C000020605 Holdings — Allspring Disciplined International Developed Markets Portfolio

All 263 reported holdings of Allspring Disciplined International Developed Markets Portfolio (C000020605) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
ASML Holding NV2.52%$7.33M
Allspring Government Money Mar2.24%$6.51M
Siemens Energy AG1.77%$5.13M
Novartis AG1.68%$4.87M
HSBC Holdings PLC1.31%$3.81M
AstraZeneca PLC1.24%$3.59M
Prosus NV1.22%$3.55M
Rolls-Royce Holdings PLC1.22%$3.55M
Roche Holding AG1.13%$3.28M
Engie SA1.11%$3.24M
BNP Paribas SA1.07%$3.11M
Allianz SE1.07%$3.10M
Lasertec Corp1.03%$2.98M
Eiffage SA1.00%$2.91M
Siemens AG0.99%$2.89M
ABB Ltd0.97%$2.82M
Endeavour Mining PLC0.97%$2.81M
Banco Santander SA0.96%$2.78M
British American Tobacco PLC0.95%$2.77M
Shell PLC0.92%$2.68M
Bp PLC0.91%$2.64M
Enel SpA0.90%$2.63M
Vinci SA0.90%$2.62M
Sony Group Corp0.90%$2.62M
Daito Trust Construction Co Ltd0.89%$2.57M
TotalEnergies SE0.88%$2.57M
Sumitomo Electric Industries Ltd0.88%$2.56M
Ipsen SA0.87%$2.54M
NatWest Group PLC0.86%$2.50M
Banco Bilbao Vizcaya Argentaria SA0.85%$2.47M
Rio Tinto PLC0.82%$2.37M
Astellas Pharma Inc0.82%$2.37M
Sap SE0.79%$2.29M
BHP Group Ltd0.78%$2.27M
NN Group NV0.78%$2.27M
Nitto Denko Corp0.78%$2.26M
Schneider Electric SE0.78%$2.26M
QBE Insurance Group Ltd0.77%$2.23M
Otsuka Holdings Co Ltd0.74%$2.16M
Imperial Brands PLC0.71%$2.07M
AP Moller - Maersk A/S0.71%$2.06M
Toyota Motor Corp0.70%$2.02M
Nestle SA0.70%$2.02M
WH Group Ltd0.69%$2.00M
Yokogawa Electric Corp0.68%$1.98M
Inpex Corp0.68%$1.98M
Safran SA0.68%$1.96M
Hochtief AG0.64%$1.85M
Deutsche Telekom AG0.63%$1.83M
BlueScope Steel Ltd0.61%$1.77M
BOC Hong Kong Holdings Ltd0.60%$1.74M
Publicis Groupe SA0.58%$1.68M
Tokyo Electron Ltd0.56%$1.62M
Tesco PLC0.55%$1.60M
Endesa SA0.54%$1.58M
Barclays PLC0.54%$1.57M
M&g PLC0.54%$1.56M
ANZ Group Holdings Ltd0.54%$1.56M
Intesa Sanpaolo SpA0.53%$1.55M
Advantest Corp0.53%$1.55M
UniCredit SpA0.53%$1.55M
Bridgestone Corp0.51%$1.48M
Mitsubishi UFJ Financial Group Inc0.49%$1.43M
ENEOS Holdings Inc0.49%$1.42M
Gsk PLC0.48%$1.39M
Getlink SE0.47%$1.38M
Murata Manufacturing Co Ltd0.47%$1.37M
Hoya Corp0.47%$1.36M
DBS Group Holdings Ltd0.46%$1.34M
Tokio Marine Holdings Inc0.45%$1.32M
Dassault Aviation SA0.45%$1.32M
Futu Holdings Ltd0.45%$1.30M
Mitsui & Co Ltd0.44%$1.29M
Credit Agricole SA0.44%$1.28M
Vestas Wind Systems A/S0.44%$1.28M
Sanofi SA0.44%$1.28M
Genmab A/S0.44%$1.27M
Danske Bank A/S0.43%$1.26M
Westpac Banking Corp0.43%$1.24M
Associated British Foods PLC0.43%$1.24M
Mitsubishi Corp0.42%$1.23M
MatsukiyoCocokara & Co0.41%$1.20M
Deutsche Bank AG0.41%$1.20M
Skandinaviska Enskilda Banken AB0.41%$1.20M
Teva Pharmaceutical Industries Ltd0.41%$1.19M
Novo Nordisk A/S0.40%$1.17M
Wartsila OYJ Abp0.40%$1.17M
Skanska AB0.40%$1.16M
Sumitomo Corp0.39%$1.13M
