ALLSPRING GLOBAL INVESTMENTS (UK) LIMITED

RIASEC RegisteredEst. 2004
Total AUM
$30.8B
Discretionary
$30.8B
100% of AUM
Avg account
$354M
Accounts
87
Employees
87
Advisory reps
5

Firm details

Headquarters
LONDON,
CRD number
132377
Registered since
September 28, 2004
Custodians
THE NORTHERN TRUST INTERNATIONAL BANKING CORPORATION, THE BANK OF NEW YORK MELLON
Fee structure
Percentage of AUM, Performance Based Fees
Client types
  • Investment Companies63.07%
  • Pension & Profit Sharing Plans23.44%
  • State / Municipal Government7.25%
  • Pooled Investment Vehicles3.92%
  • Insurance Companies1.35%
Services
Portfolio Management for Investment CompaniesPortfolio Management for Pooled Investment VehiclesPortfolio Management for Institutional ClientsSelection of Other Advisers

Firm profile

FINTRX

Overview

Allspring Global Investments (UK) Limited operates as an institutional-focused asset manager and capital allocator with a clear tilt toward fixed-income strategies and pooled vehicles. The firm provides portfolio management for investment companies, pooled investment vehicles and institutional clients, and it also acts as a commodity pool operator/commodity trading adviser. Its business model combines direct portfolio management with selection of third‑party managers and the sponsorship or general partner role for pooled products, which points to hands‑on oversight of both in‑house and externally managed strategies. The firm charges asset‑based fees and can collect performance‑based fees, a structure that aligns with clients that expect active management and outcome‑oriented mandates. It markets itself as an active ESG investor, suggesting ESG considerations are integrated into manager due diligence and portfolio construction rather than treated as an afterthought. Given the reported asset mix, investment activity leans heavily toward investment‑grade fixed income but also includes meaningful allocations to alternative sectors and mutual funds.

Assets & Accounts

Investments & Alternatives

Location & Offices

Investment profile

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Traditional investments used

Alternative investments used

Active ESG investor

Technology & operations

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CRM & tech providers

TAMPs used

Clients

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Client base

Client personas

Asset composition

Asset composition: Investment Grade Corp Bonds 67%, US Government Bonds 15%, Non-Investment Grade Corp Bonds 8%, Derivatives 4%, Sovereign Bonds 2%, Cash & Cash Equivalents 2%, Other 2%67%
  • Investment Grade Corp Bonds67%
  • US Government Bonds15%
  • Non-Investment Grade Corp Bonds8%
  • Derivatives4%
  • Sovereign Bonds2%

Contacts

3 of 5
  • Charles Spungin

    Executive DirectorCRD 7677309

  • NAJAM SAQEB

    Executive DirectorCRD 6176708

  • ANDREW SOWERBY

    Head of International Client GroupCRD 5025541

Unlock 2 more contacts

Wealth teams

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Newly hired reps

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Recent M&A activity

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Recent filings

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Awards

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Location

Primary office

LONDON, null

Location

LONDON, null

Headquartered in LONDON, null.

Address
30 Cannon St
Office locations

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Source: FINTRX private wealth data intelligence

Intelligence for Private Wealth