C000238746 Holdings — Allspring U.S. Long/Short Equity Fund

All 320 reported holdings of Allspring U.S. Long/Short Equity Fund (C000238746) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Societe Generale Pb USD18.28%$4.24M
Allspring Government Money Mar12.13%$2.82M
Microsoft Corp2.85%$660.69K
Texas Roadhouse Inc2.17%$502.92K
Apple Inc2.14%$497.02K
Arch Capital Group Ltd2.10%$487.81K
Clorox Co/The2.05%$476.14K
Murphy USA Inc2.03%$471.34K
NVIDIA Corp1.95%$453.61K
EMCOR Group Inc1.92%$446.11K
Colgate-Palmolive Co1.80%$417.50K
Amazon.com Inc1.73%$402.32K
Walmart Inc1.71%$395.92K
Owens Corning1.67%$386.88K
Incyte Corp1.65%$382.57K
GoDaddy Inc1.49%$345.11K
Coupang Inc1.47%$341.71K
Chipotle Mexican Grill Inc1.37%$319.12K
Humana Inc1.37%$317.19K
Genuine Parts Co1.26%$293.20K
Monolithic Power Systems Inc1.25%$291.16K
Arista Networks Inc1.20%$279.65K
Spotify Technology SA1.18%$274.83K
Eli Lilly & Co1.16%$269.48K
Allison Transmission Holdings Inc1.12%$260.66K
Cirrus Logic Inc1.11%$256.59K
Medpace Holdings Inc1.10%$255.53K
Progressive Corp/The1.09%$253.65K
Builders FirstSource Inc1.07%$247.90K
Bristol-Myers Squibb Co1.03%$239.03K
PG&E Corp1.01%$235.52K
Teradata Corp0.97%$225.94K
Targa Resources Corp0.97%$225.50K
Western Union Co/The0.94%$217.65K
National Fuel Gas Co0.91%$210.12K
eBay Inc0.89%$206.26K
Leidos Holdings Inc0.82%$190.84K
SLM Corp0.80%$186.26K
Microchip Technology Inc0.78%$182.12K
NCR Atleos Corp0.78%$182.12K
Cardinal Health Inc0.78%$180.73K
Kimberly-Clark Corp0.75%$173.94K
Smartsheet Inc0.74%$172.09K
Qorvo Inc0.74%$170.82K
Cboe Global Markets Inc0.73%$169.74K
Cognizant Technology Solutions Corp0.72%$167.09K
Merck & Co Inc0.70%$163.46K
WESCO International Inc0.68%$157.94K
Procter & Gamble Co/The0.68%$157.32K
Cencora Inc0.65%$151.56K
QUALCOMM Inc0.65%$150.76K
Core & Main Inc0.63%$145.13K
Donaldson Co Inc0.62%$144.62K
Apartment Income REIT Corp0.62%$144.27K
NRG Energy Inc0.61%$142.72K
Motorola Solutions Inc0.60%$139.05K
Huntington Ingalls Industries Inc0.59%$137.08K
Travelers Cos Inc/The0.58%$133.87K
Cigna Group/The0.58%$133.53K
Reinsurance Group of America Inc0.56%$130.33K
Equitable Holdings Inc0.53%$123.65K
Dole PLC0.53%$123.54K
Alphabet Inc0.51%$118.99K
Photronics Inc0.50%$115.42K
HF Sinclair Corp0.48%$112.13K
CACI International Inc0.48%$110.61K
Marathon Petroleum Corp0.46%$107.76K
inTEST Corp0.46%$107.45K
Viatris Inc0.45%$104.75K
Centene Corp0.44%$103.16K
Vertiv Holdings Co0.43%$99.14K
Phinia Inc0.43%$99.06K
Oracle Corp0.43%$98.73K
DXC Technology Co0.42%$98.35K
Allstate Corp/The0.41%$95.91K
UiPath Inc0.41%$95.32K
Gartner Inc0.41%$94.07K
