v3.26.1
Shareholder Report
6 Months Ended
Jun. 30, 2026
USD ($)
$ / shares
Shareholder Report [Line Items]  
Document Type N-CSRS
Amendment Flag false
Registrant Name Baird Funds, Inc.
Entity Central Index Key 0001282693
Entity Investment Company Type N-1A
Document Period End Date Jun. 30, 2026
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Ultra Short Bond Fund
Class Name Institutional Class Shares
Trading Symbol BUBIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Ultra Short Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BUBIX
$8
0.15%
[1]
Expenses Paid, Amount $ 8
Expense Ratio, Percent 0.15%
Net Assets $ 9,370,980,935
Holdings Count | $ / shares 382
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$9,370,980,935
Average Effective Duration
0.53 years
Number of Holdings
382
Average Effective Maturity
0.55 years
Portfolio Turnover Rate
49%
SEC 30-Day Yield
4.22%
Average Credit Quality
A+
SEC 30-Day Unsubsidized Yield
4.07%
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Corporate Bonds
53.8
%
U.S. Treasury Securities
21.2
%
Non-Agency CMBS
10.7
%
Asset-Backed Securities
9.2
%
Money Market Funds
3.8
%
Non-Agency RMBS
0.7
%
Municipal Bonds
0.6
%
Credit Rating Breakdown*
U.S. Treasury
21.5
%
U.S. Agency
0.0
%
AAA
22.6
%
AA
2.4
%
A
18.6
%
BBB
34.7
%
Below BBB
0.0
%
Not Rated
0.2
%
[2]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Ultra Short Bond Fund
Class Name Investor Class Shares
Trading Symbol BUBSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Ultra Short Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BUBSX
$20
0.40%
[3]
Expenses Paid, Amount $ 20
Expense Ratio, Percent 0.40%
Net Assets $ 9,370,980,935
Holdings Count | $ / shares 382
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$9,370,980,935
Average Effective Duration
0.53 years
Number of Holdings
382
Average Effective Maturity
0.55 years
Portfolio Turnover Rate
49%
SEC 30-Day Yield
3.97%
Average Credit Quality
A+
SEC 30-Day Unsubsidized Yield
3.82%
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Corporate Bonds
53.8
%
U.S. Treasury Securities
21.2
%
Non-Agency CMBS
10.7
%
Asset-Backed Securities
9.2
%
Money Market Funds
3.8
%
Non-Agency RMBS
0.7
%
Municipal Bonds
0.6
%
Credit Rating Breakdown*
U.S. Treasury
21.5
%
U.S. Agency
0.0
%
AAA
22.6
%
AA
2.4
%
A
18.6
%
BBB
34.7
%
Below BBB
0.0
%
Not Rated
0.2
%
[4]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Short-Term Bond Fund
Class Name Institutional Class Shares
Trading Symbol BSBIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Short-Term Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BSBIX
$15
0.30%
[5]
Expenses Paid, Amount $ 15
Expense Ratio, Percent 0.30%
Net Assets $ 12,602,984,891
Holdings Count | $ / shares 507
Investment Company Portfolio Turnover 56.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$12,602,984,891
Average Effective Duration
1.86 years
Number of Holdings
507
Average Effective Maturity
2.01 years
Portfolio Turnover Rate
56%
SEC 30-Day Yield
4.26%
Average Credit Quality
A+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Corporate Bonds
50.7
%
U.S. Treasury Securities
32.5
%
Non-Agency CMBS
5.3
%
Money Market Funds
4.5
%
Non-Agency RMBS
3.4
%
Asset-Backed Securities
2.7
%
Municipal Bonds
0.6
%
Other Government Related Securities
0.3
%
Credit Rating Breakdown*
U.S. Treasury
33.8
%
U.S. Agency
0.0
%
AAA
12.2
%
AA
3.5
%
A
18.6
%
BBB
31.4
%
Below BBB
0.4
%
Not Rated
0.1
%
[6]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Short-Term Bond Fund
Class Name Investor Class Shares
