| Filed | As-Of/On | Form | Fullname | Symbol | Country | Industry | Shares | Activity | Shares Change | Shares Pct. Change | Hypothetical Old Value | Hypothetical New Value | Hypothetical Value Chg. | Hypothetical Return | Hypothetical Results |
Director |
Other |
Ten Pct |
Officer |
Officer Title |
News Article |
History |
|---|
| 2009-11-05 | 2009-08-31 | N-CSR | Mcafee Inc | MFE | US | Internet Security | 60,260 | New Holding | 60,260 | 100 % | $2,536,946 | $2,447,761 | $-89,185 | -3.51 % | $-89,185 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Mcafee Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Intrepid Potash Inc | IPI | US | Agricultural Chemicals | 0 | Sold All | -45,640 | -100 % | - | - | - | 9.06 % | $-113,187 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Intrepid Potash Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Verigy Ltd | VRGY | US | Semiconductor Equipment | 132,700 | New Holding | 132,700 | 100 % | $1,236,764 | $1,284,536 | $47,772 | 3.86 % | $47,772 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Verigy Ltd |
| 2009-11-05 | 2009-08-31 | N-CSR | Xilinx Inc | XLNX | US | Electronic Compo-Semicon | 64,060 | New Holding | 64,060 | 100 % | $1,412,523 | $1,427,257 | $14,734 | 1.04 % | $14,734 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Xilinx Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Tivo Inc | TIVO | US | Audio/Video Products | 437,790 | New Holding | 437,790 | 100 % | $4,785,045 | $4,666,841 | $-118,203 | -2.47 % | $-118,203 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Tivo Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Tessera Technologies Inc | TSRA | US | Semiconductor Equipment | 41,820 | New Holding | 41,820 | 100 % | $933,004 | $989,461 | $56,457 | 6.05 % | $56,457 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Tessera Technologies Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Synopsys Inc | SNPS | US | Electronic Design Automa | 0 | Sold All | -113,710 | -100 % | - | - | - | -2.20 % | $57,992 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Synopsys Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Symantec Corp | SYMC | US | Internet Security | 143,240 | Sold Some | -73,150 | -33.80 % | $2,499,538 | $2,538,213 | $38,675 | 1.54 % | $-19,751 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Symantec Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Sybase Inc | SY | US | Enterprise Software/Serv | 92,260 | Sold Some | -36,470 | -28.33 % | $3,683,942 | $3,683,019 | $-923 | -0.02 % | $365 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Sybase Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Silicon Laboratories Inc | SLAB | US | Electronic Compo-Semicon | 31,730 | New Holding | 31,730 | 100 % | $1,332,343 | $1,339,641 | $7,298 | 0.54 % | $7,298 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Silicon Laboratories Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Salesforcecom Inc | CRM | US | Applications Software | 59,050 | Sold Some | -14,600 | -19.82 % | $3,580,202 | $3,694,168 | $113,967 | 3.18 % | $-28,178 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Salesforcecom Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Red Hat Inc | RHT | US | Applications Software | 150,980 | New Holding | 150,980 | 100 % | $4,161,009 | $4,090,048 | $-70,961 | -1.70 % | $-70,961 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Red Hat Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Oracle Corp | ORCL | US | Enterprise Software/Serv | 186,040 | New Holding | 186,040 | 100 % | $3,966,373 | $4,156,134 | $189,761 | 4.78 % | $189,761 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Oracle Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Nvidia Corp | NVDA | US | Electronic Compo-Semicon | 164,360 | New Holding | 164,360 | 100 % | $2,016,697 | $2,120,244 | $103,547 | 5.13 % | $103,547 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Nvidia Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Nuance Communications Inc | NUAN | US | Applications Software | 206,870 | Sold Some | -82,200 | -28.43 % | $2,889,974 | $2,844,463 | $-45,511 | -1.57 % | $18,084 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Nuance Communications Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Novellus Systems Inc | NVLS | US | Semiconductor Equipment | 295,180 | New Holding | 295,180 | 100 % | $5,983,299 | $6,186,973 | $203,674 | 3.40 % | $203,674 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Novellus Systems Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Neutral Tandem Inc | TNDM | US | Telecom Services | 53,580 | New Holding | 53,580 | 100 % | $1,278,419 | $1,268,239 | $-10,180 | -0.79 % | $-10,180 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Neutral Tandem Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Microsemi Corp | MSCC | US | Electronic Compo-Semicon | 132,108 | New Holding | 132,108 | 100 % | $1,811,201 | $2,027,858 | $216,657 | 11.96 % | $216,657 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Microsemi Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Micron Technology Inc | MU | US | Electronic Compo-Semicon | 199,100 | New Holding | 199,100 | 100 % | $1,441,484 | $1,445,466 | $3,982 | 0.27 % | $3,982 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Micron Technology Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Microchip Technology Inc | MCHP | US | Electronic Compo-Semicon | 124,110 | New Holding | 124,110 | 100 % | $3,148,671 | $3,168,528 | $19,858 | 0.63 % | $19,858 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Microchip Technology Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Microsoft Corp | MSFT | US | Applications Software | 326,700 | Sold Some | -216,430 | -39.84 % | $9,301,149 | $9,676,854 | $375,705 | 4.03 % | $-248,895 