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[SCHEDULE 13G/A] TEMPLETON EMERGING MARKETS FUND SEC Filing

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Form Type
SCHEDULE 13G/A

Allspring Global Investments Holdings, LLC reported beneficial ownership of 724,716 shares of Templeton Emerging Markets Fund (Mutual Fund SH), representing 4.8% of the class as of 09/30/2025. The filer states it has sole voting and sole dispositive power over all 724,716 shares and that the securities are held in the ordinary course of business, not to change or influence control. Exhibit A lists related subsidiaries Allspring Global Investments, LLC and Allspring Funds Management, LLC as investment-adviser-type filers. The filing confirms no known client holds more than 5% of the class and identifies the filer as a Delaware entity with principal offices in Charlotte, NC.

Allspring Global Investments Holdings, LLC ha riportato la titularità vantaggiosa di 724,716 azioni del Templeton Emerging Markets Fund (Mutual Fund SH), rappresentando 4.8% della classe al 09/30/2025. Il chiamante dichiara di possedere potere di voto esclusivo e potere dispositivo esclusivo su tutte le 724,716 azioni e che i titoli sono detenuti nell’ambito ordinario dell’attività, non per modificare o influenzare il controllo. L’Exhibit A elenca le filiali correlate Allspring Global Investments, LLC e Allspring Funds Management, LLC come fili di tipo investitore-consulente. La dichiarazione conferma che nessun cliente conosciuto detiene più del 5% della classe e identifica il soggetto come entità del Delaware con uffici principali a Charlotte, NC.

Allspring Global Investments Holdings, LLC reportó la titularidad beneficiosa de 724,716 acciones del Templeton Emerging Markets Fund (Mutual Fund SH), que representan 4.8% de la clase a fecha 30/09/2025. El solicitante afirma tener poder de voto único y poder dispositivo único sobre las 724,716 acciones y que los valores se mantienen en el curso normal de los negocios, sin buscar cambiar o influir en el control. El Anexo A enumera las filiales relacionadas Allspring Global Investments, LLC y Allspring Funds Management, LLC como entidades tipo asesor de inversiones. La presentación confirma que ningún cliente conocido posee más del 5% de la clase y identifica al solicitante como una entidad de Delaware con oficinas principales en Charlotte, NC.

Allspring Global Investments Holdings, LLC은 Templeton Emerging Markets Fund (Mutual Fund SH)의 724,716주에 대한 이익 소유를 보고했으며, 이는 2025년 9월 30일 기준으로 해당 등급의 4.8%에 해당합니다. 제출자는 모든 724,716주에 대해 단독 의결권단독 처분권을 보유하며 증권은 일상 업무상의 보유로서 지배권을 변경하거나 영향을 주려는 목적이 아님을 명시합니다. 부속서 A는 Allspring Global Investments, LLC와 Allspring Funds Management, LLC를 투자자 자문자형 제출자로 관련 자회사로 목록화합니다. 제출은 알려진 고객이 해당 등급의 지분을 5% 이상 보유하지 않는 것을 확인하고 제출자가 델라웨어 주의 법인이며 본사 소재지가 Charlotte, NC임을 확인합니다.

Allspring Global Investments Holdings, LLC a déclaré une propriété bénéficiaire de 724,716 actions du Templeton Emerging Markets Fund (Mutual Fund SH), représentant 4.8% de la classe au 30/09/2025. Le déclarant indique détenir un pouvoir de vote exclusif et un pouvoir discrétionnaire exclusif sur l’ensemble des 724,716 actions et que les titres sont détenus dans le cadre normal des activités, sans viser à changer ou influencer le contrôle. L’annexe A dresse la liste des filiales associées Allspring Global Investments, LLC et Allspring Funds Management, LLC en tant que dépositaires-type d’investissement-conseil. Le dossier confirme qu’aucun client connu ne détient plus de 5% de la classe et identifie le déclarant comme une entité du Delaware dont les bureaux principaux se trouvent à Charlotte, NC.

Allspring Global Investments Holdings, LLC meldete einen Begünstigten Eigentümer von 724.716 Aktien des Templeton Emerging Markets Fund (Mutual Fund SH), der 4.8% der Klasse zum Stichtag 30.09.2025 entspricht. Der Meldende gibt an, über alleiniges Stimmrecht und alleiniges dispositives Recht über alle 724.716 Aktien zu verfügen und dass die Wertpapiere im normalen Geschäftsgang gehalten werden, um die Kontrolle nicht zu verändern oder zu beeinflussen. Anhang A listet verwandte Tochtergesellschaften Allspring Global Investments, LLC und Allspring Funds Management, LLC als Investment-Berater-Typen-Filer auf. Die Einreichung bestätigt, dass kein bekannter Kunde mehr als 5% der Klasse hält, und identifiziert den Meldenden als Delaware-Entität mit Hauptsitz in Charlotte, NC.