Aisin Corp0.39%$1.12M
ArcelorMittal SA0.38%$1.12M
Coca-Cola HBC AG0.38%$1.10M
ACS Actividades de Construccion y Servicios SA0.38%$1.10M
Aegon Ltd0.38%$1.09M
Airbus SE0.36%$1.06M
Halma PLC0.36%$1.06M
Global-e Online Ltd0.36%$1.04M
Talanx AG0.35%$1.02M
3i Group PLC0.35%$1.01M
ITOCHU Corp0.35%$1.01M
Air Liquide SA0.35%$1.01M
SCREEN Holdings Co Ltd0.35%$1.01M
Generali0.32%$941.28K
Hitachi Ltd0.32%$938.05K
Daiichi Life Group Inc0.32%$926.55K
Mizrahi Tefahot Bank Ltd0.31%$914.11K
Erste Group Bank AG0.31%$905.40K
Societe Generale SA0.31%$904.42K
ASM International NV0.31%$901.97K
SoftBank Group Corp0.31%$901.79K
Standard Life PLC0.31%$889.92K
Smith & Nephew PLC0.31%$887.22K
T&D Holdings Inc0.30%$867.36K
Sumitomo Mitsui Financial Group Inc0.30%$858.01K
Renesas Electronics Corp0.29%$853.40K
adidas AG0.29%$839.16K
Sompo Holdings Inc0.29%$833.63K
Fujikura Ltd0.29%$833.39K
Nokia Oyj0.28%$817.93K
Banca Mediolanum SpA0.28%$815.50K
Hong Kong Exchanges & Clearing Ltd0.28%$814.92K
Standard Chartered PLC0.28%$808.86K
Northern Star Resources Ltd0.28%$806.07K
Raiffeisen Bank International AG0.28%$803.40K
CK Hutchison Holdings Ltd0.27%$789.09K
Marubeni Corp0.27%$782.31K
Suncorp Group Ltd0.27%$782.07K
Mitsubishi Electric Corp0.27%$778.54K
Fortum Oyj0.26%$766.85K
Koninklijke Philips NV0.26%$762.05K
MS&AD Insurance Group Holdings Inc0.26%$761.14K
Commonwealth Bank of Australia0.26%$750.83K
Coloplast A/S0.26%$741.90K
Vodafone Group PLC0.26%$741.35K
Prysmian SpA0.25%$731.04K
Recruit Holdings Co Ltd0.25%$722.67K
Spotify Technology SA0.25%$722.07K
Toyota Tsusho Corp0.25%$714.46K
BE Semiconductor Industries NV0.24%$707.30K
Jardine Matheson Holdings Ltd0.24%$688.54K
ABN AMRO Bank NV0.24%$684.01K
Makita Corp0.23%$668.39K
Centrica PLC0.23%$665.57K
Axa SA0.22%$652.94K
Cie de Saint-Gobain SA0.22%$646.01K
L'Oreal SA0.22%$636.56K
ORIX Corp0.22%$629.38K
UBS Group AG0.21%$616.87K
Rwe AG0.21%$598.23K
Central Japan Railway Co0.20%$594.96K
Nexon Co Ltd0.20%$592.58K
Swedbank AB0.20%$591.00K
NEC Corp0.20%$585.20K
Disco Corp0.20%$570.94K
Kawasaki Heavy Industries Ltd0.19%$565.36K
Reckitt Benckiser Group PLC0.19%$560.82K
Bouygues SA0.19%$560.64K
Telia Co AB0.19%$551.40K
Medibank Pvt Ltd0.19%$547.27K
Oversea-Chinese Banking Corp Ltd0.19%$545.18K
Daiwa House Industry Co Ltd0.19%$543.10K
Oracle Corp Japan0.19%$541.10K
Bayer AG0.18%$533.57K
Wesfarmers Ltd0.18%$532.02K
SBI Holdings Inc0.18%$530.68K
Singapore Exchange Ltd0.18%$526.64K
Koninklijke Ahold Delhaize NV0.18%$520.75K
Daiwa Securities Group Inc0.18%$516.77K
Bandai Namco Holdings Inc0.17%$507.31K
Snam SpA0.17%$506.12K
Komatsu Ltd0.17%$505.25K
Edp SA0.17%$499.78K
United Overseas Bank Ltd0.17%$498.38K
Acciona SA0.17%$485.53K
Chocoladefabriken Lindt & Spruengli AG0.16%$477.92K
EssilorLuxottica SA0.16%$477.53K
