Supplement dated May 8, 2020
to the Prospectus(es) (as supplemented, if applicable) of each of the following funds (each, a Fund, and collectively, the Funds):
Fund Prospectus Dated
Columbia Funds Series Trust  
  Columbia California Intermediate Municipal Bond Fund 9/1/2019
  Columbia Capital Allocation Moderate Aggressive Portfolio 6/1/2019
  Columbia Capital Allocation Moderate Conservative Portfolio 6/1/2019
  Columbia Convertible Securities Fund 7/1/2019
  Columbia Georgia Intermediate Municipal Bond Fund 9/1/2019
  Columbia Global Strategic Equity Fund 6/1/2019
  Columbia Large Cap Enhanced Core Fund 7/1/2019
  Columbia Large Cap Growth Opportunity Fund 7/1/2019
  Columbia Large Cap Index Fund 7/1/2019
  Columbia Maryland Intermediate Municipal Bond Fund 9/1/2019
  Columbia Mid Cap Index Fund 7/1/2019
  Columbia North Carolina Intermediate Municipal Bond Fund 9/1/2019
  Columbia Overseas Value Fund 7/1/2019
  Columbia Select Global Growth Fund 7/1/2019
  Columbia Select International Equity Fund 7/1/2019
  Columbia Select Large Cap Equity Fund 7/1/2019
  Columbia Select Mid Cap Value Fund 7/1/2019
  Columbia Short Term Bond Fund 8/1/2019
  Columbia Short Term Municipal Bond Fund 9/1/2019
  Columbia Small Cap Index Fund 7/1/2019
  Columbia Small Cap Value Fund II 7/1/2019
  Columbia South Carolina Intermediate Municipal Bond Fund 9/1/2019
  Columbia Virginia Intermediate Municipal Bond Fund 9/1/2019
Columbia Funds Series Trust I  
  Columbia Adaptive Retirement 2020 Fund 8/1/2019
  Columbia Adaptive Retirement 2025 Fund 8/1/2019
  Columbia Adaptive Retirement 2030 Fund 8/1/2019
  Columbia Adaptive Retirement 2035 Fund 8/1/2019
  Columbia Adaptive Retirement 2040 Fund 8/1/2019
  Columbia Adaptive Retirement 2045 Fund 8/1/2019
  Columbia Adaptive Retirement 2050 Fund 8/1/2019
  Columbia Adaptive Retirement 2055 Fund 8/1/2019
  Columbia Adaptive Retirement 2060 Fund 8/1/2019
  Columbia Adaptive Risk Allocation Fund 10/1/2019
  Columbia Balanced Fund 1/1/2020
  Columbia Bond Fund 9/1/2019
  Columbia Connecticut Intermediate Municipal Bond Fund 3/1/2020
  Columbia Contrarian Core Fund 1/1/2020
  Columbia Corporate Income Fund 9/1/2019
  Columbia Disciplined Small Core Fund 1/1/2020
  Columbia Dividend Income Fund 10/1/2019
  Columbia Emerging Markets Fund 1/1/2020
  Columbia Global Dividend Opportunity Fund 1/1/2020
  Columbia Global Energy and Natural Resources Fund 1/1/2020
  Columbia Global Technology Growth Fund 1/1/2020
  Columbia Greater China Fund 1/1/2020
SUP000_00_097_(05/20)

 

