Skip to main content
WCAFX

Allspring Spectrum Income Allocatn-A

$8.79 0.00 (0.00%)
Currency in USD / Last Updated: 7/9/2024
Category Balanced Conservative
Market Cap 109.653M
52 Week High 8.79
52 Week Low 7.876
Customize MutualFund.com

Log in or sign up to get started.

Key Data
Symbol WCAFX
Type Mutual Fund
Category Balanced Conservative
Price 8.79
Price Yesterday 8.79
Market Cap 109.65
YTD Return 2.99%
Expense Details
Deferred 0
12b-1 0
Front Load 0.0575
Initial Purchase Amount 1000
Redeption Fee 0
Prospectus 0.0106
Overview
52 Week High 8.79
52 Week Low 7.88
Market Cap 109.65M
Shares Outstanding 12.47M
Income Dividend Yield 3.68%
Long Term Dividend Yield 0.00%
Short Term Dividend Yield 0.00%
52 Week Yield (All) 3.68%
Returns Annualized
One Day 0.00%
Five Days 124.79%
One Months 32.90%
Three Months 10.60%
Six Months 8.20%
Nine Months 13.03%
One Year 8.17%
Three Years -1.11%
Five Years 2.19%
Ten Years -999
YTD 5.88%
Since Inception 2.87%
Returns Total
One Day 0.00%
Five Days 1.62%
One Month 2.28%
Three Months 2.51%
Six Months 3.95%
Nine Months 9.51%
One Year 8.16%
Three Years -3.29%
Five Years 11.41%
Ten Years -999
YTD 2.99%
Since Inception 23.18%
Yearly Returns
2024 2.99%
2023 6.75%
2022 -13.03%
2021 3.42%
2020 9.69%
2019 11.56%
2018 -3.53%
2017 5.52%
2016 0.00%
2015 0.00%
Risk against SP-DA
Alpha -8.99%
Beta 0.5
Correlation 90.66%
Downside Deviation 1.74%
Coefficient of determination 82.20%
Standard Deviation 1.79%
Sharpe Ratio -3.31
Sortino -11.81
Treynor 5.52
Ulcer Index 2.08
Ulcer Performance Index -9.9

Other "Allocation--15% to 30% Equity" Mutual Funds

DGTSX AAHYX BRCPX GCFRX VASIX SWLRX SVSAX BICPX AVEFX JLCGX PFIJX BACPX BLDRX AONIX NDCSX GIMCX BLADX TSIPX PZRMX WCYFX WCAFX TSILX CFTAX PPRMX CPAOX JALRX BKCPX NDCCX FTIWX CPCYX HBAFX FASIX PIRMX SICIX FLRUX USCCX SIFAX POACX SCLAX LNCAX CTFFX GFIZX BLDIX ABDAX LNCCX RQIAX LNCIX NDCAX MDNIX EVVCX GCAYX THYFX JILCX SAUPX MXCPX PFCOX IFAIX FTAWX FTCWX FTDWX POAAX JTOIX NWWLX PIFIX RCLSX CBVZX SRTJX IRCAX IFAAX