Stock Taper
EXCHANGE TRADED FUND

ASCE

Allspring SMID Core ETF
$34.95 ▼ 1.31%
−$0.47 TODAY

FUND FACTS

Manager Allspring
Assets $175.4M
Expense ratio 0.38%
Inception Jul 7, 2025
Asset class Small/Micro Cap Equity
Holdings 49
Volume 113.59K
Avg volume 59.62K

ABOUT THIS FUND

The Allspring SMID Core ETF (ASCE) is an actively managed fund primarily focused on investing in equity securities of small and medium-sized U.S. companies, generally aligning with the constituents of the Russell 2500 Index. Up to one-fifth (20%) of its total assets may be directed towards foreign companies operating in developed markets, including American Depositary Receipts (ADRs). The fund's investment strategy integrates sophisticated quantitative analysis with in-depth qualitative evaluation. This dual approach aims to identify businesses that are believed to be undervalued and possess strong prospects for future earnings growth. The quantitative component utilizes a proprietary alpha model to systematically rank securities based on valuation metrics, financial quality, and price momentum. Conversely, the qualitative assessment delves into factors such as management capabilities, product innovation, competitive positioning, and inherent business risks. ASCE maintains a concentrated portfolio, typically comprising around 50 holdings, diversified across various key sectors. A specific ethical screen is applied, as the fund avoids investing in issuers with significant operations in the alcohol, gaming, or tobacco sectors. For liquidity purposes or during periods requiring a defensive stance, the fund may also hold cash or money market instruments, which could temporarily influence its primary investment objectives.

PRICE

$34.95 ▼ DOWN 1.31% (−$0.47)
$34.95$35.10$35.25$35.4010:01 AM11:01 AM12:00 PM1:00 PM2:00 PM2:59 PM3:59 PM34.95

HOLDINGS

TOP 20 OF 49 · 49.04% OF THE FUND
RANK STOCK WEIGHT SHARES VALUE
02 AAMI Acadian Asset Management 3.05% 57.34K $5.58M
03 AMRX Amneal Pharmaceuticals, Inc. 2.80% 283.89K $5.11M
04 VIRT Virtu Financial, Inc. 2.74% 74.87K $5.02M
05 SN SharkNinja, Inc. 2.72% 25.84K $4.98M
06 CDE Coeur Mining, Inc. 2.62% 215.83K $4.79M
07 EXEL Exelixis, Inc. 2.48% 82.22K $4.54M
08 TK Teekay Corporation 2.44% 349.2K $4.46M
09 ANF Abercrombie & Fitch Co. 2.40% 30.11K $4.39M
10 EXLS ExlService Holdings, Inc. 2.39% 114.5K $4.37M
11 CHRD Chord Energy Corporation 2.36% 29.56K $4.32M
13 PGY Pagaya Technologies Ltd. 2.26% 177.75K $4.13M
14 EAT Brinker International, Inc. 2.23% 17.48K $4.08M
15 BLBD Blue Bird Corporation 2.19% 66.92K $4.01M
16 NFG National Fuel Gas Company 2.18% 48.08K $3.98M
17 SKYW SkyWest, Inc. 2.18% 40.35K $3.99M
18 EVER EverQuote, Inc. 2.01% 148.42K $3.68M
19 MD Pediatrix Medical Group, Inc. 1.99% 135.86K $3.64M
20 CTRE CareTrust REIT, Inc. 1.99% 92.55K $3.64M

SECTOR HOLDINGS

TECHNOLOGY IS 1.00% OF THE FUND

BY REGION

UNITED STATES IS 96.09% OF THE FUND
United States 96.09%
Bermuda 2.44%
Other 1.48%