Baird Financial Group, Inc. Q3 2021 Filing

Filed November 12, 2021

Portfolio Value

$39.1B

Holdings

1,850

Report Date

Q3 2021

Filing Type

13F-HR

All Holdings (1,850 positions)

StockValue
DFIVDIMENSIONAL INTL VAL ETF
$790.0M
AGGISHARES CORE U.S. AGGREGATE BOND ETF
$790.0M
DVYEISHS EMRG MKTS DIV ETF
$786.0M
JBTJOHN BEAN TECHNOLOGIES CORP
$784.0M
MECMAYVILLE ENGINEERING CO INC
$781.0M
SFLSFL CORPORATION LTD SHS
$781.0M
IGLBISHRS 10 YR CR BD ETF
$779.0M
GHCGRAHAM HLDGS COMPANY
$778.0M
KLICKULICKE SOFFA INDS INC
$777.0M
IDXXIDEXX LABS INC COM
$776.0M
GSYINVESCO ULT SHT DUR ETF
$776.0M
TXRHTEXAS ROADHOUSE INC CL A
$770.0M
IGRCBRE CLARION REAL EST FD
$768.0M
VSATVIASAT INC
$767.0M
VKQINVESCO VK MUNCIPAL TR
$767.0M
SPSCSPS COMMERCE INC
$767.0M
IOVAIOVANCE BIOTHERAPEUTICS INC
$766.0M
NVSTENVISTA HLDGS CORP
$765.0M
CSBVICTORYSHS US SMCP ETF
$764.0M
NUENUCOR CORP COM
$762.0M
GATXGATX CORP
$762.0M
EXPOEXPONENT INC COM
$760.0M
FBINFORTUNE BRANDS HOME SEC
$757.0M
IYEISHS US ENGY SCTR ETF
$755.0M
BMBLBUMBLE INC A
$754.0M
OZKBANK OZK
$750.0M
IGVISHS NA TECH SOFTWAR ETF
$750.0M
NUSCNUVEEN ESG SMCP ETF
$748.0M
GENNORTONLIFELOCK INC COM
$746.0M
XEXGXEV TAX MNGD GLB DIVRS EQ
$740.0M
IMTMISHS EDGE MSCI INTL ETF
$730.0M
AVTRAVANTOR INC COM
$729.0M
THUNDER BRIDGE ACQUISITION II
$729.0M
RSPDINV SP 500 CONSUMER ETF
$729.0M
IRMIRON MTN INC NEW COM
$728.0M
UNVREURUNIVAR INC
$727.0M
0J7QIAC INTERACTIVE CORP NEW
$727.0M
BXPBOSTON PPTYS INC
$725.0M
MSMMSC INDL DIRECT INC CL A
$724.0M
APPSDIGITAL TURBINE INC NEW
$724.0M
RRDEURDONNELLEY RR SONS
$720.0M
NMZNUVEEN MUN HI INC OPP FD
$720.0M
KBESPDR KBW BANK ETF
$719.0M
HASHASBRO INC
$718.0M
QCOMQUALCOMM INC COM
$717.8M
ENVAENOVA INTL INC
$715.0M
RSPGINV EXCHG SP 500 ETF
$712.0M
FCGFT ISE REVR NAT GAS ETF
$711.0M
CCLCARNIVAL PAIRED CERTIFICATES
$709.0M
WSTWEST PHARMACEUTICAL SVCS INC
$708.0M
JNKSPDR BLOOMBERG BRCLY ETF
$708.0M
AMLPALPS ALERIAN MLP NEW ETF
$708.0M
DEODIAGEO PLC SPONSORED ADR NEW
$704.0M
NACNUVEEN CALIF MUN ADV FD
$701.0M
ZBHZIMMER BIOMET HOLDINGS INC
$700.0M
FMFFORMFACTOR INC COM
$698.0M
OGM1COGENT COMM GROUP INC COM NEW
$693.0M
EHCENCOMPASS HEALTH CORP
$691.0M
VNTVONTIER CORP
$691.0M
BABOEING CO COM
$688.0M
EWLISHS MSCI SWITZ CPD ETF
$687.0M
PLXSPLEXUS CORP
$687.0M
MOHMOLINA HEALTHCARE INC
$686.0M
SRPTSAREPTA THERAPEUTICS INC
$686.0M
PRIPRIMERICA INC
$685.0M
CWCURTISS WRIGHT CORP
$684.0M
GQREFLEXSHS QUAL RL EST ETF
$683.0M
EFGISHARES MSCI EAFE GROWTH ETF
$679.0M
GABCGERMAN AMERN BANCORP INC COM
$679.0M
BLDRBUILDERS FIRSTSOURCE INC COM
$677.0M
DKSDICKS SPORTING GOODS INC
$677.0M
FELEFRANKLIN ELEC INC COM
$676.0M
BHPBHP LTD
$676.0M
MSAMSA SAFETY INC
$675.0M
FCNCAFIRST CTZNS BANCSHARES INC NCL
$675.0M
BLKBBLACKBAUD INC
$674.0M
XSWSPDR SP CMPTR SFTWR ETF
$674.0M
WTBAWEST BANCORPORATION INC
$673.0M
FVDFIRST TR VALUE LINE DIVID INDEX FD
$671.0M
BITBLKRCK MULTI SECTOR INCM
$671.0M
IJTISHARES SP SMALL-CAP 600 GROWTH ETF
$668.0M
NEONEOGENOMICS INC NEW
$668.0M
EQREQUITY RESIDENTIAL PPTYS TR SH
$667.0M
KMTKENNAMETAL INC
$666.0M
DHRDANAHER CORP COM
$664.0M
CACCCREDIT ACCEP CORP MICH COM
$658.0M
FFNWFIRST FINANCIAL NORTHWEST INC
$658.0M
LGNDLIGAND PHARMACEUTICALS
$658.0M
ONEQFID NSDQ COMP INDX ETF
$658.0M
TSMTAIWAN SEMICONDUCTOR MFG CO LTD
$657.0M
SPHBINV EXCHG SP 500 HI ETF
$656.0M
NJRNEW JERSEY RES CORP
$655.0M
COOKTRAEGER INC
$653.0M
SGFYGBPSIGNIFY HEALTH INC A
$652.0M
TMOTHERMO FISHER CORP COM
$652.0M
CICIGNA CORP NEW COM
$651.0M
DDOMINION ENERGY INC
$650.0M
ALSALLSTATE CORP COM
$650.0M
DISCAUSDDISCOVERY COMMS NEW A
$649.0M
STLDSTEEL DYNAMICS INC
$648.0M
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