Allspring Global Investments Holdings, LLC أعلنت عن الملكية المستفيدة لـ< b>724,716 سهماً من صندوق Templeton Emerging Markets Fund (Mutual Fund SH)، مما يمثل 4.8% من الفئة حتى تاريخ 30/09/2025. يذكر المُقدِّم أنه يمتلك سلطة التصويت الوحيدة و سلطة التصرف الوحيدة على جميع الـ< b>724,716 سهماً وأن الأوراق المالية محتفظ بها في سياق العمل الاعتيادي، وليس بهدف تغيير أو التأثير على السيطرة. يدرج الملحق A الشركات الفرعية المرتبطة Allspring Global Investments, LLC و Allspring Funds Management, LLC كجهات تقديم من نوع الاستثمار-المستشار. تؤكد الإيداع أن لا يوجد عميل معروف يملك أكثر من 5% من الفئة ويحدد الجهة مقدمة الطلب ككيان في ديلاوير ومكاتبها الرئيسية في Charlotte, NC.

Allspring Global Investments Holdings, LLC 报告对 Templeton Emerging Markets Fund(Mutual Fund SH)724,716 股的受益所有权,代表截至 2025-09-30 的该类别的 4.8%。申报人表示对全部 724,716 股拥有单独表决权和单独处置权,且证券是在日常业务过程中持有,不用于改变或影响控制。附录 A 将相关子公司 Allspring Global Investments, LLC 和 Allspring Funds Management, LLC 列为投资顾问型申报人。申报确认没有已知客户持有超过 5% 的情形,并将申报人识别为特拉华州实体,主要办公室位于 Charlotte, NC。

Positive
  • Full voting and dispositive control reported over all 724,716 shares
  • Clear disclosure that holdings are held in the ordinary course and not for control purposes
  • Subsidiary identification provided (Allspring Global Investments, LLC and Allspring Funds Management, LLC)
Negative
  • Stake is under 5% (4.8%), limiting potential influence on issuer governance

Insights

Disclosure shows a modest, non-controlling stake with full voting control.

The filer reports direct beneficial ownership of 724,716 shares, equal to 4.8% of the class, and states sole voting and sole dispositive power. This indicates the reporting entity controls voting and disposition decisions for the entire position.

The holding is below the 5% threshold that typically triggers heightened investor attention, so the position is material enough to disclose but not indicative of control. Watch for future filings if the stake crosses 5% or if any client is identified as holding >5% of the class; such changes would be reported in subsequent statements, typically within days of the threshold being crossed.

Filing is consistent with Rule 13d-1 reporting obligations and contains required subsidiary disclosures.

The statement includes the standard certification that the securities are held in the ordinary course of business and not for control purposes, and Exhibit A names subsidiaries that function as investment advisers. Classification codes indicate an investment-adviser relationship under the rule set.

Key compliance items to monitor are any amendments showing a change in ownership percentage or voting power. If the aggregate percentage increases above 5%, an updated schedule or different filing classification may be required under the Exchange Act rules.

Allspring Global Investments Holdings, LLC ha riportato la titularità vantaggiosa di 724,716 azioni del Templeton Emerging Markets Fund (Mutual Fund SH), rappresentando 4.8% della classe al 09/30/2025. Il chiamante dichiara di possedere potere di voto esclusivo e potere dispositivo esclusivo su tutte le 724,716 azioni e che i titoli sono detenuti nell’ambito ordinario dell’attività, non per modificare o influenzare il controllo. L’Exhibit A elenca le filiali correlate Allspring Global Investments, LLC e Allspring Funds Management, LLC come fili di tipo investitore-consulente. La dichiarazione conferma che nessun cliente conosciuto detiene più del 5% della classe e identifica il soggetto come entità del Delaware con uffici principali a Charlotte, NC.

Allspring Global Investments Holdings, LLC reportó la titularidad beneficiosa de 724,716 acciones del Templeton Emerging Markets Fund (Mutual Fund SH), que representan 4.8% de la clase a fecha 30/09/2025. El solicitante afirma tener poder de voto único y poder dispositivo único sobre las 724,716 acciones y que los valores se mantienen en el curso normal de los negocios, sin buscar cambiar o influir en el control. El Anexo A enumera las filiales relacionadas Allspring Global Investments, LLC y Allspring Funds Management, LLC como entidades tipo asesor de inversiones. La presentación confirma que ningún cliente conocido posee más del 5% de la clase y identifica al solicitante como una entidad de Delaware con oficinas principales en Charlotte, NC.

