WSCOX Holdings — Allspring Disciplined Small Cap Fund

All 383 reported holdings of Allspring Disciplined Small Cap Fund (WSCOX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Allspring Government Money Mar2.40%$4.42M
Ultra Clean Holdings Inc0.91%$1.68M
Enova International Inc0.86%$1.59M
BrightSpring Health Services Inc0.85%$1.57M
MYR Group Inc0.80%$1.47M
A10 Networks Inc0.78%$1.43M
Brinker International Inc0.72%$1.33M
Penguin Solutions Inc0.72%$1.33M
Constellium SE0.70%$1.29M
ACM Research Inc0.68%$1.25M
StoneX Group Inc0.68%$1.25M
CareTrust REIT Inc0.68%$1.25M
United Natural Foods Inc0.64%$1.18M
EnerSys0.64%$1.17M
Argan Inc0.63%$1.15M
EverQuote Inc0.62%$1.15M
UMB Financial Corp0.62%$1.14M
SkyWest Inc0.62%$1.14M
SSR Mining Inc0.61%$1.11M
Super Group SGHC Ltd0.59%$1.08M
Kontoor Brands Inc0.58%$1.07M
Hovnanian Enterprises Inc0.56%$1.03M
Par Pacific Holdings Inc0.56%$1.02M
V2X Inc0.55%$1.01M
Slide Insurance Holdings Inc0.55%$1.01M
Sanmina Corp0.54%$985.49K
Butterfly Network Inc0.53%$977.48K
AAR Corp0.52%$962.78K
WSFS Financial Corp0.52%$961.96K
Blue Bird Corp0.52%$955.97K
Cimpress PLC0.52%$955.17K
MaxLinear Inc0.51%$946.14K
Powell Industries Inc0.51%$937.54K
GigaCloud Technology Inc0.51%$932.99K
Indivior Pharmaceuticals Inc0.51%$930.60K
Portland General Electric Co0.51%$930.09K
Compass Inc0.50%$923.34K
Andersons Inc/The0.50%$918.54K
Urban Outfitters Inc0.50%$914.94K
First BanCorp/Puerto Rico0.49%$905.93K
Alkermes PLC0.48%$887.31K
International Seaways Inc0.48%$880.17K
DiamondRock Hospitality Co0.48%$875.66K
Scorpio Tankers Inc0.47%$869.91K
Abercrombie & Fitch Co0.47%$866.53K
Columbus McKinnon Corp/NY0.47%$858.43K
Garrett Motion Inc0.46%$851.59K
Onto Innovation Inc0.46%$850.38K
CBL & Associates Properties Inc0.46%$848.70K
Xenia Hotels & Resorts Inc0.46%$845.69K
Vishay Intertechnology Inc0.46%$844.29K
Century Aluminum Co0.46%$842.31K
Freshworks Inc0.46%$842.02K
DXP Enterprises Inc/TX0.46%$837.12K
Marex Group PLC0.45%$835.38K
LivaNova PLC0.45%$832.25K
Relay Therapeutics Inc0.45%$819.09K
CRISPR Therapeutics AG0.44%$816.03K
AMN Healthcare Services Inc0.44%$809.67K
Hilton Grand Vacations Inc0.44%$807.23K
Amneal Pharmaceuticals Inc0.43%$799.60K
Perimeter Solutions Inc0.43%$796.92K
Clear Secure Inc0.43%$795.16K
Alignment Healthcare Inc0.43%$786.47K
Avista Corp0.43%$786.29K
American Superconductor Corp0.43%$783.00K
United Fire Group Inc0.42%$781.09K
Ichor Holdings Ltd0.42%$775.97K
Perdoceo Education Corp0.42%$764.86K
NetScout Systems Inc0.41%$762.78K
PTC Therapeutics Inc0.41%$759.66K
Kiniksa Pharmaceuticals International Plc0.41%$754.29K
Aveanna Healthcare Holdings Inc0.41%$750.29K
Liquidia Corp0.40%$728.89K
