ALLSPRING GLOBAL DIVIDEND OPPORTUNITY FUND - Common Stock (EOD)

Historical Holders from Q1 2014 to Q3 2025

Symbol
EOD on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
43,065,459
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
12,052,357
Holdings value
$68,575,101
% of all portfolios
0%
Number of holders
57
Number of buys
25
Number of sells
-15
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ALLSPRING GLOBAL DIVIDEND OPPORTUNITY FUND - Common Stock (EOD)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Advisors Asset Management, Inc. 5.3% $11,374,759 2,270,411 Advisors Asset Management, Inc. 30 Apr 2025

Institutional Holders of ALLSPRING GLOBAL DIVIDEND OPPORTUNITY FUND - Common Stock (EOD)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 12,052,357 $68,575,101 +$2,256,196 $5.70 57
2025 Q2 11,662,169 $62,731,911 +$2,459,726 $5.39 52
2025 Q1 11,176,126 $55,274,180 +$2,872,151 $4.95 50
2024 Q4 10,595,953 $52,705,386 +$766,249 $4.97 51
2024 Q3 10,410,063 $52,196,351 +$2,539,830 $5.01 47
2024 Q2 9,882,249 $48,115,029 +$4,253,754 $4.86 55
2024 Q1 9,024,218 $43,419,577 +$8,570,093 $4.80 58
2023 Q4 8,114,929 $35,332,413 +$2,578,363 $4.34 50
2023 Q3 4,981,205 $20,151,792 -$444,069 $4.03 36
2023 Q2 7,560,008 $32,954,946 +$1,552,501 $4.35 43
2023 Q1 7,198,169 $32,185,109 +$981,487 $4.47 43
2022 Q4 6,968,751 $30,470,445 -$359,841 $4.37 44
2022 Q3 7,035,439 $29,221,100 -$1,746,697 $4.15 41
2022 Q2 7,442,517 $32,488,235 -$1,909,219 $4.36 46
2022 Q1 8,011,810 $42,500,626 +$678,738 $5.30 52
2021 Q4 8,254,811 $48,635,481 +$1,045,695 $5.89 45
2021 Q3 6,795,950 $37,534,000 -$547,470 $5.52 41
2021 Q2 7,389,894 $42,729,000 -$4,068,828 $5.78 46
2021 Q1 8,098,821 $42,602,882 -$3,843,529 $5.26 55
2020 Q4 8,636,835 $41,896,000 -$6,383 $4.85 57
2020 Q3 8,596,644 $36,383,000 +$5,312,281 $4.23 49
2020 Q2 6,998,571 $30,309,000 -$3,945,925 $4.33 33
2020 Q1 7,589,477 $28,088,000 +$1,849,103 $3.70 39
2019 Q4 7,938,129 $44,929,000 +$300,518 $5.66 41
2019 Q3 7,916,552 $42,982,000 +$171,335 $5.43 41
2019 Q2 7,883,515 $43,200,000 -$5,813,127 $5.48 42
2019 Q1 9,052,210 $47,431,000 -$1,116,745 $5.24 47
2018 Q4 9,311,546 $43,216,000 +$5,134,050 $4.64 56
2018 Q3 7,968,750 $42,149,000 -$369,463 $5.29 50
2018 Q2 8,155,342 $45,595,000 -$5,434,123 $5.59 40
2018 Q1 9,129,127 $51,992,000 -$7,443,903 $5.69 43
2017 Q4 10,390,321 $61,615,368 -$5,141,974 $5.93 51
2017 Q3 10,843,358 $67,987,000 -$8,035,194 $6.27 36
2017 Q2 12,265,678 $75,066,000 -$150,883,400 $6.12 42
2017 Q1 37,090,644 $215,873,000 +$146,572,952 $5.82 43
2016 Q4 12,088,122 $65,936,000 +$8,492,527 $5.45 50
2016 Q3 10,527,310 $61,142,000 -$5,713,946 $5.81 49
2016 Q2 11,519,741 $68,782,633 -$13,754,308 $5.97 55
2016 Q1 13,888,659 $82,882,000 -$3,616,797 $5.97 50
2015 Q4 14,687,872 $86,901,000 +$4,862,237 $5.92 57
2015 Q3 13,218,105 $78,148,000 +$11,880,007 $5.91 52
2015 Q2 9,216,002 $63,888,533 +$7,066,221 $6.92 41
2015 Q1 7,927,653 $59,694,196 +$2,849,817 $7.53 38
2014 Q4 9,693,819 $72,600,608 +$2,104,710 $7.49 43
2014 Q3 9,159,463 $73,445,066 +$7,053,145 $8.02 40
2014 Q2 8,272,100 $70,231,736 +$10,541,680 $8.49 41
2014 Q1 7,485,037 $58,905,023 +$5,575,885 $7.87 50