AMOUNT ISSUER/ SECURITY NOTE/ BOND/ PURCHASE SELLING QUANTITY SHARE PRICE/ PAID BY TRUST FUND NAME CUSIP DESCRIPTION EQUITY DATE BROKER** PURCHASED PAR FUND FYE -------------- ------------ --------- -------------------- ----------- ---------...Purchase Agreement • September 24th, 2008 • Columbia Funds Institutional Trust
Contract Type FiledSeptember 24th, 2008 Company