Baird Midcap Mutual Fund Money Managers
BMDIX Fund | USD 26.30 0.06 0.23% |
Break down of Baird Midcap's management performance can provide insight into the fund's overall performance. Note that fund manager's attribution analysis is becoming a valuable factor that both investors and analysts use to determine the amount of risk that may be associated with Baird Midcap's future under-performance.
Baird |
Symbol | BMDIX |
Name | Baird Midcap Fund |
Type | Mutual Fund |
Country | United States |
Exchange | NMFQS |
Information on Baird Midcap Fund Leadership is currently not available.
If you believe this information is not accurate please let us know and we will check it out. Check all delisted instruments across multiple markets.Analyzing currently trending equities could be an opportunity to develop a better portfolio based on different market momentums that they can trigger. Utilizing the top trending stocks is also useful when creating a market-neutral strategy or pair trading technique involving a short or a long position in a currently trending equity.
Thematic Opportunities
Explore Investment Opportunities
Baird Midcap Net Asset Comparison
Baird Midcap Fund is the top fund in net asset among similar funds. Total Asset Under Management (AUM) of Mid-Cap Growth category is currently estimated at about 107.2 Billion. Baird Midcap holds roughly 2.32 Billion in net asset claiming about 2.17% of funds under Mid-Cap Growth category.
Baird Midcap Benchmark Summation
Operator |
The output start index for this execution was zero with a total number of output elements of sixty-one. Baird Midcap Price Series Summation is a cross summation of Baird Midcap price series and its benchmark/peer.
About Baird Midcap Management Performance
The success or failure of an entity such as Baird Midcap often depends on how effective the management is. Baird Midcap management team is responsible for propelling the future growth in the right direction and administering and controlling the business activities and accounting for the results. Ineffective management usually contributes to failure in the company's future performance for all stakeholders equally, but most importantly, for investors. So it is important to measure the effectiveness of Baird management before purchasing its stock. In many ways, it's all about finding the answer to one important question - Are they doing the right thing right now? How would we assess whether the Baird management is utilizing all available resources in the best possible way? Also, how well is the company doing relative to others in its sector and the market as a whole? The answer can be found by analyzing a few important fundamental indicators such as return on assets and return on equity.
The fund normally invests at least 80 percent of its net assets, plus any borrowings for investment purposes, in the equity securities of U.S. and foreign mid-capitalization companies, principally common stocks, preferred stocks, securities convertible into common stocks and American Depositary Receipts that are traded on major U.S. exchanges. Although the fund principally invests in U.S. companies, the fund may invest up to 15 percent of its total assets in equity securities of foreign companies.
Please note that you must use caution to infer results of funds future performance. Investment returns and principal value will fluctuate so that investors' shares, when sold, may be worth more or less than their original cost.
Other Information on Investing in Baird Mutual Fund
Baird Midcap financial ratios help investors to determine whether Baird Mutual Fund is cheap or expensive when compared to a particular measure, such as profits or enterprise value. In other words, they help investors to determine the cost of investment in Baird with respect to the benefits of owning Baird Midcap security.
Alpha Finder Use alpha and beta coefficients to find investment opportunities after accounting for the risk | |
Global Markets Map Get a quick overview of global market snapshot using zoomable world map. Drill down to check world indexes | |
Correlation Analysis Reduce portfolio risk simply by holding instruments which are not perfectly correlated | |
Portfolio Volatility Check portfolio volatility and analyze historical return density to properly model market risk |