Ameris Bancorp0.39%$721.36K
Phibro Animal Health Corp0.39%$720.76K
Axos Financial Inc0.39%$718.35K
Interface Inc0.39%$714.00K
First Financial Bancorp0.39%$712.46K
Metropolitan Bank Holding Corp0.39%$710.28K
nLight Inc0.39%$709.57K
Teekay Tankers Ltd0.38%$698.59K
Axogen Inc0.38%$690.82K
Tutor Perini Corp0.38%$690.64K
ANI Pharmaceuticals Inc0.37%$673.08K
SM Energy Co0.36%$662.13K
PROG Holdings Inc0.36%$661.02K
Viasat Inc0.36%$657.86K
Hancock Whitney Corp0.36%$657.54K
Pathward Financial Inc0.36%$654.69K
Innovative Solutions and Support Inc0.35%$651.89K
California Water Service Group0.35%$650.74K
Bread Financial Holdings Inc0.35%$648.47K
Bristow Group Inc0.35%$646.58K
OFG Bancorp0.35%$639.09K
Lantheus Holdings Inc0.35%$636.24K
Broadstone Net Lease Inc0.34%$633.76K
Hanmi Financial Corp0.34%$629.60K
Rambus Inc0.34%$628.26K
Peabody Energy Corp0.34%$623.66K
Postal Realty Trust Inc0.34%$615.95K
Atlanticus Holdings Corp0.33%$613.50K
Veracyte Inc0.33%$613.14K
Bank of NT Butterfield & Son Ltd/The0.33%$607.67K
Kohl's Corp0.33%$605.58K
Customers Bancorp Inc0.33%$605.59K
Quad/Graphics Inc0.33%$603.87K
Rush Street Interactive Inc0.33%$601.88K
LendingTree Inc0.33%$601.72K
Jackson Financial Inc0.33%$601.34K
Krystal Biotech Inc0.33%$599.50K
Hut 8 Corp0.32%$596.04K
Group 1 Automotive Inc0.32%$593.40K
M/I Homes Inc0.32%$591.06K
Carter Bankshares Inc0.32%$589.29K
Chatham Lodging Trust0.32%$586.87K
InterDigital Inc0.32%$584.95K
Harmony Biosciences Holdings Inc0.32%$581.21K
Origin Bancorp Inc0.31%$577.53K
Axcelis Technologies Inc0.31%$571.57K
Amprius Technologies Inc0.31%$570.55K
First Financial Corp0.31%$568.64K
Industrial Logistics Properties Trust0.31%$568.33K
Pediatrix Medical Group Inc0.31%$567.95K
Matson Inc0.31%$568.04K
Arlo Technologies Inc0.31%$565.54K
Sezzle Inc0.31%$564.49K
Versigent PLC0.31%$561.38K
IBEX Holdings Ltd0.30%$559.96K
Modine Manufacturing Co0.30%$555.67K
TriNet Group Inc0.30%$552.41K
Oscar Health Inc0.30%$550.18K
Magnite Inc0.30%$547.90K
Daily Journal Corp0.30%$545.88K
Janux Therapeutics Inc0.30%$544.13K
Terex Corp0.29%$540.10K
Sterling Infrastructure Inc0.29%$536.35K
Banner Corp0.29%$532.98K
Primoris Services Corp0.29%$529.10K
Protagonist Therapeutics Inc0.29%$528.81K
Amalgamated Financial Corp0.29%$524.87K
SiTime Corp0.29%$524.87K
Bioventus Inc0.28%$521.41K
Stride Inc0.28%$520.80K
Frontdoor Inc0.28%$519.54K
Fortrea Holdings Inc0.28%$515.75K
Newmark Group Inc0.28%$513.76K
Ryman Hospitality Properties Inc0.28%$512.14K
Flexsteel Industries Inc0.28%$509.52K
Hamilton Insurance Group Ltd0.27%$504.25K
Advanced Energy Industries Inc0.27%$503.37K
Monte Rosa Therapeutics Inc0.27%$502.63K
