Baird Financial Group

Baird Financial Group Portfolio holdings

AUM $57B
1-Year Return 20.87%
This Quarter Return
-6.97%
1 Year Return
+20.87%
3 Year Return
+74.96%
5 Year Return
+130.49%
10 Year Return
+303.64%
AUM
$9.41B
AUM Growth
-$757M
Cap. Flow
+$85.3M
Cap. Flow %
0.91%
Top 10 Hldgs %
15.03%
Holding
1,382
New
78
Increased
541
Reduced
565
Closed
140

Sector Composition

1 Technology 14.59%
2 Industrials 12.2%
3 Healthcare 11.4%
4 Consumer Discretionary 10.09%
5 Financials 10.04%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
PFPT
826
DELISTED
Proofpoint, Inc.
PFPT
$686K 0.01%
11,371
-74
-0.6% -$4.46K
PHG icon
827
Philips
PHG
$26.9B
$685K 0.01%
39,349
-61,830
-61% -$1.08M
IGR
828
CBRE Global Real Estate Income Fund
IGR
$763M
$681K 0.01%
92,280
+2,418
+3% +$17.8K
DRA
829
DELISTED
Diversified Real Asset Income Fd
DRA
$679K 0.01%
42,238
+11,439
+37% +$184K
BJRI icon
830
BJ's Restaurants
BJRI
$691M
$664K 0.01%
+15,423
New +$664K
DB icon
831
Deutsche Bank
DB
$69.7B
$664K 0.01%
27,587
-20,240
-42% -$487K
DISCA
832
DELISTED
Discovery, Inc. Series A Common Stock
DISCA
$660K 0.01%
25,355
-100
-0.4% -$2.6K
JRI icon
833
Nuveen Real Asset Income & Growth Fund
JRI
$384M
$657K 0.01%
44,715
-1,282
-3% -$18.8K
RWL icon
834
Invesco S&P 500 Revenue ETF
RWL
$6.48B
$655K 0.01%
17,377
TE
835
DELISTED
TECO ENERGY INC
TE
$655K 0.01%
24,944
-15,973
-39% -$419K
GTU
836
DELISTED
CENTRAL GOLD TR (CANADA)
GTU
$653K 0.01%
16,450
-37,750
-70% -$1.5M
EA icon
837
Electronic Arts
EA
$42.6B
$652K 0.01%
9,618
-418
-4% -$28.3K
MIY icon
838
BlackRock MuniYield Michigan Quality Fund
MIY
$331M
$648K 0.01%
49,142
+21,831
+80% +$288K
ETW
839
Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund
ETW
$985M
$645K 0.01%
60,376
-4,820
-7% -$51.5K
VR
840
DELISTED
Validus Hold Ltd
VR
$640K 0.01%
14,209
-409
-3% -$18.4K
IBMG
841
DELISTED
iShares iBonds Sep 2018 Term Muni Bond ETF
IBMG
$634K 0.01%
24,775
+5,675
+30% +$145K
EUFN icon
842
iShares MSCI Europe Financials ETF
EUFN
$4.41B
$632K 0.01%
30,760
+13,560
+79% +$279K
NFBK icon
843
Northfield Bancorp
NFBK
$487M
$630K 0.01%
41,419
+2,420
+6% +$36.8K
BBBY
844
DELISTED
Bed Bath & Beyond Inc
BBBY
$626K 0.01%
10,987
+430
+4% +$24.5K
HTB
845
HomeTrust Bancshares, Inc.
HTB
$718M
$625K 0.01%
33,680
+2,295
+7% +$42.6K
ACGL icon
846
Arch Capital
ACGL
$33.8B
$618K 0.01%
25,251
-3,474
-12% -$85K
MCO icon
847
Moody's
MCO
$90.8B
$617K 0.01%
6,287
-2,355
-27% -$231K
TYC
848
DELISTED
TYCO INTL PLC COM SHS (IRL)
TYC
$616K 0.01%
17,587
+296
+2% +$10.4K
FXO icon
849
First Trust Financials AlphaDEX Fund
FXO
$2.23B
$615K 0.01%
27,404
-7,042
-20% -$158K
GRMN icon
850
Garmin
GRMN
$45.4B
$607K 0.01%
16,915
-22,490
-57% -$807K