Baird Financial Group, Inc. Q4 2017 Filing

Filed February 9, 2018

Portfolio Value

$14.1M

Holdings

1,256

Report Date

Q4 2017

Filing Type

13F-HR

All Holdings (1,256 positions)

StockValue
IHYVANECK INTL H/YLD BD ETF
$701K
GGENPACT LTD
$699K
ADSKAUTODESK INC
$693K
BMSBEMIS INC
$692K
EZMWSDMTR US MDCP EARNG ETF
$688K
LRCXEURLAM RESH CORP
$688K
CAECAE INC
$686K
FPIFARMLAND PARTNERS INC
$686K
GWWGRAINGER W W INC
$684K
WRUSDWESTAR ENERGY INC
$683K
TYGEURTORTOISE ENERGY INFRA CP
$683K
FEFIRSTENERGY CORP
$682K
ALDER BIOPHARMS INC
$679K
HRLHORMEL GEO A & CO
$678K
VIOVVNGRD S&P SM VAL 600 ETF
$677K
VIOOVNGRD S&P SM CAP 600 ETF
$673K
FLOTISHS FLTG RATE NT FD ETF
$669K
TRPTRANSCANADA PIPELINES LTD
$665K
GABGABELLI EQUITY TRUST INC
$658K
BUSDBARNES GROUP INC
$657K
XGDVXGABELLI DIVIDEND&INC TR
$657K
HCQAMN HEALTHCARE SVCS INC
$655K
DSLDOUBLELINE INCM SLTNS FD
$651K
ACGLARCH CAPITAL GROUP LTD
$647K
IGMISHS NA TECH ETF
$646K
IGHGPROSHARES INVT GRADE ETF
$645K
DRIDARDEN RESTAURANTS INC
$644K
POWERSHARES ACT MANG COMM FDDB
$644K
GVIISHS BRCLY INTER GOV CR
$643K
EVFEV SR INCM TR
$640K
ILCVISHS MSTAR LG CP VAL ETF
$640K
ISHS IBDS SEP 2020 ETF
$637K
EBNDSPDR BRCLYS EMRG BD ETF
$630K
SNAPSNAP INC CL A
$626K
FCXFREEPORT MCMORAN COPPER&GOLDCL
$623K
XARSPDR S&P AERO DEFNSE ETF
$622K
TECHBIO TECHNE CORP
$618K
ESSESSEX PPTY TR INC
$615K
ASHFORD HOSPITALITY PRIM
$614K
VRTXVERTEX PHARMACEUTICALS INC
$612K
LVLNSPDR WELLS FARGO PFD ETF
$610K
NUENUCOR CORP
$608K
LNCLINCOLN NATL CORP IND
$606K
OIEUROWENS ILL INC NEW
$605K
VCRVGRD INDX CNSMR DISC ETF
$604K
HYSPIMCO 0-5YR YLD BOND ETF
$601K
KBESPDR KBW BANK ETF
$599K
JNPJUNIPER NETWORKS INC
$597K
UNUSDUNILEVER N V NEW YORK SHS NEW
$596K
BCXBLACKROCK RES&CMDTYS STR
$587K
RNRRENAISSANCERE HOLDINGS LTD ORD
$587K
IIMINVESCO INSD MUN INCM TR
$583K
WDCWESTERN DIGITAL CORPORATION
$582K
USCRU S CONCRETE INC
$580K
VNQIVANGUARD US REAL EST ETF
$578K
HOLXHOLOGIC INC
$574K
ANGLVANECK FALLEN ANGELS
$570K
OVEROVERSTOCK.COM INC
$566K
DISCAUSDDISCOVERY COMMS NEW A
$565K
ISHS TR 2018AMT FREE ETF
$565K
TXNMPNM RES INC
$562K
HEHAWAIIAN ELEC INDS INC
$562K
VOOVVNGRD S&P 500 VAL ETF
$561K
DTEDTE ENERGY CO
$557K
BBBYEURBED BATH & BEYOND INC
$553K
NXDTNEXPOINT CR STRAT FD NEW
$552K
FFNWFIRST FINANCIAL NORTHWEST INC
$551K
TYTRI CONTINENTAL CORP
$548K
GOFGUGG STRAT OPPTYS FD SBI
$547K
ORLYO'REILLY AUTOMOTIVE INC NEW CO
$547K
VSSVANGUARD INTERNATIONAL
$546K
HSBC HOLDINGS PLC 6.200 00/00
$543K
REGLPROSHS S&P MIDCAP400 ETF
$542K
GIBGROUPE CGI INC CL A VTG
$541K
TDIVFT VI NASDAQ TECH DV ETF
$539K
COLMCOLUMBIA SPORTSWEAR CO
$539K
EWZISHARES MSCI BRAZIL FREE
$539K
EPREPR PROPERTIES
$538K
CSLCARLISLE COS INC
$535K
COTT CORP QUE
$534K
WEPMAGELLAN MIDSTRM PTNR LP
$533K
DEUSX TRACKERS RUSL 1000 ETF
$533K
XFEBFIRST TR MLP & ENERGY
$529K
GLOBAL EAGLE ACQ CORP
$528K
CMACOMERICA
$523K
CALIFORNIA RES CORP NEW
$522K
CETCENT SECURITIES CORP
$517K
FTSLFT SENIOR LOAN FD ETF
$517K
XETYXEV TAX MNGD DIVRS EQ INC
$516K
STEWBOULDER GRWTH&INC FD INC
$513K
LAMRLAMAR ADVERTISING NEW A
$513K
MOOVANECK AGRIBUSINESS ETF
$511K
ECONCOLUMBIA E/MKT CONSM ETF
$507K
FTSMFT ENH SHORT MTY NEW ETF
$506K
PIIMPINJ INC
$505K
ATDALLEGHENY TECHNOLOGIES INC
$503K
IEIISHS BRCLYS 3-7 TREA BD
$502K
POWERSHS RAFI US 1500
$500K
TEVATEVA PHARMACEUTICAL INDS LTD A
$497K
TMUST MOBILE US INC
$497K
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