Baird Financial Group

Baird Financial Group Portfolio holdings

AUM $57B
1-Year Return 20.87%
This Quarter Return
+0.44%
1 Year Return
+20.87%
3 Year Return
+74.96%
5 Year Return
+130.49%
10 Year Return
+303.64%
AUM
$10.2B
AUM Growth
Cap. Flow
+$10.2B
Cap. Flow %
100%
Top 10 Hldgs %
14.06%
Holding
1,304
New
1,304
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 13.43%
2 Industrials 12.06%
3 Healthcare 11.38%
4 Financials 10.27%
5 Consumer Discretionary 9.75%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
QLIK
676
DELISTED
QLIK TECHNOLOGIES INC COM STK (DE)
QLIK
$1.27M 0.01%
+36,320
New +$1.27M
IBDD
677
DELISTED
iShares iBonds Mar 2023 Term Corporate ETF
IBDD
$1.27M 0.01%
+48,860
New +$1.27M
CMP icon
678
Compass Minerals
CMP
$794M
$1.27M 0.01%
+15,432
New +$1.27M
NLY icon
679
Annaly Capital Management
NLY
$14.2B
$1.26M 0.01%
+34,275
New +$1.26M
ALGN icon
680
Align Technology
ALGN
$9.85B
$1.26M 0.01%
+20,070
New +$1.26M
LCII icon
681
LCI Industries
LCII
$2.55B
$1.25M 0.01%
+21,585
New +$1.25M
CLIR icon
682
ClearSign Technologies
CLIR
$30.4M
$1.25M 0.01%
+231,130
New +$1.25M
TUP
683
DELISTED
Tupperware Brands Corporation
TUP
$1.24M 0.01%
+19,274
New +$1.24M
TIP icon
684
iShares TIPS Bond ETF
TIP
$14B
$1.24M 0.01%
+11,050
New +$1.24M
APTV icon
685
Aptiv
APTV
$17.9B
$1.23M 0.01%
+14,498
New +$1.23M
CNI icon
686
Canadian National Railway
CNI
$59.5B
$1.23M 0.01%
+21,359
New +$1.23M
MUR icon
687
Murphy Oil
MUR
$3.61B
$1.22M 0.01%
+29,369
New +$1.22M
HTO
688
H2O America Common Stock
HTO
$1.76B
$1.22M 0.01%
+39,798
New +$1.22M
CTXS
689
DELISTED
Citrix Systems Inc
CTXS
$1.22M 0.01%
+21,830
New +$1.22M
TBF icon
690
ProShares Short 20+ Year Treasury ETF
TBF
$69.5M
$1.22M 0.01%
+46,427
New +$1.22M
O icon
691
Realty Income
O
$54.4B
$1.22M 0.01%
+28,247
New +$1.22M
PDCO
692
DELISTED
Patterson Companies, Inc.
PDCO
$1.21M 0.01%
+24,910
New +$1.21M
JNS
693
DELISTED
Janus Capital Group Inc
JNS
$1.21M 0.01%
+70,736
New +$1.21M
BNS icon
694
Scotiabank
BNS
$79.5B
$1.2M 0.01%
+24,325
New +$1.2M
SCG
695
DELISTED
Scana
SCG
$1.2M 0.01%
+23,702
New +$1.2M
CA
696
DELISTED
CA, Inc.
CA
$1.2M 0.01%
+40,896
New +$1.2M
CWT icon
697
California Water Service
CWT
$2.76B
$1.2M 0.01%
+52,294
New +$1.2M
IEUR icon
698
iShares Core MSCI Europe ETF
IEUR
$6.89B
$1.19M 0.01%
+26,269
New +$1.19M
EWZ icon
699
iShares MSCI Brazil ETF
EWZ
$5.45B
$1.19M 0.01%
+36,292
New +$1.19M
IBDC
700
DELISTED
iShares iBonds Mar 2020 Term Corporate ETF
IBDC
$1.19M 0.01%
+45,608
New +$1.19M