition, part of Bank of America. In connection with the acquisition of the long-term assets, certain clients of Columbia Management Advisors, LLC (including the Columbia Funds) have a new investment adviser, RiverSource Investments, LLC, which is now known as Columbia Management Investment Advisers, LLC. On the same date, Ameriprise Financial also acquired Columbia Wanger Asset Management, LLC (CWAM). CWAM will continue as the investment adviser for Columbia Acorn and Wanger Funds and no changes are anticipated in the existing investment management team. For those clients that use the services of a subadviser, those arrangements are continuing unless notified otherwise. RiverSource Fund Distributors, Inc., now known as Columbia Management Investment Distributors, Inc., member FINRA, will act as the principal distributor of the Columbia, Wanger, Columbia Acorn, RiverSource, Seligman and Threadneedle branded funds. RiverSource Service Corporation, now known as Columbia Management Investment Services Corp., is the transfer agent for the Funds.

NOT FDIC INSURED.No Bank Guarantee.May Lose Value