C000020610 Holdings — Allspring Small Company Growth Portfolio

All 128 reported holdings of Allspring Small Company Growth Portfolio (C000020610) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Allspring Government Money Mar1.70%$9.04M
PTC Inc1.51%$8.06M
Stifel Financial Corp1.40%$7.48M
Element Solutions Inc1.29%$6.88M
SPX Technologies Inc1.27%$6.78M
Box Inc1.23%$6.57M
Patrick Industries Inc1.17%$6.23M
Ciena Corp1.14%$6.11M
Verra Mobility Corp1.14%$6.09M
Dycom Industries Inc1.13%$6.02M
JFrog Ltd1.11%$5.94M
Varonis Systems Inc1.10%$5.86M
TechnipFMC PLC1.10%$5.86M
Ollie's Bargain Outlet Holdings Inc1.09%$5.84M
Coastal Financial Corp/WA1.09%$5.80M
Construction Partners Inc1.08%$5.77M
Modine Manufacturing Co1.07%$5.73M
Kratos Defense & Security Solutions Inc1.05%$5.58M
Advanced Drainage Systems Inc1.04%$5.53M
Flowserve Corp1.04%$5.53M
Evercore Inc1.03%$5.49M
Boot Barn Holdings Inc1.03%$5.48M
FTAI Aviation Ltd1.00%$5.36M
Agilysys Inc0.97%$5.19M
Waystar Holding Corp0.96%$5.15M
CECO Environmental Corp0.96%$5.14M
Core & Main Inc0.96%$5.14M
Essent Group Ltd0.96%$5.12M
PAR Technology Corp0.94%$5.03M
Advanced Energy Industries Inc0.94%$5.02M
MYR Group Inc0.94%$5.01M
Haemonetics Corp0.93%$4.99M
Performance Food Group Co0.93%$4.98M
Burlington Stores Inc0.93%$4.97M
SS&C Technologies Holdings Inc0.91%$4.88M
Zurn Elkay Water Solutions Corp0.90%$4.80M
KBR Inc0.89%$4.77M
AAON Inc0.89%$4.76M
JBT Marel Corp0.89%$4.73M
Brightstar Lottery PLC0.87%$4.66M
Itron Inc0.87%$4.65M
iRhythm Technologies Inc0.86%$4.60M
On Holding AG0.85%$4.56M
Nutanix Inc0.85%$4.55M
Kirby Corp0.85%$4.51M
Generac Holdings Inc0.84%$4.48M
Glacier Bancorp Inc0.84%$4.46M
Stevanato Group SpA0.83%$4.42M
Shift4 Payments Inc0.83%$4.41M
Lumentum Holdings Inc0.82%$4.40M
CyberArk Software Ltd0.82%$4.39M
Pure Storage Inc0.82%$4.38M
Champion Homes Inc0.81%$4.34M
HealthEquity Inc0.81%$4.32M
AAR Corp0.81%$4.30M
Synaptics Inc0.80%$4.24M
Procore Technologies Inc0.79%$4.23M
Artivion Inc0.79%$4.20M
Celsius Holdings Inc0.78%$4.16M
Insmed Inc0.77%$4.13M
Triumph Financial Inc0.77%$4.13M
Avantor Inc0.77%$4.10M
Teradyne Inc0.77%$4.08M
Oddity Tech Ltd0.76%$4.05M
Genius Sports Ltd0.76%$4.05M
Clearwater Analytics Holdings Inc0.75%$4.02M
ADMA Biologics Inc0.75%$4.00M
Ryan Specialty Holdings Inc0.74%$3.95M
Skyward Specialty Insurance Group Inc0.74%$3.93M
Palomar Holdings Inc0.74%$3.92M
Bowhead Specialty Holdings Inc0.73%$3.90M
Steel Dynamics Inc0.72%$3.84M
Valvoline Inc0.71%$3.79M
Virtu Financial Inc0.71%$3.77M
Phreesia Inc0.71%$3.76M
ARS Pharmaceuticals Inc0.70%$3.76M
Kiniksa Pharmaceuticals International Plc0.70%$3.74M
elf Beauty Inc0.69%$3.70M
Baldwin Insurance Group Inc/The0.69%$3.70M
Birkenstock Holding Plc0.69%$3.68M
Vertex Inc0.69%$3.67M
TransMedics Group Inc0.68%$3.61M
LiveRamp Holdings Inc0.67%$3.58M
nCino Inc0.66%$3.53M
Life Time Group Holdings Inc0.66%$3.53M
Ocular Therapeutix Inc0.66%$3.50M
DigitalBridge Group Inc0.65%$3.48M
YETI Holdings Inc0.65%$3.48M
Q2 Holdings Inc0.65%$3.44M
GeneDx Holdings Corp0.63%$3.38M
Flowco Holdings Inc0.63%$3.37M
BioLife Solutions Inc0.63%$3.36M
FTI Consulting Inc0.63%$3.34M
Academy Sports & Outdoors Inc0.62%$3.32M
Neurocrine Biosciences Inc0.62%$3.30M
Evolent Health Inc0.62%$3.30M
SentinelOne Inc0.61%$3.25M
Dynavax Technologies Corp0.60%$3.22M
Axsome Therapeutics Inc0.60%$3.19M
RB Global Inc0.59%$3.17M
Allegro MicroSystems Inc0.59%$3.16M
Vericel Corp0.59%$3.15M
Vital Farms Inc0.59%$3.14M
Twist Bioscience Corp0.58%$3.12M
Confluent Inc0.58%$3.09M
Adaptive Biotechnologies Corp0.58%$3.08M
Knight-Swift Transportation Holdings Inc0.57%$3.03M
Alkermes PLC0.56%$3.00M
Braze Inc0.54%$2.88M
Amicus Therapeutics Inc0.53%$2.85M
Privia Health Group Inc0.53%$2.83M
PROCEPT BioRobotics Corp0.52%$2.78M
SunOpta Inc0.52%$2.76M
ESCO Technologies Inc0.51%$2.72M
Agios Pharmaceuticals Inc0.50%$2.67M
SI-BONE Inc0.49%$2.60M
FormFactor Inc0.49%$2.59M
Boise Cascade Co0.48%$2.58M
Cytokinetics Inc0.48%$2.55M
Arcosa Inc0.47%$2.48M
Montrose Environmental Group Inc0.44%$2.34M
Ceribell Inc0.44%$2.33M
Scholar Rock Holding Corp0.43%$2.28M
CONMED Corp0.42%$2.23M
Azenta Inc0.41%$2.20M
Lionsgate Studios Corp0.29%$1.55M
Wabash National Corp0.28%$1.51M
Sprout Social Inc0.25%$1.36M

C000020610 overview: performance, fees, allocation and SEC filings