Trading Symbol BSBSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Short-Term Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BSBSX
$27
0.55%
[7]
Expenses Paid, Amount $ 27
Expense Ratio, Percent 0.55%
Net Assets $ 12,602,984,891
Holdings Count | $ / shares 507
Investment Company Portfolio Turnover 56.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$12,602,984,891
Average Effective Duration
1.86 years
Number of Holdings
507
Average Effective Maturity
2.01 years
Portfolio Turnover Rate
56%
SEC 30-Day Yield
4.01%
Average Credit Quality
A+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Corporate Bonds
50.7
%
U.S. Treasury Securities
32.5
%
Non-Agency CMBS
5.3
%
Money Market Funds
4.5
%
Non-Agency RMBS
3.4
%
Asset-Backed Securities
2.7
%
Municipal Bonds
0.6
%
Other Government Related Securities
0.3
%
Credit Rating Breakdown*
U.S. Treasury
33.8
%
U.S. Agency
0.0
%
AAA
12.2
%
AA
3.5
%
A
18.6
%
BBB
31.4
%
Below BBB
0.4
%
Not Rated
0.1
%
[8]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Intermediate Bond Fund
Class Name Institutional Class Shares
Trading Symbol BIMIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Intermediate Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BIMIX
$15
0.30%
[9]
Expenses Paid, Amount $ 15
Expense Ratio, Percent 0.30%
Net Assets $ 13,270,246,566
Holdings Count | $ / shares 887
Investment Company Portfolio Turnover 26.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$13,270,246,566
Average Effective Duration
3.73 years
Number of Holdings
887
Average Effective Maturity
4.33 years
Portfolio Turnover Rate
26%
SEC 30-Day Yield
4.30%
Average Credit Quality
AA-
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Corporate Bonds
42.5
%
U.S. Treasury Securities
42.1
%
Non-Agency RMBS
4.7
%
Non-Agency CMBS
4.3
%
Money Market Funds
2.9
%
Asset-Backed Securities
1.8
%
Municipal Bonds
1.3
%
Other Government Related Securities
0.3
%
Agency CMBS
0.1
%
Agency RMBS
0.0
%
Credit Rating Breakdown*
U.S. Treasury
43.1
%
U.S. Agency
0.1
%
AAA
11.8
%
AA
4.1
%
A
16.1
%
BBB
24.7
%
Below BBB
0.1
%
Not Rated
0.0
%
[10]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Intermediate Bond Fund
Class Name Investor Class Shares
Trading Symbol BIMSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Intermediate Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BIMSX
$27
0.55%
[11]
Expenses Paid, Amount $ 27
Expense Ratio, Percent 0.55%
Net Assets $ 13,270,246,566
Holdings Count | $ / shares 887
Investment Company Portfolio Turnover 26.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$13,270,246,566
Average Effective Duration
3.73 years
Number of Holdings
887
Average Effective Maturity
4.33 years
Portfolio Turnover Rate
26%
SEC 30-Day Yield
4.05%
Average Credit Quality
AA-
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Corporate Bonds
42.5
%
U.S. Treasury Securities
42.1
%
Non-Agency RMBS
4.7
%
Non-Agency CMBS
4.3
%
Money Market Funds
2.9
%
Asset-Backed Securities
1.8
%
Municipal Bonds
1.3
%
Other Government Related Securities
0.3
%
Agency CMBS
0.1
%
Agency RMBS
0.0
%
Credit Rating Breakdown*
U.S. Treasury
43.1
%
U.S. Agency
0.1
%
AAA
11.8
%
AA
4.1
%
A
16.1
%
BBB
24.7
%
Below BBB
0.1
%
Not Rated
0.0
%
[12]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Aggregate Bond Fund
Class Name Institutional Class Shares
Trading Symbol BAGIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Aggregate Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BAGIX
$15
0.30%
[13]
Expenses Paid, Amount $ 15
Expense Ratio, Percent 0.30%
Net Assets $ 57,866,595,655
Holdings Count | $ / shares 2,061
Investment Company Portfolio Turnover 19.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$57,866,595,655
