WSCGX
Allspring Small Company Growth Fund
ALLSPRING FUNDS TRUST

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
126
Top-10 weight
15.72%
Effective holdings ?
106
Crowding ?
414.8

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ALLSPRING GOVERNMENT MONEY MAR 16,781,415 $16.78M 3.16%
2 SPX TECHNOLOGIES INC 38,844 $8.10M 1.53%
3 ADV ENERGY INDS 31,384 $8.01M 1.51%
4 ELEMENT SOLUTIONS INC 268,938 $7.83M 1.48%
5 TECHNIPFMC PLC 138,285 $7.71M 1.45%
6 PATRICK INDUSTRIES INC 56,914 $7.18M 1.35%
7 JFROG LTD 128,653 $7.05M 1.33%
8 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 32,041 $7.02M 1.32%
9 KRATOS DEFENSE and SEC SOLTN INC 68,009 $7.01M 1.32%
10 MODINE MFG CO 36,362 $6.71M 1.27%
11 STIFEL FINANCIAL CORP 54,412 $6.71M 1.26%
12 LUMENTUM HOLDINGS INC 16,110 $6.31M 1.19%
13 FLOWSERVE CORP 77,110 $6.03M 1.14%
14 ADVANCED DRAINAGE SYSTEMS INC 38,297 $5.82M 1.10%
15 COASTAL FINANCIAL CORP/WA 59,153 $5.67M 1.07%
16 STEEL DYNAMICS INC 31,256 $5.61M 1.06%
17 ESCO TECHNOLOGIES INC 24,514 $5.59M 1.05%
18 KIRBY CORP 47,348 $5.57M 1.05%
19 PTC INC 35,443 $5.53M 1.04%
20 MYR GROUP INC/DELAWARE 22,087 $5.52M 1.04%
21 BURLINGTON STORES INC 18,649 $5.52M 1.04%
22 MERCURY SYSTEMS INC 58,607 $5.50M 1.04%
23 BOOT BARN HOLDINGS INC 30,792 $5.50M 1.04%
24 OLLIES BARGAIN OUTLET HOLDINGS INC 49,756 $5.49M 1.03%
25 ARTIVION INC 132,119 $5.39M 1.02%
26 GLACIER BANCORP INC 105,673 $5.36M 1.01%
27 ARCOSA INC 46,680 $5.34M 1.01%
28 ESSENT GROUP LTD 84,327 $5.31M 1.00%
29 FTAI AVIATION LTD 19,214 $5.23M 0.99%
30 SYNAPTICS INC 62,454 $5.15M 0.97%
31 ON HOLDING AG 113,847 $5.15M 0.97%
32 EVERCORE INC A 14,575 $5.15M 0.97%
33 AAR CORP 47,932 $5.08M 0.96%
34 JOHN BEAN TECHNOLOGIES CORP 31,661 $4.98M 0.94%
35 CONSTRUCTION PARTNERS INC CL A 45,136 $4.96M 0.94%
36 SKYLINE CHAMPION CORP 62,439 $4.89M 0.92%
37 TRIUMPH FINANCIAL INC 76,709 $4.84M 0.91%
38 FIRSTCASH HOLDINGS INC 28,214 $4.81M 0.91%
39 AAON INC 52,654 $4.79M 0.90%
40 PERFORMANCE FOOD GROUP CO 49,762 $4.75M 0.90%
41 VERRA MOBILITY CORP 241,472 $4.66M 0.88%
42 ZURN ELKAY WATER SOLUTIONS CORP 100,182 $4.62M 0.87%
43 BOX INC- CLASS A 181,380 $4.60M 0.87%
44 LEGENCE CORP-A 97,472 $4.57M 0.86%
45 CECO ENVIRONMNTL 67,687 $4.56M 0.86%
46 ITRON INC 45,757 $4.53M 0.85%
47 TERADYNE INC 18,575 $4.48M 0.84%
48 DYCOM INDUSTRIES INC 12,223 $4.45M 0.84%
49 KBR INC 103,280 $4.42M 0.83%
50 CELSIUS HOLDINGS INC 83,080 $4.36M 0.82%
1 / 3 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.