Archer-Daniels-Midland Co0.40%$93.97K
Valero Energy Corp0.40%$93.84K
IES Holdings Inc0.40%$93.37K
Arrow Electronics Inc0.40%$92.56K
WK Kellogg Co0.40%$91.94K
CVS Health Corp0.39%$91.14K
Credo Technology Group Holding Ltd0.39%$90.94K
Accenture PLC0.39%$90.27K
Herbalife Ltd0.38%$87.43K
Alphabet Inc0.36%$83.80K
General Dynamics Corp0.34%$77.80K
NetApp Inc0.33%$77.58K
XP Inc0.33%$76.93K
Avnet Inc0.33%$76.73K
FTI Consulting Inc0.33%$75.70K
Tesla Inc0.32%$74.96K
Meta Platforms Inc0.32%$74.85K
James River Group Holdings Ltd0.32%$74.81K
Hyster-Yale Materials Handling Inc0.32%$73.86K
PepsiCo Inc0.32%$73.18K
Rayonier Inc0.31%$72.31K
Vontier Corp0.31%$71.59K
Jack Henry & Associates Inc0.31%$71.58K
HP Inc0.31%$71.43K
Cheniere Energy Inc0.31%$71.18K
Royalty Pharma PLC0.30%$70.75K
Berkshire Hathaway Inc0.30%$69.82K
WW Grainger Inc0.30%$69.10K
H&R Block Inc0.30%$69.05K
CBRE Group Inc0.29%$68.12K
Super Micro Computer Inc0.28%$65.27K
Dorian LPG Ltd0.27%$63.59K
Science Applications International Corp0.26%$61.39K
Molina Healthcare Inc0.26%$60.55K
Gen Digital Inc0.26%$60.42K
Jones Lang LaSalle Inc0.26%$60.35K
Weyerhaeuser Co0.26%$59.65K
Neurocrine Biosciences Inc0.26%$59.42K
W R Berkley Corp0.25%$58.65K
SMART Global Holdings Inc0.25%$58.52K
Rithm Capital Corp0.24%$56.55K
Jabil Inc0.24%$55.63K
Amdocs Ltd0.24%$55.10K
Pfizer Inc0.24%$54.98K
Virtu Financial Inc0.24%$54.66K
Costco Wholesale Corp0.23%$54.22K
Universal Insurance Holdings Inc0.23%$54.07K
Phibro Animal Health Corp0.23%$52.66K
ACADIA Pharmaceuticals Inc0.22%$51.87K
CONSOL Energy Inc0.21%$49.32K
ITT Inc0.21%$49.02K
Bank of NT Butterfield & Son Ltd/The0.20%$47.16K
Bancorp Inc/The0.20%$47.07K
Pegasystems Inc0.20%$46.47K
Applied Materials Inc0.20%$46.29K
Gitlab Inc0.19%$45.07K
ServiceNow Inc0.19%$45.07K
Elastic NV0.19%$44.87K
Eagle Materials Inc0.19%$44.63K
Cadence Design Systems Inc0.19%$44.10K
Northeast Bank0.19%$43.03K
White Mountains Insurance Group Ltd0.18%$42.68K
JAKKS Pacific Inc0.18%$42.32K
Palantir Technologies Inc0.18%$42.25K
Excelerate Energy Inc0.18%$41.85K
Church & Dwight Co Inc0.18%$41.21K
Booz Allen Hamilton Holding Corp0.17%$40.61K
Lockheed Martin Corp0.17%$39.05K
Hartford Financial Services Group Inc/The0.17%$39.05K
Amylyx Pharmaceuticals Inc0.17%$38.93K
Elevance Health Inc0.16%$37.53K
ManpowerGroup Inc0.15%$35.46K
Skyworks Solutions Inc0.15%$35.07K
Vertex Pharmaceuticals Inc0.15%$34.57K
Kinsale Capital Group Inc0.14%$32.33K
Exelixis Inc0.14%$31.84K
Morningstar Inc0.13%$31.09K
Daktronics Inc0.12%$27.10K
General Electric Co0.12%$26.70K
ICU Medical Inc0.11%$26.63K
Allegro MicroSystems Inc0.11%$24.85K
Tactile Systems Technology Inc0.10%$22.61K
