The next evolution in target-date fund diversification

Targeting a better outcome

Target-date funds aren’t all built alike. With risk diversification at its core, Columbia Adaptive Retirement Series takes retirement plan investing to the next level to target a better outcome than traditional target-date funds.

Seeking a smoother ride through all markets

All target-date funds offer portfolios designed to stay balanced along the path to retirement. By applying our time-tested risk allocation approach, we believe our portfolio may better mitigate risk and pursue a more consistent experience than traditional target-date funds — even in volatile markets.


Diversification does not assure a profit or protect against loss.