- New Purchases: HAS, PODD, INFO, ZAYO, VIAB, IPGP, GDO, TRIP, NTAP, WCG, LTC, BC, NKTR, CWST, VST, TTD, WU, TGLS, SIEN, QQEW, SCHA, DBC, AGNC, GH, KIM, CNX, IDU, XLRE, BOTZ, DELL, IYW, FXI, PAHC, BANX, OEF, ICPT, DOL, PFPT, YETI, MLPI, SEDG, APY, SMAR, ATH, MOAT, ELAN, FL, KNSL, FIT, GNL, FXG, SAIC, VAC, RJF, PZZA, ON, NYT, AIR, MAN, LB, IONS, IART, INFY, FICO, EXR, CNP, AVP, AZO, SAP, SCCO, TIF, STAG, KAR, GLPG, FCAU, DAN, VMW, ETJ, AIMC, SFLY, ZF, JQC, CLM, WLTW, WAB, UBSH, AEE,
- Added Positions: MINT, ANET, ALGN, SDY, JPM, BWA, IEX, MSFT, DIS, CVS, LW, C, AVGO, BABA, COO, BKNG, IWR, XLU, T, STZ, DHR, GILD, XYL, FANG, FTSM, AMZN, BLK, XEC, DHI, ICLR, AOS, DWDP, PFE, SYY, BUD, ALK, DGX, TSM, UPS, FVD, IDV, VEA, VYM, BRK.B, CSCO, HD, NVDA, WY, BR, ZTS, KEYS, PULS, ABT, ADBE, ANIK, BMY, CRI, CAT, CLB, CMI, EOG, ETN, ECL, FISV, GOOGL, HON, ORI, PAYX, RTN, TGT, GIM, GOOG, VCSH, VTV, VWO, ALXN, ATR, BA, BF.B, BXMT, CVX, CTAS, CMCSA, COST, EL, EEFT, EXAS, XOM, GD, GPN, HAIN, IBM, LLL, SPGI, NEM, NOC, NUE, CRM, SJI, SYK, TECH, UTX, WSO, ANTM, EBAY, SPR, V, FLT, EPAM, NOW, COMM, ETSY, AGG, BIL, IGIB, GLD, IEF, IEMG, RSP, VB, VUG, ABMD, ACN, ATVI, AMG, AKAM, Y, MO, AMT, AJG, ATO, ADP, BBT, BIDU, BAC, BAX, CBS, CHRW, CPB, KO, CMP, CPRT, DVA, D, FLR, IT, GSK, GGG, HRB, HOG, HBAN, IDXX, JEF, LFUS, LOW, MKL, MKTX, MMC, MKC, MRCY, MCHP, MPWR, MSI, NFLX, NOK, NTRS, PCAR, PCH, O, ROK, POOL, SLB, SMG, SEB, SNA, SWX, SNPS, TXN, TPL, TXT, TSS, TRMB, TYL, TSN, USB, UNP, VFC, MTN, VTR, VZ, VRTX, VOD, WBA, WFC, LDOS, JAZZ, ULTA, VRSK, CBOE, SIX, BBN, BWXT, RP, ABBV, CDW, VEEV, CTRE, UNVR, OLLI, SNAP, BE, IGSB, DEM, DON, FEX, FXZ, IJH, IJR, IWN, IWS, NOBL, QQQ, SCHZ, SCZ, SHY, SLY, SPYG, USMV, VBR, VEU, VGT, VIG, XLC, AES, AAP, AMD, AEM, AFG, ABC, NLY, AMAT, ABR, ACGL, ARCC, ADSK, BCE, BHP, BLL, GOLD, BTX, BMRN, BSX, BAM, BG, CACI, CBRL, CMS, CALM, CM, COF, KMX, CCL, CE, CTL, FIS, LNG, CHL, COLB, COLM, CBSH, CAG, COT, XRAY, DE, DLX, DISCA, DLB, DCI, DOV, DUK, EMR, ENB, EXPE, EXPD, FLIR, NEE, FAST, PACW, FCX, GRMN, GG, HDB, HSBC, HRS, HCP, HEI, HSY, HPQ, DIN, ING, ILMN, IMO, IP, INTU, ISRG, IRM, JBHT, SJM, JEC, JW.A, KSU, K, KEY, KNX, KR, LKQ, LH, LAMR, LPX, MFC, MAR, MCK, MPW, MDT, MAA, MNR, MCO, NGG, NI, ES, NWN, OXY, OHI, OSK, OI, PNC, PPG, PRGO, PETS, PNW, LIN, PGR, ROP, ROST, R, STX, SRE, SJR, SKX, SWKS, SO, LUV, TRV, SPWR, TROW, TTEK, TTC, TD, TSCO, UGI, UMPQ, X, VLO, VMI, VAR, VMC, WPC, WPP, WM, EVRG, WMB, WEC, YUM, ZBH, FTS, RDS.B, VKI, CEF, LEO, ECF, DNP, GAB, HQH, USA, FCO, IQI, NXQ, VGM, JPS, HIX, JRS, NZF, NAD, NVG, NEA, AVK, NCZ, HYT, FRA, EFR, JFR, FEN, GLV, BGT, BDJ, GPM, ETW, DSM, BBL, NHF, FOF, ETY, EXG, FSLR, DAL, BGY, LULU, CXO, BACPL.PFD, FNV, DISCK, WFCPL.PFD, STWD, ARI, CHTR, NBB, PHYS, AMRC, NXPI, COR, KMF, VC, HII, JSD, APTV, ISD, ENPH, PANW, JPI, BTT, BGH, NID, WDAY, FEI, FPF, HDS, DOC, SFM, KIO, GLPI, ESNT, CTT, HLT, ALLY, MOBL, CFG, NEWR, CWEN, KHC, TEAM, RIV, MGP, FTV, TWLO, NTNX, OPP, RARX, SWCH, ACWV, BLV, BNDX, BSCJ, BSCK, DLN, ECON, EDIV, EDV, EELV, EMB, FDN, FDT, FGD, FNX, FPE, FTA, FXO, GSY, HACK, HYMB, IAU, IEI, IJT, IOO, IWO, IXN, IXUS, IYJ, JNK, JPST, MDIV, MLPA, PHB, PRFZ, QDF, SCHD, SJNK, SPIB, SPLV, TLT, VBK, VCIT, VGSH, VHT, VIS, VMBS, VOX, VSS, VTIP, WOOD, XLE, XLF, XSLV,
- Reduced Positions: PEP, HSIC, JNJ, XLV, IEFA, IWD, DPZ, CGNX, IWV, DEO, BIIB, ABB, ULTI, MS, ORLY, SBUX, EFA, SPY, EW, GS, PXD, BURL, CVET, CELG, PG, SHW, BND, BSV, IVW, SHV, AXP, AMGN, AAPL, EMN, MRK, ORCL, BIV, FDL, ASML, CI, EA, MNST, MYL, UNH, CABO, DVY, HYG, IVV, MUB, VO, VOO, VTI, BK, CTRP, OMC, PH, WPM, VRSN, CMG, NFJ, LOGM, DG, RA, SOI, DGRO, DLS, FLRN, IWP, VNQ, XPH, MMM, CB, ADC, WTR, BLKB, SCHW, CME, EWBC, FDX, GPS, WELL, INTC, JCI, KLAC, MTZ, MEI, NKE, PPC, PRU, QCOM, STT, SCS, STI, TEN, THO, TOT, UAA, UL, VSAT, AGN, PRTK, UTF, TSLA, OXLC, MOS, MPC, FB, CONE, IQV, FEYE, TSE, MIK, TERP, DLPH, DIA, DWX, EEM, EMLP, FXR, GVI, HDV, IUSV, IWB, IWM, MGK, MTUM, PFF, SPSB, VFH, VGK, VOE, VTWO, XLP, ATSG, AXDX, AFL, APD, ALB, LNT, ALL, AEP, AIG, AMP, AME, IVZ, APC, ADI, AON, AZN, ALV, AVY, AXS, BP, BOH, BMO, BNS, B, BXP, CNA, CNI, CAH, CNC, CAKE, CHD, CINF, CLF, CLX, TPR, CTSH, COHR, CMA, NNN, DXC, COP, ED, GLW, CVA, CCI, CY, DTE, DRI, DVN, DRH, DLR, EGBN, EV, ETR, EPR, EFX, EQR, ESS, EXC, FNB, FDS, FRT, FII, FNF, FHN, FE, GE, GIS, GNTX, GPC, GEF, HIG, HE, HFWA, HXL, ICUI, IMMR, INCY, IR, IDTI, JCOM, JLL, KSS, MDLZ, LVS, LEG, LNC, LMT, MTB, MDU, MTG, MGA, CASH, MU, MIDD, MOD, TAP, NBTB, NCR, NFG, NYCB, NWL, NBL, JWN, NVS, OKE, PNM, PKG, PHG, PII, NTR, PFG, RHT, REGN, RS, RNR, RSG, RMD, RIO, RHI, ROL, RY, SIVB, SNY, SA, SEE, SGEN, SCI, SPG, SBGI, SON, STE, SU, VIV, TU, TEVA, UAL, PAG, UBSI, OLED, UNM, GWW, WDC, WSM, XEL, AABA, ZBRA, BRK.A, HEES, PAC, TDG, ASA, NUV, RVT, NUO, CHI, EVF, CHY, PHK, PMX, PML, GDV, CSQ, KYN, TYG, BOE, HBI, HSBCPA, TMUS, PNNT, CLR, FGB, MASI, MELI, AWK, MAIN, MSCI, KDP, TAL, GM, TRGP, BCX, NLSN, PCRX, KMI, AL, WIFI, FBHS, GWRE, RXN, SPLK, CLIR, PNR, BERY, MRCC, TPH, DSL, PEGI, NMIH, BHR, STAY, ALLE, OGS, EGRX