Baird Financial Group, Inc. Q1 2019 Filing
Filed May 14, 2019
Portfolio Value
$17.1M
Holdings
1,282
Report Date
Q1 2019
Filing Type
13F-HR
All Holdings (1,282 positions)
| Stock | Value |
|---|---|
INKMSSGA INCOME ALLOC ETF | $703K |
NTNXNUTANIX INC A | $697K |
CDLVICTORYSHS US LGCP ETF | $689K |
FXRFT ETF II INDLS ALPHADEX | $688K |
—NUVEEN SHRT DUR CR OPPTY | $686K |
UAAUNDER ARMOUR INC CL A | $686K |
GIB/ACGI INC CL A SUB VTG | $684K |
CDKCDK GLOBAL INC | $682K |
ACGLARCH CAPITAL GROUP LTD | $672K |
TPICQTPI COMPOSITES INC COM | $666K |
—BHP BILLITON PLC ADR | $660K |
KYNKAYNE ANDERSON MLP INVT | $657K |
SEESEALED AIR CORP NEW | $657K |
NWNNORTHWEST NAT HLDG CO COM | $653K |
PRGOPERRIGO CO PCL SHS | $647K |
SWCHEURSWITCH INC CL A | $643K |
—DELPHI TECHNOLOGIES PLC SHS | $636K |
MCHIISHS MSCI CHINA INDX ETF | $632K |
GLVCLOUGH GLOBAL ALLOCATION | $632K |
MIDDMIDDLEBY CORP | $631K |
OEFISHARES SP 100 ETF | $628K |
—ATHENE HOLDING LTD A | $621K |
DSIISHRS KLD400 SCL ETF | $616K |
SUBISHS SP SHT NTL MUN ETF | $615K |
DTEDTE ENERGY CO | $611K |
SAICSCIENCE APP INTL CORP | $604K |
PROVPROVIDENT FINL HLDGS INC | $598K |
AWNADVANCED AUTO PTS INC COM | $596K |
XNEAXNUV TAX FREE ADV MUNI FD | $592K |
XRAYDENTSPLY SIRONA INC COM | $591K |
TEVATEVA PHARMACEUTICAL INDS LTD A | $587K |
FTXOFIRST TRUST NASDAQ BANK ETF | $587K |
IYJISHS U S INDLS ETF | $585K |
SRLNSSGA BLACKSTONE GSO ETF | $584K |
DBAWDEUTSCHE EX US HEDGE ETF | $584K |
CMSCMS ENERGY CORP | $584K |
HACKUSDPUREFUNDS ISE CYBER SECURITY E | $583K |
4DHDANA HOLDING CORP COM | $582K |
DRIDARDEN RESTAURANTS INC | $582K |
—ANTARES PHARMA INC | $581K |
GLPIGAMING LEISURE PPTYS | $574K |
TXNMPNM RES INC | $573K |
NGGNATIONAL GRID PLC SPONSORED AD | $572K |
VOXVANGRD TELECOMM SVCS ETF | $571K |
MFCMANULIFE FINL CORP | $571K |
FFNWFIRST FINANCIAL NORTHWEST INC | $570K |
PHGKONINKLIJKE PHILIPS ELECTRS SP | $568K |
FLOTISHS FLTG RATE NT FD ETF | $568K |
RIVRIVERNORTH OPPTYS FD INC | $568K |
RMERESMED INC | $561K |
STAYUSDEXTENDED STAY AMER REIT | $561K |
AMDADVANCED MICRO DEVICES | $555K |
CMACOMERICA | $555K |
ONON SEMICONDUCTOR CORP | $554K |
VOOVVNGRD SP 500 VAL ETF | $554K |
VDEVANGUARD WORLD ENRGY ETF | $553K |
GQREFLEXSHS QUAL RL EST ETF | $553K |
WMBWILLIAMS COS INC | $550K |
—BUNGE LIMITED | $549K |
—ALLIANZGI CNVINC II | $548K |
INTFISHS EDGE MSCI MFACT ETF | $546K |
FNFFIDELITY NATL FINL INC | $545K |
MIKUSDMICHAELS COMPANIES INC | $542K |
RODMLATTICE HRTFRD MULTI ETF | $541K |
TTCTORO CO | $538K |
FTCFT L/C GR OP ALPHADX ETF | $534K |
—HSBC HOLDINGS PLC 6.200 00/00 | $532K |
AIGAMERICAN INTERNATIONAL GROUP I | $532K |
CSLCARLISLE COS INC | $532K |
CAGCONAGRA INC | $531K |
FRTEURFEDERAL RLTY INVT TR | $531K |
WRBBERKLEY W R CORP | $527K |
—COTT CORP QUE | $525K |
BONDPIMCO TOTAL RETURN ETF | $520K |
BHRBRAEMAR HOTELS AND RESORTS INC | $517K |
IJKISHS SP MDCP400 GRW ETF | $514K |
IEIISHS BRCLYS 3-7 TREA BD | $511K |
SRESEMPRA ENERGY COM | $510K |
—ISHS IBDS DEC 22 MUN ETF | $508K |
VIABVIACOM INC NEW CL B | $508K |
MLPXUSDGLBL X MLP ENERGY ETF | $506K |
BHPBHP LTD | $503K |
ECONCOLUMBIA E/MKT CONSM ETF | $499K |
OIEUROWENS ILL INC NEW | $498K |
IQDFFLEXSH INTL QUAL DIV ETF | $497K |
CHLUSDCHINA MOBILE HONG KONG LTD | $495K |
FPIFARMLAND PARTNERS INC | $495K |
GAPG A P INC | $490K |
VTEBVANGUARD MUN BD FD INC TAX-EXE | $488K |
STWDSTARWOOD PROPERTY TRUST | $488K |
GJBSTEELCASE INC CL A | $484K |
GVIISHS BRCLY INTER GOV CR | $482K |
HYSPIMCO 0-5YR YLD BOND ETF | $479K |
XGDVXGABELLI DIVIDENDINC TR | $478K |
DXCDXC TECHNOLOGY CO | $476K |
BSJM1EURINV BULLETSHS 2022 ETF | $476K |
MDUMDU RESOURCES GROUP INC | $475K |
VMWEURVMWARE INC CLASS A | $474K |
PGHYINV GLB S/T HI YLD ETF | $472K |
VXFVNGRD EXTND MARKET ETF | $471K |