Average Effective Duration
5.88 years
Number of Holdings
2,061
Average Effective Maturity
7.88 years
Portfolio Turnover Rate
19%
SEC 30-Day Yield
4.40%
Average Credit Quality
AA-
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Corporate Bonds
38.6
%
U.S. Treasury Securities
30.2
%
Agency RMBS
17.0
%
Non-Agency RMBS
4.8
%
Non-Agency CMBS
4.5
%
Money Market Funds
2.1
%
Asset-Backed Securities
1.5
%
Agency CMBS
0.6
%
Municipal Bonds
0.4
%
Other Government Related Securities
0.3
%
Credit Rating Breakdown*
U.S. Treasury
30.7
%
U.S. Agency
17.8
%
AAA
11.4
%
AA
3.3
%
A
14.9
%
BBB
21.7
%
Below BBB
0.2
%
Not Rated
0.0
%
[14]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Aggregate Bond Fund
Class Name Investor Class Shares
Trading Symbol BAGSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Aggregate Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BAGSX
$27
0.55%
[15]
Expenses Paid, Amount $ 27
Expense Ratio, Percent 0.55%
Net Assets $ 57,866,595,655
Holdings Count | $ / shares 2,061
Investment Company Portfolio Turnover 19.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$57,866,595,655
Average Effective Duration
5.88 years
Number of Holdings
2,061
Average Effective Maturity
7.88 years
Portfolio Turnover Rate
19%
SEC 30-Day Yield
4.15%
Average Credit Quality
AA-
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Corporate Bonds
38.6
%
U.S. Treasury Securities
30.2
%
Agency RMBS
17.0
%
Non-Agency RMBS
4.8
%
Non-Agency CMBS
4.5
%
Money Market Funds
2.1
%
Asset-Backed Securities
1.5
%
Agency CMBS
0.6
%
Municipal Bonds
0.4
%
Other Government Related Securities
0.3
%
Credit Rating Breakdown*
U.S. Treasury
30.7
%
U.S. Agency
17.8
%
AAA
11.4
%
AA
3.3
%
A
14.9
%
BBB
21.7
%
Below BBB
0.2
%
Not Rated
0.0
%
[16]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Core Plus Bond Fund
Class Name Institutional Class Shares
Trading Symbol BCOIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Core Plus Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BCOIX
$15
0.30%
[17]
Expenses Paid, Amount $ 15
Expense Ratio, Percent 0.30%
Net Assets $ 46,191,296,535
Holdings Count | $ / shares 2,149
Investment Company Portfolio Turnover 20.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$46,191,296,535
Average Effective Duration
5.68 years
Number of Holdings
2,149
Average Effective Maturity
7.60 years
Portfolio Turnover Rate
20%
SEC 30-Day Yield
4.55%
Average Credit Quality
A+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Corporate Bonds
47.2
%
U.S. Treasury Securities
23.6
%
Agency RMBS
13.5
%
Non-Agency RMBS
5.5
%
Non-Agency CMBS
4.8
%
Money Market Funds
2.5
%
Asset-Backed Securities
1.5
%
Agency CMBS
0.6
%
Municipal Bonds
0.6
%
Other Government Related Securities
0.2
%
Credit Rating Breakdown*
U.S. Treasury
24.1
%
U.S. Agency
14.3
%
AAA
12.4
%
AA
3.1
%
A
16.4
%
BBB
27.3
%
Below BBB
2.3
%
Not Rated
0.1
%
[18]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Core Plus Bond Fund
Class Name Investor Class Shares
Trading Symbol BCOSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Core Plus Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BCOSX
$27
0.55%
[19]
Expenses Paid, Amount $ 27
Expense Ratio, Percent 0.55%
Net Assets $ 46,191,296,535
Holdings Count | $ / shares 2,149
Investment Company Portfolio Turnover 20.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$46,191,296,535
Average Effective Duration
5.68 years
Number of Holdings
2,149
Average Effective Maturity
7.60 years
Portfolio Turnover Rate
20%
SEC 30-Day Yield
4.29%
Average Credit Quality