GE HealthCare Technologies Inc0.10%$22.11K
Apollo Global Management Inc0.09%$22.00K
Rimini Street Inc0.09%$21.31K
AutoNation Inc0.09%$21.27K
Catalyst Pharmaceuticals Inc0.09%$20.92K
PACCAR Inc0.09%$20.48K
DHI Group Inc0.08%$19.14K
Adeia Inc0.08%$19.14K
Kohl's Corp0.08%$19.06K
Pilgrim's Pride Corp0.07%$16.25K
Corpay Inc0.07%$16.01K
Hallador Energy Co0.07%$15.72K
Synopsys Inc0.07%$15.39K
Thor Industries Inc0.06%$14.81K
Hologic Inc0.06%$14.78K
Vital Farms Inc0.06%$14.40K
Broadcom Inc0.06%$14.30K
Argan Inc0.06%$13.92K
Ameriprise Financial Inc0.06%$13.59K
Kroger Co/The0.06%$13.57K
CNH Industrial NV0.06%$13.54K
First Citizens BancShares Inc/NC0.06%$13.49K
Amphastar Pharmaceuticals Inc0.06%$13.28K
UFP Technologies Inc0.06%$12.77K
Hewlett Packard Enterprise Co0.05%$12.75K
AGCO Corp0.05%$12.68K
Willis Towers Watson PLC0.05%$12.56K
Universal Health Services Inc0.05%$12.44K
Pool Corp0.05%$12.33K
Vistra Corp0.05%$12.06K
RMR Group Inc/The0.05%$11.86K
First Solar Inc0.05%$11.81K
GE Vernova Inc0.05%$11.53K
Outbrain Inc0.05%$11.49K
Holley Inc0.05%$11.43K
Ingredion Inc0.05%$11.34K
Baker Hughes Co0.05%$11.22K
Forestar Group Inc0.05%$11.03K
NVE Corp0.05%$10.91K
Monster Beverage Corp0.05%$10.90K
Pure Storage Inc0.05%$10.79K
Rambus Inc0.05%$10.64K
Genie Energy Ltd0.04%$10.05K
Arcellx Inc0.04%$9.25K
Beyond Air Inc-0.02%$-4.33K
ACELYRIN Inc-0.03%$-5.84K
MicroVision Inc-0.03%$-6.13K
Digimarc Corp-0.03%$-6.53K
SoundHound AI Inc-0.03%$-7.76K
Genelux Corp-0.04%$-8.88K
Kodiak Sciences Inc-0.04%$-8.98K
Peloton Interactive Inc-0.04%$-8.98K
Gritstone bio Inc-0.04%$-9.51K
SEACOR Marine Holdings Inc-0.04%$-9.79K
Virgin Galactic Holdings Inc-0.04%$-9.91K
Traeger Inc-0.04%$-9.92K
Penn Entertainment Inc-0.04%$-10.07K
Spectrum Brands Holdings Inc-0.05%$-11.30K
Certara Inc-0.05%$-11.50K
Truist Financial Corp-0.05%$-11.83K
HighPeak Energy Inc-0.05%$-12.04K
Inozyme Pharma Inc-0.05%$-12.03K
Brookfield Renewable Corp-0.05%$-12.08K
Tandem Diabetes Care Inc-0.05%$-12.55K
Roku Inc-0.06%$-13.49K
Rexford Industrial Realty Inc-0.06%$-13.91K
C3.ai Inc-0.06%$-14.08K
OptimizeRx Corp-0.06%$-14.24K
Mercury Systems Inc-0.06%$-14.33K
Aeva Technologies Inc-0.06%$-14.58K
Avis Budget Group Inc-0.07%$-15.08K
Clarus Corp-0.07%$-15.27K
BILL Holdings Inc-0.07%$-15.65K
IGM Biosciences Inc-0.08%$-18.18K
Cardlytics Inc-0.08%$-18.22K
AST SpaceMobile Inc-0.08%$-18.25K
ImmunityBio Inc-0.09%$-19.82K
Match Group Inc-0.09%$-20.50K
VF Corp-0.09%$-21.77K
AeroVironment Inc-0.10%$-22.37K
LSB Industries Inc-0.10%$-22.50K
Walgreens Boots Alliance Inc-0.10%$-23.99K
AGNC Investment Corp-0.11%$-25.31K
U-Haul Holding Co-0.11%$-25.86K
