Portfolio of investments—May 31, 2023 (unaudited)
Portfolio of investments
 
 
 
 
Shares
Value
Common stocks:  84.57%
 
Energy:  0.15%
 
Energy equipment & services:  0.08%
 
Bristow Group, Inc.
 
3,368
$82,347
Oil, gas & consumable fuels:  0.07%
 
Denbury, Inc.
 
746
67,267
Financials:  0.05%
 
Mortgage real estate investment trusts (REITs):  0.05%
 
Starwood Property Trust, Inc.
 
2,796
49,070
Utilities:  84.37%
 
Electric utilities:  49.85%
 
Alliant Energy Corp.
 
42,134
2,168,216
American Electric Power Co., Inc.
 
59,781
4,968,997
Constellation Energy Corp.
 
29,898
2,512,030
Duke Energy Corp.
 
55,165
4,925,683
Entergy Corp.
 
22,292
2,189,074
Evergy, Inc.
 
29,385
1,699,922
Eversource Energy
 
26,318
1,821,995
Exelon Corp.
 
109,843
4,355,275
FirstEnergy Corp.
 
59,028
2,207,057
NextEra Energy, Inc.
 
198,139
14,555,291
Southern Co.
 
70,453
4,914,097
Xcel Energy, Inc.
 
67,850
4,429,926
 
 
50,747,563
Gas utilities:  3.29%
 
Atmos Energy Corp.
 
29,092
3,353,726
Multi-utilities:  28.38%
 
Ameren Corp.
 
38,992
3,161,081
CenterPoint Energy, Inc.
 
114,071
3,217,943
CMS Energy Corp.
 
59,487
3,449,056
Dominion Energy, Inc.
 
69,623
3,500,644
DTE Energy Co.
 
35,345
3,803,122
Public Service Enterprise Group, Inc.
 
53,828
3,216,223
Sempra Energy
 
37,455
5,375,916
WEC Energy Group, Inc.
 
36,310
3,171,679
 
 
28,895,664
Water utilities:  2.85%
 
American Water Works Co., Inc.
 
20,113
2,905,323
Total common stocks (Cost $77,293,607)
 
86,100,960
See accompanying notes to portfolio of investments
Allspring Utilities and High Income Fund | 1

Portfolio of investments—May 31, 2023 (unaudited)
 
 
Interest
rate
Maturity
date
Principal
Value
Corporate bonds and notes:  35.50%
 
Basic materials:  0.06%
 
Chemicals:  0.06%
 
Avient Corp.144A
7.13
%
8-1-2030
$
60,000
$60,579
Communications:  5.89%
 
Advertising:  0.34%
 
Clear Channel Outdoor Holdings, Inc.144A
7.50
6-1-2029
 
210,000
149,569
Outfront Media Capital LLC/Outfront Media Capital Corp.144A
4.63
3-15-2030
 
150,000
122,434
Outfront Media Capital LLC/Outfront Media Capital Corp.144A
5.00
8-15-2027
 
85,000
76,127
 
 
348,130
Internet:  1.78%
 
Arches Buyer, Inc.144A
4.25
6-1-2028
 
125,000
105,839
Arches Buyer, Inc.144A
6.13
12-1-2028
 
275,000
237,982
Cablevision Lightpath LLC144A
3.88
9-15-2027
 
135,000
111,237
Cablevision Lightpath LLC144A
5.63
9-15-2028
 
130,000
94,468
Match Group Holdings II LLC144A
5.63
2-15-2029
 
545,000
513,003
Uber Technologies, Inc.144A
4.50
8-15-2029
 
430,000
392,237
Uber Technologies, Inc.144A
8.00
11-1-2026
 
350,000
356,952
 
 
1,811,718
Media:  3.60%
 
CCO Holdings LLC/CCO Holdings Capital Corp.144A
4.25
1-15-2034
 
635,000
469,779
CCO Holdings LLC/CCO Holdings Capital Corp.144A
4.50
8-15-2030
 
450,000
370,418
CCO Holdings LLC/CCO Holdings Capital Corp.
4.50
5-1-2032
 
50,000
39,131
CCO Holdings LLC/CCO Holdings Capital Corp.144A
5.00
2-1-2028
 
25,000
22,720
CCO Holdings LLC/CCO Holdings Capital Corp.144A
5.13
5-1-2027
 
250,000
231,581
CCO Holdings LLC/CCO Holdings Capital Corp.144A
5.50
5-1-2026
 
2,000
1,959
CSC Holdings LLC144A
4.13
12-1-2030
 
230,000
159,656
CSC Holdings LLC144A
4.63
12-1-2030
 
200,000
85,495
CSC Holdings LLC144A
5.75
1-15-2030
 
390,000
171,768
Directv Financing LLC/Directv Financing Co.-Obligor, Inc.144A
5.88
8-15-2027
 
