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STK

Columbia Seligman Premium Technology Growth Fund, Inc.

Company with tickers: STK

CIK
1471420
CUSIP
19842X109
Shares Outstanding
17,661,327
13F Activity (30d)
33 filings 31 filers

Portfolio holdings reported by registered funds to the SEC on Form N-PORT — the individual securities a fund owns. Only mutual funds, ETFs and closed-end funds file N-PORT, so operating companies show no data.

Columbia Seligman Premium Technology Growth Fund, Inc.

Reported 2026-03-31
Net Assets
$705,594,260
Total Assets
$706,650,614
Holdings
75
Filed
2026-05-28
Holding Balance Value % Net Assets
Bloom Energy Corp 486,084 $65,859,521 9.33%
Lam Research Corp 245,261 $52,402,465 7.43%
Marvell Technology Inc 373,626 $37,007,655 5.24%
NVIDIA Corp 194,638 $33,944,867 4.81%
Broadcom Inc 104,231 $32,260,536 4.57%
Western Digital Corp 119,185 $32,238,351 4.57%
Applied Materials Inc 91,579 $31,300,786 4.44%
Alphabet Inc 103,127 $29,655,200 4.20%
COLUMBIA SHORT TERM CASH FUND 21,189,690 $21,181,214 3.00%
Apple Inc 83,114 $21,093,502 2.99%
Microsoft Corp 56,725 $20,997,893 2.98%
Teradyne Inc 50,572 $14,992,575 2.12%
Alphabet Inc 51,636 $14,812,303 2.10%
Wix.com Ltd 148,379 $13,364,497 1.89%
Cisco Systems Inc 167,992 $13,034,499 1.85%
Visa Inc 42,327 $12,792,912 1.81%
GoDaddy Inc 145,318 $12,013,439 1.70%
Synaptics Inc 170,207 $11,921,298 1.69%
NetApp Inc 109,174 $11,178,326 1.58%
Global Payments Inc 157,757 $10,617,046 1.50%
Arista Networks Inc 86,383 $10,606,105 1.50%
Hewlett Packard Enterprise Co 433,882 $10,330,730 1.46%
Semtech Corp 132,527 $10,190,001 1.44%
Lyft Inc 757,642 $10,076,639 1.43%
Taiwan Semiconductor Manufacturing Co Ltd 27,747 $9,377,099 1.33%
Match Group Inc 289,300 $8,884,403 1.26%
Gen Digital Inc 442,028 $8,323,387 1.18%
Advanced Energy Industries Inc 25,554 $8,246,531 1.17%
Amazon.com Inc 38,472 $8,012,563 1.14%
eBay Inc 84,687 $7,708,211 1.09%
NXP Semiconductors NV 38,649 $7,608,442 1.08%
Renesas Electronics Corp 526,800 $7,531,781 1.07%
Adeia Inc 304,453 $7,316,006 1.04%
Pinterest Inc 390,633 $7,164,209 1.02%
Salesforce Inc 37,946 $7,083,380 1.00%
ON Semiconductor Corp 110,819 $6,861,912 0.97%
Meta Platforms Inc 10,414 $5,958,162 0.84%
Palo Alto Networks Inc 36,323 $5,823,303 0.83%
QUALCOMM Inc 43,885 $5,651,510 0.80%
Block Inc 84,337 $5,075,401 0.72%
Synopsys Inc 12,745 $5,053,138 0.72%
RingCentral Inc 133,942 $4,981,303 0.71%
F5 Inc 16,300 $4,716,079 0.67%
Airbnb Inc 34,564 $4,364,742 0.62%
Oracle Corp 27,786 $4,087,598 0.58%
Intuit Inc 8,458 $3,657,070 0.52%
Docusign Inc 75,040 $3,557,646 0.50%
Tenable Holdings Inc 191,436 $3,238,140 0.46%
American Electric Power Co Inc 21,967 $2,879,434 0.41%
Coherent Corp 11,667 $2,779,196 0.39%
Showing 1–50 of 75 holdings