A+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Corporate Bonds
47.2
%
U.S. Treasury Securities
23.6
%
Agency RMBS
13.5
%
Non-Agency RMBS
5.5
%
Non-Agency CMBS
4.8
%
Money Market Funds
2.5
%
Asset-Backed Securities
1.5
%
Agency CMBS
0.6
%
Municipal Bonds
0.6
%
Other Government Related Securities
0.2
%
Credit Rating Breakdown*
U.S. Treasury
24.1
%
U.S. Agency
14.3
%
AAA
12.4
%
AA
3.1
%
A
16.4
%
BBB
27.3
%
Below BBB
2.3
%
Not Rated
0.1
%
[20]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Short-Term Municipal Bond Fund
Class Name Institutional Class Shares
Trading Symbol BTMIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Short-Term Municipal Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BTMIX
$15
0.30%
[21]
Expenses Paid, Amount $ 15
Expense Ratio, Percent 0.30%
Net Assets $ 2,362,860,929
Holdings Count | $ / shares 1,835
Investment Company Portfolio Turnover 17.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$2,362,860,929
Average Effective Duration
2.27 years
Number of Holdings
1,835
Average Effective Maturity
2.54 years
Portfolio Turnover Rate
17%
SEC 30-Day Yield
3.16%
Average Credit Quality
A+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Revenue
62.3
%
General Obligation
26.4
%
Pre-Refunded ETM
7.0
%
Money Market Funds
2.6
%
U.S. Treasury Securities
1.7
%
Credit Rating Breakdown*
U.S. Treasury
1.7
%
U.S. Agency
0.0
%
AAA
13.5
%
AA
52.3
%
A
15.9
%
BBB
9.2
%
Below BBB
1.2
%
Not Rated
6.2
%
[22]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Short-Term Municipal Bond Fund
Class Name Investor Class Shares
Trading Symbol BTMSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Short-Term Municipal Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BTMSX
$27
0.55%
[23]
Expenses Paid, Amount $ 27
Expense Ratio, Percent 0.55%
Net Assets $ 2,362,860,929
Holdings Count | $ / shares 1,835
Investment Company Portfolio Turnover 17.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$2,362,860,929
Average Effective Duration
2.27 years
Number of Holdings
1,835
Average Effective Maturity
2.54 years
Portfolio Turnover Rate
17%
SEC 30-Day Yield
2.91%
Average Credit Quality
A+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Revenue
62.3
%
General Obligation
26.4
%
Pre-Refunded ETM
7.0
%
Money Market Funds
2.6
%
U.S. Treasury Securities
1.7
%
Credit Rating Breakdown*
U.S. Treasury
1.7
%
U.S. Agency
0.0
%
AAA
13.5
%
AA
52.3
%
A
15.9
%
BBB
9.2
%
Below BBB
1.2
%
Not Rated
6.2
%
[24]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Strategic Municipal Bond Fund
Class Name Institutional Class Shares
Trading Symbol BSNIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Strategic Municipal Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BSNIX
$15
0.30%
[25]
Expenses Paid, Amount $ 15
Expense Ratio, Percent 0.30%
Net Assets $ 3,694,565,242
Holdings Count | $ / shares 2,167
Investment Company Portfolio Turnover 20.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$3,694,565,242
Average Effective Duration
4.36 years
Number of Holdings
2,167
Average Effective Maturity
4.28 years
Portfolio Turnover Rate
20%
SEC 30-Day Yield
3.38%
Average Credit Quality
A+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Revenue
73.6
%
General Obligation
20.1
%
Pre-Refunded ETM
4.3
%
U.S. Treasury Securities
1.9
%
Money Market Funds
0.1
%
Credit Rating Breakdown*
U.S. Treasury
1.9
%
U.S. Agency
0.0
%
AAA
11.2
%
AA
51.3
%
A
21.7
%
BBB
8.2
%
Below BBB
1.3
%
Not Rated
4.4
%
[26]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Strategic Municipal Bond Fund
Class Name Investor Class Shares
