Baird Financial Group, Inc. Q3 2018 Filing
Filed November 13, 2018
Portfolio Value
$16.0M
Holdings
1,324
Report Date
Q3 2018
Filing Type
13F-HR
All Holdings (1,324 positions)
| Stock | Value |
|---|---|
DHRBG FOODS INC NEW | $449K |
IYJISHS U S INDLS ETF | $448K |
OPLNKAR AUCTION SERVICES INC | $447K |
NOKNOKIA CORP SPONS ADR | $445K |
ACWIISHARES MSCI ACWI INDX | $444K |
HIIHUNTINGTON INGALLS INDS | $444K |
CRCCANADIAN NAT RES LTD | $442K |
GLPIGAMING LEISURE PPTYS | $440K |
MSAMSA SAFETY INC | $439K |
CERSCERUS CORP | $436K |
NVTNVENT ELECTRIC PLC | $435K |
EGBNEAGLE BANCORP INC MD | $430K |
FEFIRSTENERGY CORP | $428K |
—ISHR 2019 AMT FREE ETF | $428K |
CXOEURCONCHO RESOURCES INC | $423K |
KRKROGER CO | $421K |
ECONCOLUMBIA E/MKT CONSM ETF | $421K |
—SCANA CORP NEW | $417K |
BUSDBARNES GROUP INC | $415K |
SAICSCIENCE APP INTL CORP | $414K |
PRFZINV FTSE US 1500 SM ETF | $414K |
UDRUDR INC | $414K |
IVEiShares SP 500 Value | $413K |
HOLXHOLOGIC INC | $413K |
FPFFT RVRFRONT DYN EUR ETF | $412K |
MCHBHOMESTREET INC | $412K |
GQREFLEXSHS QUAL RL EST ETF | $411K |
IYRISHS US RL EST ETF | $407K |
CHLUSDCHINA MOBILE HONG KONG LTD | $406K |
NOVEURNATIONAL-OILWELL INC | $401K |
9990302DAPACHE CORP | $397K |
FNBF N B CORP PA | $396K |
4I1Philip Morris International Inc | $395K |
IVWiShares SP 500 Growth | $393K |
ANETEURARISTA NETWORKS INC | $392K |
NBTBNBT Bancorp Inc | $391K |
SPLKCHFSPLUNK INC | $391K |
BENFRANKLIN RES INC | $388K |
NICNICOLET BANKSHARES INC | $388K |
HEESEURH E EQUIPMENT SERVICES INCCO | $387K |
FLEXFLEXTRONICS INTL LTD | $385K |
BF/ABROWN FORMAN CORP CL A | $384K |
SCISERVICE CORP INTL | $384K |
FTCFT L/C GR OP ALPHADX ETF | $384K |
GOOGLAlphabet Inc Class A | $383K |
MKLMARKEL CORP | $383K |
FTHIFT VI HIGH INCM ETF | $380K |
MRCCLMONROE CAPITAL CORP | $377K |
LBEURL BRANDS INC | $375K |
ASBASSOCIATED BANCORP | $374K |
FRCBFIRST REPUBLIC BANK | $373K |
BCXBLACKROCK RESCMDTYS STR | $373K |
TMUST MOBILE US INC | $373K |
KBESPDR KBW BANK ETF | $372K |
XNTKSPDR MRGN STNLY TECH ETF | $370K |
NGGNATIONAL GRID PLC SPONSORED AD | $367K |
—MSDW ASIA PACIFIC FUND | $367K |
VNQIVANGUARD US REAL EST ETF | $364K |
HQHTEKLA HEALTHCARE INV SBI | $361K |
NKENike Inc Class B | $361K |
ATOATMOS ENERGY CORP | $358K |
EFViShares MSCI EAFE Value | $354K |
CBOECBOE HOLDINGS INC | $354K |
ZBRAZEBRA TECHNOLOGIES CORP CL A | $353K |
IEIISHS BRCLYS 3-7 TREA BD | $352K |
RSPTINV SP 500 EQ WEIGH ETF | $350K |
RNRRENAISSANCERE HOLDINGS LTD ORD | $347K |
IGEiShares North Amer Natural Resources | $346K |
SPYGSPDR SP 500 GROWTH ETF | $346K |
PORPORTLAND GEN ELEC CO | $343K |
IWCISHS MICROCAP ETF | $343K |
GTXGARRETT MOTION INC COM | $342K |
—NOBLE MIDSTRM PRTNRS LP | $341K |
EFGISHARES TRUST MSCI EAFE | $341K |
ATRIUSDATRION CORP | $340K |
VTIPVanguard Shrt-Term Infl-Prot Sec Idx ETF | $339K |
STWDSTARWOOD PROPERTY TRUST | $337K |
TDTTFlexShares iBoxx 3Yr Target Dur TIPS ETF | $337K |
DOWDowDuPont Inc | $337K |
SIRIEURSIRIUS XM HLDGS INC | $335K |
IYFISHS U S FINANCIALS ETF | $334K |
AONAON PLC CL A | $333K |
—GENMARK DIAGNOSTICS | $331K |
ABMABM INDS INC | $331K |
FLRFLUOR CORP NEW | $331K |
DOLWSDMTR INTL LRGCP DIV FD | $331K |
MXIMMAXIM INTEGRATED PRODS INC | $330K |
WIPSPDR SER TR DB INTL ETF | $329K |
—INV BULLETSHS 2018 ETF | $329K |
ACWXISHS ACWI EX US ETF | $328K |
BXPBOSTON PPTYS INC | $327K |
—SHUTTERFLY INC COM | $326K |
PAGPENSKE AUTOMOTIVE GROUP INC | $325K |
ICFISHS CS REIT ETF | $325K |
IRINGERSOLL RAND PLC | $318K |
TRUTRANSUNION | $318K |
MCDMcDonald's Corporation | $317K |
DTDWisdomTree US Total Dividend ETF | $317K |
ITA*ISHARES DJ U S AEROSPACE | $314K |
IRMIRON MOUNTAIN INC NEW | $313K |