SCNSX
Allspring Common Stock Fund
ALLSPRING FUNDS TRUST

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
97
Top-10 weight
17.65%
Effective holdings ?
79
Crowding ?
526.7

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ON SEMICONDUCTOR CORP 209,462 $12.97M 2.25%
2 KIRBY CORP 85,358 $11.34M 1.96%
3 MARVELL TECHNOLOGY INC 107,182 $10.62M 1.84%
4 QXO INC 527,748 $10.25M 1.77%
5 WESCO INTL 35,116 $9.61M 1.66%
6 DYNATRACE INC 257,733 $9.53M 1.65%
7 API GROUP CORP 233,319 $9.45M 1.64%
8 HEALTHEQUITY INC 112,678 $9.42M 1.63%
9 AMERIS BANCORP 120,367 $9.39M 1.63%
10 LITTELFUSE INC 27,661 $9.39M 1.63%
11 REGAL REXNORD CORP 49,855 $9.34M 1.62%
12 ALLIENT INC 157,914 $9.33M 1.62%
13 WINTRUST FINL 67,155 $9.33M 1.62%
14 BWX TECHNOLOGIES INC 44,565 $9.11M 1.58%
15 TERRENO REALTY CORP 148,202 $9.10M 1.58%
16 APPLIED INDU TEC 33,900 $8.99M 1.56%
17 WESTLAKE CORP 76,911 $8.98M 1.56%
18 SUN COMMUNITIES INC - REIT 68,919 $8.68M 1.50%
19 REINSURANCE GROUP OF AMERICA 42,231 $8.62M 1.49%
20 ROKU INC CLASS A 88,467 $8.37M 1.45%
21 BRUKER CORP 230,002 $8.31M 1.44%
22 TOLL BROTHERS INC 60,581 $8.27M 1.43%
23 LIVANOVA PLC 129,207 $8.21M 1.42%
24 BURLINGTON STORES INC 24,543 $7.99M 1.38%
25 COMMERCIAL METALS CO 129,889 $7.98M 1.38%
26 TEXAS CAPITAL BANCSHARES INC 83,931 $7.96M 1.38%
27 TALEN ENERGY CORP 24,725 $7.89M 1.37%
28 AZENTA INC 369,078 $7.80M 1.35%
29 LOUISIANA PACIFIC CORP 106,858 $7.77M 1.35%
30 OKTA INC CL A 97,833 $7.70M 1.33%
31 ASHLAND INC 135,565 $7.54M 1.31%
32 TELEDYNE TECHNOLOGIES INC 12,425 $7.52M 1.30%
33 V2X INC 108,693 $7.45M 1.29%
34 NATIONAL VISION HOLDINGS INC 282,196 $7.31M 1.27%
35 PLANET FITNESS INC CL A 98,224 $7.31M 1.27%
36 MIRION TECHNOLOGIES INC-A 392,853 $7.30M 1.26%
37 REVOLVE GROUP INC 321,761 $7.28M 1.26%
38 ALLEGRO MICROSYSTEMS INC 230,623 $7.27M 1.26%
39 BIO RAD LABS CL A 26,052 $7.26M 1.26%
40 HERC HOLDINGS INC 72,699 $7.24M 1.25%
41 AZZ INC 57,647 $7.21M 1.25%
42 RALLIANT CORP 172,998 $7.19M 1.25%
43 ALASKA AIR GROUP INC 192,133 $7.07M 1.22%
44 ESAB CORP 71,559 $6.92M 1.20%
45 AXOS FINANCIAL INC 80,759 $6.87M 1.19%
46 Icon Public Limited Company ICLR 61,841 $6.84M 1.18%
47 MELROSE INDUSTRI 990,636 $6.71M 1.16%
48 CARLISLE COS INC 20,049 $6.69M 1.16%
49 COTERRA ENERGY INC 187,181 $6.58M 1.14%
50 MONTROSE ENVIRONMENTAL GROUP INC 295,656 $6.47M 1.12%
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