Fund Prospectus Dated
  Columbia High Yield Municipal Fund 10/1/2019
  Columbia Intermediate Municipal Bond Fund 3/1/2020
  Columbia Large Cap Growth Fund 12/1/2019
  Columbia Massachusetts Intermediate Municipal Bond Fund 3/1/2020
  Columbia Mid Cap Growth Fund 1/1/2020
  Columbia Multi Strategy Alternatives Fund 10/1/2019
  Columbia Multi-Asset Income Fund 9/1/2019
  Columbia New York Intermediate Municipal Bond Fund 3/1/2020
  Columbia Oregon Intermediate Municipal Bond Fund 12/1/2019
  Columbia Pacific/Asia Fund 8/1/2019
  Columbia Select Large Cap Growth Fund 8/1/2019
  Columbia Small Cap Growth Fund I 1/1/2020
  Columbia Small Cap Value Fund I 9/1/2019
  Columbia Solutions Aggressive Portfolio 8/1/2019
  Columbia Solutions Conservative Portfolio 8/1/2019
  Columbia Strategic California Municipal Income Fund 3/1/2020
  Columbia Strategic Income Fund 1/1/2020
  Columbia Strategic New York Municipal Income Fund 3/1/2020
  Columbia Tax-Exempt Fund 12/1/2019
  Columbia Total Return Bond Fund 9/1/2019
  Columbia U.S. Social Bond Fund 12/1/2019
  Columbia U.S. Treasury Index Fund 9/1/2019
  Columbia Ultra Short Term Bond Fund 12/1/2019
  Multi-Manager Alternative Strategies Fund 1/1/2020
  Multi-Manager Directional Alternative Strategies Fund 9/1/2019
  Multi-Manager Growth Strategies Fund 8/1/2019;
12/18/2019
  Multi-Manager International Equity Strategies Fund 12/18/2019;
1/1/2020
  Multi-Manager Small Cap Equity Strategies Fund 12/18/2019;
1/1/2020
  Multi-Manager Total Return Bond Strategies Fund 12/18/2019;
1/1/2020
  Multisector Bond SMA Completion Portfolio 10/28/2019
  Overseas SMA Completion Portfolio 9/12/2019
Columbia Funds Series Trust II  
  Columbia Capital Allocation Aggressive Portfolio 6/1/2019
  Columbia Capital Allocation Conservative Portfolio 6/1/2019
  Columbia Capital Allocation Moderate Portfolio 6/1/2019
  Columbia Commodity Strategy Fund 10/1/2019
  Columbia Contrarian Asia Pacific Fund 3/1/2020
  Columbia Contrarian Europe Fund 3/1/2020
  Columbia Disciplined Core Fund 12/1/2019
  Columbia Disciplined Growth Fund 12/1/2019
  Columbia Disciplined Value Fund 12/1/2019
  Columbia Dividend Opportunity Fund 10/1/2019
  Columbia Emerging Markets Bond Fund 1/1/2020
  Columbia Flexible Capital Income Fund 10/1/2019
  Columbia Floating Rate Fund 12/1/2019
  Columbia Global Equity Value Fund 7/1/2019
2
SUP000_00_097_(05/20)

 

