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Allspring Common Stock Fund (SCSRX) is an MF managed by Allspring. Its largest position is ON SEMICONDUCTOR CORP (ON), representing 2.25% of fund assets.

Allspring Common Stock Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
SCSRX
Type:
MF
Manager:
Allspring
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 27, 2026
Showing 50 out of 97 holdings
Holding Weight Market Value Shares
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ON SEMICONDUCTOR CORP
2.25% $12,969,887.04 209,462
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KIRBY CORP
1.96% $11,342,371.04 85,358
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Marvell Technology, Inc.
1.84% $10,616,377.10 107,182
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QXO, Inc.
1.77% $10,248,866.16 527,748
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WESCO INTERNATIONAL INC
1.66% $9,608,439.92 35,116
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Dynatrace, Inc.
1.65% $9,530,966.34 257,733
-
APi Group Corp
1.64% $9,454,085.88 233,319
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HEALTHEQUITY, INC.
1.63% $9,416,500.46 112,678
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Ameris Bancorp
1.63% $9,387,422.33 120,367
-
LITTELFUSE INC /DE
1.63% $9,386,760.35 27,661
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REGAL REXNORD CORP
1.62% $9,335,847.30 49,855
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ALLIENT INC
1.62% $9,331,138.26 157,914
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WINTRUST FINANCIAL CORP
1.62% $9,330,515.70 67,155
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BWX Technologies, Inc.
1.58% $9,113,096.85 44,565
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Terreno Realty Corp
1.58% $9,102,566.84 148,202
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APPLIED INDUSTRIAL TECHNOLOGIES INC
1.56% $8,994,348.00 33,900
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WESTLAKE CORP
1.56% $8,984,743.02 76,911
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SUN COMMUNITIES INC
1.50% $8,681,037.24 68,919
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REINSURANCE GROUP OF AMERICA INC
1.49% $8,621,880.96 42,231
-
ROKU, INC
1.45% $8,370,747.54 88,467
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BRUKER CORP
1.44% $8,307,672.24 230,002
-
Toll Brothers, Inc.
1.43% $8,267,489.07 60,581
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LivaNova PLC
1.42% $8,212,396.92 129,207
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Burlington Stores, Inc.
1.38% $7,985,801.34 24,543
-
COMMERCIAL METALS Co
1.38% $7,979,081.27 129,889
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TEXAS CAPITAL BANCSHARES INC/TX
1.38% $7,963,373.28 83,931
-
Talen Energy Corp
1.37% $7,892,961.75 24,725
-
Azenta, Inc.
1.35% $7,798,618.14 369,078
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LOUISIANA-PACIFIC CORP
1.35% $7,773,919.50 106,858
-
Okta, Inc.
1.33% $7,700,435.43 97,833
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ASHLAND INC.
1.31% $7,538,769.65 135,565
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TELEDYNE TECHNOLOGIES INC
1.30% $7,517,249.25 12,425
-
V2X, Inc.
1.29% $7,445,470.50 108,693
-
National Vision Holdings, Inc.
1.27% $7,308,876.40 282,196
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Planet Fitness, Inc.
1.27% $7,305,901.12 98,224
-
Mirion Technologies, Inc.
1.26% $7,303,137.27 392,853
-
Revolve Group, Inc.
1.26% $7,275,016.21 321,761
-
ALLEGRO MICROSYSTEMS, INC.
1.26% $7,271,543.19 230,623
-
BIO-RAD LABORATORIES, INC.
1.26% $7,261,995.00 26,052
-
HERC HOLDINGS INC
1.25% $7,237,185.45 72,699
-
AZZ INC
1.25% $7,213,369.11 57,647
-
Ralliant Corp
1.25% $7,194,986.82 172,998
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ALASKA AIR GROUP, INC.
1.22% $7,066,651.74 192,133
-
ESAB Corp
1.20% $6,916,892.94 71,559
-
Axos Financial, Inc.
1.19% $6,871,783.31 80,759
-
ICON PLC
1.18% $6,843,325.06 61,841
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MELROSE INDUSTRIES PLC
1.16% $6,712,745.37 990,636
-
CARLISLE COMPANIES INC
1.16% $6,688,747.38 20,049
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COTERRA ENERGY INC
1.14% $6,577,540.34 187,181
-
Onterris, Inc.
1.12% $6,471,909.84 295,656
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