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Allspring Disciplined Small Cap Fund (WSCOX) is an MF managed by Allspring. Its largest position is ALLSPRING GOVERNMENT MONEY MAR (null), representing 3.10% of fund assets.

Allspring Disciplined Small Cap Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
WSCOX
Type:
MF
Manager:
Allspring
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 27, 2026
Showing 50 out of 372 holdings
Holding Weight Market Value Shares
-
ALLSPRING GOVERNMENT MONEY MAR
3.10% $4,316,981.97 4,316,982
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Nextpower Inc.
1.11% $1,544,124.95 12,809
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Fabrinet
1.09% $1,509,800.40 2,895
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Coeur Mining, Inc.
0.94% $1,303,407.57 69,441
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TTM TECHNOLOGIES INC
0.93% $1,290,230.48 13,244
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Bloom Energy Corp
0.92% $1,280,380.50 9,450
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STERLING INFRASTRUCTURE, INC.
0.92% $1,275,162.37 3,131
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Primoris Services Corp
0.85% $1,186,373.76 8,294
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PAR PACIFIC HOLDINGS, INC.
0.85% $1,185,148.80 18,920
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ARGAN INC
0.80% $1,119,255.75 2,055
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BrightSpring Health Services, Inc.
0.77% $1,067,891.82 25,062
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CareTrust REIT, Inc.
0.76% $1,057,389.15 28,851
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BRINKER INTERNATIONAL, INC
0.76% $1,054,070.91 7,383
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StoneX Group Inc.
0.75% $1,042,159.30 12,922
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CENTURY ALUMINUM CO
0.72% $1,004,068.52 17,108
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GigaCloud Technology Inc
0.68% $951,346.32 20,964
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POWELL INDUSTRIES INC
0.68% $946,348.92 1,749
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CONSTELLIUM SE
0.67% $926,715.16 37,702
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DXP ENTERPRISES INC
0.66% $922,776.92 6,604
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Andersons, Inc.
0.65% $900,767.22 12,549
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Scorpio Tankers Inc.
0.63% $876,284.42 11,737
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V2X, Inc.
0.62% $867,826.50 12,669
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DigitalOcean Holdings, Inc.
0.62% $861,402.76 10,042
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Vistance Networks, Inc.
0.61% $852,706.40 46,852
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Kontoor Brands, Inc.
0.61% $844,253.19 12,011
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Enova International, Inc.
0.60% $836,576.97 6,159
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PERDOCEO EDUCATION Corp
0.60% $831,048.14 22,334
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PEABODY ENERGY CORP
0.60% $830,702.45 25,211
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Jackson Financial Inc.
0.59% $825,038.88 7,804
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A10 Networks, Inc.
0.59% $824,667.28 35,669
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ABERCROMBIE & FITCH CO /DE/
0.59% $822,055.89 8,997
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RAMBUS INC
0.59% $822,016.65 9,555
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Super Group (SGHC) Ltd
0.58% $804,308.40 74,473
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International Seaways, Inc.
0.56% $782,658.32 10,739
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UMB FINANCIAL CORP
0.55% $765,280.15 6,785
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URBAN OUTFITTERS INC
0.55% $764,317.75 12,065
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Brookfield Infrastructure Corp
0.50% $696,698.08 17,629
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FIRST BANCORP /PR/
0.50% $693,580.56 32,471
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NEWMARK GROUP, INC.
0.49% $687,291.50 45,850
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Bristow Group Inc.
0.49% $685,625.58 14,622
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Ultra Clean Holdings, Inc.
0.49% $683,420.38 10,991
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SKYWEST INC
0.48% $673,940.37 7,339
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Credo Technology Group Holding Ltd
0.48% $669,105.36 7,128
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Amprius Technologies, Inc.
0.47% $648,722.22 38,477
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Clear Secure, Inc.
0.46% $645,402.12 13,332
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Blue Bird Corp
0.46% $642,465.27 11,313
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CIMPRESS plc
0.46% $640,648.00 8,776
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Victory Capital Holdings, Inc.
0.45% $631,161.72 9,639
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GROUP 1 AUTOMOTIVE INC
0.45% $629,850.15 1,905
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DiamondRock Hospitality Co
0.45% $629,560.93 67,189
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