Allspring Funds Management LLC

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Allspring Funds Management LLC
CRD #110841
SEC #801-58237
CIK #0001327354, 0001130227, 0001137352
AUM 324.65 B (2026-05-13)
Employees 714 (0% Investors, 15% Brokers)
Fees
Minimum
Phone833-289-5038
Address1415 Vantage Park Drive
Charlotte, NC 28203
Source [IAPD] [EDGAR] [Website] [Twitter] [LinkedIn]
Total AUM ($B)
3502802101407001999200820172027
Fees and Compensation — Form ADV Part 2A (5/13/2026) [Brochure]
Item 5: Fees and compensation, these types of affiliated mutual funds have a zero-fee structure.

Client information, anti-money laundering (“AML”) and privacy
To help the government fight the funding of terrorism and money laundering activities, federal law requires certain
financial institutions to obtain, verify, and record information that identifies each client who opens an account or
establishes a relationship. Accordingly, when Allspring Funds Management establishes a relationship with a client,
when appropriate, it asks for the client’s name, address, and other information or documentation that will allow
Allspring Funds Management to identify and verify the client and the source of client funds that are being invested.

Allspring Funds Management has adopted policies and procedures regarding the collection, use, disclosure and
destruction of personal information about our clients. Consistent with its privacy policies and applicable laws,
Allspring Funds Management and its affiliates may share client information with affiliated and third-party service
providers throughout the world to the extent necessary and on a need to know basis. Allspring Funds Management’s
third-party service providers are subject to security and confidentiality obligations and are only permitted to process
client information for a specified, legitimate business purpose and in accordance with our instructions. Allspring
Funds Management has implemented appropriate physical, technical, organizational, and security measures to
prevent unauthorized access to client information and to prevent client information from being accidentally lost,
altered, or misused. Additionally, Allspring Funds Management has put in place procedures to deal with any
suspected data security breach and will notify clients and any applicable regulator of a suspected breach where it is
legally required to do so. For additional information on how Allspring Funds Management may process client
information, please see our privacy notices at allspringglobal.com.

                                                                                  ALLSPRING FUNDS MANAGEMENT, LLC
                                                                                                        BROCHURE
Account Minimums and Types of Clients — Form ADV Part 2A (5/13/2026) [Brochure]
Item 7: Types of clients
We provide advisory services to several types of clients, including individuals, corporations and pooled investment
vehicles, such as the Allspring Funds. We also provide advisory services in connection with managed account
programs, including wrap fee and model portfolio programs. The program Sponsors with which we contract are
typically financial institutions, and participants in the programs include high-net-worth individuals, trusts, retirement
plans, corporations, partnerships, charitable organizations and other types of clients.

Managed accounts—minimum account size requirements
Managed account program Sponsors set account minimums that usually are in the range of $50,000 to $250,000.
We generally require a minimum of $50,000 to $250,000 to establish an equity separately managed account and
$150,000 to $250,000 to establish a fixed-income separately managed account on a Sponsor’s single contract
platform.

Dual contract relationships have a minimum of $250,000 for some equity strategies (direct indexing) and $500,000
for other equity strategies and fixed-income strategies.

In either case, we reserve the right to waive our minimum account size requirements.

