Discover opportunity in volatility.

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[ "Fixed Income" ]
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Flexible fixed-income solutions for changing markets

What if you could offer fixed-income solutions that are built to thrive, even through volatility? Our flexible, actively managed solutions aim to help manage risk — and capture opportunity — in changing environments.

COLUMBIA STRATEGIC INCOME FUND*

RISE TO THE CHALLENGE OF CHANGING RATES

*Overall Morningstar Rating™ is for Institutional 3 shares, out of 297 Nontraditional Bond funds, as of 03/31/22 and based on a Morningstar Risk-Adjusted Return measure.

 

As interest rates shift, will your fixed-income solutions continue to deliver positive outcomes for plan participants? Consider a strategy that offers access to all four performance drivers — duration, credit, currency and inflation — to capture the return possibilities of the strongest driver in any market.


With increased flexibility to adapt to changing markets, Columbia Strategic Income:

  • Navigates volatility and targets strong returns better than traditional approaches

  • Offers plan participants more potential opportunity, even in a rising rate environment

  • Emphasizes areas of the market that typically perform well in each phase of a business cycle

 
This solution is also available as a collective investment trust.
View fund details