Investor Allspring Global Investments Holdings, LLC
13D/G Filings

This page shows a list of all the recent 13D/G filings made by Allspring Global Investments Holdings, LLC . Schedule 13D is commonly referred to as a “beneficial ownership report.” The term "beneficial owner" is defined under SEC rules. It includes any person who directly or indirectly shares voting power or investment power (the power to sell the security).

When a person or group of persons acquires beneficial ownership of more than 5% of a voting class of a company’s equity securities, they are required to file a Schedule 13D within ten days after the purchase. Click the link icon to see the full transaction history.

Date Form Target Prev
Shares
Current
Shares
Change
(Percent)
Ownership
(Percent)
Change
(Percent)
2025-08-07 13G/A DALN / DallasNews Corporation 425,143 0
2025-07-14 13G/A KF / The Korea Fund, Inc. 285,314 205,975
2025-07-14 13G/A DENN / Denny's Corporation 7,620,361 8,065,968
2025-07-14 13G/A ZEPP / Zepp Health Corporation - Depositary Receipt (Common Stock) 13,669,456 9,757,152
2025-07-14 13G/A CAF / Morgan Stanley China A Share Fund, Inc. 2,317,897 2,019,127
2025-07-14 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 1,746,691 1,483,628
2025-07-14 13G/A ACCO / ACCO Brands Corporation 6,120,891 7,288,508
2025-07-14 13G/A CHN / The China Fund, Inc. 903,340 748,320
2025-07-14 13G/A BGY / BlackRock Enhanced International Dividend Trust 8,120,630 6,731,853
2025-07-11 13G/A TDF / Templeton Dragon Fund, Inc. 2,097,004 1,812,390
2025-07-11 13G/A GHG / GreenTree Hospitality Group Ltd. - Depositary Receipt (Common Stock) 5,488,211 4,616,852
2025-07-11 13G/A EMF / Templeton Emerging Markets Fund 1,095,718 799,716
2025-07-11 13G/A SNCR / Synchronoss Technologies, Inc. 590,372 541,199
2025-07-11 13G/A MGF / MFS Government Markets Income Trust 1,656,628 960,873
2025-07-11 13G/A SPB / Spectrum Brands Holdings, Inc. 1,502,914 701,646
2025-07-11 13G/A REYN / Reynolds Consumer Products Inc. 12,891,557 4,580,165
2025-07-11 13G/A WEA / Western Asset Premier Bond Fund 621,693 524,049
2025-07-11 13G/A FL / Foot Locker, Inc. 5,296,098 1,014
2025-04-15 13G/A ZEPP / Zepp Health Corporation - Depositary Receipt (Common Stock) 17,927,504 13,669,456
2025-04-15 13G/A SWZ / Total Return Securities, Inc. 2,090,825 1,930,805
2025-04-15 13G/A SPB / Spectrum Brands Holdings, Inc. 2,120,102 1,502,914
2025-04-15 13G/A PRSU / Pursuit Attractions and Hospitality, Inc. 1,321,555 1,448,622
2025-04-15 13G/A EEFT / Euronet Worldwide, Inc. 3,687,685 2,803,683
2025-04-15 13G/A MXF / The Mexico Fund, Inc. 1,498,962 1,300,135
2025-04-15 13G/A BGR / BlackRock Energy and Resources Trust 1,693,578 1,080,846
2025-04-15 13G/A CODI / Compass Diversified 3,690,210 4,789,892
2025-04-15 13G/A IAF / Abrdn Australia Equity Fund Inc 3,384,336 3,759,722
2025-04-15 13G/A JEQ / Abrdn Japan Equity Fund Inc 2,326,509 2,148,098
2025-04-15 13G/A AEF / abrdn Emerging Markets ex-China Fund, Inc. 5,055,631 3,587,102
2025-01-14 13G/A ACCO / ACCO Brands Corporation 5,067,353 6,120,891
2025-01-13 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 1,985,933 1,746,691