90,000
79,274
DISH Network Corp.144A
11.75
11-15-2027
 
135,000
129,209
Gray Escrow II, Inc.144A
5.38
11-15-2031
 
600,000
381,776
Gray Television, Inc.144A
4.75
10-15-2030
 
250,000
162,038
Nexstar Media, Inc.144A
5.63
7-15-2027
 
125,000
114,688
Scripps Escrow II, Inc.144A
3.88
1-15-2029
 
35,000
26,950
Scripps Escrow II, Inc.144A
5.38
1-15-2031
 
425,000
296,697
Scripps Escrow, Inc.144A
5.88
7-15-2027
 
175,000
134,757
Sirius XM Radio, Inc.144A
4.13
7-1-2030
 
395,000
310,665
Townsquare Media, Inc.144A
6.88
2-1-2026
 
510,000
472,872
 
 
3,661,433
Telecommunications:  0.17%
 
CommScope Technologies LLC144A
5.00
3-15-2027
 
190,000
127,793
CommScope, Inc.144A
4.75
9-1-2029
 
60,000
47,258
 
 
175,051
See accompanying notes to portfolio of investments
2 | Allspring Utilities and High Income Fund

Portfolio of investments—May 31, 2023 (unaudited)
 
 
Interest
rate
Maturity
date
Principal
Value
Consumer, cyclical:  6.88%
 
Airlines:  0.64%
 
Hawaiian Airlines Pass-Through Certificates Series 2013-1 Class 1A
3.90
%
7-15-2027
$
138,348
$122,607
Hawaiian Brand Intellectual Property Ltd./HawaiianMiles Loyalty
Ltd.144A
5.75
1-20-2026
 
195,000
181,267
Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd.144A
8.00
9-20-2025
 
345,000
348,597
 
 
652,471
Apparel:  0.22%
 
Crocs, Inc.144A
4.25
3-15-2029
 
260,000
223,943
Auto manufacturers:  1.11%
 
Allison Transmission, Inc.144A
5.88
6-1-2029
 
170,000
163,938
Ford Motor Co.
3.25
2-12-2032
 
175,000
132,978
Ford Motor Co.
4.75
1-15-2043
 
180,000
133,000
Ford Motor Credit Co. LLC
4.39
1-8-2026
 
220,000
206,865
Ford Motor Credit Co. LLC
5.11
5-3-2029
 
535,000
489,805
 
 
1,126,586
Auto parts & equipment:  0.23%
 
Adient Global Holdings Ltd.144A
4.88
8-15-2026
 
130,000
123,057
Cooper Tire & Rubber Co.
7.63
3-15-2027
 
107,000
107,267
 
 
230,324
Distribution/wholesale:  0.31%
 
G-III Apparel Group Ltd.144A
7.88
8-15-2025
 
335,000
316,575
Entertainment:  1.58%
 
CCM Merger, Inc.144A
6.38
5-1-2026
 
555,000
536,061
Churchill Downs, Inc.144A
4.75
1-15-2028
 
250,000
231,284
Churchill Downs, Inc.
6.75
5-1-2031
 
45,000
44,381
Cinemark USA, Inc.144A
5.25
7-15-2028
 
235,000
205,717
Cinemark USA, Inc.144A
5.88
3-15-2026
 
65,000
61,750
Cinemark USA, Inc.144A
8.75
5-1-2025
 
132,000
134,310
Live Nation Entertainment, Inc.144A
3.75
1-15-2028
 
140,000
125,877
Live Nation Entertainment, Inc.144A
5.63
3-15-2026
 
48,000
46,905
Live Nation Entertainment, Inc.144A
6.50
5-15-2027
 
225,000
225,382
 
 
1,611,667
Home builders:  0.37%
 
Toll Brothers Finance Corp.
4.35
2-15-2028
 
190,000
179,565
Tri Pointe Group, Inc./Tri Pointe Homes, Inc.
5.88
6-15-2024
 
110,000
108,819
Tri Pointe Homes, Inc.
5.70
6-15-2028
 
95,000
91,959
 
 
380,343
Leisure time:  0.78%
 
Carnival Holdings Bermuda Ltd.144A
10.38
5-1-2028
 
340,000
368,026
NCL Corp. Ltd.144A
5.88
3-15-2026
 
175,000
158,751
See accompanying notes to portfolio of investments
Allspring Utilities and High Income Fund | 3

Portfolio of investments—May 31, 2023 (unaudited)
 
 
Interest
rate
Maturity
date
Principal
Value
Leisure time (continued)
 
NCL Corp. Ltd.144A
5.88
%
2-15-2027
$
170,000
$161,896
NCL Corp. Ltd.144A
7.75
2-15-2029
 
110,000
99,470
 
 
788,143
Retail:  1.64%
 
Bath & Body Works, Inc.144A
9.38
7-1-2025
 
95,000
100,923
Dave & Busters, Inc.144A
7.63
11-1-2025
 
70,000
70,875
FirstCash, Inc.144A
4.63
9-1-2028
 
205,000
182,425
LSF9 Atlantis Holdings LLC/Victra Finance Corp.144A
7.75
2-15-2026
 
