ALRG Holdings — Allspring LT Large Core ETF

All 49 reported holdings of Allspring LT Large Core ETF (ALRG) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Apple Inc7.90%$585.30K
Microsoft Corp6.80%$504.02K
Alphabet Inc6.65%$492.70K
Broadcom Inc5.42%$401.57K
Amazon.com Inc5.40%$400.24K
Meta Platforms Inc3.11%$230.08K
NVIDIA Corp2.98%$220.52K
Suncor Energy Inc2.94%$217.50K
JPMorgan Chase & Co2.87%$212.68K
Advanced Micro Devices Inc2.46%$182.56K
Citigroup Inc2.38%$176.61K
Eli Lilly & Co2.35%$173.84K
TotalEnergies SE2.28%$168.92K
Boeing Co/The2.12%$157.11K
Visa Inc2.10%$155.68K
Eaton Corp PLC1.69%$125.57K
Blackstone Inc1.67%$123.57K
Lam Research Corp1.66%$122.74K
Keysight Technologies Inc1.65%$122.12K
Waste Management Inc1.61%$119.30K
Analog Devices Inc1.61%$119.07K
RTX Corp1.60%$118.67K
Motorola Solutions Inc1.53%$113.71K
AbbVie Inc1.52%$112.42K
Manulife Financial Corp1.50%$111.27K
Netflix Inc1.45%$107.56K
Allspring Government Money Mar1.45%$107.08K
Blackrock Inc1.40%$103.36K
Mondelez International Inc1.32%$97.75K
Uber Technologies Inc1.31%$97.22K
Salesforce Inc1.29%$95.86K
McDonald's Corp1.29%$95.71K
Union Pacific Corp1.29%$95.40K
Thermo Fisher Scientific Inc1.22%$90.52K
Hilton Worldwide Holdings Inc1.22%$90.42K
Walmart Inc1.18%$87.07K
ASML Holding NV1.17%$86.34K
Xylem Inc/NY1.12%$83.30K
TE Connectivity PLC1.11%$82.55K
Garmin Ltd1.08%$80.36K
Marsh & McLennan Cos Inc1.08%$80.33K
Home Depot Inc/The1.06%$78.25K
Starbucks Corp0.99%$73.31K
PNC Financial Services Group Inc/The0.98%$72.92K
Ecolab Inc0.77%$57.33K
ServiceNow Inc0.76%$56.52K
Smith & Nephew PLC0.68%$50.66K
Trane Technologies PLC0.50%$36.94K
Southwest Airlines Co0.45%$33.41K

ALRG overview: performance, fees, allocation and SEC filings