Baird Financial Group, Inc. Q4 2020 Filing
Filed February 11, 2021
Portfolio Value
$33.5M
Holdings
1,563
Report Date
Q4 2020
Filing Type
13F-HR
All Holdings (1,563 positions)
| Stock | Value |
|---|---|
AEEAMEREN CORP | $351K |
XLYSELECT SECTOR SPDR TR CONSUMER | $350K |
FFFUTUREFUEL CORP | $350K |
IYGISHS US FINL SVCS ETF | $349K |
ACWIISHARES MSCI ACWI INDX | $348K |
KKRKKR COMPANY INC CL A | $348K |
CR1USDCRANE CO | $347K |
PLNTPLANET FITNESS INC CL A | $346K |
IGHGPROSHARES INVT GRADE ETF | $345K |
WTBAWEST BANCORPORATION INC | $344K |
COLBCOLUMBIA BKG SYS INC COM | $343K |
MAAMID AMER APT CMNTYS INC COM | $343K |
BPFHBOSTON PRIVATE FINL HLDGS INCO | $342K |
PFNPIMCO FLTG RATE STRATEGY | $342K |
VGTVANGUARD WORLD FDS VANGUARD | $341K |
JLSNUVEEN MTG OPPTY TRM ETF | $341K |
FPFFT II EMRG MKTS ETF | $340K |
PZZAPAPA JOHNS INTL INC COM | $339K |
FEMSFT E/M SC ALPHADEX ETF | $339K |
CSRCENTERSPACE | $338K |
RJFRAYMOND JAMES FINL INC | $338K |
BAHBOOZ ALLEN HAMILTON HLDG CORCL | $338K |
EFXEQUIFAX INC | $337K |
SEESEALED AIR CORP NEW | $337K |
DLSWSDMT INTL SMLCAP DIV FD | $336K |
WELLWELLTOWER INC COM | $336K |
LBTYBLIBERTY GLOBAL PLC C | $332K |
CTVACORTEVA INC COM | $332K |
AGREURAVANGRID INC | $332K |
CARRCARRIER GLOBAL CORPORATION COM | $331K |
GDDYGODADDY INC CL A | $330K |
JNJJOHNSON JOHNSON | $330K |
CBOECBOE HOLDINGS INC | $329K |
BRK/BBERKSHIRE HATHAWAY INC DEL CL | $329K |
QAIINDEXIQ ETF | $328K |
NEARISHS US SHRT MTY BD ETF | $327K |
IMTBISHS CORE 5-10YR USD ETF | $327K |
KTOSKRATOS DEFENSE SECURITY | $327K |
SHVISHS BRCLYS SRT TREAS BD | $326K |
MCHBHOMESTREET INC | $326K |
SFLSFL CORPORATION LTD SHS | $326K |
—PARATEK PHARM INC | $325K |
DBCINV DB CMDTY IDX ETF | $322K |
ACCUSDAMERICAN CAMPUS CMNTYS | $321K |
AAXJISHS AC ASIA EX JPN ETF | $319K |
MSIMOTOROLA SOLUTIONS INC | $319K |
VGITVANGUARD INTER GOV ETF | $318K |
ZTSZOETIS INC CL A | $318K |
MKLMARKEL CORP | $317K |
BNSBANK N S HALIFAX | $316K |
LVLNSPDR SP PHARMACEUTICALS | $316K |
SCHGSCHWAB US LGCP GRW ETF | $316K |
DSLDOUBLELINE INCM SLTNS FD | $315K |
WMWASTE MANAGEMENT INC COM | $314K |
TDTORONTO DOMINION BK NEW | $313K |
EHTHEHEALTH INC | $312K |
NUENUCOR CORP COM | $312K |
VRSKVERISK ANALYTICS INC COM | $311K |
SPHBINV EXCHG SP 500 HI ETF | $310K |
FXGFT CONSMR STAPLES ALPHDX | $309K |
KRKROGER CO COM | $309K |
IMTMISHS EDGE MSCI INTL ETF | $308K |
FTXOFIRST TRUST NASDAQ BANK ETF | $307K |
SCISERVICE CORP INTL | $307K |
METAFACEBOOK INC CL A | $307K |
ABBVABBVIE INC | $305K |
CRSPCRISPR THERAPEUTICS AG | $305K |
XLKSELECT SECTOR SPDR TR TECHNOLOGY | $303K |
NXTGFT INDXX NEXTG ETF | $303K |
NRANRG ENERGY INC COM NEW | $299K |
LDPCOHEN STEERS LTD DUR | $298K |
VOOVNGRD SP 500 NEW ETF | $296K |
TRVTRAVELERS COS INC COM | $296K |
—FIRSTCASH INC | $296K |
KHCKRAFT HEINZ CO COM | $295K |
SPHQINV EXCHG SP 500 ETF | $293K |
FISVFISERV INC COM | $292K |
MLMMARTIN MARIETTA MTLS INC | $291K |
NOBLPROSHARES TR SP 500 DV ARIST | $290K |
ONEQFID NSDQ COMP INDX ETF | $289K |
TSMTAIWAN SEMICONDUCTOR MFG CO LTD | $288K |
ACAARCOSA INC | $287K |
ON1OLD NATL BANCORP IND COM | $287K |
RPREALPAGE INC | $285K |
TANINV SOLAR ETF | $284K |
BXPBOSTON PPTYS INC | $283K |
EPREPR PROPERTIES | $282K |
PXLWEURPIXELWORKS INC | $281K |
WABWABTEC CORP | $281K |
ACGLARCH CAPITAL GROUP LTD | $281K |
DISDISNEY WALT CO COM | $281K |
CERSCERUS CORP | $279K |
JPMJPMORGAN CHASE CO COM | $279K |
VNQIVANGUARD US REAL EST ETF | $276K |
AQMSEURAQUA METALS INC | $275K |
GAPG A P INC | $275K |
GOOGALPHABET INC | $275K |
HDHOME DEPOT INC COM | $275K |
MCXMCCORMICK CO INC COM NON VTG | $274K |
NVRNVR INC | $273K |