WSCOX
Allspring Disciplined Small Cap Fund
ALLSPRING FUNDS TRUST

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
368
Top-10 weight
11.62%
Effective holdings ?
203
Crowding ?
349.4

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ALLSPRING GOVERNMENT MONEY MAR 4,316,982 $4.32M 3.10%
2 NEXTRACKER INC CL A 12,809 $1.54M 1.11%
3 FABRINET 2,895 $1.51M 1.09%
4 COEUR MINING INC 69,441 $1.30M 0.94%
5 TTM TECHNOLOGIES INC 13,244 $1.29M 0.93%
6 BLOOM ENERGY CORP CL A 9,450 $1.28M 0.92%
7 STERLING INFRASTRUCTURE INC 3,131 $1.28M 0.92%
8 PRIMORIS SVCS CORP 8,294 $1.19M 0.85%
9 PAR PACIFIC HOLDINGS INC 18,920 $1.19M 0.85%
10 ARGAN INC 2,055 $1.12M 0.80%
11 BRIGHTSPRING HEALTH SERVICES INC 25,062 $1.07M 0.77%
12 CARETRUST REIT INC 28,851 $1.06M 0.76%
13 BRINKER INTL 7,383 $1.05M 0.76%
14 STONEX GROUP INC 12,922 $1.04M 0.75%
15 CENTURY ALUMINUM COMPANY 17,108 $1.00M 0.72%
16 GIGACLOUD TECHNOLOGY INC A 20,964 $951.35K 0.68%
17 POWELL INDUSTRIES INC 1,749 $946.35K 0.68%
18 Constellium SE, Class A CSTM 37,702 $926.72K 0.67%
19 DXP ENTERPRISES INC 6,604 $922.78K 0.66%
20 ANDERSONS INC 12,549 $900.77K 0.65%
21 SCORPIO TANKERS INC STNG 11,737 $876.28K 0.63%
22 V2X INC 12,669 $867.83K 0.62%
23 DIGITALOCEAN HOLDINGS INC 10,042 $861.40K 0.62%
24 VISTANCE NETWORKS INC 46,852 $852.71K 0.61%
25 KONTOOR BRANDS INC 12,011 $844.25K 0.61%
26 ENOVA INTL INC 6,159 $836.58K 0.60%
27 PERDOCEO EDUCATION CORP 22,334 $831.05K 0.60%
28 PEABODY ENERGY CORP 25,211 $830.70K 0.60%
29 JACKSON FINANCIAL INC 7,804 $825.04K 0.59%
30 A10 NETWORKS INC 35,669 $824.67K 0.59%
31 ABERCROMBIE & FI 8,997 $822.06K 0.59%
32 RAMBUS INC 9,555 $822.02K 0.59%
33 SUPER GROUP SGHC LTD SGHC 74,473 $804.31K 0.58%
34 INTERNATIONAL SEAWAYS INC 10,739 $782.66K 0.56%
35 UMB FINANCIAL CORP 6,785 $765.28K 0.55%
36 URBAN OUTFITTERS 12,065 $764.32K 0.55%
37 BROOKFIELD INFRA 17,629 $696.70K 0.50%
38 FIRST BANCORP PUERTO RICO 32,471 $693.58K 0.50%
39 NEWMARK GROUP INC CL A 45,850 $687.29K 0.49%
40 BRISTOW GROUP INC 14,622 $685.63K 0.49%
41 ULTRA CLEAN HOLDINGS INC 10,991 $683.42K 0.49%
42 SKYWEST INC 7,339 $673.94K 0.48%
43 CREDO TECHNOLOGY GROUP HOLDING LTD 7,128 $669.11K 0.48%
44 AMPRIUS TECHNOLOGIES INC 38,477 $648.72K 0.47%
45 CLEAR SECURE INC 13,332 $645.40K 0.46%
46 BLUE BIRD CORP 11,313 $642.47K 0.46%
47 CIMPRESS PLC 8,776 $640.65K 0.46%
48 VICTORY CAPITAL HOLDINGS INC CL A 9,639 $631.16K 0.45%
49 GROUP 1 AUTOMOTIVE INC 1,905 $629.85K 0.45%
50 DIAMONDROCK HOSPITALITY CO 67,189 $629.56K 0.45%
1 / 8 Next ›

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