Northwest Bancshares Inc0.27%$498.23K
Hilltop Holdings Inc0.27%$490.41K
Fabrinet0.27%$489.57K
Bel Fuse Inc0.27%$488.68K
Helmerich & Payne Inc0.26%$479.28K
Firstsun Capital Bancorp0.26%$477.96K
Preferred Bank/Los Angeles CA0.26%$475.51K
Stoke Therapeutics Inc0.26%$474.73K
HCI Group Inc0.26%$474.05K
Otter Tail Corp0.25%$464.84K
Mueller Industries Inc0.25%$462.46K
Entrada Therapeutics Inc0.25%$460.92K
Cathay General Bancorp0.25%$459.84K
Willdan Group Inc0.25%$457.91K
Apple Hospitality REIT Inc0.25%$455.77K
Sphere Entertainment Co0.25%$454.20K
Arcus Biosciences Inc0.24%$448.11K
Five9 Inc0.24%$441.86K
Essent Group Ltd0.24%$440.51K
Liberty Energy Inc0.24%$440.31K
American Public Education Inc0.24%$437.01K
OppFi Inc0.24%$434.19K
TG Therapeutics Inc0.23%$432.05K
FirstCash Holdings Inc0.23%$430.26K
NB Bancorp Inc0.23%$430.19K
Essential Properties Realty Trust Inc0.23%$428.44K
1st Source Corp0.23%$427.81K
Koppers Holdings Inc0.23%$425.07K
Ensign Group Inc/The0.23%$424.63K
Beam Therapeutics Inc0.23%$421.96K
Terawulf Inc0.23%$421.73K
CECO Environmental Corp0.23%$419.40K
Northeast Community Bancorp Inc0.23%$417.40K
CareDx Inc0.23%$415.39K
Coeur Mining Inc0.22%$412.50K
Rush Enterprises Inc0.22%$411.27K
California Resources Corp0.22%$409.80K
Clearway Energy Inc0.22%$402.54K
Vita Coco Co Inc/The0.22%$397.77K
Corcept Therapeutics Inc0.22%$397.36K
TTM Technologies Inc0.21%$394.61K
D-Wave Quantum Inc0.21%$394.23K
Praxis Precision Medicines Inc0.21%$390.37K
Applied Digital Corp0.21%$388.14K
Cytokinetics Inc0.21%$385.14K
Centrus Energy Corp0.21%$384.25K
Commercial Metals Co0.21%$382.96K
Motorcar Parts of America Inc0.21%$382.59K
Hims & Hers Health Inc0.21%$381.06K
Park-Ohio Holdings Corp0.21%$379.81K
10X Genomics Inc0.21%$377.30K
MediaAlpha Inc0.21%$377.28K
Ideaya Biosciences Inc0.20%$375.72K
Consensus Cloud Solutions Inc0.20%$374.86K
Photronics Inc0.20%$374.65K
Nutex Health Inc0.20%$374.42K
Paysign Inc0.20%$372.83K
Arrowhead Pharmaceuticals Inc0.20%$372.42K
Ameresco Inc0.20%$370.20K
Tactile Systems Technology Inc0.20%$365.34K
FormFactor Inc0.20%$362.56K
Spyre Therapeutics Inc0.20%$361.51K
Vir Biotechnology Inc0.20%$361.37K
O-I Glass Inc0.20%$361.11K
CNB Financial Corp/PA0.19%$357.53K
Nextpower Inc0.19%$357.30K
Getty Realty Corp0.19%$357.25K
Herc Holdings Inc0.19%$356.34K
Semtech Corp0.19%$350.73K
Array Technologies Inc0.19%$349.30K
Rigetti Computing Inc0.19%$347.22K
Glaukos Corp0.19%$344.65K
IES Holdings Inc0.19%$343.82K
HB Fuller Co0.18%$336.62K
NMI Holdings Inc0.18%$335.87K
Commvault Systems Inc0.18%$335.62K
Mercantile Bank Corp0.18%$331.54K
Qualys Inc0.18%$330.94K
4D Molecular Therapeutics Inc0.18%$330.03K
