Columbia Management offers a spectrum of income-oriented solutions to meet your needs.

Columbia Limited Duration Credit Fund Class Z (CLDZX)

four star Overall Morningstar™ Rating as of 03/31/2014

Seeks current income while maintaining a low-risk profile. The Fund invests in short-term bonds from high-quality, asset-rich corporations. The focus is on transparent companies in regulated industries with BBB credit quality.

Our Portfolio Managers

Tom Murphy, CFA

Tim Doubek, CFA

Royce Wilson, CFA

Morningstar Ratings

Class Z shares. Ratings as of 03/31/2014


four star of 403 Funds


four star of 403 Funds


four star of 348 Funds


four star of 246 Funds

Average annual total returns on NAV

Performance as of 03/31/2014

1 Year total return 3 Year total return 5 Year total return 10 Year total return
Columbia Limited Duration Credit Fund,
Class Z
1.79% 3.21% 5.90% 3.73%
Barclays US Corporate 1-5Yr Index 1.69% 3.54% 6.35% 4.19%
See More Pricing and Performance Information

It is not possible to invest directly in an index. For index descriptions, click here. Gross expense ratios, as of the most recent fund prospectus: 0.62%.

The returns shown for periods prior to the share class inception date (including returns since inception, which are since fund inception) include the returns of the fund’s oldest share class. These returns are adjusted to reflect any higher class-related operating expenses of the newer share classes, as applicable. Please visit for more information.

The investment manager and certain of its affiliates have contractually (for at least the current fiscal year) and/or voluntarily agreed to waive certain fees and/or to reimburse certain expenses of the Fund, as described in the Fund's prospectus, unless sooner terminated at the sole discretion of the Fund's board. Voluntary waivers/reimbursement arrangements, if any, may be discontinued at any time. Without such waivers/reimbursements, the Fund’s returns would be lower.

Other Bonds Funds

Columbia Strategic Income Fund Class Z (LSIZX)

Taps a wide range of fixed-income sectors in pursuit of both yield and capital appreciation. Proactively shifts allocations to take advantage of current market conditions.
three star Overall Morningstar™ Rating as of 03/31/2014
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