2025-01-13 13G/A MEC / Mayville Engineering Company, Inc. 2,624,687 2,439,596
2025-01-13 13G GPK / Graphic Packaging Holding Company 16,214,322
2025-01-13 13G/A CAF / Morgan Stanley China A Share Fund, Inc. 2,566,464 2,317,897
2025-01-13 13G BGY / BlackRock Enhanced International Dividend Trust 10,231,563 8,120,630
2025-01-13 13G/A IAF / Abrdn Australia Equity Fund Inc 2,858,958 3,384,336
2025-01-13 13G/A AEF / abrdn Emerging Markets ex-China Fund, Inc. 5,832,002 5,055,631
2025-01-13 13G FL / Foot Locker, Inc. 5,296,098
2025-01-13 13G/A GF / The New Germany Fund, Inc. 2,579,916 2,070,250
2025-01-13 13G/A JOF / Japan Smaller Capitalization Fund, Inc. 5,714,329 5,238,656
2025-01-13 13G/A DENN / Denny's Corporation 8,634,514 7,620,361
2025-01-13 13G/A CENT / Central Garden & Pet Company 960,747 811,192
2024-11-05 13G/A IGI / Western Asset Investment Grade Opportunity Trust Inc. 558,706 0
2024-10-15 13G/A WEA / Western Asset Premier Bond Fund 3,251,335 621,693
2024-10-09 13G/A VREX / Varex Imaging Corporation 3,033,680 2,554,823
2024-10-09 13G/A TDF / Templeton Dragon Fund, Inc. 2,219,848 2,097,004
2024-10-09 13G/A SPB / Spectrum Brands Holdings, Inc. 2,000,346 2,120,102
2024-10-09 13G/A NX / Quanex Building Products Corporation 3,563,601 3,347,818
2024-10-09 13G/A CAF / Morgan Stanley China A Share Fund, Inc. 3,737,912 2,566,464
2024-10-09 13G/A MXF / The Mexico Fund, Inc. 1,881,493 1,498,962
2024-10-09 13G/A KF / The Korea Fund, Inc. 403,384 285,314
2024-10-09 13G/A JOF / Japan Smaller Capitalization Fund, Inc. 6,202,586 5,714,329
2024-10-09 13G/A JJSF / J&J Snack Foods Corp. 1,377,647 1,620,378
2024-10-09 13G/A DENN / Denny's Corporation 8,093,427 8,634,514
2024-10-09 13G/A DALN / DallasNews Corporation 512,361 425,143
2024-10-09 13G/A CHN / The China Fund, Inc. 1,123,354 903,340
2024-10-09 13G/A JEQ / Abrdn Japan Equity Fund Inc 2,543,138 2,326,509
2024-10-07 13G ALG / Alamo Group Inc. 641,902
2024-10-07 13G WEA / Western Asset Premier Bond Fund 3,251,335
2024-10-07 13G IGI / Western Asset Investment Grade Opportunity Trust Inc. 558,706
2024-10-07 13G MMT / MFS Multimarket Income Trust 3,251,335
2024-10-07 13G MIN / MFS Intermediate Income Trust 7,870,088
2024-10-07 13G MGF / MFS Government Markets Income Trust 1,656,628
2024-10-07 13G INSI / Insight Select Income Fund 611,860
2024-10-07 13G HLLY / Holley Inc. 10,209,265
2024-10-07 13G GTES / Gates Industrial Corporation plc 14,929,377
2024-10-07 13G BWG / Legg Mason BW Global Income Opportunities Fund Inc. 1,111,134
2024-10-04 13G/A DIN / Dine Brands Global, Inc. 1,221,470 686,896
2024-10-04 13G/A IIF / Morgan Stanley India Investment Fund, Inc. 588,331 410,140
2024-10-04 13G/A FINV / FinVolution Group - Depositary Receipt (Common Stock) 47,230,215 26,260,550
2024-10-04 13G/A AOD / Abrdn Total Dynamic Dividend Fund 6,988,549 4,700,798
2024-10-04 13G/A ZEPP / Zepp Health Corporation - Depositary Receipt (Common Stock) 20,018,936 17,927,504
2024-10-04 13G/A ZEPP / Zepp Health Corporation - Depositary Receipt (Common Stock) 20,018,936 0
2024-08-06 13G IAF / Abrdn Australia Equity Fund Inc 2,858,958
2024-06-07 13G JHS / John Hancock Income Securities Trust 1,467,089