Trading Symbol BSNSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Strategic Municipal Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BSNSX
$28
0.55%
[27]
Expenses Paid, Amount $ 28
Expense Ratio, Percent 0.55%
Net Assets $ 3,694,565,242
Holdings Count | $ / shares 2,167
Investment Company Portfolio Turnover 20.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$3,694,565,242
Average Effective Duration
4.36 years
Number of Holdings
2,167
Average Effective Maturity
4.28 years
Portfolio Turnover Rate
20%
SEC 30-Day Yield
3.13%
Average Credit Quality
A+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Revenue
73.6
%
General Obligation
20.1
%
Pre-Refunded ETM
4.3
%
U.S. Treasury Securities
1.9
%
Money Market Funds
0.1
%
Credit Rating Breakdown*
U.S. Treasury
1.9
%
U.S. Agency
0.0
%
AAA
11.2
%
AA
51.3
%
A
21.7
%
BBB
8.2
%
Below BBB
1.3
%
Not Rated
4.4
%
[28]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Quality Intermediate Municipal Bond Fund
Class Name Institutional Class Shares
Trading Symbol BMBIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Quality Intermediate Municipal Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BMBIX
$15
0.30%
[29]
Expenses Paid, Amount $ 15
Expense Ratio, Percent 0.30%
Net Assets $ 1,098,502,962
Holdings Count | $ / shares 738
Investment Company Portfolio Turnover 13.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$1,098,502,962
Average Effective Duration
4.57 years
Number of Holdings
738
Average Effective Maturity
4.67 years
Portfolio Turnover Rate
13%
SEC 30-Day Yield
3.06%
Average Credit Quality
AA+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Revenue
37.1
%
Pre-Refunded ETM
36.7
%
General Obligation
23.9
%
Money Market Funds
1.4
%
U.S. Treasury Securities
0.9
%
Credit Rating Breakdown*
U.S. Treasury
0.9
%
U.S. Agency
0.0
%
AAA
23.2
%
AA
75.6
%
A
0.3
%
BBB
0.0
%
Below BBB
0.0
%
Not Rated
0.0
%
[30]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Quality Intermediate Municipal Bond Fund
Class Name Investor Class Shares
Trading Symbol BMBSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Quality Intermediate Municipal Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BMBSX
$27
0.55%
[31]
Expenses Paid, Amount $ 27
Expense Ratio, Percent 0.55%
Net Assets $ 1,098,502,962
Holdings Count | $ / shares 738
Investment Company Portfolio Turnover 13.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$1,098,502,962
Average Effective Duration
4.57 years
Number of Holdings
738
Average Effective Maturity
4.67 years
Portfolio Turnover Rate
13%
SEC 30-Day Yield
2.81%
Average Credit Quality
AA+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Revenue
37.1
%
Pre-Refunded ETM
36.7
%
General Obligation
23.9
%
Money Market Funds
1.4
%
U.S. Treasury Securities
0.9
%
Credit Rating Breakdown*
U.S. Treasury
0.9
%
U.S. Agency
0.0
%
AAA
23.2
%
AA
75.6
%
A
0.3
%
BBB
0.0
%
Below BBB
0.0
%
Not Rated
0.0
%
[32]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Core Intermediate Municipal Bond Fund
Class Name Institutional Class Shares
Trading Symbol BMNIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Core Intermediate Municipal Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BMNIX
$15
0.30%
[33]
Expenses Paid, Amount $ 15
Expense Ratio, Percent 0.30%
Net Assets $ 6,865,878,141
Holdings Count | $ / shares 4,134
Investment Company Portfolio Turnover 11.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$6,865,878,141
Average Effective Duration
4.95 years
Number of Holdings
4,134
Average Effective Maturity
4.87 years
Portfolio Turnover Rate
11%
SEC 30-Day Yield
3.41%
Average Credit Quality
AA-
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Revenue