                                                                                   ALLSPRING FUNDS MANAGEMENT, LLC
                                                                                                         BROCHURE
Sector Form 13F Holdings Value ($T)
Nvidia Corp 0.0
Microsoft Corp 0.0
Alphabet Inc 0.0
Apple Inc 0.0
Broadcom Inc 0.0
Amazon Com Inc 0.0
Lilly Eli & Co 0.0
Facebook Inc 0.0
Merck & Co Inc 0.0
Mastercard Inc 0.0
View All
Holdings by Sector ($T)
3.02.41.81.20.60.02010201520212027
Type Form D Funds Date Sold AUM
Other Allspring Lux Worldwide Fund - Climate Focused Emerging Markets Equity Fund 2022-07-26 2.0 M
Other Allspring Lux Worldwide Fund - 2 Degree Global Equity Fund 2022-03-25 102.0 M
Other Allspring Lux Worldwide Fund - Climate Focused Global Equity Fund 2022-03-25 1.0 M
Other Allspring Lux Worldwide Fund - Climate Focused US Equity Fund 2022-03-25 0.9 M
Other Allspring Lux Worldwide Fund - Global Equity Enhanced Income Fund 2021-03-30 71.3 M
Other Allspring Lux Worldwide Fund - Global Small Cap Equity Fund 2020-07-28 16.9 M
Other Allspring Lux Worldwide Fund - Small Cap Innovation Fund 2020-07-28 6.1 M
HF Allspring Lux Worldwide Fund - Alternative Risk Premia Fund 2020-03-30 146.1 M
Other Allspring Lux Worldwide Fund - Climate Transition Global Investment Grade Credit Fund 2020-03-30 146.4 M
Other Allspring Lux Worldwide Fund - Global Factor Enhanced Equity Fund 2019-07-26 37.6 M
Other Allspring Lux Worldwide Fund - EUR Short Duration Credit Fund 2019-03-29 410.0 M
Other Wells Fargo Lux Worldwide Fund - Dynamic Credit Fund 2019-03-29 25.9 M
HF Wells Fargo Lux Worldwide Fund - Global Equity Absolute Return Fund 2019-03-29 42.0 M
Other Wells Fargo Lux Worldwide Fund - Global Multi-Asset Income Fund 2019-03-29 107.4 M
Other Allspring Lux Worldwide Fund - EUR Investment Grade Credit Fund 2018-03-30 111.7 M
HF Allspring Lux Worldwide Fund - Global Long Short Equity Fund 2018-03-30 252.6 M
HF Allspring Worldwide Alternative Fund SICAV SIF - European Loans Fund 2018-03-30 199.6 M
HF Allspring Worldwide Alternative Fund SICAV SIF - European Loans SARL 2018-03-30 19.0 M
HF Allspring Worldwide Alternative Fund SICAV SIF - Senior Secured Fund 2018-03-30 207.0 M
HF Allspring Worldwide Alternative Fund SICAV SIF - Senior Secured SARL 2018-03-30 12.7 M
Other Wells Fargo Lux Worldwide Fund - Global Low Volatility Equity Fund 2018-03-30 12.4 M
Other Allspring Lux Worldwide Fund - USD Investment Grade Credit Fund 2017-03-29 483.7 M
Other Wells Fargo Lux Worldwide Fund - Global Focused Equity Fund 2017-03-29 14.6 M
Other Wells Fargo Lux Worldwide Fund - US Small Cap Value Fund 2017-03-29 27.4 M
Other Allspring Lux Worldwide Fund - US Select Equity Fund 2015-03-27 91.9 M
Other Allspring Lux Worldwide Fund - China A Focus Fund 2014-03-27 13.2 M
Other Allspring Lux Worldwide Fund - Emerging Markets Equity Fund 2014-03-27 330.7 M
Other Allspring Lux Worldwide Fund - Emerging Markets Equity Income Fund 2014-03-27 113.2 M
Other Allspring Lux Worldwide Fund - US All Cap Growth Fund 2014-03-27 450.1 M
Other Allspring Lux Worldwide Fund - US Large Cap Growth Fund 2014-03-27 34.6 M
Other Allspring Lux Worldwide Fund - US Short-Term High Yield Bond Fund 2014-03-27 30.1 M
Other Wells Fargo Lux Worldwide Fund - Emerging Markets Equity II Fund 2014-03-27 5.3 M
Other Wells Fargo Lux Worldwide Fund - Global Equity Fund 2014-03-27 80.6 M
Other Wells Fargo Lux Worldwide Fund - Global Opportunity Bond Fund 2014-03-27 34.2 M
Other Wells Fargo Lux Worldwide Fund - Precious Metals Fund 2014-03-27 2.6 M
LF Wells Fargo Lux Worldwide Fund - USD Government Money Market Fund 2014-03-27 1,042.9 M
Other Wells Fargo Lux Worldwide Fund - US High Yield Bond Fund 2014-03-27 73.8 M
Other Wells Fargo Lux Worldwide Fund - US Premier Growth Fund 2014-03-27 3.6 M
LF Securities Lending Cash Investments LLC 2012-03-30 507.4 M
AUM Breakdown Accounts AUM ($B)
By Client Type
(a) Individuals (other than high net worth individuals) 7,267 2.9
(b) Individuals (high net worth individuals) 1,878 5.2
(c) Banking or thrift institutions 0 0.0
(d) Investment companies 95 311.4
(e) Business development companies 0 0.0
(f) Pooled investment vehicles 18 2.5
(g) Pension and profit sharing plans 34 0.2
(h) Charitable organizations 460 1.6
(i) State or municipal government entities 15 0.2
(j) Other investment advisers 0 0.0
(k) Insurance companies 0 0.0
(l) Sovereign wealth funds and foreign official institutions 0 0.0
(m) Corporations or other businesses not listed above 351 0.7
(n) Other 0 0.0
Total 10,118 324.7
By Discretionary
Discretionary 10,118 324.7
Non-Discretionary 0 0.0
Total 10,118 324.7
By Non-United States Persons
Non-United States Persons 2.5
United States Persons 322.2
Total 10,118 324.7
EDGAR Form CIK 2011 - 2026
13F-NT [0001327354]
Firm Profile (Form ADV)
Discretionary AUM$252.1B
Clients23 (1 non-US)
ServesInstitutional, Retail
Fund TypesHedge Fund
LEI549300HDKZE50HZZOG90
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