2024-05-09 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 1,833,322 1,985,933
2024-01-12 13G/A MLI / Mueller Industries, Inc. 3,543,586 5,039,933
2024-01-12 13G/A TWN / The Taiwan Fund, Inc. 748,465 849,699
2024-01-12 13G/A MEC / Mayville Engineering Company, Inc. 2,547,901 2,624,687
2024-01-12 13G/A CSWI / CSW Industrials, Inc. 1,335,478 745,502
2024-01-12 13G/A TYG / Tortoise Energy Infrastructure Corporation 733,448 343,668
2024-01-12 13G/A NOMD / Nomad Foods Limited 9,389,072 7,107,800
2024-01-12 13G/A ACCO / ACCO Brands Corporation 5,252,092 5,067,353
2024-01-12 13G/A IIF / Morgan Stanley India Investment Fund, Inc. 588,331 588,331
2024-01-12 13G/A SPB / Spectrum Brands Holdings, Inc. 2,034,730 2,000,346
2024-01-12 13G/A FINV / FinVolution Group - Depositary Receipt (Common Stock) 54,668,640 47,230,215
2024-01-12 13G/A SNCR / Synchronoss Technologies, Inc. 5,348,259 590,372
2024-01-12 13G/A SNCR / Synchronoss Technologies, Inc. 5,348,259 590,372
2024-01-12 13G/A MYE / Myers Industries, Inc. 2,084,653 2,130,794
2024-01-12 13G/A STC / Stewart Information Services Corporation 1,658,835 1,649,809
2024-01-12 13G/A REYN / Reynolds Consumer Products Inc. 12,765,325 12,891,557
2024-01-12 13G/A BGR / BlackRock Energy and Resources Trust 1,727,699 1,693,578
2024-01-12 13G/A EBF / Ennis, Inc. 1,704,713 1,604,039
2024-01-12 13G/A WHG / Westwood Holdings Group, Inc. 579,176 572,413
2024-01-12 13G/A PRSU / Pursuit Attractions and Hospitality, Inc. 1,319,785 1,321,555
2024-01-12 13G/A TDF / Templeton Dragon Fund, Inc. 3,659,670 2,219,848
2024-01-12 13G/A AOD / Abrdn Total Dynamic Dividend Fund 7,347,241 6,988,549
2024-01-12 13G/A EMF / Templeton Emerging Markets Fund 1,133,337 1,095,718
2024-01-12 13G/A JJSF / J&J Snack Foods Corp. 1,329,781 1,377,647
2024-01-12 13G/A TRS / TriMas Corporation 2,645,220 3,069,777
2024-01-12 13G/A VREX / Varex Imaging Corporation 2,814,919 3,033,680
2024-01-12 13G/A MATV / Mativ Holdings, Inc. 4,057,312 4,132,265
2024-01-12 13G/A DIN / Dine Brands Global, Inc. 1,264,768 1,221,470
2024-01-12 13G/A EEFT / Euronet Worldwide, Inc. 2,873,457 3,687,685
2024-01-12 13G/A GHG / GreenTree Hospitality Group Ltd. - Depositary Receipt (Common Stock) 6,067,307 5,488,211
2024-01-12 13G/A KF / The Korea Fund, Inc. 400,515 403,384
2024-01-12 13G/A CENT / Central Garden & Pet Company 968,170 960,747
2024-01-12 13G/A IOSP / Innospec Inc. 2,493,045 2,337,644
2024-01-12 13G/A EEA / The European Equity Fund, Inc. 712,033 681,662
2024-01-12 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 1,831,610 1,833,322
2024-01-12 13G/A BGY / BlackRock Enhanced International Dividend Trust 8,311,249 10,231,563
2024-01-12 13G/A PLOW / Douglas Dynamics, Inc. 2,313,471 2,371,391
2024-01-12 13G/A DLAPQ / Delta Apparel, Inc. 744,711 735,655
2024-01-12 13G/A NX / Quanex Building Products Corporation 3,969,093 3,563,601
2024-01-12 13G/A DALN / DallasNews Corporation 525,354 512,361
2024-01-12 13G/A CHN / The China Fund, Inc. 1,252,247 1,123,354
2024-01-12 13G/A AEF / abrdn Emerging Markets ex-China Fund, Inc. 5,735,023 5,832,002
2024-01-12 13G/A MXF / The Mexico Fund, Inc. 1,803,931 1,881,493