370,000
343,196
Macys Retail Holdings LLC144A
5.88
4-1-2029
 
140,000
123,760
Macys Retail Holdings LLC144A
6.13
3-15-2032
 
155,000
131,362
Michaels Cos., Inc.144A
7.88
5-1-2029
 
250,000
153,610
NMG Holding Co., Inc./Neiman Marcus Group LLC144A
7.13
4-1-2026
 
225,000
202,471
PetSmart, Inc./PetSmart Finance Corp.144A
4.75
2-15-2028
 
130,000
120,277
PetSmart, Inc./PetSmart Finance Corp.144A
7.75
2-15-2029
 
250,000
242,703
 
 
1,671,602
Consumer, non-cyclical:  3.62%
 
Commercial services:  2.69%
 
Allied Universal Holdco LLC/Allied Universal Finance Corp.144A
6.00
6-1-2029
 
385,000
284,900
Allied Universal Holdco LLC/Allied Universal Finance Corp.144A
6.63
7-15-2026
 
115,000
108,016
CoreCivic, Inc.
8.25
4-15-2026
 
635,000
635,163
MPH Acquisition Holdings LLC144A
5.50
9-1-2028
 
125,000
99,662
MPH Acquisition Holdings LLC144A
5.75
11-1-2028
 
340,000
243,100
PECF USS Intermediate Holding III Corp.144A
8.00
11-15-2029
 
275,000
142,312
Prime Security Services Borrower LLC/Prime Finance, Inc.144A
6.25
1-15-2028
 
165,000
151,550
Sabre Global, Inc.144A
9.25
4-15-2025
 
380,000
362,900
Sabre Global, Inc.144A
11.25
12-15-2027
 
480,000
368,976
Service Corp. International
7.50
4-1-2027
 
140,000
145,179
Upbound Group, Inc.144A
6.38
2-15-2029
 
225,000
198,096
 
 
2,739,854
Healthcare-services:  0.93%
 
Air Methods Corp.144A
8.00
5-15-2025
 
110,000
4,400
Catalent Pharma Solutions, Inc.144A
5.00
7-15-2027
 
130,000
118,195
CHS/Community Health Systems, Inc.144A
5.25
5-15-2030
 
145,000
108,912
CHS/Community Health Systems, Inc.144A
6.00
1-15-2029
 
10,000
8,063
Pediatrix Medical Group, Inc.144A
5.38
2-15-2030
 
110,000
101,200
Select Medical Corp.144A
6.25
8-15-2026
 
260,000
252,818
Tenet Healthcare Corp.
4.88
1-1-2026
 
100,000
96,732
Tenet Healthcare Corp.
6.75
5-15-2031
 
255,000
254,747
 
 
945,067
Energy:  7.24%
 
Energy-alternate sources:  1.30%
 
Enviva Partners LP/Enviva Partners Finance Corp.144A
6.50
1-15-2026
 
855,000
677,092
See accompanying notes to portfolio of investments
4 | Allspring Utilities and High Income Fund

Portfolio of investments—May 31, 2023 (unaudited)
 
 
Interest
rate
Maturity
date
Principal
Value
Energy-alternate sources (continued)
 
TerraForm Power Operating LLC144A
4.75
%
1-15-2030
$
175,000
$157,104
TerraForm Power Operating LLC144A
5.00
1-31-2028
 
