Allspring Emerging Markets Equity Fund (EMGCX) is an MF managed by Allspring. Its largest position is TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD (TSM), representing 13.83% of fund assets.
Allspring Emerging Markets Equity Fund Portfolio Holdings
Source: SEC Form N-PORT institutional portfolio disclosures
- Ticker:
- EMGCX
- Type:
- MF
- Manager:
- Allspring
- Total Assets:
- —
- Report Date:
- Apr 30, 2026
- Filing Date:
- Jun 24, 2026
| Holding | Weight | Market Value | Shares |
|---|---|---|---|
|
-
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
|
13.83% | $538,381,985.91 | 7,755,224 |
|
-
SAMSUNG ELECTRONICS CO. LTD.
|
9.40% | $365,764,142.73 | 2,428,913 |
|
-
SK hynix Inc.
|
6.74% | $262,267,183.76 | 294,098 |
|
-
TENCENT HOLDINGS LTD
|
4.49% | $174,580,884.70 | 2,874,600 |
|
-
Alibaba Group Holding Ltd
|
2.76% | $107,367,116.15 | 6,514,596 |
|
-
RELIANCE INDUSTRIES LIMITED
|
2.61% | $101,535,181.35 | 6,694,748 |
|
-
MEDIATEK INC.
|
2.34% | $90,901,542.69 | 1,088,881 |
|
-
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
|
2.07% | $80,420,775.12 | 203,052 |
|
-
BHARTI AIRTEL LTD
|
1.99% | $77,313,884.58 | 3,859,052 |
|
-
HDFC BANK LTD
|
1.91% | $74,314,768.71 | 9,050,198 |
|
-
SHOPRITE HOLDINGS LTD
|
1.49% | $57,854,645.28 | 3,432,518 |
|
-
MEITUAN LLC
|
1.45% | $56,430,522.94 | 5,244,870 |
|
-
KT CORP
|
1.29% | $50,354,349.59 | 2,349,713 |
|
-
DELTA ELECTRONICS INC.
|
1.21% | $46,913,923.61 | 669,000 |
|
-
ALLSPRING GOVERNMENT MONEY MAR
|
1.19% | $46,204,958.02 | 46,204,958 |
|
-
INPOST SA
|
1.16% | $45,106,253.29 | 2,514,806 |
|
-
AIA GROUP LIMITED
|
1.07% | $41,529,367.67 | 3,782,700 |
|
-
PDD Holdings Inc.
|
1.04% | $40,415,343.32 | 404,639 |
|
-
B3 SA - BRASIL BOLSA BALCAO
|
1.02% | $39,588,280.72 | 10,872,615 |
|
-
NAVER CORP
|
1.00% | $39,070,671.97 | 272,000 |
|
-
MTN GROUP LTD
|
0.98% | $38,234,471.92 | 3,047,324 |
|
-
AXIS BANK LTD.
|
0.98% | $38,064,099.30 | 2,821,923 |
|
-
ITC LTD.
|
0.90% | $34,864,749.58 | 10,461,374 |
|
-
STANDARD BANK GROUP LTD.
|
0.87% | $33,861,518.14 | 1,757,090 |
|
-
Grab Holdings Ltd
|
0.83% | $32,416,756.84 | 8,486,062 |
|
-
MEXICAN ECONOMIC DEVELOPMENT INC
|
0.83% | $32,328,234.88 | 273,412 |
|
-
MakeMyTrip Ltd
|
0.79% | $30,560,732.56 | 647,336 |
|
-
AMERICA MOVIL SAB DE CV/
|
0.77% | $30,137,268.00 | 1,132,980 |
|
-
SK TELECOM CO LTD
|
0.75% | $29,031,327.81 | 448,000 |
|
-
ULTRATECH CEMENT LTD.
|
0.74% | $28,962,253.96 | 235,820 |
|
-
KE Holdings Inc.
|
0.73% | $28,264,500.00 | 1,650,000 |
|
-
Sea Ltd
|
0.72% | $28,158,091.20 | 331,740 |
|
-
THAI BEVERAGE PCL
|
0.72% | $28,024,308.61 | 84,927,000 |
|
-
NEXUS SELECT TRUST
|
0.71% | $27,750,117.04 | 16,942,246 |
|
-
Trip.com Group Ltd
|
0.70% | $27,414,301.55 | 507,682 |
|
-
KT&G CORP.
|
0.70% | $27,299,302.39 | 227,091 |
|
-
TELKOM INDONESIA PERSERO TBK PT
|
0.67% | $26,009,682.40 | 159,000,000 |
|
-
FORTIS HEALTHCARE LTD.
|
0.67% | $25,951,598.98 | 2,656,112 |
|
-
TSINGTAO BREWERY CO LTD
|
0.66% | $25,569,988.79 | 3,698,500 |
|
-
Li Auto Inc.
|
0.65% | $25,133,437.75 | 2,856,000 |
|
-
WANT WANT CHINA HOLDINGS LTD
|
0.64% | $25,102,326.97 | 44,482,800 |
|
-
CHEMICAL & MINING CO OF CHILE INC
|
0.63% | $24,600,357.34 | 266,902 |
|
-
LG CHEM LTD
|
0.60% | $23,511,612.18 | 86,809 |
|
-
UNI-PRESIDENT ENTERPRISES CORP
|
0.59% | $22,870,408.06 | 10,441,368 |
|
-
LI NING CO LTD
|
0.58% | $22,461,963.37 | 8,627,707 |
|
-
Tencent Music Entertainment Group
|
0.57% | $22,321,430.60 | 2,434,180 |
|
-
BANK CENTRAL ASIA TBK PT
|
0.57% | $22,237,437.56 | 65,589,400 |
|
-
ASTRA INTERNATIONAL TBK PT
|
0.56% | $21,951,266.48 | 63,362,600 |
|
-
PTT PCL
|
0.56% | $21,904,580.87 | 20,256,300 |
|
-
SOUTHERN COPPER CORP/
|
0.54% | $20,878,534.14 | 121,606 |
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