WFEAX
Allspring International Equity Fund
ALLSPRING FUNDS TRUST

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
55
Top-10 weight
30.38%
Effective holdings ?
46
Crowding ?
496.7

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 BARCLAYS PLC 1,070,543 $7.12M 4.04%
2 ING GROEP NV 210,701 $6.20M 3.52%
3 ALLSPRING GOVERNMENT MONEY MAR 5,923,277 $5.92M 3.36%
4 Novartis AG (Registered) NVSEF 35,144 $5.21M 2.96%
5 SAMSUNG ELEC VTG GDR REGS SSNHZ US 1,857 $5.11M 2.90%
6 HITACHI LTD 141,000 $4.88M 2.77%
7 ASTRAZENECA PLC 25,980 $4.83M 2.74%
8 LVMH MOET HENNESSY LOUIS VUITTON SE MC 7,328 $4.75M 2.69%
9 AXA 99,974 $4.55M 2.58%
10 ALLIANZ SE (REGD) 9,820 $4.33M 2.45%
11 Airbus SE 18,434 $4.23M 2.40%
12 SUMITOMO MITSUI FINL GROUP INC 118,600 $4.19M 2.38%
13 RIO TINTO PLC 44,535 $4.11M 2.33%
14 ASML HOLDING-NY 2,883 $4.10M 2.33%
15 DHL GROUP 71,489 $4.01M 2.27%
16 BAE SYSTEMS PLC 136,684 $3.69M 2.09%
17 SAP SE 17,949 $3.63M 2.06%
18 DEUTSCHE TELEKOM 107,487 $3.59M 2.04%
19 TOKIO MARINE HOLDINGS INC COMMON STOCK 8766 96,400 $3.57M 2.02%
20 SCHNEIDER ELECTR 12,364 $3.55M 2.01%
21 PRYSMIAN SPA 29,724 $3.54M 2.01%
22 TOKYO ELECTRON 13,100 $3.50M 1.98%
23 RESTAURANT BRANDS INTERNATIONAL INC 51,878 $3.48M 1.97%
24 TOYOTA MOTOR CORP 148,300 $3.36M 1.90%
25 SIEMENS AG-REG 10,882 $3.31M 1.87%
26 NOVO NORDISK-B 55,044 $3.23M 1.83%
27 ADIDAS AG 18,012 $3.18M 1.81%
28 RHEINMETALL AG 1,473 $3.11M 1.76%
29 VINCI SA 21,631 $3.11M 1.76%
30 DEUTSCHE BOERSE 12,102 $3.06M 1.74%
31 VEOLIA ENVIRONNE 80,421 $3.02M 1.71%
32 SHELL PLC 75,884 $2.90M 1.65%
33 UNILEVER PLC 40,040 $2.71M 1.54%
34 L'OREAL SA ORD 5,841 $2.68M 1.52%
35 NORDEA BANK ABP 135,699 $2.62M 1.49%
36 ORIX CORP 85,600 $2.60M 1.47%
37 TAIWAN SEMIC MFG CO LTD SP ADR 7,675 $2.54M 1.44%
38 Sanofi SA 26,670 $2.50M 1.42%
39 TC ENERGY CORP 39,642 $2.33M 1.32%
40 L'Air Liquide, societe anonyme pour l'Etude et l'Exploitation des procedes Georges Claude AIQUF 12,162 $2.28M 1.29%
41 DIAGEO PLC 97,025 $2.22M 1.26%
42 MONCLER SPA 35,437 $2.06M 1.17%
43 RELX PLC 56,968 $2.01M 1.14%
44 CAPGEMINI SE 12,500 $1.94M 1.10%
45 SONY GROUP CORP 85,700 $1.91M 1.08%
46 COCA-COLA EUROPA 20,844 $1.91M 1.08%
47 NATIONAL GRID PL 104,150 $1.76M 1.00%
48 ASAHI GROUP HOLDINGS LTD COMMON STOCK 2502 168,700 $1.76M 1.00%
49 TE CONNECTIVITY PLC 6,909 $1.54M 0.87%
50 INFINEON TECH 30,500 $1.50M 0.85%
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