13F INSTITUTION · CIK 0001890906 · 2026-Q2 · filed Aug 13, 2026

Allspring Global Investments Holdings

ALLSPRING GLOBAL INVESTMENTS HOLDINGS, LLC
$65.2B
13F long value · 2026-Q2
Positions1874
CategoryAsset Manager
Quarters tracked8
▲ #160 of 581 by 13F value
Size rank 8/10
12 NEW184 ADD122 2×+144 TRIM51 NEAR EXIT12 EXIT
Snapshot
Allspring Global Investments Holdings's 13F portfolio at a glance — size, concentration and this quarter's activity.
13F value (AUM)
$65.2B
Positions
1874 (106 unmapped)
Top 100 weight
54.6%
Quarters tracked
8
Latest 13F filed
Aug 13, 2026
New positions
12
Exits / near-exits
63
13F value by quarter
Total reported long value each quarter — fund flows plus market moves.
$64.6B
2024-Q3
$62.4B
2024-Q4
$57.7B
2025-Q1
$59.8B
2025-Q2
$62.3B
2025-Q3
$61.7B
2025-Q4
$59.7B
2026-Q1
$65.2B
2026-Q2
Top holdings — 2026-Q2
The fund's largest reported positions. The 100 shown cover 54.6% of the portfolio.
TickerIssuerWeightValueSharesSince 2026-Q2
NVDA NVIDIA CORPORATION2.7%$1.7B8.8M+20.0%
AAPL APPLE INC2.3%$1.5B5.0M+12.4%
AVGO BROADCOM INC1.8%$1.2B3.1M-4.9%
AMZN AMAZON COM INC1.7%$1.1B4.6M+3.9%
MSFT MICROSOFT CORP1.6%$1.0B2.7M+34.4%
GOOGL ALPHABET INC1.5%$994.9M2.8M-5.0%
GOOG ALPHABET INC1.1%$745.7M2.1M-2.6%
Q QNITY ELECTRONICS INC1.0%$667.2M4.4M-6.2%
LH LABCORP HOLDINGS INC1.0%$635.0M2.2M-7.2%
AEP AMERICAN ELEC PWR CO INC0.9%$613.8M4.5M0.0%
RSG REPUBLIC SVCS INC0.8%$544.5M2.5M-4.0%
KEYS KEYSIGHT TECHNOLOGIES INC0.8%$535.9M1.6M+1.5%
MU MICRON TECHNOLOGY INC0.8%$524.0M507.6K-49.2%
FE FIRSTENERGY CORP0.8%$511.0M10.9M+5.0%
OKTA OKTA INC0.8%$510.4M3.6M-45.8%
Quarterly changes — 2026-Q2
What Allspring Global Investments Holdings opened, added, trimmed and exited this quarter, largest dollar moves first.
ActionTickerIssuerPrev sharesCurr sharesChangeValue Δ
ADDAAPLAPPLE INC3.6M5.0M+41.1%+$569.9M
NEAR EXITTERTERADYNE INC1.1M37.1K-96.7%-$331.5M
ADDAMDADVANCED MICRO DEVICES INC635.0K817.0K+28.7%+$308.4M
NEAR EXITBAHBOOZ ALLEN HAMILTON HLDG COR2.6M548.6K-78.8%-$175.3M
NEAR EXITGPKGRAPHIC PACKAGING HLDG CO18.0M151.2K-99.2%-$171.1M
NEAR EXITBROBROWN & BROWN INC2.5M18.8K-99.3%-$162.6M
ADDWATWATERS CORP488.9K774.8K+58.5%+$146.4M
ADDLRCXLAM RESEARCH CORP421.3K598.1K+42.0%+$140.5M
2×+FWONKLIBERTY MEDIA CORP DEL2.3K1.4M+61312.6%+$137.1M
ADDCBRECBRE GROUP INC1.6M2.6M+55.4%+$132.4M
Conviction over time
Portfolio weight of the current top long holdings, quarter by quarter — rising weight = growing conviction.
NVDA 2.7%
AAPL 2.3%
AVGO 1.8%
AMZN 1.7%
MSFT 1.6%
GOOGL 1.5%
GOOG 1.1%
Q 1.0%
LH 1.0%
AEP 0.9%