Prospectus and Statement of Additional Information (SAI) Supplement – February 5, 2013*
Fund    Prospectuses dated    Prospectus dated    SAI dated

Columbia Income Builder Fund

   June 1, 2012    November 8, 2012    January 1, 2013

Effective February 14, 2013, the following changes are hereby made to the Fund’s prospectuses and SAI:

The following portfolio manager is hereby added under the caption “Fund Management” in the “Summary of the Fund” section of the prospectuses:

 

Portfolio Manager

  

Title

  

Managed Fund Since

Zach Pandl    Senior Portfolio Manager    February 2013

The rest of this section remains the same.

The following portfolio manager is hereby added under the caption “Investment Manager” in the “More Information About the Fund – Fund Management and Compensation” section of the prospectuses:

Zach Pandl

Co-manager. Service with the Fund since February 2013.

Portfolio Manager of the Investment Manager; associated with the Investment Manager as an investment professional since 2012. Prior to 2012, Mr. Pandl was a senior economist at Goldman Sachs and was an economist at Nomura Securities from 2009-2011 and Lehman Brothers from 2006-2008. Mr. Pandl began his investment career in 2006 and earned a B.S. from the University of St. Thomas, Minnesota and an M.S. from New York University.

The rest of this section remains the same.

The following portfolio manager is hereby added to Table 17. Portfolio Managers, in the Fund’s SAI:

 

Fund   Portfolio Manager   Other Accounts Managed (excluding the fund)   Ownership of Fund
Shares
  Potential Conflicts
of Interest
  Structure of
Compensation
    Number and type of
account (a)
  Approximate Total
Net Assets
  Performance Based
Accounts (b)
     

For funds with fiscal period ending January 31

             

Columbia Income Builder Fund

  Zach Pandl (c)   4 other accounts   $0.033 million   None   None   (4)   (13)

 

(a) RIC refers to a Registered Investment Company; PIV refers to a Pooled Investment Vehicle.
(b) Number of accounts for which the advisory fee paid is based in part or wholly on performance and the aggregate net assets in those accounts.
(c) The portfolio manager began managing the fund after its fiscal year end; reporting information is provided as of Dec. 31, 2012.

The rest of this section remains the same.

* Valid until next update.

 

 

S-6413-5 A (2/13)

Chinaedu Corp. ADS, Each Representing Three Ordinary Shares (MM) (NASDAQ:CEDU)
Historical Stock Chart
From Jun 2024 to Jul 2024 Click Here for more Chinaedu Corp. ADS, Each Representing Three Ordinary Shares (MM) Charts.
Chinaedu Corp. ADS, Each Representing Three Ordinary Shares (MM) (NASDAQ:CEDU)
Historical Stock Chart
From Jul 2023 to Jul 2024 Click Here for more Chinaedu Corp. ADS, Each Representing Three Ordinary Shares (MM) Charts.