Baird Financial Group, Inc. Q3 2020 Filing

Filed November 12, 2020

Portfolio Value

$29.2M

Holdings

1,482

Report Date

Q3 2020

Filing Type

13F-HR

All Holdings (1,482 positions)

StockValue
PXDEURPIONEER NAT RES CO
$262K
ETJEV RISK MNGD DIVRS EQ
$261K
EPREPR PROPERTIES
$260K
ACCUSDAMERICAN CAMPUS CMNTYS
$259K
DISDISNEY WALT PRODUCTIONS
$256K
QUALISHARES MSCI USA QUALITY FACTOR ETF
$256K
FCNCAFIRST CTZNS BANCSHARES INC NCL
$255K
MUNIPIMCO ETF TR INTER ETF
$254K
HBBHAMILTON BEACH BRANDS HLDG CO COM CL
$253K
LINLINDE PLC COM
$253K
CERSCERUS CORP
$252K
NIELSEN HOLDINGS PLC
$251K
CMRCBIGCOMMERCE HLDGS INC 1
$250K
LITGLBL X LITHIUM BATTR ETF
$250K
ETNEATON CORP PLC SHS
$250K
TTELUS CORP
$249K
MCHBHOMESTREET INC
$249K
MSIMOTOROLA SOLUTIONS INC
$247K
NRANRG ENERGY INC COM NEW
$246K
FOXFOX CORP CL B COM
$245K
ABBVABBVIE INC
$245K
FMCFMC CORP
$244K
SIRIEURSIRIUS XM HLDGS INC
$244K
IAUUSDISHARES GOLD TR
$244K
VNQIVANGUARD US REAL EST ETF
$243K
MCXMCCORMICK CO INC COM NON VTG
$242K
BXPBOSTON PPTYS INC
$241K
CTVACORTEVA INC COM
$240K
HYHGPROSHS HI YLD TREAS ETF
$239K
IEXIDEX CORP COM
$237K
ACAARCOSA INC
$235K
ILCBISHARES LRG CORE INDX FD
$234K
TDTORONTO DOMINION BK NEW
$233K
BKHBLACK HILLS CORP
$233K
GAPG A P INC
$232K
IFGLISHS INTL DEV RL EST ETF
$231K
INVESCO DYNAMIC CR OPPTY
$230K
GOOGALPHABET INC
$229K
XXHYBXXNEW AM HIGH INCME FD NEW
$229K
CWTCALIFORNIA WTR SVC GROUP
$229K
ACGLARCH CAPITAL GROUP LTD
$228K
BPBP PLC SPON ADR
$228K
COLBCOLUMBIA BKG SYS INC COM
$228K
PFFISHARES TRUST ISHARES PREFERRED AND
$228K
DBLDOUBLELINE OPPORTUNISTIC
$228K
IYWISHARES U.S. TECHNOLOGY ETF
$226K
LITELUMENTUM HLDGS INC
$226K
IAUISHSBD DEC 2022 TERM ETF
$225K
DNPDNP SELECT INCOME FD INC COM
$225K
ORANYORANGE SPON ADR
$224K
SPHBINV EXCHG SP 500 HI ETF
$223K
NULVNUVEEN ESG LGCP VAL ETF
$223K
FEZSPDR EURO STOXX 50 ETF
$223K
ITA*ISHARES TR DOW JONES US AEROSPACE
$222K
CR1USDCRANE CO
$222K
PORPORTLAND GEN ELEC CO
$222K
ON1OLD NATL BANCORP IND COM
$221K
VCITVANGUARD SCOTTSDALE FDS VANGUARD
$221K
CSLCARLISLE COS INC
$221K
WMWASTE MANAGEMENT INC COM
$220K
RSRELIANCE STL ALUM CO
$220K
OGSONE GAS INC
$220K
VTVANGRD TTL WORLD STK ETF
$219K
CBUCOMMUNITY BK SYS INC
$218K
CARRCARRIER GLOBAL CORPORATION COM
$218K
HUBBHUBBELL INC
$218K
FRTEURFEDERAL RLTY INVT TR
$218K
WYNNWYNN RESORTS LTD
$217K
PDCOEURPATTERSON COS INC
$217K
KLMNINV RUSS 1000 ETF
$217K
CSGSCSG SYS INTL INC
$216K
AQLTISHARES SELECT DIVIDEND ETF
$216K
VVISA INC CLASS A
$216K
APHAMPHENOL CORP NEW CL A
$215K
TXG10X GENOMICS INC A
$214K
TSMTAIWAN SEMICONDUCTOR MFG CO LTD
$214K
DFEWSDMTRE EURO SMALLCP ETF
$214K
UDRUDR INC
$214K
ISHS IBDS DEC 21 MUN ETF
$213K
VGTVANGUARD WORLD FDS VANGUARD
$212K
ROFKFORCE INC
$212K
BNYBLACKROCK NEW YORK MUNI
$211K
JPMJPMORGAN CHASE CO COM
$210K
IGVISHS NA TECH SOFTWAR ETF
$210K
OTISOTIS WORLDWIDE CORP COM
$210K
DGRWWISDOMTREE TRUST WISDOMTREE U.S.
$209K
CECELANESE CORP DEL
$209K
RNRRENAISSANCERE HOLDINGS LTD ORD
$208K
WFC 7.5 PERP LWELLS FARGO CO NEW PERP PFD CNV A
$208K
EOSEATON VANCE EQUITY II
$207K
GTOINV TTL RET BD ETF
$206K
WTBAWEST BANCORPORATION INC
$206K
KPTIEURKARYOPHARM THERAPEUTICS
$205K
COPCONOCOPHILLIPS COM
$205K
TFXTELEFLEX INC COM
$204K
XFFCXFLAHERTY CRUMRINES PFD
$204K
GABGABELLI EQUITY TRUST INC
$204K
PGRPROGRESSIVE CORP OH COM
$203K
CINCINNATI BANCORP INC
$203K
OGEOGE ENERGY CORP
$202K
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