2024-01-12 13G/A DENN / Denny's Corporation 7,470,975 8,093,427
2024-01-12 13G/A GF / The New Germany Fund, Inc. 2,378,393 2,579,916
2024-01-12 13G/A ZEPP / Zepp Health Corporation - Depositary Receipt (Common Stock) 20,536,840 20,018,936
2024-01-12 13G/A SWZ / Total Return Securities, Inc. 1,377,942 2,090,825
2024-01-12 13G/A CAF / Morgan Stanley China A Share Fund, Inc. 4,561,663 3,737,912
2024-01-12 13G/A JEQ / Abrdn Japan Equity Fund Inc 2,676,861 2,543,138
2024-01-12 13G/A JOF / Japan Smaller Capitalization Fund, Inc. 6,372,534 6,202,586
2024-01-11 13G CODI / Compass Diversified 3,690,210
2024-01-11 13G TWO / Two Harbors Investment Corp. 5,150,572
2023-12-06 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 1,846,757 1,831,610
2023-07-06 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 1,604,799 1,846,757
2023-05-04 13G/A TWN / The Taiwan Fund, Inc. 706,025 748,465
2023-05-04 13G/A IOSP / Innospec Inc. 2,444,852 2,493,045
2023-04-05 13G/A DALN / DallasNews Corporation 533,802 525,354
2023-01-13 13G/A MATV / Mativ Holdings, Inc. 1,670,667 4,057,312
2023-01-13 13G/A MEC / Mayville Engineering Company, Inc. 2,117,352 2,547,901
2023-01-13 13G/A MXF / The Mexico Fund, Inc. 1,511,460 1,803,931
2023-01-13 13G/A EEA / The European Equity Fund, Inc. 642,917 712,033
2023-01-13 13G/A CAF / Morgan Stanley China A Share Fund, Inc. 3,692,862 4,561,663
2023-01-13 13G/A JEQ / Abrdn Japan Equity Fund Inc 2,355,402 2,676,861
2023-01-13 13G/A KF / The Korea Fund, Inc. 279,731 400,515
2023-01-13 13G/A JOF / Japan Smaller Capitalization Fund, Inc. 5,758,849 6,372,534
2023-01-13 13G/A JJSF / J&J Snack Foods Corp. 1,349,955 1,329,781
2023-01-13 13G/A IOSP / Innospec Inc. 2,563,734 2,444,852
2023-01-13 13G/A MLI / Mueller Industries, Inc. 4,160,483 3,543,586
2023-01-13 13G/A GHG / GreenTree Hospitality Group Ltd. - Depositary Receipt (Common Stock) 5,856,846 6,067,307
2023-01-13 13G/A MYE / Myers Industries, Inc. 2,071,394 2,084,653
2023-01-13 13G/A GF / The New Germany Fund, Inc. 2,115,758 2,378,393
2023-01-13 13G/A NOMD / Nomad Foods Limited 9,899,243 9,389,072
2023-01-13 13G/A NX / Quanex Building Products Corporation 3,338,213 3,969,093
2023-01-13 13G/A REYN / Reynolds Consumer Products Inc. 12,164,197 12,765,325
2023-01-13 13G/A STC / Stewart Information Services Corporation 1,618,331 1,658,835
2023-01-13 13G/A FDEU / First Trust Dynamic Europe Equity Income Fund 3,618,336 4,633,987
2023-01-13 13G/A SWZ / Total Return Securities, Inc. 1,342,269 1,377,942
2023-01-13 13G/A FINV / FinVolution Group - Depositary Receipt (Common Stock) 55,770,450 54,668,640
2023-01-13 13G/A EEFT / Euronet Worldwide, Inc. 3,166,238 2,873,457
2023-01-13 13G/A EBF / Ennis, Inc. 1,699,094 1,704,713
2023-01-13 13G/A PLOW / Douglas Dynamics, Inc. 2,289,575 2,313,471
2023-01-13 13G/A TWN / The Taiwan Fund, Inc. 578,700 706,025
2023-01-13 13G/A DIN / Dine Brands Global, Inc. 1,334,748 1,264,768
2023-01-13 13G/A DENN / Denny's Corporation 6,625,557 7,470,975
2023-01-13 13G/A DLAPQ / Delta Apparel, Inc. 744,792 744,711
2023-01-13 13G/A TDF / Templeton Dragon Fund, Inc. 3,459,670 3,659,670
2023-01-13 13G/A DALN / DallasNews Corporation 643,910 533,802