Fund Prospectus Dated
  Columbia Global Infrastructure Fund 9/1/2019
  Columbia Global Opportunities Fund 12/1/2019
  Columbia Government Money Market Fund 12/1/2019
  Columbia High Yield Bond Fund 10/1/2019
  Columbia Income Builder Fund 6/1/2019
  Columbia Income Opportunities Fund 12/1/2019
  Columbia Large Cap Value Fund 10/1/2019
  Columbia Limited Duration Credit Fund 12/1/2019
  Columbia Minnesota Tax-Exempt Fund 12/1/2019
  Columbia Mortgage Opportunities Fund 10/1/2019
  Columbia Overseas Core Fund 7/1/2019
  Columbia Quality Income Fund 10/1/2019
  Columbia Select Global Equity Fund 3/1/2020
  Columbia Select Large Cap Value Fund 10/1/2019
  Columbia Select Small Cap Value Fund 10/1/2019
  Columbia Seligman Communications & Information Fund 10/1/2019
  Columbia Seligman Global Technology Fund 3/1/2020
  Columbia Small/Mid Cap Value Fund 10/1/2019
  Columbia Strategic Municipal Income Fund 12/1/2019
  Multi-Manager Value Strategies Fund 10/1/2019;
12/18/2019
Columbia ETF Trust I  
  Columbia Diversified Fixed Income Allocation ETF 3/1/2020
  Columbia Multi-Sector Municipal Income ETF 3/1/2020
  Columbia Research Enhanced Core ETF 3/1/2020
  Columbia Research Enhanced Value ETF 3/1/2020
  Columbia Sustainable International Equity Income ETF 3/1/2020
  Columbia Sustainable U.S. Equity Income ETF 3/1/2020
Columbia ETF Trust II  
  Columbia EM Core ex-China ETF 8/1/2019
  Columbia Emerging Markets Consumer ETF 8/1/2019
  Columbia India Consumer ETF 8/1/2019
Effective immediately, the information for Market Risk, under the heading "Principal Risks" in the "More Information About the Fund(s)" section is hereby superseded and replaced with the following:
Market Risk. The Fund may incur losses due to declines in the value of one or more securities in which it invests. These declines may be due to factors affecting a particular issuer, or the result of, among other things, political, regulatory, market, economic or social developments affecting the relevant market(s) more generally. In addition, turbulence in financial markets and reduced liquidity in equity, credit and/or fixed income markets may negatively affect many issuers, which could adversely affect the Fund, including causing difficulty in assigning prices to hard-to-value assets in thinly traded and closed markets, significant redemptions and operational challenges. Global economies and financial markets are increasingly interconnected, and conditions and events in one country, region or financial market may adversely impact issuers in a different country, region or financial market. These risks may be magnified if certain events or developments adversely interrupt the global supply chain; in these and other circumstances, such risks might affect companies worldwide. As a result, local, regional or global events such as terrorism, war, natural disasters, disease/virus outbreaks and epidemics or other public health issues, recessions, depressions or other events – or the potential for such events – could have a significant negative impact on global economic and market conditions.
The coronavirus disease 2019 (COVID-19) public health crisis has become a pandemic that has resulted in, and may continue to result in, significant global economic and societal disruption and market volatility due to disruptions in market access, resource availability, facilities operations, imposition of tariffs, export controls and supply chain disruption, among others. Such disruptions may be caused, or exacerbated by, quarantines and travel restrictions, workforce displacement and loss in human and other resources. The uncertainty surrounding the magnitude, duration, reach, costs and effects of the global pandemic, as well as actions that have been or could be taken by governmental authorities or other third parties, present unknowns that are yet to unfold. The impacts, as well as the
3
SUP000_00_097_(05/20)

 

uncertainty over impacts to come, of COVID-19 – and any other infectious illness outbreaks, epidemics and pandemics that may arise in the future – could negatively affect global economies and markets in ways that cannot necessarily be foreseen. In addition, the impact of infectious illness outbreaks and epidemics in emerging market countries may be greater due to generally less established healthcare systems, governments and financial markets. Public health crises caused by the COVID-19 outbreak may exacerbate other pre-existing political, social and economic risks in certain countries or globally. The disruptions caused by COVID-19 could prevent the Fund from executing advantageous investment decisions in a timely manner and negatively impact the Fund’s ability to achieve its investment objective. Any such event(s) could have a significant adverse impact on the value and risk profile of the Fund.
For each of the Funds under Columbia ETF Trust I and Columbia ETF Trust II, the following information is added to the information above on Market Risk:
The impact of these risks and events could result in increased premiums or discounts to the Fund’s net asset value.
For Columbia Commodity Strategy Fund, the following information is added to the information above on Market Risk:
In general, commodity investments tend to have greater price volatility than debt securities. In addition, commodity prices may be sensitive to rising interest rates, as the cost of capital rises and borrowing costs increase.
The rest of the section remains the same.
Shareholders should retain this Supplement for future reference.
4
SUP000_00_097_(05/20)
Columbia Multi sector Mu... (AMEX:MUST)
Gráfico Histórico do Ativo
De Out 2024 até Nov 2024 Click aqui para mais gráficos Columbia Multi sector Mu....
Columbia Multi sector Mu... (AMEX:MUST)
Gráfico Histórico do Ativo
De Nov 2023 até Nov 2024 Click aqui para mais gráficos Columbia Multi sector Mu....