525,000
492,187
 
 
1,326,383
Oil & gas:  1.98%
 
Aethon United BR LP/Aethon United Finance Corp.144A
8.25
2-15-2026
 
430,000
416,101
Encino Acquisition Partners Holdings LLC144A
8.50
5-1-2028
 
400,000
367,500
Hilcorp Energy I LP/Hilcorp Finance Co.144A
5.75
2-1-2029
 
55,000
49,784
Hilcorp Energy I LP/Hilcorp Finance Co.144A
6.00
4-15-2030
 
30,000
27,043
Hilcorp Energy I LP/Hilcorp Finance Co.144A
6.00
2-1-2031
 
55,000
48,952
Hilcorp Energy I LP/Hilcorp Finance Co.144A
6.25
11-1-2028
 
170,000
158,806
Hilcorp Energy I LP/Hilcorp Finance Co.144A
6.25
4-15-2032
 
30,000
26,836
Occidental Petroleum Corp.
6.45
9-15-2036
 
525,000
534,188
Southwestern Energy Co.
4.75
2-1-2032
 
130,000
112,473
Southwestern Energy Co.
8.38
9-15-2028
 
110,000
114,655
Vital Energy, Inc.
9.50
1-15-2025
 
165,000
163,214
 
 
2,019,552
Oil & gas services:  0.73%
 
Archrock Partners LP/Archrock Partners Finance Corp.144A
6.88
4-1-2027
 
125,000
119,438
Bristow Group, Inc.144A
6.88
3-1-2028
 
335,000
312,398
Oceaneering International, Inc.
4.65
11-15-2024
 
105,000
102,183
Oceaneering International, Inc.
6.00
2-1-2028
 
225,000
210,405
 
 
744,424
Pipelines:  3.23%
 
Buckeye Partners LP144A
4.50
3-1-2028
 
25,000
21,996
Buckeye Partners LP
5.85
11-15-2043
 
150,000
111,390
CQP Holdco LP/BIP-V Chinook Holdco LLC144A
5.50
6-15-2031
 
295,000
262,911
DT Midstream, Inc.144A
4.13
6-15-2029
 
85,000
73,712
DT Midstream, Inc.144A
4.38
6-15-2031
 
225,000
189,232
EnLink Midstream LLC
5.38
6-1-2029
 
297,000
281,357
EnLink Midstream LLC144A
5.63
1-15-2028
 
35,000
33,717
EnLink Midstream LLC144A
6.50
9-1-2030
 
250,000
248,455
EnLink Midstream Partners LP
5.05
4-1-2045
 
210,000
162,589
EnLink Midstream Partners LP
5.60
4-1-2044
 
75,000
60,255
EQM Midstream Partners LP144A
7.50
6-1-2027
 
5,000
5,031
EQM Midstream Partners LP144A
7.50
6-1-2030
 
230,000
231,150
Harvest Midstream I LP144A
7.50
9-1-2028
 
145,000
138,650
Hess Midstream Operations LP144A
5.50
10-15-2030
 
80,000
72,495
Kinetik Holdings LP144A
5.88
6-15-2030
 
240,000
227,400
Rockies Express Pipeline LLC144A
4.95
7-15-2029
 
65,000
58,322
Rockies Express Pipeline LLC144A
6.88
4-15-2040
 
285,000
245,100
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.144A
6.00
12-31-2030
 
185,000
160,715
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.144A
6.00
9-1-2031
 
125,000
106,303
Venture Global Calcasieu Pass LLC144A
3.88
11-1-2033
 
35,000
28,669
See accompanying notes to portfolio of investments
Allspring Utilities and High Income Fund | 5

Portfolio of investments—May 31, 2023 (unaudited)
 
 
Interest
rate
Maturity
date
Principal
Value
Pipelines (continued)
 
Venture Global Calcasieu Pass LLC144A
6.25
%
1-15-2030
$
260,000
$257,758
Venture Global LNG, Inc.144A
8.38
6-1-2031
 
305,000
306,595
 
 
3,283,802
Financial:  5.67%
 
Diversified financial services:  2.54%
 
Enact Holdings, Inc.144A
6.50
8-15-2025
 
625,000
614,014
LFS TopCo LLC144A
5.88
10-15-2026
 
65,000
56,664
LPL Holdings, Inc.144A
4.38
5-15-2031
 
390,000
339,028
Navient Corp.
5.00
3-15-2027
 
130,000
113,061
Navient Corp.
5.88
10-25-2024
 
225,000
219,953
OneMain Finance Corp.
5.38
11-15-2029
 
75,000
61,307
OneMain Finance Corp.
6.13
3-15-2024
 
50,000
48,845
OneMain Finance Corp.
7.13
3-15-2026
 
125,000
119,521
Oppenheimer Holdings, Inc.
5.50
10-1-2025
 
225,000
212,625
PRA Group, Inc.144A
5.00
10-1-2029
 
385,000
288,815
Rocket Mortgage LLC/Rocket Mortgage Co.-Issuer, Inc.144A
2.88
10-15-2026
 
190,000
166,018
Rocket Mortgage LLC/Rocket Mortgage Co.-Issuer, Inc.144A
4.00
10-15-2033
 
105,000
79,078
United Wholesale Mortgage LLC144A
5.50
11-15-2025
 
170,000
159,171
United Wholesale Mortgage LLC144A
5.50
4-15-2029
 
130,000
108,550
 
 
2,586,650
Insurance:  0.76%
 
AmWINS Group, Inc.144A
4.88
6-30-2029
 
315,000
281,151
AssuredPartners, Inc.144A
5.63
1-15-2029
 
135,000
116,804
BroadStreet Partners, Inc.144A
5.88
4-15-2029
 
430,000
372,016
 
 
769,971
REITS:  2.37%
 
Boston Properties LP
3.40
6-21-2029
 
153,000
126,770
GLP Capital LP/GLP Financing II, Inc.
3.25
1-15-2032
 
160,000
129,703
HAT Holdings I LLC/HAT Holdings II LLC144A
3.38
6-15-2026
 
120,000
105,000
HAT Holdings I LLC/HAT Holdings II LLC144A
3.75
9-15-2030
 
200,000
151,381
HAT Holdings I LLC/HAT Holdings II LLC144A
6.00
4-15-2025
 
55,000
53,211
Iron Mountain, Inc.144A
4.50
2-15-2031
 
250,000
212,886
Iron Mountain, Inc.144A
5.25
7-15-2030
 
315,000
282,195
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance
Corp.144A
4.25
2-1-2027
 
