
Columbia Balanced Fund Institutional 2 Class
CLREX
Updated: 24/09/2026, 16:14:29
The fund's primary objective is to achieve a high total return by investing in a combination of common stocks and debt securities. It typically maintains a diversified portfolio split between equity and debt instruments. The allocation of assets, which also encompasses cash and cash equivalents, is strategically determined by an ongoing assessment of the potential risks and rewards associated with each asset class. While the fund generally targets an allocation of 35% to 65% of its net assets in both equity and debt, it commits to holding no less than 25% and no more than 75% in each of these asset classes during normal market operations.
No summaries found.
- Share price
- $58.14
- Market cap
- $10.18B
- Exchange
- NASDAQ
- Currency
- USD
- CEO
- N/A
- Employees
- N/A
- IPO date
- 07/03/2011
- Beta
- 0.91
- Last dividend
- $0.00
- Day range
- $58.14 – $58.14
- 52-week range
- $51.71 – $59.41
- 1-day performance
- -0.73%
- 1-year performance
- 12.43%
- Current drawdown (1Y)
- -2.14%
- CIK
- 0000773757
- CUSIP
- 19766D444
- ISIN
- US19766D4447
- Created
- 07/12/2025, 03:21:11
- Last update
- 24/09/2026, 16:14:29
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