, QTWO, BLBD, PAYC, MRNS, SYF, CDK, CCD, SHOP, TRU, JHY, HPE, SQ, NBLX, JHD, TPIC, COUP, YUMC, ARNC, WTTR, MBIN, NVT, DOCU, AAXJ, ACWI, AMLP, BKLN, BOND, CWB, DBEF, DES, DFE, DHS, DSI, DTD, DXJ, EFV, EWJ, EWY, FBT, FEZ, FLOT, FTC, FXD, FXL, FXU, HEDJ, HYS, IBDK, ICF, IJK, IJS, ITA, ITOT, IVE, JKF, KRE, LQD, MCHI, PCEF, PGF, PGX, PZA, RWO, RWR, SLV, SRLN, SUB, TIP, USO, VCR, VDC, VDE, VLUE, VOT, VTEB, VXUS, XLI, XLK, XLY,
- Sold Out: GRUB, WBC, XRT, TBF, STMP, ONEQ, RHP, LPT, FXN, BEL, OMER, MGV, IHI, VT, VIRT, IVR, LRCX, PLCE, FPX, ESL, EZM, EWZ, DFJ, REZI, NMRK, FDC, MSG, TDOC, ESV, FDD, BECN, VNQI, VGIT, SPDW, SMH, SCHV, OAK, CRT, KBE, IYR, IWC, EVH, PFN, ECC, MAT, FAX, BGCP, VVC, TUP, TM, MXIM, SHPG, SJT, PBT, PDCO, BXMX, ETV, RESN, ALDR, FMC, AAL, DATA, AMBA, HRL, LHCG, OPI, SOHO, BTZ, ABM,
For the details of Baird Financial Group, Inc.'s stock buys and sells, go to https://www.gurufocus.com/guru/baird+financial+group%2C+inc./current-portfolio/portfolio
These are the top 5 holdings of Baird Financial Group, Inc.- Microsoft Corp (MSFT) - 3,145,215 shares, 2.20% of the total portfolio. Shares added by 6.20%
- iShares Russell 1000 Value (IWD) - 2,903,338 shares, 2.12% of the total portfolio. Shares reduced by 8.04%
- Apple Inc (AAPL) - 1,879,167 shares, 2.11% of the total portfolio. Shares reduced by 1.77%
- iShares Russell 1000 Growth (IWF) - 2,036,354 shares, 1.83% of the total portfolio. Shares added by 1.00%
- Vanguard FTSE Developed Markets (VEA) - 7,023,422 shares, 1.70% of the total portfolio. Shares added by 3.28%
Baird Financial Group, Inc. initiated holding in Hasbro Inc. The purchase prices were between $77.9 and $91.5, with an estimated average price of $87.01. The stock is now traded at around $96.77. The impact to a portfolio due to this purchase was 0.29%. The holding were 566,160 shares as of .
New Purchase: Insulet Corp (PODD)Baird Financial Group, Inc. initiated holding in Insulet Corp. The purchase prices were between $72.44 and $101.87, with an estimated average price of $85.49. The stock is now traded at around $103.35. The impact to a portfolio due to this purchase was 0.19%. The holding were 329,338 shares as of .
New Purchase: IHS Markit Ltd (INFO)Baird Financial Group, Inc. initiated holding in IHS Markit Ltd. The purchase prices were between $46.6 and $55.46, with an estimated average price of $52.28. The stock is now traded at around $56.14. The impact to a portfolio due to this purchase was 0.06%. The holding were 173,187 shares as of .
