BAIRD SHORT-TERM MUNICIPAL BOND FUND INVESTOR CLASS(BTMSX) USD 9.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.54%USD 0.053USD0.020292023-03-27
USD0.01912023-02-24
USD0.013942023-01-25
20221.35%USD 0.133USD0.019072022-12-28
USD0.013162022-11-23
USD0.016922022-10-25
USD0.013372022-09-23
USD0.012762022-08-23
USD0.010562022-07-25
USD0.00932022-06-23
USD0.009872022-05-24
USD0.008242022-04-25
USD0.00732022-03-25
USD0.007942022-02-24
USD0.0052022-01-25
20210.92%USD 0.091USD0.007052021-12-28
USD0.000682021-12-16
USD0.006192021-11-24
USD0.006552021-10-26
USD0.005872021-09-24
USD0.006192021-08-25
USD0.008022021-07-27
USD0.007962021-06-25
USD0.008782021-05-25
USD0.007822021-04-26
USD0.007472021-03-25
USD0.011532021-02-25
USD0.007082021-01-26
20201.36%USD 0.135USD0.008352020-12-28
USD0.010262020-11-24
USD0.00982020-10-26
USD0.011632020-09-25
USD0.011342020-08-25
USD0.011252020-07-27
USD0.012062020-06-26
USD0.013382020-05-27
USD0.012032020-04-27
USD0.013262020-03-26
USD0.011272020-02-25
USD0.010332020-01-27
20191.14%USD 0.113USD4.0E-52019-12-26
USD0.011542019-11-25
USD0.011592019-10-25
USD3.0E-52019-09-25
USD3.0E-52019-08-26
USD4.0E-52019-07-25
USD0.016072019-06-25
USD0.015752019-05-28
USD0.017612019-04-25
USD0.014382019-03-25
USD0.01442019-02-25
USD0.011782019-01-25
20181.72%USD 0.171USD0.018772018-12-26
USD0.014392018-11-26
USD0.014122018-10-25
USD0.015542018-09-25
USD0.015532018-08-27
USD0.01432018-07-25
USD0.01392018-06-25
USD0.013632018-05-25
USD0.015042018-04-25
USD0.012562018-03-26
USD0.013452018-02-26
USD0.009662018-01-25
20171.45%USD 0.143USD0.018232017-12-26
USD0.012332017-11-27
USD0.013462017-10-25
USD0.01232017-09-25
USD0.013262017-08-25
USD0.012582017-07-25
USD0.011162017-06-26
USD0.012042017-05-25
USD0.012332017-04-25
USD0.005962017-03-27
USD0.011532017-02-27
USD0.008232017-01-25
20161.18%USD 0.117USD0.011812016-12-27
USD0.01132016-11-25
USD0.00992016-10-25
USD0.006852016-09-26
USD0.010172016-08-25
USD0.010682016-07-25
USD0.012462016-06-27
USD0.009162016-05-25
USD0.009882016-04-25
USD0.008052016-03-28
USD0.010152016-02-25
USD0.00622016-01-25
20150.46%USD 0.046USD0.018092015-12-28
USD0.010282015-11-25
USD0.013462015-10-26
USD0.004122015-09-25