WSCGX
Allspring Small Company Growth Fund
ALLSPRING FUNDS TRUST

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Oct 31, 2025 → Jan 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
MERCURY SYSTEMS INC 0 58,607 58,607 1.04% $5.50M
SIGNET JEWELERS LTD 0 36,956 36,956 0.64% $3.41M
DIGITALOCEAN HOLDINGS INC 0 59,690 59,690 0.62% $3.30M
COGENT BIOSCIENCES INC 0 85,907 85,907 0.58% $3.08M
XENON PHARMACEUTICALS INC 0 71,242 71,242 0.55% $2.92M
STRUCTURE THERAPEUTICS INC ADR 0 32,660 32,660 0.54% $2.89M
DAVE INC 0 15,583 15,583 0.48% $2.55M
SEZZLE INC 0 36,071 36,071 0.43% $2.28M
BLACK ROCK COFFEE BAR INC 0 140,837 140,837 0.40% $2.10M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
CORE & MAIN IN-A 88,735 0 -88,735 0.00% -$4.63M
CONFLUENT INC-A 192,115 0 -192,115 0.00% -$4.49M
CLEARWATER ANALYTICS HOLDINGS INC 234,948 0 -234,948 0.00% -$4.33M
International Game Technology PLC 246,509 0 -246,509 0.00% -$4.11M
AMICUS THERAPEUTICS INC 453,698 0 -453,698 0.00% -$4.10M
DIGITALBRIDGE GROUP INC 309,112 0 -309,112 0.00% -$3.66M
ELF BEAUTY INC 26,715 0 -26,715 0.00% -$3.26M
PHREESIA INC 131,719 0 -131,719 0.00% -$2.98M
AGIOS PHARMACEUTICALS INC 68,287 0 -68,287 0.00% -$2.95M
CORCEPT THERAPEUTICS INC 33,504 0 -33,504 0.00% -$2.46M
WABASH NATIONAL CORP 144,113 0 -144,113 0.00% -$1.16M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ALLSPRING GOVERNMENT MONEY MAR 11,626,785 16,781,415 5,154,629 3.16% $5.15M
JFROG LTD 128,569 128,653 84 1.33% $945.73K
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 29,614 32,041 2,427 1.32% $2.63M
PTC INC 34,264 35,443 1,179 1.04% -$1.27M
BOOT BARN HOLDINGS INC 29,311 30,792 1,481 1.04% -$63.07K
OLLIES BARGAIN OUTLET HOLDINGS INC 40,768 49,756 8,988 1.03% $563.40K
ARTIVION INC 129,992 132,119 2,127 1.02% -$511.25K
GLACIER BANCORP INC 97,090 105,673 8,583 1.01% $1.39M
ARCOSA INC 42,045 46,680 4,635 1.01% $1.05M
TRIUMPH FINANCIAL INC 43,611 76,709 33,098 0.91% $2.46M
PERFORMANCE FOOD GROUP CO 47,311 49,762 2,451 0.90% $172.92K
ITRON INC 39,188 45,757 6,569 0.85% $601.87K
CELSIUS HOLDINGS INC 71,109 83,080 11,971 0.82% $77.14K
WAYSTAR HOLDING CORP 146,782 156,287 9,505 0.78% -$1.11M
PURE STORAGE INC CL A 51,136 59,398 8,262 0.78% -$916.59K
FLOWCO HOLDINGS INC 171,774 195,505 23,731 0.77% $1.30M
HEALTHEQUITY INC 43,850 46,689 2,839 0.75% -$147.49K
AGILYSYS INC 43,349 46,043 2,694 0.75% -$1.44M
GENERAC HOLDINGS INC 21,610 23,279 1,669 0.74% $280.89K
BOISE CASCADE CO 29,401 46,270 16,869 0.71% $1.67M
Q2 HOLDINGS INC 40,442 58,894 18,452 0.68% $1.11M
PAR TECHNOLOGY CORP 127,847 135,959 8,112 0.67% -$954.63K
IRHYTHM TECHNOLOGIES INC 21,497 22,915 1,418 0.67% -$485.79K
AVEPOINT INC 247,603 302,406 54,803 0.66% $33.21K
