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Columbia India Consumer ETF

Open-end / ETF
Registrant
Columbia ETF Trust II
Class ticker
Net Assets
$225,889,002
Holdings
31
Latest Report
Jun 30, 2026

Net Assets Over Time

Holdings · 31

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Holding Balance Value % of Fund Open
Eternal Ltd
4,500,861 $12,581,276 5.57%
Nestle India Ltd
812,807 $12,066,041 5.34%
Trent Ltd
332,655 $11,535,894 5.11%
Titan Co Ltd
246,411 $11,464,276 5.08%
Maruti Suzuki India Ltd
73,852 $11,012,410 4.88%
Bajaj Auto Ltd
106,483 $10,929,669 4.84%
Hindustan Unilever Ltd
469,377 $10,503,354 4.65%
Eicher Motors Ltd
137,151 $10,248,789 4.54%
ITC Ltd
3,373,282 $10,225,819 4.53%
Mahindra & Mahindra Ltd
313,428 $10,161,214 4.50%
TVS Motor Co Ltd
266,667 $9,748,996 4.32%
Tata Motors Passenger Vehicles Limited
2,338,421 $8,700,642 3.85%
Tata Consumer Products Ltd
725,193 $8,240,312 3.65%
Varun Beverages Ltd
1,489,244 $7,985,166 3.53%
Samvardhana Motherson International Ltd
5,042,250 $7,889,473 3.49%
Avenue Supermarts Ltd
167,054 $7,731,070 3.42%
Hero MotoCorp Ltd
147,364 $7,463,729 3.30%
Indian Hotels Co Ltd/The
968,230 $7,302,735 3.23%
Britannia Industries Ltd
133,630 $7,265,327 3.22%
Bharat Forge Ltd
267,597 $6,061,296 2.68%
Marico Ltd
608,917 $5,379,395 2.38%
United Spirits Ltd
334,760 $4,775,680 2.11%
Lenskart Solutions Ltd
860,165 $4,679,356 2.07%
Godrej Consumer Products Ltd
437,355 $4,666,537 2.07%
FSN E-Commerce Ventures Ltd
1,277,560 $4,195,381 1.86%
Bosch Ltd
9,881 $4,164,981 1.84%
Swiggy Ltd
1,514,888 $3,830,480 1.70%
Hyundai Motor India Ltd
161,616 $3,253,363 1.44%
Dabur India Ltd
652,247 $2,909,173 1.29%
LG Electronics India Ltd
115,839 $1,899,266 0.84%
COLUMBIA SHORT TERM CASH FUND
519,760 $519,448 0.23%