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Microsoft Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Maxim Integrated Products Inc | MXIM | US | Semicon Compo-Intg Circu | 184,930 | New Holding | 184,930 | 100 % | $3,197,440 | $3,201,138 | $3,699 | 0.11 % | $3,699 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Maxim Integrated Products Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Linear Technology Corp | LLTC | US | Semicon Compo-Intg Circu | 121,130 | New Holding | 121,130 | 100 % | $3,255,974 | $3,202,677 | $-53,297 | -1.63 % | $-53,297 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Linear Technology Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Intuit Inc | INTU | US | Applications Software | 91,750 | New Holding | 91,750 | 100 % | $2,724,058 | $2,721,305 | $-2,753 | -0.10 % | $-2,753 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Intuit Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Intel Corp | INTC | US | Electronic Compo-Semicon | 204,800 | New Holding | 204,800 | 100 % | $3,868,672 | $3,940,352 | $71,680 | 1.85 % | $71,680 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Intel Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Formfactor Inc | FORM | US | Semiconductor Equipment | 69,360 | New Holding | 69,360 | 100 % | $1,160,393 | $1,213,800 | $53,407 | 4.60 % | $53,407 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Formfactor Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Electronic Arts Inc | ERTS | US | Entertainment Software | 161,070 | New Holding | 161,070 | 100 % | $2,925,031 | $2,786,511 | $-138,520 | -4.73 % | $-138,520 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Electronic Arts Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Crown Castle International Corp | CCI | US | Wireless Equipment | 50,030 | New Holding | 50,030 | 100 % | $1,644,986 | $1,873,624 | $228,637 | 13.89 % | $228,637 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Crown Castle International Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Concur Technologies Inc | CNQR | US | Enterprise Software/Serv | 32,360 | New Holding | 32,360 | 100 % | $1,197,320 | $1,198,291 | $971 | 0.08 % | $971 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Concur Technologies Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Citrix Systems Inc | CTXS | US | Applications Software | 71,220 | New Holding | 71,220 | 100 % | $2,730,575 | $2,694,965 | $-35,610 | -1.30 % | $-35,610 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Citrix Systems Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Broadcom Corp | BRCM | US | Electronic Compo-Semicon | 68,050 | New Holding | 68,050 | 100 % | $1,849,599 | $1,957,118 | $107,519 | 5.81 % | $107,519 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Broadcom Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Bmc Software Inc | BMC | US | Enterprise Software/Serv | 63,510 | New Holding | 63,510 | 100 % | $2,374,639 | $2,454,662 | $80,023 | 3.36 % | $80,023 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Bmc Software Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Autodesk Inc | ADSK | US | Computer Aided Design | 152,730 | New Holding | 152,730 | 100 % | $3,989,308 | $3,636,501 | $-352,806 | -8.84 % | $-352,806 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Autodesk Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Atheros Communications Inc | ATHR | US | Networking Products | 42,940 | New Holding | 42,940 | 100 % | $1,148,645 | $1,182,997 | $34,352 | 2.99 % | $34,352 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Atheros Communications Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Analog Devices Inc | ADI | US | Semicon Compo-Intg Circu | 233,521 | New Holding | 233,521 | 100 % | $6,274,709 | $6,417,157 | $142,448 | 2.27 % | $142,448 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Analog Devices Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | American Tower Corp | AMT | US | Wireless Equipment | 39,793 | New Holding | 39,793 | 100 % | $1,539,989 | $1,617,188 | $77,198 | 5.01 % | $77,198 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of American Tower Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Altera Corp | ALTR | US | Electronic Compo-Semicon | 110,450 | New Holding | 110,450 | 100 % | $2,202,373 | $2,283,002 | $80,629 | 3.66 % | $80,629 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Altera Corp |
| 2009-11-05 | 2009-08-31 | N-CSR | Adobe Systems Inc | ADBE | US | Electronic Forms | 91,420 | New Holding | 91,420 | 100 % | $3,172,274 | $3,273,750 | $101,476 | 3.19 % | $101,476 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Adobe Systems Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Millicom International Cellular Sa | MICC | SE | Cellular Telecom | 18,050 | New Holding | 18,050 | 100 % | $1,206,462 | $1,352,306 | $145,844 | 12.08 % | $145,844 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Millicom International Cellular Sa |
| 2009-11-05 | 2009-08-31 | N-CSR | Nintendo Co Ltd | NTDOF.PK | JP | Toys | 0 | Sold All | -4,850 | -100 % | - | - | - | - % | | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Nintendo Co Ltd |
| 2009-11-05 | 2009-08-31 | N-CSR | Memc Electronic Materials Inc | WFR | IT | Electronic Compo-Semicon | 127,460 | New Holding | 127,460 | 100 % | $1,630,213 | $1,539,717 | $-90,497 | -5.55 % | $-90,497 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Memc Electronic Materials Inc |
| 2009-11-05 | 2009-08-31 | N-CSR | Nice Systems Ltd | NICE | IL | Telecommunication Equip | 39,310 | New Holding | 39,310 | 100 % | $1,182,838 | $1,173,797 | $-9,041 | -0.76 % | $-9,041 | | | | | | News Article | History of Columbia Funds Series Trust I - Columbia Technology Fund Ownership Of Nice Systems Ltd |
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