Columbia Global Opportunities Fund

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Performance

The fund has returned 16.13 percent over the past year, 10.89 percent over the past three years, 3.01 percent over the past five years, and 6.54 percent over the past decade.

Trailing Returns Updated 05.31.2013
Year to date 5.9%
1 Year 16.1%
3 Years (Annualized) 10.9%
5 Years (Annualized) 3.0%
10 Years (Annualized) 6.5%

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Summary

The investment seeks maximum total return. The fund's assets may be allocated to equity, debt/fixed income and money market instruments, and investments that provide exposure to commodities markets, including the Columbia Commodity Strategy fund. Its equity security investments include: emerging market equities, international developed market equities, and U.S. large-, mid- and small-cap equities. The fund's debt/fixed-income security investments include: U.S. investment-grade bonds, international bonds, emerging market bonds, U.S. high yield (junk) bonds, convertible bonds, mortgage- and other asset-backed securities, and short-term money market instruments.

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