Healthcare Services Group Inc0.18%$328.17K
Covista Inc0.18%$327.11K
Enterprise Financial Services Corp0.18%$324.00K
ACADIA Pharmaceuticals Inc0.18%$323.46K
Twist Bioscience Corp0.17%$318.10K
Cogent Biosciences Inc0.17%$317.73K
Consolidated Water Co Ltd0.17%$317.27K
Texas Capital Bancshares Inc0.17%$315.46K
New Jersey Resources Corp0.17%$311.02K
Ouster Inc0.17%$309.60K
VSE Corp0.17%$309.16K
Sylvamo Corp0.17%$304.97K
Regional Management Corp0.16%$301.79K
BankUnited Inc0.16%$299.86K
Helix Energy Solutions Group Inc0.16%$297.98K
BGC Group Inc0.16%$296.56K
TransMedics Group Inc0.16%$293.18K
Syndax Pharmaceuticals Inc0.16%$292.92K
Madison Square Garden Entertainment Corp0.16%$292.42K
Zevra Therapeutics Inc0.16%$285.82K
Bel Fuse Inc0.15%$283.08K
Southwest Gas Holdings Inc0.15%$281.38K
Dauch Corp0.15%$280.75K
Dianthus Therapeutics Inc0.15%$280.74K
Addus HomeCare Corp0.15%$276.29K
Innodata Inc0.15%$275.41K
Palomar Holdings Inc0.15%$274.01K
Tango Therapeutics Inc0.15%$273.49K
Allient Inc0.15%$270.91K
Capital Bancorp Inc0.15%$269.12K
Moog Inc0.15%$268.71K
Ryerson Holding Corp0.15%$266.70K
SPX Technologies Inc0.14%$262.33K
QuidelOrtho Corp0.14%$261.67K
Urban Edge Properties0.14%$260.47K
Costamare Inc0.14%$259.72K
Diversified Energy Co0.14%$258.64K
Diebold Nixdorf Inc0.14%$256.34K
Chefs' Warehouse Inc/The0.14%$255.15K
Amkor Technology Inc0.14%$252.14K
Universal Insurance Holdings Inc0.14%$251.10K
Uranium Energy Corp0.13%$245.80K
ACI Worldwide Inc0.13%$245.36K
Oruka Therapeutics Inc0.13%$243.54K
EVERTEC Inc0.13%$243.27K
Diodes Inc0.13%$239.35K
Sabra Health Care REIT Inc0.13%$237.30K
Vaxcyte Inc0.13%$236.24K
Brink's Co/The0.13%$234.43K
Electromed Inc0.13%$232.82K
Central Pacific Financial Corp0.13%$230.69K
Ironwood Pharmaceuticals Inc0.12%$229.55K
Artisan Partners Asset Management Inc0.12%$228.93K
Amplitude Inc0.12%$227.60K
Accendra Health Inc0.12%$227.60K
Collegium Pharmaceutical Inc0.12%$225.78K
Nurix Therapeutics Inc0.12%$224.84K
SunCoke Energy Inc0.12%$220.78K
Republic Bancorp Inc/KY0.12%$220.56K
Radian Group Inc0.12%$219.80K
Upwork Inc0.12%$217.28K
Stewart Information Services Corp0.12%$217.14K
Sprouts Farmers Market Inc0.12%$215.85K
Contineum Therapeutics Inc0.12%$215.68K
Intellia Therapeutics Inc0.11%$209.32K
JBT Marel Corp0.11%$209.38K
Cinemark Holdings Inc0.11%$208.69K
Victory Capital Holdings Inc0.11%$207.80K
Ardagh Metal Packaging SA0.11%$207.03K
Power Solutions International Inc0.11%$202.58K
Vicor Corp0.11%$201.28K
Nabors Industries Ltd0.11%$199.94K
Upstream Bio Inc0.11%$200.08K
Supernus Pharmaceuticals Inc0.11%$198.41K
Pagaya Technologies Ltd0.11%$197.72K
Rapport Therapeutics Inc0.11%$197.68K