50,000
42,363
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance
Corp.144A
5.25
10-1-2025
 
195,000
182,583
MPT Operating Partnership LP/MPT Finance Corp.
3.50
3-15-2031
 
490,000
330,749
Service Properties Trust
4.35
10-1-2024
 
125,000
119,886
Service Properties Trust
4.75
10-1-2026
 
125,000
106,714
Service Properties Trust
4.95
2-15-2027
 
80,000
66,617
Service Properties Trust
5.25
2-15-2026
 
75,000
66,874
Service Properties Trust
7.50
9-15-2025
 
15,000
14,709
Starwood Property Trust, Inc.144A
4.38
1-15-2027
 
245,000
207,091
Starwood Property Trust, Inc.
4.75
3-15-2025
 
90,000
84,441
See accompanying notes to portfolio of investments
6 | Allspring Utilities and High Income Fund

Portfolio of investments—May 31, 2023 (unaudited)
 
 
Interest
rate
Maturity
date
Principal
Value
REITS (continued)
 
Vornado Realty LP
2.15
%
6-1-2026
$
85,000
$69,784
Vornado Realty LP
3.40
6-1-2031
 
95,000
65,759
 
 
2,418,716
Industrial:  3.40%
 
Aerospace/defense:  0.82%
 
Spirit AeroSystems, Inc.144A
7.50
4-15-2025
 
272,000
268,602
Spirit AeroSystems, Inc.144A
9.38
11-30-2029
 
300,000
319,535
TransDigm, Inc.
7.50
3-15-2027
 
245,000
244,313
 
 
832,450
Building materials:  0.60%
 
Camelot Return Merger Sub, Inc.144A
8.75
8-1-2028
 
395,000
372,326
Emerald Debt Merger Sub LLC144A
6.63
12-15-2030
 
240,000
238,080
 
 
610,406
Hand/machine tools:  0.62%
 
Werner FinCo LP/Werner FinCo, Inc.144A
8.75
7-15-2025
 
395,000
346,496
Werner FinCo LP/Werner FinCo, Inc.%%
11.50
6-15-2028
 
290,000
283,326
 
 
629,822
Machinery-diversified:  0.43%
 
Chart Industries, Inc.144A
7.50
1-1-2030
 
45,000
45,453
Chart Industries, Inc.144A
9.50
1-1-2031
 
75,000
78,440
TK Elevator U.S. Newco, Inc.144A
5.25
7-15-2027
 
335,000
308,427
 
 
432,320
Packaging & containers:  0.54%
 
Berry Global, Inc.144A
5.63
7-15-2027
 
270,000
266,287
Clydesdale Acquisition Holdings, Inc.144A
8.75
4-15-2030
 
255,000
220,562
Owens-Brockway Glass Container, Inc.
7.25
5-15-2031
 
65,000
66,138
 
 
552,987
Trucking & leasing:  0.39%
 
Fortress Transportation & Infrastructure Investors LLC144A
5.50
5-1-2028
 
90,000
80,794
Fortress Transportation & Infrastructure Investors LLC144A
6.50
10-1-2025
 
329,000
319,529
 
 
400,323
Technology:  0.93%
 
Computers:  0.57%
 
McAfee Corp.144A
7.38
2-15-2030
 
100,000
84,107
NCR Corp.144A
6.13
9-1-2029
 
260,000
257,865
Seagate HDD Cayman
4.13
1-15-2031
 
219,000
178,481
Seagate HDD Cayman144A
8.25
12-15-2029
 
30,000
30,676
Seagate HDD Cayman144A
8.50
7-15-2031
 
30,000
30,733
 
 
581,862
See accompanying notes to portfolio of investments
Allspring Utilities and High Income Fund | 7

Portfolio of investments—May 31, 2023 (unaudited)
 
 
Interest
rate
Maturity
date
Principal
Value
Software:  0.36%
 
Cloud Software Group, Inc.
9.00
%
9-30-2029
$
200,000
$170,000
SS&C Technologies, Inc.144A
5.50
9-30-2027
 
200,000
190,898
 
 
360,898
Utilities:  1.81%
 
Electric:  1.81%
 
NextEra Energy Operating Partners LP144A
4.25
9-15-2024
 
2,000
1,918
NSG Holdings LLC/NSG Holdings, Inc.144A
7.75
12-15-2025
 
283,196
280,363
Pattern Energy Operations LP/Pattern Energy Operations, Inc.144A
4.50
8-15-2028
 
500,000
454,208
PG&E Corp.
5.25
7-1-2030
 
615,000
555,760
Vistra Corp. (5 Year Treasury Constant Maturity+5.74%)144Aʊ±
7.00
12-15-2026
 
