Baird Short-Term Bond Fund Ins - BOND ETF Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / BOND ETF
Price per share
$9.57
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
319,844
Total reported value
$3,060,910
Share change
0
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 319,844 shares of Baird Short-Term Bond Fund Ins - BOND ETF.

Institutional Holders of Baird Short-Term Bond Fund Ins - BOND ETF across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 319,844 $3,060,910 $9.57 1
2025 Q2 319,844 $3,051,315 +$3,051,315 $9.54 1
2024 Q3 0 $0 -$117,784 $9.57 0
2024 Q2 12,544 $117,784 +$117,784 $9.39 1
2020 Q4 0 $0 -$2,009,000 $9.57 0
2020 Q3 201,477 $2,009,000 -$308,713 $9.97 1
2020 Q2 232,437 $2,313,000 -$465,084 $9.95 1
2020 Q1 279,174 $2,700,000 +$32,090 $9.67 1
2019 Q4 275,856 $2,695,000 -$274,340 $9.77 1
2019 Q2 303,937 $2,963,000 -$983,939 $9.75 1
2019 Q1 404,867 $3,915,000 -$38,563 $9.67 1
2018 Q4 408,855 $3,913,000 +$299,771 $9.57 1
2018 Q3 377,533 $3,605,000 -$9,988 $9.55 1
2018 Q1 378,579 $3,623,000 -$3,310,157 $9.57 1
2017 Q4 724,468 $6,984,000 +$14,190 $9.64 1
2017 Q3 722,996 $7,013,000 -$381,585 $9.70 1
2017 Q2 762,335 $7,388,000 -$31,293 $9.69 1
2017 Q1 765,564 $7,411,000 -$1,700,866 $9.68 1
2016 Q4 941,273 $9,093,000 -$1,292,289 $9.67 2
2016 Q3 1,075,051 $10,470,000 -$28,356,387 $9.73 2
2016 Q2 3,986,550 $38,869,000 -$484,508 $9.75 1
2016 Q1 4,036,243 $39,071,000 +$1,622,917 $9.68 1
2015 Q4 3,868,587 $37,138,000 +$59,039 $9.60 1
2015 Q3 3,862,437 $37,350,000 -$179,119 $9.67 1
2015 Q2 3,880,960 $37,568,000 +$370,408 $9.68 1
2015 Q1 3,842,695 $37,313,000 -$4,667,554 $9.71 1
2014 Q4 4,323,385 $41,807,000 +$1,957,153 $9.67 1
2014 Q3 4,120,990 $39,974,000 +$2,500,442 $9.70 1
2014 Q2 3,863,215 $37,628,000 +$562,022 $9.74 1
2014 Q1 3,805,513 $36,951,000 +$2,679,795 $9.71 1