WGCCX Holdings — Allspring Global Investment Grade Credit Fund

All 196 reported holdings of Allspring Global Investment Grade Credit Fund (WGCCX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Allspring Government Money Mar2.60%$683.34K
Morgan Stanley2.10%$551.92K
Motorola Solutions Inc1.32%$346.68K
Verizon Communications1.28%$336.55K
Oracle Corp.1.19%$312.38K
Avolon Holdings Fndg Ltd.1.18%$311.55K
Mplx LP1.16%$305.61K
British Air 19-1 Aa Ptt1.13%$296.33K
American Intl Group1.11%$291.54K
Hyundai Capital America1.09%$287.62K
PacifiCorp1.06%$277.73K
Citigroup Inc1.02%$268.69K
Athene Holding Ltd.1.01%$265.91K
Rtx Corp.1.00%$262.80K
Verizon Communications0.98%$257.41K
Warnermedia Holdings, Inc.0.95%$248.91K
Nxp Bv/nxp Fdg/nxp USA0.94%$246.57K
Equinix, Inc.0.90%$236.67K
HSBC Holdings PLC0.87%$228.75K
Santander Holdings USA0.86%$227.29K
National Australia Bank0.84%$221.14K
United States Treasury0.84%$221.15K
Ubs Group AG0.82%$216.21K
Bp Cap Markets America0.81%$213.59K
Reckitt Benckiser Tsy0.81%$213.09K
Marathon Petroleum Corp0.81%$212.26K
Bawag P.s.k.0.79%$207.85K
Telfonica Deutsch Finan0.78%$205.43K
Santander UK Group Hldgs0.77%$202.89K
Danske Bank A/s0.77%$202.75K
Zuercher Kantonalbank0.77%$201.83K
Rogers Communications In0.76%$198.73K
Abbvie, Inc.0.75%$197.60K
Unitedhealth Group, Inc.0.72%$190.51K
Centene Corp.0.72%$188.98K
Belfius Bank Sa/nv0.71%$187.01K
Kinder Morgan Ener Part0.69%$182.50K
Banco Santander SA0.69%$182.23K
Natl Gas Transmission0.68%$179.35K
Hsbc Holdings PLC0.67%$175.60K
Computershare US, Inc.0.66%$174.64K
Charter Comm Opt Llc/cap0.66%$174.00K
Apa Infrastructure Ltd.0.66%$173.52K
Simon Property Group LP0.65%$171.28K
Amer Airln 14-1 A Ptt0.65%$171.26K
Sumitomo Mitsui Finl Grp0.65%$171.03K
Intel Corp.0.64%$169.04K
Ubs Group AG0.63%$166.97K
Cummins, Inc.0.63%$165.42K
US Airways 2012-2a Ptt0.63%$164.89K
At&t, Inc.0.60%$158.90K
Equifax, Inc.0.60%$158.75K
Belrose Funding Trust0.59%$155.87K
Shell International Fin0.58%$153.95K
Fs Kkr Capital Corp.0.58%$152.00K
Energy Transfer LP0.57%$149.28K
Prosus NV0.56%$148.42K
Citigroup, Inc.0.55%$143.89K
Exxon Mobil Corporation0.54%$142.56K
JPMorgan Chase & Co0.54%$141.92K
T-Mobile USA, Inc.0.54%$141.66K
Ny State Electric & Gas0.53%$140.52K
Jabil, Inc.0.53%$138.44K
BAT Capital Corp0.52%$137.22K
Investec PLC0.51%$134.76K
Glaxosmithkline Capital0.51%$134.72K
Fiserv, Inc.0.50%$131.36K
Aercap Ireland Cap/globa0.50%$130.70K
JPMorgan Chase & Co.0.49%$129.70K
Equifax, Inc.0.49%$129.59K
JPMorgan Chase & Co.0.49%$128.67K
Motability Operations Gr0.49%$127.83K
Smithfield Foods, Inc.0.48%$125.28K
Natwest Group PLC0.47%$123.06K
Paramount Global0.46%$121.35K
State Street Bank & Trust Co.0.46%$119.80K
General Motors Co.0.44%$116.89K
State Street Corp.0.44%$116.39K
Hca, Inc.0.44%$114.58K
Electricite de France SA0.43%$112.89K
Prologis Intl Fund Ii0.42%$111.02K
Bayer AG0.41%$108.48K
Astrazeneca PLC0.41%$108.25K
Toyota Motor Credit Corp.0.41%$108.15K
Enbw Intl Finance Bv0.41%$107.62K
Werfen Sa/spain0.41%$107.40K
Medtronic, Inc.0.41%$107.19K
Dnb Bank Asa0.41%$107.19K
Bnp Paribas0.41%$107.03K
Mtu Aero Engines AG0.41%$106.83K
Permanent Tsb Group0.41%$106.76K
Lloyds Bk Corp. Mkts PLC0.41%$106.76K
Medtronic, Inc.0.41%$106.73K
Sabine Pass Liquefaction0.40%$106.55K
Abn Amro Bank NV0.40%$106.57K
