v3.26.1
Average Annual Total Returns - Allspring Multi-Asset Funds - Classes A, C, Administrator, R6 & Institutional
12 Months Ended 60 Months Ended 120 Months Ended
Apr. 30, 2026
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
Absolute Return Fund | Absolute Return Blended Index (reflects no deduction for fees, expenses, or taxes)        
Prospectus [Line Items]        
Average Annual Return, Percent [1]   11.59% 4.44% 6.02%
Absolute Return Fund | MSCI ACWI Index (Net) (reflects no deduction for fees, expenses, or taxes)        
Prospectus [Line Items]        
Average Annual Return, Percent   22.34% 11.19% 11.72%
Absolute Return Fund | Bloomberg Global Aggregate Index Hedged (USD) (reflects no deduction for fees, expenses, or taxes)        
Prospectus [Line Items]        
Average Annual Return, Percent   4.86% 0.34% 2.39%
Absolute Return Fund | Class A        
Prospectus [Line Items]        
Average Annual Return, Percent   1.91% 3.86% 3.45%
Performance Inception Date Mar. 01, 2012      
Absolute Return Fund | Class A | After Taxes on Distributions        
Prospectus [Line Items]        
Average Annual Return, Percent   1.17% 2.45% 2.40%
Performance Inception Date Mar. 01, 2012      
Absolute Return Fund | Class A | After Taxes on Distributions and Sales        
Prospectus [Line Items]        
Average Annual Return, Percent   1.21% 2.49% 2.34%
Performance Inception Date Mar. 01, 2012      
Absolute Return Fund | Class C        
Prospectus [Line Items]        
Average Annual Return, Percent   6.21% 4.30% 3.47%
Performance Inception Date Mar. 01, 2012      
Absolute Return Fund | Class R6        
Prospectus [Line Items]        
Average Annual Return, Percent   8.43% 5.52% 4.51%
Performance Inception Date Oct. 31, 2014      
Absolute Return Fund | Institutional Class        
Prospectus [Line Items]        
Average Annual Return, Percent   8.41% 5.46% 4.43%
Performance Inception Date Nov. 30, 2012      
Asset Allocation Fund | MSCI ACWI Index (Net) (reflects no deduction for fees, expenses, or taxes)        
Prospectus [Line Items]        
Average Annual Return, Percent [2]   22.34% 11.19% 11.72%
Asset Allocation Fund | Asset Allocation Blended Index (reflects no deduction for fees, expenses, or taxes)        
Prospectus [Line Items]        
Average Annual Return, Percent [3]   16.97% 7.15% 8.44%
Asset Allocation Fund | Russell 3000® Index (reflects no deduction for fees, expenses, or taxes)        
Prospectus [Line Items]        
Average Annual Return, Percent   17.15% 13.15% 14.29%
Asset Allocation Fund | Bloomberg U.S. Aggregate Bond Index (reflects no deduction for fees, expenses, or taxes)        
Prospectus [Line Items]        
Average Annual Return, Percent   7.30% (0.36%) 2.01%
Asset Allocation Fund | Class A        
Prospectus [Line Items]        
Average Annual Return, Percent   8.54% 5.53% 6.82%
Performance Inception Date Jul. 29, 1996      
Asset Allocation Fund | Class A | After Taxes on Distributions        
Prospectus [Line Items]        
Average Annual Return, Percent   6.75% 3.35% 5.29%
Performance Inception Date Jul. 29, 1996      
Asset Allocation Fund | Class A | After Taxes on Distributions and Sales        
Prospectus [Line Items]        
Average Annual Return, Percent   5.70% 3.59% 4.99%
Performance Inception Date Jul. 29, 1996      
Asset Allocation Fund | Class C        
Prospectus [Line Items]        
Average Annual Return, Percent   13.28% 6.00% 6.87%
Performance Inception Date Oct. 03, 2002      
Asset Allocation Fund | Administrator Class        
Prospectus [Line Items]        
Average Annual Return, Percent   15.40% 7.18% 7.83%
Performance Inception Date Oct. 03, 2002      
Asset Allocation Fund | Institutional Class        
Prospectus [Line Items]        
Average Annual Return, Percent   15.57% 7.14% 7.82%
Performance Inception Date Nov. 30, 2012      
Real Return Fund | Russell 3000® Index (reflects no deduction for fees, expenses, or taxes)        
Prospectus [Line Items]        
Average Annual Return, Percent   17.15% 13.15% 14.29%
Real Return Fund | Bloomberg U.S. Aggregate Bond Index (reflects no deduction for fees, expenses, or taxes)        
Prospectus [Line Items]        
Average Annual Return, Percent   7.30% (0.36%) 2.01%
Real Return Fund | Real Return Blended Index (reflects no deduction for fees, expenses, or taxes)        
Prospectus [Line Items]        
Average Annual Return, Percent [4]   11.49% 3.85% 4.46%
Real Return Fund | Class A        
Prospectus [Line Items]        
Average Annual Return, Percent   5.91% 3.15% 3.91%
Performance Inception Date Feb. 28, 2003      
Real Return Fund | Class A | After Taxes on Distributions        
Prospectus [Line Items]        
Average Annual Return, Percent   4.63% 1.66% 2.77%
Performance Inception Date Feb. 28, 2003      
Real Return Fund | Class A | After Taxes on Distributions and Sales        
Prospectus [Line Items]        
Average Annual Return, Percent   3.51% 1.75% 2.53%
Performance Inception Date Feb. 28, 2003      
Real Return Fund | Class R6        
Prospectus [Line Items]        
Average Annual Return, Percent [5]   11.27% 4.50% 4.77%
Performance Inception Date [5] Oct. 31, 2016      
Real Return Fund | Institutional Class        
Prospectus [Line Items]        
Average Annual Return, Percent [6]   11.21% 4.43% 4.72%
Performance Inception Date [6] Oct. 31, 2016      
[1]
1. Source: Allspring Funds Management, LLC. The Absolute Return Blended Index is comprised of 35% MSCI ACWI Index (Net), 35% Bloomberg U.S. TIPS Index, and 30% Bloomberg Global  Aggregate Index (USD Hedged). You cannot invest directly in an index.
[2]
2. The Fund has changed its regulatory benchmark from the Russell 3000 Index to the MSCI ACWI Index (net). The Manager believes that the MSCI ACWI Index (net) better reflects the Fund’s overall investment strategy.
[3]
1. Source:  Allspring Funds Management, LLC. The Asset Allocation Blended Index is  comprised of 65% MSCI ACWI Index (net) and 35% of the Bloomberg U.S. Aggregate Bond Index.  You cannot invest directly in an index.
[4]
3. Source: Allspring Funds Management, LLC. Performance shown for the Real Return Blended Index since December 1, 2023 reflects a weighting of: 40% S&P 500 Index, 35% Bloomberg U.S. TIPS Index and 25% Bloomberg U.S. Aggregate Bond Index. Performance shown prior to December 1, 2023 reflects a weighting of: 100% Bloomberg U.S. TIPS Index.  You cannot invest directly in an index.
[5]
1. Historical performance shown for the Class R6 shares prior to their inception reflects the performance of the former Administrator Class shares, and is not adjusted to reflect the Class R6 expenses. If these expenses had been included, returns for the Class R6 shares would be higher.
[6]
2. Historical performance shown for the Institutional Class shares prior to their inception reflects the performance of the former Administrator Class shares,  and includes the higher expenses applicable to the former Administrator Class shares.