C000020606 Holdings — Allspring Large Cap Value Portfolio

All 46 reported holdings of Allspring Large Cap Value Portfolio (C000020606) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Alphabet Inc4.53%$7.04M
Canadian Pacific Kansas City Ltd4.37%$6.79M
Bank of America Corp3.90%$6.06M
Intercontinental Exchange Inc3.79%$5.90M
Citigroup Inc3.65%$5.68M
Berkshire Hathaway Inc3.27%$5.08M
Mondelez International Inc3.17%$4.93M
DR Horton Inc3.02%$4.69M
NextEra Energy Inc3.02%$4.69M
Labcorp Holdings Inc2.93%$4.56M
Microsoft Corp2.69%$4.19M
Exxon Mobil Corp2.57%$4.00M
Medtronic PLC2.54%$3.95M
Unilever PLC2.54%$3.94M
Amazon.com Inc2.46%$3.83M
AerCap Holdings NV2.46%$3.83M
Cigna Group/The2.40%$3.73M
General Motors Co2.40%$3.73M
Danaher Corp2.37%$3.68M
Accenture PLC2.23%$3.46M
NIKE Inc2.20%$3.43M
Honeywell International Inc2.16%$3.36M
Air Lease Corp2.05%$3.19M
NXP Semiconductors NV2.03%$3.15M
Johnson & Johnson1.98%$3.08M
Public Storage1.93%$3.00M
ConocoPhillips1.92%$2.99M
Walmart Inc1.90%$2.95M
Cadence Design Systems Inc1.89%$2.94M
Fiserv Inc1.88%$2.93M
Allspring Government Money Mar1.68%$2.61M
RTX Corp1.65%$2.57M
American International Group Inc1.54%$2.40M
Amrize Ltd1.54%$2.40M
CBRE Group Inc1.53%$2.37M
Rocket Cos Inc1.52%$2.36M
Vertex Pharmaceuticals Inc1.52%$2.36M
Vulcan Materials Co1.49%$2.32M
EOG Resources Inc1.25%$1.94M
JPMorgan Chase & Co1.11%$1.73M
Eaton Corp PLC1.02%$1.59M
Sherwin-Williams Co/The1.00%$1.55M
Caterpillar Inc0.99%$1.53M
International Business Machines Corp0.89%$1.38M
CF Industries Holdings Inc0.69%$1.08M
3M Co0.39%$601.51K

C000020606 overview: performance, fees, allocation and SEC filings