2023-01-12 13G/A CSWI / CSW Industrials, Inc. 1,203,194 1,335,478
2023-01-12 13G/A CHN / The China Fund, Inc. 1,169,838 1,252,247
2023-01-12 13G/A CENT / Central Garden & Pet Company 994,993 968,170
2023-01-12 13G/A BGY / BlackRock Enhanced International Dividend Trust 8,311,249
2023-01-12 13G/A AEF / abrdn Emerging Markets ex-China Fund, Inc. 5,170,681 5,735,023
2023-01-12 13G/A EMF / Templeton Emerging Markets Fund 873,999 1,133,337
2023-01-12 13G/A ZEPP / Zepp Health Corporation - Depositary Receipt (Common Stock) 23,331,540 20,536,840
2023-01-12 13G/A WHG / Westwood Holdings Group, Inc. 586,389 579,176
2023-01-12 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 1,048,893 1,604,799
2023-01-12 13G/A VVI / Pursuit Attractions and Hospitality, Inc. 1,448,256 1,319,785
2023-01-12 13G/A TRS / TriMas Corporation 2,572,891 2,645,220
2023-01-12 13G ACCO / ACCO Brands Corporation 5,252,092
2023-01-12 13G IIF / Morgan Stanley India Investment Fund, Inc. 588,331
2023-01-12 13G SNCR / Synchronoss Technologies, Inc. 5,348,259
2023-01-12 13G BGR / BlackRock Energy and Resources Trust 1,727,699
2023-01-12 13G TYG / Tortoise Energy Infrastructure Corporation 733,448
2023-01-12 13G AOD / Abrdn Total Dynamic Dividend Fund 7,347,241
2023-01-12 13G VREX / Varex Imaging Corporation 2,814,919
2023-01-12 13G/A IFN / The India Fund, Inc. 1,573,350 763,734
2023-01-12 13G/A OLO / Olo Inc. 6,331,383 3,210,153
2023-01-12 13G/A CSL / Carlisle Companies Incorporated 2,675,908 1,785,902
2023-01-12 13G/A CBZ / CBIZ, Inc. 2,882,029 1,845,029
2023-01-12 13G/A TUPBQ / Tupperware Brands Corporation 3,508,727 1,639,358
2023-01-11 13G/A JACK / Jack in the Box Inc. 916,028
2023-01-11 13G/A SPB / Spectrum Brands Holdings, Inc. 2,388,705 2,034,730
2022-12-07 13G/A TDF / Templeton Dragon Fund, Inc. 3,090,424 3,459,670
2022-12-07 13G/A SWZ / Total Return Securities, Inc. 1,167,304 1,342,269
2022-11-03 13G/A MXF / The Mexico Fund, Inc. 1,190,888 1,511,460
2022-10-07 13G/A AEF / abrdn Emerging Markets ex-China Fund, Inc. 5,109,044 5,170,681
2022-08-08 13G/A PLOW / Douglas Dynamics, Inc. 2,150,748 2,289,575
2022-05-05 13G/A AEF / abrdn Emerging Markets ex-China Fund, Inc. 2,355,402 5,109,044
2022-04-07 13G/A CEE / The Central and Eastern Europe Fund, Inc. 713,086 0
2022-02-09 13G/A OLO / Olo Inc. 4,451,457 6,331,383
2022-02-08 13G/A IOSP / Innospec Inc. 2,099,460 2,563,734
2022-02-07 13G MXF / The Mexico Fund, Inc. 1,190,888
2022-01-19 13G STC / Stewart Information Services Corporation 1,618,331
2022-01-19 13G EEFT / Euronet Worldwide, Inc. 3,166,238
2022-01-19 13G TRS / TriMas Corporation 2,572,891
2022-01-19 13G EBF / Ennis, Inc. 1,699,094
2022-01-19 13G IFN / The India Fund, Inc. 1,219,722 1,573,350
2022-01-19 13G OLO / Olo Inc. 4,451,457
2022-01-19 13G FINV / FinVolution Group - Depositary Receipt (Common Stock) 55,770,450
2022-01-19 13G TUP / Tupperware Brands Corporation 3,508,727
2022-01-19 13G VVI / Pursuit Attractions and Hospitality, Inc. 1,448,256
2022-01-19 13G WHG / Westwood Holdings Group, Inc. 586,389
2022-01-19 13G JJSF / J&J Snack Foods Corp. 1,349,955
2022-01-19 13G MLI / Mueller Industries, Inc. 4,160,483