SHOALS TECHNOLOGIES GROUP INC 328,647 370,729 42,082 0.66% $45.60K
RYAN SPECIALTY HOLDINGS INC 67,753 72,092 4,339 0.66% -$232.26K
VARONIS SYSTEMS INC 108,970 115,974 7,004 0.65% -$378.35K
SHIFT4 PAYMENTS INC 49,359 58,601 9,242 0.65% $49.10K
NCINO INC 120,700 141,059 20,359 0.57% -$208.67K
NUTANIX INC CL A 63,518 73,779 10,261 0.55% -$1.62M
VITAL FARMS INC 94,519 100,551 6,032 0.54% -$244.27K
GENEDX HOLDINGS CORP-A 25,360 28,140 2,780 0.51% -$763.28K
ODDITY TECH LTD A 76,881 81,849 4,968 0.51% -$790.94K
SOLENO THERAPEUTICS INC 38,741 48,817 10,076 0.35% -$719.46K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
SPX TECHNOLOGIES INC 39,688 38,844 -844 1.53% -$790.27K
ADV ENERGY INDS 32,061 31,384 -677 1.51% $1.51M
ELEMENT SOLUTIONS INC 277,840 268,938 -8,902 1.48% $402.21K
TECHNIPFMC PLC 158,295 138,285 -20,010 1.45% $1.16M
PATRICK INDUSTRIES INC 58,798 56,914 -1,884 1.35% $1.04M
KRATOS DEFENSE and SEC SOLTN INC 70,261 68,009 -2,252 1.32% $639.96K
MODINE MFG CO 38,041 36,362 -1,679 1.27% $886.35K
STIFEL FINANCIAL CORP 62,459 54,412 -8,047 1.27% -$688.02K
LUMENTUM HOLDINGS INC 22,793 16,110 -6,683 1.19% $1.72M
FLOWSERVE CORP 88,608 77,110 -11,498 1.14% -$21.35K
ADVANCED DRAINAGE SYSTEMS INC 39,565 38,297 -1,268 1.10% $281.60K
COASTAL FINANCIAL CORP/WA 61,111 59,153 -1,958 1.07% -$842.65K
STEEL DYNAMICS INC 32,292 31,256 -1,036 1.06% $549.25K
ESCO TECHNOLOGIES INC 25,325 24,514 -811 1.05% $35.28K
KIRBY CORP 52,028 47,348 -4,680 1.05% $187.11K
MYR GROUP INC/DELAWARE 22,818 22,087 -731 1.04% $555.15K
BURLINGTON STORES INC 19,266 18,649 -617 1.04% $246.51K
ESSENT GROUP LTD 87,118 84,327 -2,791 1.00% $29.12K
FTAI AVIATION LTD 28,801 19,214 -9,587 0.99% $252.66K
SYNAPTICS INC 64,521 62,454 -2,067 0.97% $575.96K
ON HOLDING AG 123,398 113,847 -9,551 0.97% $567.34K
EVERCORE INC A 16,731 14,575 -2,156 0.97% $220.63K
AAR CORP 54,916 47,932 -6,984 0.96% $452.00K
JOHN BEAN TECHNOLOGIES CORP 32,709 31,661 -1,048 0.94% $855.99K
CONSTRUCTION PARTNERS INC CL A 46,630 45,136 -1,494 0.94% -$372.60K
SKYLINE CHAMPION CORP 64,506 62,439 -2,067 0.92% $492.72K
FIRSTCASH HOLDINGS INC 29,148 28,214 -934 0.91% $190.53K
AAON INC 54,398 52,654 -1,744 0.90% -$557.55K
VERRA MOBILITY CORP 249,465 241,472 -7,993 0.88% -$1.13M
ZURN ELKAY WATER SOLUTIONS CORP 103,498 100,182 -3,316 0.87% -$256.40K
BOX INC- CLASS A 187,384 181,380 -6,004 0.87% -$1.42M
LEGENCE CORP-A 105,793 97,472 -8,321 0.86% $195.76K
CECO ENVIRONMNTL 86,372 67,687 -18,685 0.86% $341.41K
TERADYNE INC 23,679 18,575 -5,104 0.84% $173.61K
DYCOM INDUSTRIES INC 14,041 12,223 -1,818 0.84% $413.08K
KBR INC 106,698 103,280 -3,418 0.83% -$149.53K
CIENA CORP 35,750 16,706 -19,044 0.79% -$2.58M
FORMFACTOR INC 69,280 59,676 -9,604 0.79% $399.63K
YETI HOLDINGS INC 104,178 90,714 -13,464 0.78% $605.53K