Turning Point Brands Inc0.11%$196.50K
Mirum Pharmaceuticals Inc0.11%$195.51K
USA Rare Earth Inc0.10%$192.82K
Pacira BioSciences Inc0.10%$188.14K
MGIC Investment Corp0.10%$187.90K
Oncology Institute Inc/The0.10%$186.44K
Clean Energy Fuels Corp0.10%$185.63K
Extreme Networks Inc0.10%$183.80K
Cargurus Inc0.10%$179.04K
Sprinklr Inc0.10%$178.10K
Concentra Group Holdings Parent Inc0.10%$176.98K
Riley Exploration Permian Inc0.10%$176.67K
MiMedx Group Inc0.10%$176.23K
Kura Oncology Inc0.10%$176.29K
Zeta Global Holdings Corp0.09%$173.75K
Intapp Inc0.09%$172.29K
CG oncology Inc0.09%$168.39K
Novavax Inc0.09%$167.35K
SPS Commerce Inc0.09%$166.54K
Voyager Therapeutics Inc0.09%$166.39K
Mueller Water Products Inc0.09%$164.10K
Acadian Asset Management Inc0.09%$163.78K
Clearwater Paper Corp0.09%$158.92K
Matrix Service Co0.09%$157.71K
LXP Industrial Trust0.09%$157.44K
CTO Realty Growth Inc0.08%$154.92K
Lyell Immunopharma Inc0.08%$151.88K
Legence Corp0.08%$150.77K
Quanex Building Products Corp0.08%$148.42K
National Health Investors Inc0.08%$146.11K
Lumen Technologies Inc0.08%$145.89K
Adient PLC0.08%$143.97K
ADMA Biologics Inc0.08%$140.73K
Zymeworks Inc0.08%$139.77K
Nektar Therapeutics0.08%$139.69K
International Bancshares Corp0.08%$138.53K
Seadrill Ltd0.07%$125.26K
Applied Optoelectronics Inc0.07%$124.90K
Tenable Holdings Inc0.07%$124.51K
Arcturus Therapeutics Holdings Inc0.07%$124.37K
Workiva Inc0.07%$123.36K
Arcutis Biotherapeutics Inc0.07%$122.26K
Theravance Biopharma Inc0.07%$120.99K
Superior Group of Cos Inc0.07%$120.94K
Omnicell Inc0.06%$113.76K
Civista Bancshares Inc0.06%$109.86K
8x8 Inc0.06%$105.85K
Resideo Technologies Inc0.06%$105.49K
Yelp Inc0.06%$104.95K
Excelerate Energy Inc0.06%$103.94K
Clover Health Investments Corp0.06%$102.55K
TripAdvisor Inc0.06%$101.87K
GRAIL Inc0.06%$101.31K
Red Cat Holdings Inc0.06%$101.28K
Chicago Mercantile Exchange0.05%$98.80K
Puma Biotechnology Inc0.05%$95.54K
Murphy Oil Corp0.05%$93.32K
MacroGenics Inc0.05%$87.15K
Janus International Group Inc0.04%$80.63K
SoundHound AI Inc0.04%$78.58K
Kratos Defense & Security Solutions Inc0.04%$72.30K
Dyne Therapeutics Inc0.04%$70.09K
Mativ Holdings Inc0.04%$69.37K
Central Garden & Pet Co0.04%$69.17K
NuScale Power Corp0.04%$68.99K
Brightstar Lottery PLC0.04%$68.78K
Quantum Computing Inc0.04%$67.35K
Eos Energy Enterprises Inc0.04%$64.33K
Microvast Holdings Inc0.02%$43.70K
Alta Equipment Group Inc0.02%$41.58K
NANO Nuclear Energy Inc0.02%$38.88K
Embecta Corp0.02%$30.96K
Omniab, Inc.0.00%$0
Contra Blueprint Medic0.00%$0
Contra Aduro Biotech I0.00%$0
Omniab, Inc.0.00%$0

WSCOX overview: performance, fees, allocation and SEC filings