Howard Hughes Holdings Inc-0.11%$-26.45K
908 Devices Inc-0.12%$-27.12K
TransDigm Group Inc-0.12%$-27.46K
Newmont Corp-0.12%$-27.96K
Bioxcel Therapeutics Inc-0.12%$-28.42K
Upstart Holdings Inc-0.13%$-29.06K
Triumph Group Inc-0.13%$-29.94K
Coinbase Global Inc-0.13%$-30.59K
Dayforce Inc-0.14%$-31.73K
Airbnb Inc-0.14%$-32.35K
AES Corp/The-0.14%$-32.45K
Funko Inc-0.14%$-33.18K
Xylem Inc/NY-0.14%$-33.20K
Purple Innovation Inc-0.15%$-33.71K
Performant Financial Corp-0.15%$-34.38K
RTX Corp-0.15%$-34.92K
Sana Biotechnology Inc-0.15%$-34.93K
Carnival Corp-0.16%$-38.16K
Churchill Downs Inc-0.17%$-39.73K
PNC Financial Services Group Inc/The-0.17%$-40.31K
PureCycle Technologies Inc-0.17%$-40.35K
Stanley Black & Decker Inc-0.17%$-40.49K
Caesars Entertainment Inc-0.18%$-41.55K
Cutera Inc-0.18%$-41.67K
Unity Software Inc-0.18%$-42.52K
ZoomInfo Technologies Inc-0.19%$-43.11K
Red Robin Gourmet Burgers Inc-0.19%$-45.11K
Accolade Inc-0.20%$-45.60K
GrowGeneration Corp-0.20%$-46.46K
Atomera Inc-0.21%$-48.57K
Nano-X Imaging Ltd-0.21%$-49.14K
Aspen Aerogels Inc-0.21%$-49.56K
iRobot Corp-0.21%$-49.71K
F&G Annuities & Life Inc-0.21%$-49.70K
Clarivate PLC-0.22%$-50.34K
Beauty Health Co/The-0.22%$-51.33K
Novocure Ltd-0.23%$-53.67K
Zillow Group Inc-0.23%$-54.39K
AMC Entertainment Holdings Inc-0.24%$-56.79K
EVgo Inc-0.28%$-64.99K
Figs Inc-0.28%$-65.44K
Rivian Automotive Inc-0.28%$-65.46K
Novavax Inc-0.29%$-66.72K
Element Solutions Inc-0.30%$-69.00K
Confluent Inc-0.30%$-69.37K
Intrepid Potash Inc-0.30%$-70.78K
Lucid Group Inc-0.31%$-72.13K
Vitesse Energy Inc-0.32%$-73.94K
Medical Properties Trust Inc-0.33%$-76.14K
Ivanhoe Electric Inc / US-0.33%$-76.58K
International Flavors & Fragrances Inc-0.34%$-78.30K
Newell Brands Inc-0.34%$-79.96K
Realty Income Corp-0.35%$-80.26K
Rocket Lab USA Inc-0.35%$-81.58K
Ubiquiti Inc-0.37%$-86.39K
Birkenstock Holding Plc-0.39%$-90.93K
GameStop Corp-0.40%$-92.76K
Plug Power Inc-0.41%$-95.44K
Leggett & Platt Inc-0.42%$-96.44K
Affirm Holdings Inc-0.42%$-96.47K
Whirlpool Corp-0.49%$-114.31K
Zillow Group Inc-0.52%$-121.28K
Prosperity Bancshares Inc-0.53%$-121.96K
Range Resources Corp-0.53%$-123.49K
ROBLOX Corp-0.55%$-126.98K
Rh-0.55%$-126.98K
Enphase Energy Inc-0.55%$-128.12K
Planet Fitness Inc-0.56%$-131.05K
HEICO Corp-0.63%$-145.18K
Ardagh Metal Packaging SA-0.66%$-154.35K
QuantumScape Corp-0.70%$-161.36K
Air Lease Corp-0.77%$-178.05K
RBC Bearings Inc-0.78%$-181.46K
Hasbro Inc-0.84%$-195.79K
MP Materials Corp-0.86%$-200.43K
Hayward Holdings Inc-1.07%$-249.19K
TFS Financial Corp-1.18%$-274.36K

C000238746 overview: performance, fees, allocation and SEC filings