275,000
241,890
Vistra Operations Co. LLC144A
4.38
5-1-2029
 
110,000
95,877
Vistra Operations Co. LLC144A
5.63
2-15-2027
 
225,000
216,407
 
 
1,846,423
Total corporate bonds and notes (Cost $39,257,730)
 
36,140,475
Loans:  2.29%
 
Communications:  0.40%
 
Advertising:  0.08%
 
Clear Channel Outdoor Holdings, Inc. (U.S. SOFR CME 3
Month+3.50%)±
8.81
8-21-2026
 
89,306
83,878
Media:  0.17%
 
Hubbard Radio LLC (1 Month LIBOR+4.25%)±
9.41
3-28-2025
 
202,879
174,375
Telecommunications:  0.15%
 
Intelsat Jackson Holdings SA (U.S. SOFR 3 Month+4.25%)±
9.44
2-1-2029
 
153,160
150,397
Consumer, cyclical:  0.37%
 
Airlines:  0.37%
 
Mileage Plus Holdings LLC (3 Month LIBOR+5.25%)±
10.21
6-21-2027
 
212,500
219,782
SkyMiles IP Ltd. (U.S. SOFR 3 Month+3.75%)±
8.80
10-20-2027
 
149,684
154,820
 
 
374,602
Consumer, non-cyclical:  0.59%
 
Commercial services:  0.54%
 
Geo Group, Inc. (U.S. SOFR CME 1 Month+7.13%)±
12.22
3-23-2027
 
543,783
550,581
Healthcare-services:  0.05%
 
Surgery Center Holdings, Inc. (1 Month LIBOR+3.75%)±
8.86
8-31-2026
 
52,181
51,772
Energy:  0.21%
 
Pipelines:  0.21%
 
GIP II Blue Holding LP (3 Month LIBOR+4.50%)˂±
9.66
9-29-2028
 
131,481
130,988
M6 ETX Holdings II Midco LLC (U.S. SOFR CME 1 Month+4.50%)±
9.68
9-19-2029
 
84,575
83,095
 
 
214,083
See accompanying notes to portfolio of investments
8 | Allspring Utilities and High Income Fund

Portfolio of investments—May 31, 2023 (unaudited)
 
 
Interest
rate
Maturity
date
Principal
Value
Financial:  0.51%
 
Diversified financial services:  0.24%
 
Resolute Investment Managers, Inc. (3 Month LIBOR+4.25%)±
9.41
%
4-30-2024
$
157,485
$114,964
Resolute Investment Managers, Inc. (3 Month LIBOR+8.00%)±
13.27
4-30-2025
 
105,857
63,514
Russell Investments U.S. Instl Holdco, Inc. (U.S. SOFR 1
Month+3.50%)±
8.75
5-30-2025
 
70,817
66,993
 
 
245,471
Insurance:  0.27%
 
Asurion LLC (1 Month LIBOR+3.25%)±
8.40
12-23-2026
 
197,495
182,272
Asurion LLC (1 Month LIBOR+5.25%)±
10.40
1-31-2028
 
105,000
86,166
 
 
268,438
Industrial:  0.21%
 
Machinery-diversified:  0.04%
 
Vertical U.S. Newco, Inc. (6 Month LIBOR+3.50%)±
8.60
7-30-2027
 
40,801
39,291
Metal fabricate/hardware:  0.17%
 
Werner FinCo LP (3 Month LIBOR+4.00%)±
9.16
7-24-2024
 
175,814
174,110
Total loans (Cost $2,422,593)
 
2,326,998
 
 
 
Expiration
date
Shares
 
Rights:  0.00%
 
Communication services:  0.00%
 
Diversified telecommunication services:  0.00%
 
Intelsat Jackson Holdings SA
12-5-2025
 
920
0
Total rights (Cost $0)
 
0
 
 

 
Maturity
date
Principal
 
Yankee corporate bonds and notes:  4.84%
 
Communications:  0.26%
 
Media:  0.26%
 
Videotron Ltd.144A
5.13
4-15-2027
$
270,000
260,447
Telecommunications:  0.00%
 
Intelsat Jackson Holdings SA
5.50
8-1-2023
 
470,000
0
Consumer, cyclical:  2.17%
 
Airlines:  0.55%
 
Air Canada Pass-Through Trust Series 2020-1 Class C144A
10.50
7-15-2026
 
340,000
365,840
American Airlines, Inc./AAdvantage Loyalty IP Ltd.144A
5.50
4-20-2026
 
80,000
78,512
American Airlines, Inc./AAdvantage Loyalty IP Ltd.144A
5.75
4-20-2029
 
120,000
114,983
 
 
559,335
Leisure time:  1.39%
 
Carnival Corp.144A
4.00
8-1-2028
 
150,000
130,810
See accompanying notes to portfolio of investments
Allspring Utilities and High Income Fund | 9

