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Holdings (Monthly) Guide ↗

Baird Mid Cap Growth Fund

· Baird Funds Inc
Monthly Holdings $642M AUM 58 positions Period Jun 2026 Filed Aug 14, 2026 EDGAR ↗ ← All Funds
All 8 New 6 Added 37 Reduced 7 Exited · Jun 2026 vs Mar 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Woodward Inc WWD Mar 2026 50,154 +1,035 $21.3M +21.4% 3.34% EC
2 Twilio Inc TWLO Mar 2026 95,486 +159 $19.7M +64.3% 3.08% EC
3 Illumina Inc ILMN Mar 2026 110,364 -27,784 $19.4M +14.0% 3.03% EC
4 Victoria's Secret & Co VSXY Mar 2026 217,734 -53,228 $18.2M +44.7% 2.84% EC
5 Fastenal Co FAST Mar 2026 374,030 -94,112 $18.0M -17.3% 2.81% EC
6 XPO Inc XPO Mar 2026 87,210 -21,954 $17.9M -15.7% 2.80% EC
7 Hubbell Inc HUBB Mar 2026 32,694 -1,617 $17.1M +1.6% 2.67% EC
8 Dutch Bros Inc BROS Mar 2026 235,100 +17,832 $16.9M +53.4% 2.64% EC
9 HEICO Corp HEI Mar 2026 44,127 -11,110 $15.7M +3.8% 2.46% EC
10 Ferguson Enterprises Inc FERG Mar 2026 64,920 -16,344 $15.4M -18.7% 2.41% EC
11 MSCI Inc MSCI Mar 2026 26,960 -6,787 $15.1M -17.0% 2.36% EC
12 Datadog Inc DDOG Mar 2026 57,706 -14,528 $15.0M +76.2% 2.35% EC
13 First American Government Obli FGUXX Mar 2026 14,992,802 -4,774,689 $15.0M -24.2% 2.34% STIV
14 Kontoor Brands Inc KTB Mar 2026 175,933 -43,018 $14.7M -4.7% 2.29% EC
15 Veeva Systems Inc VEEV Mar 2026 80,696 +5,798 $14.3M +8.9% 2.24% EC
16 Casey's General Stores Inc CASY Mar 2026 17,601 -4,431 $14.0M -12.8% 2.19% EC
17 UL Solutions Inc ULS Mar 2026 134,277 -33,804 $13.7M -5.1% 2.14% EC
18 FTAI Aviation Ltd FTAI Jun 2026 50,305 NEW $13.6M 2.13% EC
19 Cava Group Inc CAVA Mar 2026 171,137 -116,108 $13.4M -42.2% 2.10% EC
20 Delta Air Lines Inc DAL Mar 2026 139,614 -35,148 $13.1M +12.5% 2.04% EC
21 Viper Energy Inc VNOM Mar 2026 304,474 -76,653 $12.9M -27.9% 2.02% EC
22 EMCOR Group Inc EME Mar 2026 15,527 -3,909 $12.9M -10.2% 2.01% EC
23 Live Nation Entertainment Inc LYV Mar 2026 68,761 -17,311 $12.6M -4.1% 1.97% EC
24 Curtiss-Wright Corp CW Mar 2026 16,468 -23,735 $12.5M -54.4% 1.95% EC
25 TFI International Inc TFII Jun 2026 86,877 NEW $12.5M 1.95% EC
26 Hilton Worldwide Holdings Inc HLT Mar 2026 37,277 -42,519 $12.3M -49.2% 1.93% EC
27 Littelfuse Inc LFUS Jun 2026 26,739 NEW $12.2M 1.90% EC
28 Repligen Corp RGEN Mar 2026 87,317 -21,983 $11.9M -7.5% 1.86% EC
29 CDW Corp/DE CDW Mar 2026 84,595 +38,478 $11.9M +113.2% 1.86% EC
30 Knight-Swift Transportation Ho KNX Jun 2026 149,857 NEW $11.7M 1.82% EC
31 Align Technology Inc ALGN Mar 2026 67,968 +4,106 $11.5M +4.7% 1.79% EC
32 West Pharmaceutical Services I WST Mar 2026 31,487 -7,690 $11.3M +15.1% 1.77% EC
33 Crocs Inc CROX Jun 2026 93,557 NEW $11.3M 1.76% EC
34 Monolithic Power Systems Inc MPWR Mar 2026 7,917 -5,559 $10.9M -25.7% 1.71% EC
35 Floor & Decor Holdings Inc FND Mar 2026 181,577 -45,713 $10.8M -6.7% 1.69% EC
36 Dexcom Inc DXCM Mar 2026 157,490 -129,371 $10.6M -41.1% 1.66% EC
37 Vertiv Holdings Co VRT Mar 2026 31,476 -38,930 $10.5M -40.3% 1.65% EC
38 Rollins Inc ROL Mar 2026 246,299 -62,007 $10.3M -37.6% 1.61% EC
39 IDEXX Laboratories Inc IDXX Mar 2026 19,188 -4,388 $10.1M -23.7% 1.58% EC
40 Medline Inc MDLN Jun 2026 234,479 NEW $9.2M 1.45% EC
41 Insulet Corp PODD Mar 2026 59,167 -14,896 $9.0M -42.0% 1.41% EC
42 Burlington Stores Inc BURL Jun 2026 28,412 NEW $9.0M 1.41% EC
43 Broadridge Financial Solutions BR Mar 2026 64,578 -16,257 $8.8M -32.7% 1.38% EC
44 Brown-Forman Corp BF/B Mar 2026 317,369 -79,898 $8.5M -19.5% 1.32% EC
45 Verisk Analytics Inc VRSK Mar 2026 46,165 -11,297 $8.3M -24.0% 1.30% EC
46 Ollie's Bargain Outlet Holding OLLI Jun 2026 107,063 NEW $8.2M 1.29% EC
47 Lennox International Inc LII Mar 2026 13,835 -14,156 $7.9M -39.0% 1.24% EC
48 Churchill Downs Inc CHDN Mar 2026 87,858 -22,119 $7.9M -20.3% 1.23% EC
49 DoorDash Inc DASH Mar 2026 42,630 -10,733 $7.9M -1.8% 1.23% EC
50 Tyler Technologies Inc TYL Mar 2026 26,095 -6,569 $7.6M -31.8% 1.19% EC
51 Descartes Systems Group Inc/Th DSGX Mar 2026 98,985 -24,920 $6.9M -22.7% 1.07% EC
TKO Group Holdings Inc 87256C101 85,756 SOLD $17.3M
ResMed Inc 761152107 72,099 SOLD $16.2M
Raymond James Financial Inc 754730109 109,413 SOLD $15.8M
Graco Inc 384109104 179,999 SOLD $15.2M
Equifax Inc 294429105 71,151 SOLD $12.8M
BJ's Wholesale Club Holdings I 05550J101 85,778 SOLD $8.4M
Wingstop Inc 974155103 52,167 SOLD $8.1M