Ing Groep NV0.40%$106.34K
New York Life Global Fdg0.40%$106.19K
Iss Global A/s0.40%$106.11K
Hca, Inc.0.40%$106.09K
Eni Spa0.40%$106.06K
Dcc Group Fin Ireland0.40%$105.99K
Ayvens SA0.40%$105.95K
Lloyds Banking Group PLC0.40%$105.83K
Koninklijke Kpn NV0.40%$105.81K
Legrand SA0.40%$105.67K
Chorus Ltd.0.40%$105.58K
Toronto-Dominion Bank0.40%$105.47K
American Medical Syst EU0.40%$105.30K
Volkswagen Leasing Gmbh0.40%$105.29K
Dsm Bv0.40%$105.02K
Svenska Handelsbanken Ab0.40%$104.98K
Totalenergies SE0.40%$104.75K
Dsv Finance Bv0.40%$104.65K
Bankinter SA0.40%$104.47K
Castellum Ab0.40%$104.35K
Rte Reseau De Transport0.40%$104.29K
Zimmer Biomet Holdings0.40%$104.14K
Rci Banque SA0.40%$103.98K
Kroger Co.0.39%$103.61K
Sampo OYJ0.39%$102.39K
T-Mobile USA, Inc.0.39%$102.23K
Bristol-Myers Squibb Co.0.38%$101.29K
Tele2 AB0.38%$100.46K
Raiffeisen Bank Intl0.38%$99.83K
Bae Systems PLC0.38%$99.71K
Dell Int LLC / Emc Corp.0.38%$99.56K
AstraZeneca PLC0.38%$99.47K
Applovin Corp.0.38%$99.25K
Goldman Sachs Group, Inc.0.38%$99.11K
Grand City Properties SA0.38%$98.81K
Argenta Spaarbank0.37%$97.88K
Bayer AG0.37%$97.63K
Bae Systems PLC0.37%$97.35K
Broadcom, Inc.0.37%$96.50K
Credit Agricole Assrnces0.36%$94.97K
Sabra Health Care LP0.36%$94.38K
Comcast Corp.0.35%$92.79K
Cellnex Finance Co. SA0.35%$92.14K
Tritax Big Box REIT PLC0.34%$90.34K
Intuit, Inc.0.34%$90.18K
Intercontinentalexchange0.34%$89.01K
Oglethorpe Power Corp.0.34%$88.92K
Acciona Energia Financia0.34%$88.87K
Kyndryl Holdings, Inc.0.34%$88.43K
Bundesrepublik Deutschland Bundesanleihe0.33%$87.47K
Molnlycke Holding AB0.33%$87.43K
Holcim Finance Luxembourg SA0.33%$87.40K
Leg Immobilien SE0.33%$87.38K
Unitedhealth Group, Inc.0.33%$86.79K
Berkshire Hathaway Fin0.33%$86.49K
Rte Reseau De Transport0.33%$85.60K
Bundesrepublik Deutschland Bundesanleihe0.33%$85.58K
Ccep Finance Ireland Dac0.32%$85.50K
Kroger Co.0.32%$84.46K
United States Treasury0.32%$83.84K
S&P Global, Inc.0.31%$82.73K
Marvell Technology, Inc.0.30%$79.55K
Texas Instruments, Inc.0.30%$78.68K
Nxp Bv/nxp Fdg/nxp USA0.30%$78.07K
Bristol-Myers Squibb Co.0.29%$77.61K
Oneok, Inc.0.29%$77.61K
Engie SA0.29%$77.49K
Hyundai Capital America0.29%$76.99K
United States Treasury0.29%$76.56K
Duke Energy Florida LLC0.29%$76.36K
Charter Comm Opt Llc/cap0.29%$75.90K
Union Electric Co.0.28%$72.81K
Hp Enterprise Co.0.26%$67.28K
Union Pacific Corp.0.25%$66.58K
Hp Enterprise Co.0.25%$65.89K
Warnermedia Holdings, Inc.0.23%$60.22K
American Tower Corp.0.23%$60.10K
Saudi Arabian Oil Co0.23%$59.80K
United States Treasury0.22%$59.15K
Simon Property Group LP0.21%$54.89K
Lowe's Cos, Inc.0.21%$54.63K
Intuit, Inc.0.20%$53.85K
Fairfax Finl Hldgs Ltd.0.20%$51.49K
Aon North America, Inc.0.19%$48.75K
United States Treasury0.18%$46.51K
S&P Global, Inc.0.17%$45.07K
Vornado Realty LP0.16%$42.59K
Fiserv, Inc.0.15%$39.77K
Unum Group0.15%$39.66K
Oracle Corp0.15%$38.53K
Bristol-Myers Squibb Co.0.15%$38.50K
Netapp, Inc.0.13%$35.29K
Amgen, Inc.0.13%$34.75K
T-Mobile USA, Inc.0.13%$34.41K
Blackrock, Inc.0.11%$29.49K
Pfizer Investment Enter0.11%$29.15K
Mcdonald's Corp.0.10%$27.64K
Equinor Asa0.10%$26.61K
CVS Health Corp0.10%$26.16K
Elevance Health, Inc.0.07%$17.37K
State Street Bank & Trust Co.0.03%$6.90K

WGCCX overview: performance, fees, allocation and SEC filings