Portfolio of investments—May 31, 2023 (unaudited)
 
 
Interest
rate
Maturity
date
Principal
Value
Leisure time (continued)
 
Carnival Corp.144A
6.00
%
5-1-2029
$
290,000
$241,107
Carnival Corp.144A
9.88
8-1-2027
 
100,000
103,212
Carnival Corp.144A
10.50
2-1-2026
 
60,000
62,348
Royal Caribbean Cruises Ltd.144A
5.38
7-15-2027
 
25,000
23,036
Royal Caribbean Cruises Ltd.144A
5.50
8-31-2026
 
95,000
89,315
Royal Caribbean Cruises Ltd.144A
5.50
4-1-2028
 
420,000
385,841
Royal Caribbean Cruises Ltd.144A
9.25
1-15-2029
 
140,000
148,840
Royal Caribbean Cruises Ltd.144A
11.63
8-15-2027
 
215,000
233,659
 
 
1,418,168
Retail:  0.23%
 
1011778 BC ULC/New Red Finance, Inc.144A
4.00
10-15-2030
 
275,000
236,080
Consumer, non-cyclical:  0.56%
 
Pharmaceuticals:  0.56%
 
Teva Pharmaceutical Finance Netherlands III BV
6.00
4-15-2024
 
225,000
223,299
Teva Pharmaceutical Finance Netherlands III BV
6.75
3-1-2028
 
115,000
112,661
Teva Pharmaceutical Finance Netherlands III BV
8.13
9-15-2031
 
230,000
238,817
 
 
574,777
Energy:  0.33%
 
Coal:  0.00%
 
Griffin Coal Mining Co. Pty. Ltd.144A
9.50
12-1-2016
 
60,957
0
Pipelines:  0.33%
 
Northriver Midstream Finance LP144A
5.63
2-15-2026
 
365,000
340,290
Financial:  0.54%
 
Diversified financial services:  0.54%
 
Castlelake Aviation Finance DAC144A
5.00
4-15-2027
 
365,000
322,830
Macquarie Airfinance Holdings Ltd.
8.38
5-1-2028
 
230,000
226,580
 
 
549,410
Industrial:  0.76%
 
Electronics:  0.34%
 
Sensata Technologies BV144A
4.00
4-15-2029
 
220,000
195,980
Sensata Technologies BV144A
5.88
9-1-2030
 
155,000
149,691
 
 
345,671
Packaging & containers:  0.15%
 
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging
Finance PLC144A
6.00
6-15-2027
 
155,000
152,194
Trucking & leasing:  0.27%
 
Fly Leasing Ltd.144A
7.00
10-15-2024
 
310,000
275,435
See accompanying notes to portfolio of investments
10 | Allspring Utilities and High Income Fund

Portfolio of investments—May 31, 2023 (unaudited)
 
 
Interest
rate
Maturity
date
Principal
Value
Utilities:  0.22%
 
Electric:  0.22%
 
Drax Finco PLC144A
6.63
%
11-1-2025
$
225,000
$219,375
Total yankee corporate bonds and notes (Cost $5,184,723)
 
4,931,182
 
 
Yield
 
Shares
 
Short-term investments:  1.77%
 
Investment companies:  1.77%
 
Allspring Government Money Market Fund Select Class##
5.01
 
1,805,093
1,805,093
Total short-term investments (Cost $1,805,093)
 
1,805,093
Total investments in securities (Cost $125,963,746)
128.97
%
 
131,304,708
Other assets and liabilities, net
(28.97
)
 
(29,493,784
)
Total net assets
100.00
%
 
$101,810,924
Non-income-earning security
144A
The security may be resold in transactions exempt from registration, normally to qualified institutional buyers, pursuant to Rule 144A under the Securities Act of
1933.
%%
The security is purchased on a when-issued basis.
ʊ
Security is perpetual in nature and has no stated maturity date. The date shown reflects the next call date.
±
Variable rate investment. The rate shown is the rate in effect at period end.
˂
All or a portion of the position represents an unfunded loan commitment. The rate represents the current interest rate if the loan is partially funded.
Security is valued using significant unobservable inputs.
The issuer of the security is an affiliated person of the Fund as defined in the Investment Company Act of 1940.
The rate represents the 7-day annualized yield at period end.
##
All or a portion of this security is segregated for when-issued securities and unfunded loans.
Abbreviations:
CME
Chicago Mercantile Exchange
LIBOR
London Interbank Offered Rate
REIT
Real estate investment trust
SOFR
Secured Overnight Financing Rate
Investments in affiliates
An affiliated investment is an investment in which the Fund owns at least 5% of the outstanding voting shares of the issuer or as a result of other relationships, such as the Fund and the issuer having the same adviser or investment manager. Transactions with issuers that were affiliates of the Fund at the end of the period were as follows:
 