Allspring Global Investments Holdings, LLC은 Templeton Emerging Markets Fund (Mutual Fund SH)의 724,716주에 대한 이익 소유를 보고했으며, 이는 2025년 9월 30일 기준으로 해당 등급의 4.8%에 해당합니다. 제출자는 모든 724,716주에 대해 단독 의결권단독 처분권을 보유하며 증권은 일상 업무상의 보유로서 지배권을 변경하거나 영향을 주려는 목적이 아님을 명시합니다. 부속서 A는 Allspring Global Investments, LLC와 Allspring Funds Management, LLC를 투자자 자문자형 제출자로 관련 자회사로 목록화합니다. 제출은 알려진 고객이 해당 등급의 지분을 5% 이상 보유하지 않는 것을 확인하고 제출자가 델라웨어 주의 법인이며 본사 소재지가 Charlotte, NC임을 확인합니다.

Allspring Global Investments Holdings, LLC a déclaré une propriété bénéficiaire de 724,716 actions du Templeton Emerging Markets Fund (Mutual Fund SH), représentant 4.8% de la classe au 30/09/2025. Le déclarant indique détenir un pouvoir de vote exclusif et un pouvoir discrétionnaire exclusif sur l’ensemble des 724,716 actions et que les titres sont détenus dans le cadre normal des activités, sans viser à changer ou influencer le contrôle. L’annexe A dresse la liste des filiales associées Allspring Global Investments, LLC et Allspring Funds Management, LLC en tant que dépositaires-type d’investissement-conseil. Le dossier confirme qu’aucun client connu ne détient plus de 5% de la classe et identifie le déclarant comme une entité du Delaware dont les bureaux principaux se trouvent à Charlotte, NC.

Allspring Global Investments Holdings, LLC meldete einen Begünstigten Eigentümer von 724.716 Aktien des Templeton Emerging Markets Fund (Mutual Fund SH), der 4.8% der Klasse zum Stichtag 30.09.2025 entspricht. Der Meldende gibt an, über alleiniges Stimmrecht und alleiniges dispositives Recht über alle 724.716 Aktien zu verfügen und dass die Wertpapiere im normalen Geschäftsgang gehalten werden, um die Kontrolle nicht zu verändern oder zu beeinflussen. Anhang A listet verwandte Tochtergesellschaften Allspring Global Investments, LLC und Allspring Funds Management, LLC als Investment-Berater-Typen-Filer auf. Die Einreichung bestätigt, dass kein bekannter Kunde mehr als 5% der Klasse hält, und identifiziert den Meldenden als Delaware-Entität mit Hauptsitz in Charlotte, NC.






Check the appropriate box to designate the rule pursuant to which this Schedule is filed:
Rule 13d-1(b)
Rule 13d-1(c)
Rule 13d-1(d)






SCHEDULE 13G





SCHEDULE 13G



Allspring Global Investments Holdings, LLC
Signature:Jennifer Grunberg
Name/Title:Senior Compliance Manager
Date:10/07/2025
Exhibit Information

Exhibit A Subsidiary Allspring Global Investments, LLC - IA Allspring Funds Management, LLC - IA *Entity beneficially owns 5% or greater of the outstanding shares of the security class being reported on this schedule 13G.

FAQ

What does the 13G filing by Allspring for EMF mean?

It discloses that Allspring beneficially owns 724,716 shares of Templeton Emerging Markets Fund, representing 4.8% of the class, with sole voting and dispositive power.

Does Allspring control Templeton Emerging Markets Fund after this filing (EMF)?

No. The filing states the shares are held in the ordinary course of business and were not acquired to change or influence control; the stake is 4.8%, below the 5% control threshold.

Which Allspring entities are involved in this Schedule 13G/A for EMF?

Exhibit A lists Allspring Global Investments, LLC and Allspring Funds Management, LLC as related subsidiaries involved in the ownership reporting.

When was the ownership measured in the filing for EMF?

The event date requiring the filing is listed as 09/30/2025 and the certification is signed on 10/07/2025.

Will Allspring need to file again if its stake changes?

Yes. If the aggregate ownership crosses regulatory thresholds (for example rising above 5%), an amendment or different Schedule may be required under the Exchange Act reporting rules.
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