Israel Discount Bank Ltd0.16%$476.93K
Ferrari NV0.16%$475.47K
Power Assets Holdings Ltd0.16%$471.05K
Fortescue Ltd0.16%$469.49K
Deutsche Post AG0.16%$464.48K
InterContinental Hotels Group PLC0.16%$458.97K
Pandora A/S0.16%$454.39K
Insurance Australia Group Ltd0.16%$452.44K
Norsk Hydro ASA0.15%$443.97K
Henkel AG & Co KGaA0.15%$441.20K
Canon Inc0.15%$437.35K
Schindler Holding AG0.15%$430.03K
Aristocrat Leisure Ltd0.15%$425.70K
Mercedes-Benz Group AG0.14%$419.63K
Aviva PLC0.14%$416.30K
TDK Corp0.14%$411.40K
Assa Abloy AB0.14%$406.74K
Qantas Airways Ltd0.14%$405.92K
Leonardo SpA0.14%$404.59K
Carlsberg AS0.14%$402.04K
Daifuku Co Ltd0.14%$397.87K
Kongsberg Gruppen ASA0.13%$381.08K
Poste Italiane SpA0.13%$380.56K
Telefonica SA0.13%$379.74K
Hulic Co Ltd0.13%$377.83K
CK Infrastructure Holdings Ltd0.13%$374.63K
Dai Nippon Printing Co Ltd0.13%$373.14K
Logitech International SA0.13%$372.34K
Carrefour SA0.13%$368.25K
E.on SE0.13%$363.26K
Eurofins Scientific SE0.12%$363.13K
DNB Bank ASA0.12%$361.49K
Konami Group Corp0.12%$360.22K
Getinge AB0.12%$350.88K
Bunzl PLC0.12%$348.45K
Sage Group PLC/The0.12%$347.49K
Kansai Electric Power Co Inc/The0.12%$344.43K
Sunbelt Rentals Holdings Inc0.12%$341.40K
Euronext NV0.12%$340.31K
Kioxia Holdings Corp0.12%$338.74K
Yangzijiang Shipbuilding Holdings Ltd0.12%$338.32K
Pearson PLC0.12%$334.22K
ASR Nederland NV0.11%$332.63K
Lottery Corp Ltd/The0.11%$321.10K
Isuzu Motors Ltd0.11%$318.28K
Brother Industries Ltd0.11%$317.14K
Dexus0.11%$316.85K
Shionogi & Co Ltd0.11%$307.08K
Dcc PLC0.10%$304.88K
Suzuki Motor Corp0.10%$303.07K
Koninklijke KPN NV0.10%$299.37K
Naturgy Energy Group SA0.10%$296.04K
GPT Group/The0.10%$295.31K
Asahi Kasei Corp0.10%$294.21K
Enagas SA0.10%$292.00K
Sekisui House Ltd0.10%$291.77K
Wix.com Ltd0.10%$289.42K
Verbund AG0.10%$286.19K
Julius Baer Group Ltd0.10%$275.85K
Nomura Holdings Inc0.09%$273.94K
Henkel AG & Co KGaA0.09%$270.77K
Aena SME SA0.09%$270.59K
Computershare Ltd0.09%$257.50K
Compass Group PLC0.09%$247.70K
Siemens Healthineers AG0.08%$246.64K
Atlas Copco AB0.08%$245.83K
Legal & General Group PLC0.08%$244.22K
Hexagon AB0.08%$239.76K
Capgemini SE0.08%$235.08K
Techtronic Industries Co Ltd0.08%$232.00K
Smiths Group PLC0.08%$225.76K
LY Corp0.08%$224.36K
Fresenius Medical Care AG0.08%$223.80K
EMS-Chemie Holding AG0.08%$220.78K
Sekisui Chemical Co Ltd0.07%$214.53K
Fisher & Paykel Healthcare Corp Ltd0.07%$211.06K
ICE Futures U.S., Inc.0.07%$210.36K
Tenaris SA0.07%$200.02K
Seven & i Holdings Co Ltd0.07%$197.19K
Olympus Corp0.06%$179.01K
Indutrade AB0.06%$178.51K
Edenred SE0.05%$151.49K
Subaru Corp0.04%$120.65K
Sonova Holding AG0.03%$94.70K
Louis Hachette Group0.03%$75.42K
Kongsberg Maritime AS0.03%$74.64K
Havas NV0.03%$73.83K

C000020605 overview: performance, fees, allocation and SEC filings