Value,
beginning of
period
Purchases
Sales
proceeds
Net
realized
gains
(losses)
Net
change in
unrealized
gains
(losses)
Value,
end of
period
Shares,
end
of period
Income
from
affiliated
securities
Short-term investments
Allspring Government Money Market Fund Select
Class
$3,237,394
$13,387,904
$(14,820,205
)
$0
$0
$1,805,093
1,805,093
$47,892
See accompanying notes to portfolio of investments
Allspring Utilities and High Income Fund | 11

Notes to portfolio of investments—May 31, 2023 (unaudited)
Notes to portfolio of investments
Securities valuation
All investments are valued each business day as of the close of regular trading on the New York Stock Exchange (generally 4 p.m. Eastern Time), although the Funds may deviate from this calculation time under unusual or unexpected circumstances.
Equity securities that are listed on a foreign or domestic exchange or market are valued at the official closing price or, if none, the last sales price.
Debt securities are valued at the evaluated bid price provided by an independent pricing service (e.g. taking into account various factors, including yields, maturities, or credit ratings) or, if a reliable price is not available, the quoted bid price from an independent broker-dealer.
Investments in registered open-end investment companies (other than those listed on a foreign or domestic exchange or market) are valued at net asset value.
Investments which are not valued using any of the methods discussed above are valued at their fair value, as determined in good faith by Allspring Funds Management, LLC (“Allspring Funds Management”), which was named the valuation designee by the Board of Trustees. As the valuation designee, Allspring Funds Management is responsible for day-to-day valuation activities for the Allspring Funds. In connection with these responsibilities, Allspring Funds Management has established a Valuation Committee and has delegated to it the authority to take any actions regarding the valuation of portfolio securities that the Valuation Committee deems necessary or appropriate, including determining the fair value of portfolio securities. On a quarterly basis, the Board of Trustees receives reports of valuation actions taken by the Valuation Committee. On at least an annual basis, the Board of Trustees receives an assessment of the adequacy and effectiveness of Allspring Funds Managements process for determining the fair value of the portfolio of investments.
When-issued transactions
The Fund may purchase securities on a forward commitment or when-issued basis. The Fund records a when-issued transaction on the trade date and will segregate assets in an amount at least equal in value to the Funds commitment to purchase when-issued securities. Securities purchased on a when-issued basis are marked-to-market daily and the Fund begins earning interest on the settlement date. Losses may arise due to changes in the market value of the underlying securities or if the counterparty does not perform under the contract.
Loans
The Fund may invest in direct debt instruments which are interests in amounts owed to lenders by corporate or other borrowers. The loans pay interest at rates which are periodically reset by reference to a base lending rate plus a spread. Investments in loans may be in the form of participations in loans or assignments of all or a portion of loans from third parties. When the Fund purchases participations, it generally has no rights to enforce compliance with the terms of the loan agreement with the borrower. As a result, the Fund assumes the credit risk of both the borrower and the lender that is selling the participation. When the Fund purchases assignments from lenders, it acquires direct rights against the borrower on the loan and may enforce compliance by the borrower with the terms of the loan agreement. Loans may include fully funded term loans or unfunded loan commitments, which are contractual obligations for future funding.
As of May 31, 2023, the Fund had unfunded loan commitments of $33,008.
Fair valuation measurements
Fair value measurements of investments are determined within a framework that has established a fair value hierarchy based upon the various data inputs utilized in determining the value of the Fund’s investments.  The three-level hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1) and the lowest priority to unobservable inputs (Level 3). The Fund’s investments are classified within the fair value hierarchy based on the lowest level of input that is significant to the fair value measurement.  The inputs are summarized into three broad levels as follows:
Level 1 – quoted prices in active markets for identical securities
Level 2 – other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)
Level 3 – significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments) 
The inputs or methodologies used for valuing investments in securities are not necessarily an indication of the risk associated with investing in those securities.
12 | Allspring Utilities and High Income Fund

Notes to portfolio of investments—May 31, 2023 (unaudited)
The following is a summary of the inputs used in valuing the Fund’s assets and liabilities as of May 31, 2023:
 
Quoted prices
(Level 1)
Other significant
observable inputs
(Level 2)
Significant
unobservable inputs
(Level 3)
Total
Assets
Investments in:
Common stocks
Energy
$149,614
$0
$0
$149,614
Financials
49,070
0
0
49,070
Utilities
85,902,276
0
0
85,902,276
Corporate bonds and notes
0
36,140,475
0
36,140,475
Loans
0
2,263,484
63,514
2,326,998
Rights
Communication services
0
0
0
0
Yankee corporate bonds and notes
0
4,931,182
0
4,931,182
Short-term investments
Investment companies
1,805,093
0
0
1,805,093
Total assets
$87,906,053
$43,335,141
$63,514
$131,304,708
Additional sector, industry or geographic detail, if any, is included in the Portfolio of Investments.
For the nine months ended May 31, 2023, the Fund did not have any transfers into/out of Level 3.
Allspring Utilities and High Income Fund | 13


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