ERC Allspring Multi Sector Income Fund

92
Price
$9.23
Increased by +0.60%
Dollar volume (20D)
1.24 M
ADR%
1.00
Earnings report date
Feb 4, 2025
Shares float
0.00
Shares short
63.77 K [N/A%]
Shares outstanding
28.05 M
Market cap
257.53 M
Beta
0.73
Price/earnings
6.75
20D range
8.74 9.23
50D range
8.74 9.23
200D range
8.21 9.30

Allspring Multi-Sector Income Fund is a closed-ended fixed income mutual fund launched and managed by Wells Fargo Funds Management, LLC.

The fund is co-managed by First International Advisors, Inc. and Wells Capital Management Incorporated.

It invests in fixed income markets across the globe.

The fund primarily invests in a mix of non-investment-grade corporate debt securities, including bank loan securities, foreign and emerging markets debt securities, adjustable and fixed-rate mortgages, and investment-grade corporate bonds.

Allspring Multi-Sector Income Fund was formed on June 25, 2003 and is domiciled in the United States.

  • Quarterly earnings
  • Annual earnings
Reported date EPSChange YoY EstimateSurprise
Apr 30, 21 0.64
Increased by +183.99%
-
Jan 31, 21 0.64
Increased by +183.99%
-
Oct 31, 20 0.79
Increased by +210.71%
-
Jul 31, 20 0.79
Increased by +210.71%
-
Apr 30, 20 -0.76
Decreased by -292.44%
-
Jan 31, 20 -0.76
Decreased by -292.44%
-
Oct 31, 19 0.25
Increased by +291.19%
-
Jul 31, 19 0.25
Increased by +291.19%
-
  • Quarterly financials
  • Annual financials
Fiscal ending date RevenueChange YoY IncomeChange YoY ProfitChange YoY
Apr 30, 24 9.65 M
Increased by +201.82%
24.11 M
Increased by +238.95%
Increased by +249.95%
Increased by +36.46%
Oct 31, 23 6.29 M
Decreased by -1.44%
-1.28 M
Increased by +85.22%
Decreased by -20.38%
Increased by +85.01%
Apr 30, 23 2.89 M
Decreased by -80.92%
21.54 M
Increased by +155.40%
Increased by +745.21%
Increased by +390.38%
Jan 31, 23 6.71 M
Increased by +5.60%
10.77 M
Increased by +155.40%
Increased by +160.45%
Increased by +152.47%
Oct 31, 22 -9.47 M
Decreased by -245.19%
-17.35 M
Decreased by -578.87%
Increased by +183.17%
Increased by +229.83%
Jul 31, 22 6.38 M
Decreased by -2.17%
-8.68 M
Decreased by -339.44%
Decreased by -135.91%
Decreased by -344.73%
Apr 30, 22 15.15 M
Increased by +127.20%
-38.89 M
Decreased by -315.91%
Decreased by -256.63%
Decreased by -195.03%
Jan 31, 22 6.36 M
Decreased by -4.67%
-19.44 M
Decreased by -207.96%
Decreased by -305.82%
Decreased by -213.25%
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