Baird Financial Group, Inc. Q2 2021 Filing

Filed August 11, 2021

Portfolio Value

$38.5M

Holdings

1,734

Report Date

Q2 2021

Filing Type

13F-HR

All Holdings (1,734 positions)

StockValue
CF FINANCE CHGACQUISITION CORP
$374K
FNBF N B CORP PA
$374K
ROFKFORCE INC
$373K
XARSPDR SP AERO DEFNSE ETF
$372K
FEMSFT E/M SC ALPHADEX ETF
$372K
IYHISHS US HLTHCR ETF
$372K
CNRCANADIAN NATL RY CO COM
$371K
NMIHNMI HOLDINGS INC A
$371K
XPMAXPIONEER MUNI HI INC ADV
$370K
VGTVANGUARD WORLD FDS VANGUARD
$366K
TFXTELEFLEX INC COM
$366K
VENVENTAS INC COM
$366K
ISHS IBDS DEC 22 MUN ETF
$364K
HALHALLIBURTON COMPANY
$363K
BSCLINV BULLETSHS 2021 ETF
$363K
CBRECBRE GROUP INC CL A
$363K
GOLDA-MARK PRECIOUS METALS
$362K
JECUSDJACOBS ENGR GROUP INC COM
$362K
CABOCABLE ONE INC
$360K
ELMEWASHINGTON REAL ESTATE INV'T T
$360K
OGNORGANON CO COMMON STOCK
$359K
OZKBANK OZK
$358K
PARATEK PHARM INC
$357K
HWMHOWMET AEROSPACE INC COM
$357K
PDCEUSDPDC ENERGY INC
$355K
FEFIRSTENERGY CORP
$354K
FEZSPDR EURO STOXX 50 ETF
$354K
DLTRDOLLAR TREE INC
$354K
FFFUTUREFUEL CORP
$353K
HXLHEXCEL CORP NEW
$353K
CPNGCOUPANG INC A
$353K
MDMEDNAX INC
$352K
IFGLISHS INTL DEV RL EST ETF
$350K
DOLWSDMTR INTL LRGCP DIV FD
$350K
COLBCOLUMBIA BKG SYS INC COM
$349K
BKIEURBLACK KNIGHT INC
$348K
MLPAGLBL X MLP NEW ETF
$347K
GDDYGODADDY INC CL A
$346K
WQTMWISDOMTREE CLOUD COM ETF
$345K
BXPBOSTON PPTYS INC
$345K
XLKSELECT SECTOR SPDR TR TECHNOLOGY
$344K
NFLXNETFLIX INC COM
$344K
PHGKONINKLIJKE PHILIPS ELECTRS SP
$343K
BAHBOOZ ALLEN HAMILTON HLDG CORCL
$340K
PLNTPLANET FITNESS INC CL A
$340K
IPOAGBPVIRGIN GALACTIC HOLDINGS INC COM
$340K
OHIOMEGA HEALTHCARE INVS INC COM
$340K
IXJISHS GLB HLTHCR ETF
$340K
KTOSKRATOS DEFENSE SECURITY
$339K
NBIXNEUROCRINE BIOSCIENCES INC
$337K
TXG10X GENOMICS INC A
$336K
AAXJISHS AC ASIA EX JPN ETF
$336K
KBHKB HOME
$334K
WECWEC ENERGY GROUP INC COM
$334K
RJFRAYMOND JAMES FINL INC
$333K
SHAKSHAKE SHACK INC CL A
$332K
SPHQINV EXCHG SP 500 ETF
$331K
RFREGIONS FINANCIAL CORP
$331K
AEEAMEREN CORP
$331K
BNLBROADSTONE NET LEASE INC COM
$331K
CSLCARLISLE COS INC
$329K
NTESNETEASE COM INC
$329K
BLEBLCKRCK MUNI INCM TR II
$329K
MCMOELIS COMPANY CL A
$328K
VIOGVNGRD SP SM GRW 600 ETF
$327K
IGHGPROSHARES INVT GRADE ETF
$325K
FANFT ISE GLBL WIND EN ETF
$322K
LDPCOHEN STEERS LTD DUR
$320K
ANETEURARISTA NETWORKS INC COM
$320K
LAMRLAMAR ADVERTISING NEW A
$316K
CNXCCONCENTRIX CORP
$315K
ESEVERSOURCE ENERGY COM
$315K
MPCMARATHON PETE CORP COM
$314K
SCISERVICE CORP INTL
$313K
ON1OLD NATL BANCORP IND COM
$312K
LVLNSPDR SP PHARMACEUTICALS
$311K
DFEWSDMTRE EURO SMALLCP ETF
$311K
ACAARCOSA INC
$311K
AQLTISHARES SELECT DIVIDEND ETF
$309K
UMPQUSDUMPQUA HLDGS CORP
$308K
NLSNNIELSEN HOLDINGS PLC
$307K
CPFCENTRAL PAC FINL CORP
$307K
STNESTONECO LTD COM CL A
$306K
UDRUDR INC
$305K
TRVTRAVELERS COS INC COM
$304K
CBUCOMMUNITY BK SYS INC
$303K
KHCKRAFT HEINZ CO COM
$303K
XMUIXBLKRK MUNI INTERDUR FUND
$302K
OI*O-I GLASS INC COM
$301K
CCCHEMOURS CO
$300K
WABWABTEC CORP
$297K
INVAINNOVIVA INC
$296K
ISIIONIS PHARMACEUTICALS
$295K
MUNIPIMCO ETF TR INTER ETF
$295K
MDYSPDR SP MIDCAP 400 ETF TR UNIT SER
$294K
PPLPPL CORP COM
$293K
EMQQEXCH EMQQ EMRG MKTS ETF
$293K
ACGLARCH CAPITAL GROUP LTD
$292K
ILCBISHARES LRG CORE INDX FD
$292K
OGSONE GAS INC
$292K
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