New Purchase: Zayo Group Holdings Inc (ZAYO)Baird Financial Group, Inc. initiated holding in Zayo Group Holdings Inc. The purchase prices were between $22.82 and $28.68, with an estimated average price of $26.47. The stock is now traded at around $32.85. The impact to a portfolio due to this purchase was 0.04%. The holding were 249,677 shares as of .
New Purchase: Viacom Inc (VIAB)Baird Financial Group, Inc. initiated holding in Viacom Inc. The purchase prices were between $25.34 and $30.33, with an estimated average price of $28.69. The stock is now traded at around $28.47. The impact to a portfolio due to this purchase was 0.03%. The holding were 155,097 shares as of .
New Purchase: Nektar Therapeutics Inc (NKTR)Baird Financial Group, Inc. initiated holding in Nektar Therapeutics Inc. The purchase prices were between $31.58 and $46.35, with an estimated average price of $39.54. The stock is now traded at around $33.73. The impact to a portfolio due to this purchase was 0.02%. The holding were 99,788 shares as of .
Added: PIMCO Enhanced Short Maturity Active Exchange-Trad (MINT)Baird Financial Group, Inc. added to a holding in PIMCO Enhanced Short Maturity Active Exchange-Trad by 1261.96%. The purchase prices were between $100.95 and $101.56, with an estimated average price of $101.29. The stock is now traded at around $101.56. The impact to a portfolio due to this purchase was 0.32%. The holding were 572,527 shares as of .
Added: Arista Networks Inc (ANET)Baird Financial Group, Inc. added to a holding in Arista Networks Inc by 1309.05%. The purchase prices were between $199.6 and $315.02, with an estimated average price of $253.02. The stock is now traded at around $248.83. The impact to a portfolio due to this purchase was 0.22%. The holding were 129,562 shares as of .
Added: Align Technology Inc (ALGN)Baird Financial Group, Inc. added to a holding in Align Technology Inc by 569.27%. The purchase prices were between $184.78 and $284.33, with an estimated average price of $238.17. The stock is now traded at around $319.88. The impact to a portfolio due to this purchase was 0.21%. The holding were 148,878 shares as of .
Added: SPDR S&P Dividend (SDY)Baird Financial Group, Inc. added to a holding in SPDR S&P Dividend by 155.65%. The purchase prices were between $87.8 and $99.63, with an estimated average price of $96.02. The stock is now traded at around $98.67. The impact to a portfolio due to this purchase was 0.19%. The holding were 519,416 shares as of .
Added: BorgWarner Inc (BWA)Baird Financial Group, Inc. added to a holding in BorgWarner Inc by 889.67%. The purchase prices were between $34.07 and $41.96, with an estimated average price of $39.29. The stock is now traded at around $36.53. The impact to a portfolio due to this purchase was 0.16%. The holding were 771,916 shares as of .
Added: IDEX Corp (IEX)Baird Financial Group, Inc. added to a holding in IDEX Corp by 74.56%. The purchase prices were between $121.42 and $151.74, with an estimated average price of $141.17. The stock is now traded at around $151.22. The impact to a portfolio due to this purchase was 0.14%. The holding were 366,772 shares as of .
Sold Out: GrubHub Inc (GRUB)Baird Financial Group, Inc. sold out a holding in GrubHub Inc. The sale prices were between $66.15 and $86.08, with an estimated average price of $77.6.
Sold Out: WABCO Holdings Inc (WBC)Baird Financial Group, Inc. sold out a holding in WABCO Holdings Inc. The sale prices were between $102.75 and $146.01, with an estimated average price of $122.71.
Sold Out: SPDR S&P Retail (XRT)Baird Financial Group, Inc. sold out a holding in SPDR S&P Retail. The sale prices were between $40.87 and $46.03, with an estimated average price of $44.33.
Sold Out: ProShares Short 20+ Year Treasury (TBF)Baird Financial Group, Inc. sold out a holding in ProShares Short 20+ Year Treasury. The sale prices were between $21.48 and $22.92, with an estimated average price of $22.4.
Sold Out: Stamps.com Inc (STMP)Baird Financial Group, Inc. sold out a holding in Stamps.com Inc. The sale prices were between $80.51 and $202.13, with an estimated average price of $142.42.
Sold Out: Ryman Hospitality Properties Inc (RHP)Baird Financial Group, Inc. sold out a holding in Ryman Hospitality Properties Inc. The sale prices were between $65.57 and $86.77, with an estimated average price of $79.71.
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