2022-01-19 13G DIN / Dine Brands Global, Inc. 1,334,748
2022-01-19 13G CSWI / CSW Industrials, Inc. 1,203,194
2022-01-19 13G TWN / The Taiwan Fund, Inc. 578,700
2022-01-19 13G GHG / GreenTree Hospitality Group Ltd. - Depositary Receipt (Common Stock) 5,856,846
2022-01-19 13G SWZ / Total Return Securities, Inc. 1,167,304
2022-01-19 13G CENT / Central Garden & Pet Company 994,993
2022-01-19 13G TDF / Templeton Dragon Fund, Inc. 3,090,424
2022-01-19 13G PLOW / Douglas Dynamics, Inc. 2,150,748
2022-01-19 13G NTUS / Natus Medical Inc 1,820,946
2022-01-18 13G IFN / The India Fund, Inc. 1,219,722
2022-01-18 13G EEA / The European Equity Fund, Inc. 642,917
2022-01-18 13G MYE / Myers Industries, Inc. 2,071,394
2022-01-18 13G SPB / Spectrum Brands Holdings, Inc. 2,388,705
2022-01-18 13G NX / Quanex Building Products Corporation 3,338,213
2022-01-18 13G IOSP / Innospec Inc. 2,099,460
2022-01-18 13G PSTH / Pershing Square Tontine Holdings Ltd - Class A 11,181,934
2022-01-18 13G NOMD / Nomad Foods Limited 9,899,243
2022-01-18 13G KF / The Korea Fund, Inc. 279,731
2022-01-18 13G CBZ / CBIZ, Inc. 2,882,029
2022-01-18 13G IHD / Voya Emerging Markets High Dividend Equity Fund 1,048,893
2022-01-18 13G REYN / Reynolds Consumer Products Inc. 12,164,197
2022-01-18 13G MATV / Mativ Holdings, Inc. 1,670,667
2022-01-18 13G CSL / Carlisle Companies Incorporated 2,675,908
2022-01-18 13G EMF / Templeton Emerging Markets Fund 873,999
2022-01-18 13G AEF / abrdn Emerging Markets ex-China Fund, Inc. 2,355,402
2022-01-18 13G GLAE / GlassBridge Enterprises, Inc. 2,515
2022-01-18 13G/A DENN / Denny's Corporation 6,629,849 6,625,557
2022-01-18 13G/A MEC / Mayville Engineering Company, Inc. 2,099,460 2,117,352
2022-01-18 13G/A DLA / Delta Apparel, Inc. 743,623 744,792
2022-01-18 13G/A CHN / The China Fund, Inc. 1,160,938 1,169,838
2022-01-18 13G/A NP / Neenah Inc 1,893,507 1,895,920
2022-01-18 13G/A DALN / DallasNews Corporation 646,107 643,910
2022-01-18 13G/A GF / The New Germany Fund, Inc. 2,115,758 2,115,758
2022-01-18 13G/A CAF / Morgan Stanley China A Share Fund, Inc. 3,692,862 3,692,862
2022-01-18 13G/A ZEPP / Zepp Health Corporation - Depositary Receipt (Common Stock) 5,852,885 23,331,540
2022-01-18 13G/A FDEU / First Trust Dynamic Europe Equity Income Fund 3,581,518 3,618,336
2022-01-18 13G/A CEE / The Central and Eastern Europe Fund, Inc. 713,086 713,086
2021-12-09 13G ZEPP / Zepp Health Corporation - Depositary Receipt (Common Stock) 5,852,885
2021-12-09 13G GF / The New Germany Fund, Inc. 2,115,758
2021-12-09 13G NP / Neenah Inc 1,893,507
2021-12-09 13G CAF / Morgan Stanley China A Share Fund, Inc. 3,692,862
2021-12-09 13G MEC / Mayville Engineering Company, Inc. 2,099,460
2021-12-09 13G JOF / Japan Smaller Capitalization Fund, Inc. 5,758,849
2021-12-09 13G FDEU / First Trust Dynamic Europe Equity Income Fund 3,581,518
2021-12-09 13G DENN / Denny's Corporation 6,629,849
2021-12-09 13G DLA / Delta Apparel, Inc. 743,623
2021-12-09 13G DALN / DallasNews Corporation 646,107
2021-12-09 13G CHN / The China Fund, Inc. 1,160,938
2021-12-09 13G CEE / The Central and Eastern Europe Fund, Inc. 713,086
2021-12-09 13G JEQ / Abrdn Japan Equity Fund Inc 2,355,402