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Allspring Small Company Growth Fund (WSMCX) is an MF managed by Allspring. Its largest position is ADVANCED ENERGY INDUSTRIES INC (AEIS), representing 1.80% of fund assets.

Allspring Small Company Growth Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
WSMCX
Type:
MF
Manager:
Allspring
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 24, 2026
Showing 50 out of 124 holdings
Holding Weight Market Value Shares
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ADVANCED ENERGY INDUSTRIES INC
1.80% $9,302,907.12 24,232
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TechnipFMC plc
1.80% $9,280,902.84 122,812
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Element Solutions Inc
1.61% $8,321,489.74 195,386
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SPX Technologies, Inc.
1.61% $8,312,888.34 37,974
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MACOM Technology Solutions Holdings, Inc.
1.56% $8,023,632.12 28,492
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MODINE MANUFACTURING CO
1.48% $7,632,788.88 29,976
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Legence Corp.
1.47% $7,573,607.28 87,093
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ESCO TECHNOLOGIES INC
1.44% $7,444,047.05 22,979
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VIAVI SOLUTIONS INC.
1.42% $7,323,581.20 139,763
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MYR GROUP INC.
1.38% $7,104,415.50 17,550
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JFrog Ltd
1.26% $6,476,475.96 139,459
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STIFEL FINANCIAL CORP
1.23% $6,347,278.59 80,539
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DigitalOcean Holdings, Inc.
1.23% $6,346,347.59 65,813
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KIRBY CORP
1.20% $6,181,473.48 41,062
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FirstCash Holdings, Inc.
1.18% $6,075,681.24 27,842
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Arcosa, Inc.
1.13% $5,825,587.61 46,063
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Boot Barn Holdings, Inc.
1.12% $5,777,007.75 33,695
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SYNAPTICS Inc
1.11% $5,708,802.82 60,998
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FORMFACTOR INC
1.11% $5,707,428.84 41,988
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STEEL DYNAMICS INC
1.09% $5,641,956.84 24,674
-
Burlington Stores, Inc.
1.08% $5,582,254.44 17,444
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Construction Partners, Inc.
1.07% $5,507,816.40 44,540
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PATRICK INDUSTRIES INC
1.01% $5,223,066.00 56,162
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ARTIVION, INC.
1.00% $5,137,556.21 143,387
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Triumph Financial, Inc.
0.99% $5,123,037.60 75,695
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GLACIER BANCORP, INC.
0.99% $5,114,835.90 104,278
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Evercore Inc.
0.99% $5,083,129.09 15,821
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ADVANCED DRAINAGE SYSTEMS, INC.
0.99% $5,081,067.00 34,044
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FLOWSERVE CORP
0.98% $5,044,929.12 68,508
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Essent Group Ltd.
0.98% $5,036,111.28 83,214
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DYCOM INDUSTRIES INC
0.97% $4,994,460.10 12,061
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GENERAC HOLDINGS INC.
0.95% $4,899,447.00 18,900
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Champion Homes, Inc.
0.95% $4,894,499.61 64,207
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Evolv Technologies Holdings, Inc.
0.94% $4,862,635.20 675,366
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AAON, INC.
0.94% $4,848,294.29 51,959
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Flowco Holdings Inc.
0.93% $4,790,253.26 192,922
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On Holding AG
0.93% $4,771,846.83 134,003
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ALLEGRO MICROSYSTEMS, INC.
0.92% $4,755,182.50 98,045
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Ollie's Bargain Outlet Holdings, Inc.
0.90% $4,661,850.88 53,888
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MERCURY SYSTEMS INC
0.89% $4,563,602.03 57,833
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Twist Bioscience Corp
0.87% $4,467,508.85 76,433
-
Performance Food Group Co
0.86% $4,446,948.80 49,105
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COASTAL FINANCIAL CORP
0.86% $4,414,166.26 58,373
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CECO ENVIRONMENTAL CORP
0.86% $4,410,366.18 59,487
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FTAI Aviation Ltd.
0.85% $4,387,700.58 17,574
-
CSW INDUSTRIALS, INC.
0.84% $4,338,588.80 14,899
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PROCORE TECHNOLOGIES, INC.
0.84% $4,324,522.56 76,432
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JBT MAREL Corp
0.83% $4,286,557.60 36,296
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KRATOS DEFENSE & SECURITY SOLUTIONS, INC.
0.82% $4,231,348.55 67,111
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Knight-Swift Transportation Holdings Inc.
0.82% $4,218,305.30 64,997
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