ALLEGRO MICROSYSTEMS INC 114,390 110,725 -3,665 0.77% $664.31K
MIRION TECHNOLOGIES INC-A 169,727 164,289 -5,438 0.77% -$903.94K
KINIKSA PHARMACEUTICALS INTERNATIONAL PLC 95,499 92,439 -3,060 0.77% $525.50K
SS&C TECHNOLOGIE 49,903 48,304 -1,599 0.75% -$282.15K
TWIST BIOSCIENCE CORP 122,211 94,959 -27,252 0.74% -$119.55K
CYBER-ARK SOFTWARE LTD 9,150 8,857 -293 0.72% -$949.28K
PALOMAR HOLDINGS 31,614 30,601 -1,013 0.71% $177.67K
ZETA GLOBAL HOLDINGS CORP 208,305 201,631 -6,674 0.71% -$1.10K
AXSOME THERAPEUTICS INC 27,034 20,255 -6,779 0.70% $82.66K
ACADEMY SPORTS and OUTDOORS INC 69,815 67,578 -2,237 0.70% $374.03K
ADMA BIOLOGICS INC 221,930 212,682 -9,248 0.69% $243.92K
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 68,047 65,867 -2,180 0.68% $558.99K
ALKERMES PLC 108,069 104,607 -3,462 0.67% $227.41K
PROCORE TECHNOLOGIES INC 63,126 61,103 -2,023 0.65% -$1.21M
LIFE TIME GROUP HOLDINGS INC 117,333 113,573 -3,760 0.62% $411.28K
VIRTU FINANCIAL INC- CL A 81,482 78,871 -2,611 0.62% $435.10K
VALVOLINE INC 102,505 99,220 -3,285 0.61% -$137.21K
FTI CONSULTING INC 19,149 18,536 -613 0.61% $77.91K
NEUROCRINE BIOSCIENCES INC 24,573 23,563 -1,010 0.60% -$313.12K
STEVANATO GROUP SPA 212,432 205,625 -6,807 0.60% -$2.15M
SKYWARD SPECIALTY INSURANCE GROUP INC 74,126 71,751 -2,375 0.60% -$177.87K
BIOLIFE SOLUTIONS INC 150,795 145,963 -4,832 0.60% -$1.02M
ADAPTIVE BIOTECHNOLOGIES CORP 177,702 168,332 -9,370 0.59% $29.24K
PRIVIA HEALTH GROUP INC 138,485 134,047 -4,438 0.59% -$252.61K
CERIBELL INC 153,957 149,024 -4,933 0.58% $1.32M
VERICEL CORP 85,908 83,155 -2,753 0.56% -$20.02K
TRANSMEDICS GROUP INC 25,750 22,178 -3,572 0.56% -$415.86K
GENIUS SPORTS LTD 343,017 332,027 -10,990 0.54% -$973.74K
CYTOKINETICS INC 58,191 44,337 -13,854 0.53% -$898.71K
RB GLOBAL INC 25,440 24,624 -816 0.53% $272.39K
SCHOLAR ROCK HOLDING CORP 64,731 62,658 -2,073 0.52% $860.92K
TREVI THERAPEUTICS INC 256,658 250,087 -6,571 0.49% -$374.22K
SI-BONE INC 159,866 154,743 -5,123 0.48% $194.83K
BIRKENSTOCK HOLDING LTD 70,001 67,758 -2,243 0.48% -$235.20K
MONTROSE ENVIRONMENTAL GROUP INC 117,884 114,108 -3,776 0.48% -$508.51K
AZENTA INC 64,127 62,073 -2,054 0.46% $476.76K
OCULAR THERAPEUTIX INC 258,877 252,018 -6,859 0.43% -$715.06K
SENTINELONE INC 169,194 163,774 -5,420 0.43% -$730.55K
LIONSGATE STUDIOS CORP 249,303 241,316 -7,987 0.43% $675.00K
PROCEPT BIOROBOTICS CORP 78,002 75,503 -2,499 0.41% -$467.84K
BRAZE INC-A 98,378 95,227 -3,151 0.37% -$836.89K
VERTEX INC - CLASS A 105,480 102,101 -3,379 0.36% -$521.52K
EVOLENT HEALTH INC A 313,096 303,065 -10,031 0.18% -$1.12M
SPROUT SOCIAL INC 75,420 73,003 -2,417 0.12% -$113.89K

No positions in this category.

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