Baird Financial Group, Inc. Q3 2017 Filing

Filed November 14, 2017

Portfolio Value

$13.3B

Holdings

1,226

Report Date

Q3 2017

Filing Type

13F-HR

All Holdings (1,226 positions)

StockValue
HOLXHOLOGIC INC
$485.0M
COTT CORP QUE
$481.0M
ALLIANZGI CNV&INC II
$480.0M
UEOWESTLAKE CHEM CORP
$479.0M
VCRVGRD INDX CNSMR DISC ETF
$478.0M
HACKUSDPUREFUNDS ISE CYBER SECURITY E
$476.0M
FNBF N B CORP PA
$475.0M
9990302DAPACHE CORP
$471.0M
LAMRLAMAR ADVERTISING NEW A
$471.0M
ARNCCHFARCONIC INC
$470.0M
GPNGLOBAL PMTS INC
$468.0M
MONROE CAPITAL CORP
$466.0M
COLMCOLUMBIA SPORTSWEAR CO
$462.0M
HQHTEKLA HEALTHCARE INV SBI
$461.0M
TMUST MOBILE US INC
$458.0M
CRCCANADIAN NAT RES LTD
$455.0M
LRCXEURLAM RESH CORP
$452.0M
SRPTSAREPTA THERAPEUTICS INC
$448.0M
RMERESMED INC
$447.0M
GENMARK DIAGNOSTICS
$447.0M
AJGARTHUR J GALLAGHER & COMPANY
$439.0M
GVIISHS BRCLY INTER GOV CR
$438.0M
CHLUSDCHINA MOBILE HONG KONG LTD
$435.0M
RFEMFT RVRFRNT DYN E/MKT ETF
$433.0M
TELTE CONNECTIVITY LTD
$431.0M
NUENUCOR CORP
$429.0M
APCANADARKO PETROLEUM CORP
$427.0M
UAAUNDER ARMOUR INC CL A
$427.0M
DWDMORGAN STANLEY
$427.0M
FLOTISHS FLTG RATE NT FD ETF
$427.0M
BSXBOSTON SCIENTIFIC CORP
$426.0M
ACHOWENS & MINOR INC HLDGS
$419.0M
VRTXVERTEX PHARMACEUTICALS INC
$419.0M
QDFFLEXSHS TR QLTY DIV ETF
$417.0M
SPABSPDR BARCLY AGGREGATE BD
$415.0M
SIRIEURSIRIUS XM HLDGS INC
$414.0M
STATOIL ASA SPONSORED ADR
$413.0M
LDOSLEIDOS HOLDINGS INC
$410.0M
EWJISHS MSCI JAPAN NEW ETF
$408.0M
ISRGINTUITIVE SURGICAL INC
$406.0M
VXFVNGRD EXTND MARKET ETF
$406.0M
RLRALPH LAUREN CORP CL A
$405.0M
OPPENHEIMER SMCP ETF WEIGHTED
$404.0M
UTGREAVES UTILITY INCOME FD
$403.0M
MLB1MERCADOLIBRE INC COM
$402.0M
PCGPG&E CORP
$402.0M
TELFYTELEFONICA DE ESPANA SA ADR
$400.0M
CMACOMERICA
$399.0M
OHIOMEGA HEALTHCARE INVS INC
$389.0M
SD2SANDY SPRING BANCORP INC
$389.0M
ATRIUSDATRION CORP
$386.0M
IUSGISHS S&P U S GROWTH ETF
$386.0M
PPLPPL CORP
$386.0M
ROLROLLINS INC COM
$385.0M
ALVAUTOLIV INC
$385.0M
UDRUDR INC
$384.0M
MS ASIA PACIFIC FD INC
$383.0M
CPRTCOPART INC
$378.0M
MGMM G M GRAND INC
$377.0M
ABMDEURABIOMED INC COM
$374.0M
AVX CORP NEW
$371.0M
AVKADVENT CLAYMORE CONV SEC
$370.0M
TEXTEREX CORP NEW
$369.0M
PORPORTLAND GEN ELEC CO
$367.0M
RYDEX ETF TECHNOLOGY
$366.0M
JKHYHENRY JACK & ASSOC INC
$362.0M
HPEHEWLETT PACKARD
$361.0M
SGENEURSEATTLE GENETICS INC WA
$357.0M
ROFKFORCE INC
$357.0M
BIDUNBAIDU COM INC SPON ADR REP A
$357.0M
NUVEEN MICH QUAL INC MUN
$356.0M
CBOECBOE HOLDINGS INC
$355.0M
PRAPROASSURANCE CORP
$352.0M
DNLWSDMTR EX US QUAL ETF
$350.0M
BXPBOSTON PPTYS INC
$349.0M
HRSEURHARRIS CORPORATION
$346.0M
VMCVULCAN MATERIALS CO
$344.0M
ABXBARRICK GOLD CORP
$344.0M
BRWTEMPLETON GLOBAL INC FD
$343.0M
ELLAUDER ESTEE COS INC CL A
$341.0M
OPKOPKO HEALTH INC
$340.0M
MRO*MARATHON OIL CORP
$340.0M
PGFPWRSHS ETF FIN PFD PORT
$338.0M
PPHVANECK VECTORS PHARM ETF
$337.0M
TQJSIGNATURE BK NEW YORK N Y COM
$336.0M
TTCTORO CO
$336.0M
IWCISHS MICROCAP ETF
$335.0M
ATOATMOS ENERGY CORP
$335.0M
PWRSH H/Y EQ DIV ACH ETF
$334.0M
PMTPENNYMAC MORTGAGE
$332.0M
TRIANGLE CAP CORP COM
$330.0M
JUNO THERAPEUTICS INC
$329.0M
XHNWXPIONEER DVSFD HIGH INCME
$327.0M
VACMARRIOT VACATIONS
$326.0M
WDAYWORKDAY INC CL A
$325.0M
ABERDEEN ASIA PACIFIC
$325.0M
CICIGNA CORP
$322.0M
RGCGBPREGAL ENTMT GROUP
$321.0M
BARRACUDA NETWORKS INC
$319.0M
MSAMSA SAFETY INC
$318.0M
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