66.7
%
General Obligation
27.1
%
Pre-Refunded ETM
4.6
%
U.S. Treasury Securities
1.5
%
Money Market Funds
0.1
%
Credit Rating Breakdown*
U.S. Treasury
1.5
%
U.S. Agency
0.0
%
AAA
10.4
%
AA
60.1
%
A
17.5
%
BBB
6.8
%
Below BBB
0.9
%
Not Rated
2.8
%
[34]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Core Intermediate Municipal Bond Fund
Class Name Investor Class Shares
Trading Symbol BMNSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Core Intermediate Municipal Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BMNSX
$28
0.55%
[35]
Expenses Paid, Amount $ 28
Expense Ratio, Percent 0.55%
Net Assets $ 6,865,878,141
Holdings Count | $ / shares 4,134
Investment Company Portfolio Turnover 11.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$6,865,878,141
Average Effective Duration
4.95 years
Number of Holdings
4,134
Average Effective Maturity
4.87 years
Portfolio Turnover Rate
11%
SEC 30-Day Yield
3.16%
Average Credit Quality
AA-
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Revenue
66.7
%
General Obligation
27.1
%
Pre-Refunded ETM
4.6
%
U.S. Treasury Securities
1.5
%
Money Market Funds
0.1
%
Credit Rating Breakdown*
U.S. Treasury
1.5
%
U.S. Agency
0.0
%
AAA
10.4
%
AA
60.1
%
A
17.5
%
BBB
6.8
%
Below BBB
0.9
%
Not Rated
2.8
%
[36]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Municipal Bond Fund
Class Name Institutional Class Shares
Trading Symbol BMQIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Municipal Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BMQIX
$15
0.30%
[37]
Expenses Paid, Amount $ 15
Expense Ratio, Percent 0.30%
Net Assets $ 957,935,465
Holdings Count | $ / shares 994
Investment Company Portfolio Turnover 8.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$957,935,465
Average Effective Duration
6.58 years
Number of Holdings
994
Average Effective Maturity
6.58 years
Portfolio Turnover Rate
8%
SEC 30-Day Yield
3.69%
Average Credit Quality
A+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Revenue
73.1
%
General Obligation
24.5
%
Pre-Refunded ETM
2.0
%
U.S. Treasury Securities
0.2
%
Money Market Funds
0.2
%
Credit Rating Breakdown*
U.S. Treasury
0.2
%
U.S. Agency
0.0
%
AAA
9.3
%
AA
55.7
%
A
21.1
%
BBB
7.9
%
Below BBB
1.2
%
Not Rated
4.6
%
[38]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Municipal Bond Fund
Class Name Investor Class Shares
Trading Symbol BMQSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Municipal Bond Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BMQSX
$28
0.55%
[39]
Expenses Paid, Amount $ 28
Expense Ratio, Percent 0.55%
Net Assets $ 957,935,465
Holdings Count | $ / shares 994
Investment Company Portfolio Turnover 8.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$957,935,465
Average Effective Duration
6.58 years
Number of Holdings
994
Average Effective Maturity
6.58 years
Portfolio Turnover Rate
8%
SEC 30-Day Yield
3.44%
Average Credit Quality
A+
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Security Type Breakdown
Revenue
73.1
%
General Obligation
24.5
%
Pre-Refunded ETM
2.0
%
U.S. Treasury Securities
0.2
%
Money Market Funds
0.2
%
Credit Rating Breakdown*
U.S. Treasury
0.2
%
U.S. Agency
0.0
%
AAA
9.3
%
AA
55.7
%
A
21.1
%
BBB
7.9
%
Below BBB
1.2
%
Not Rated
4.6
%
[40]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Mid Cap Growth Fund
Class Name Institutional Class Shares
Trading Symbol BMDIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Mid Cap Growth Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BMDIX
$44
0.85%
[41]
Expenses Paid, Amount $ 44
Expense Ratio, Percent 0.85%
Net Assets $ 638,459,633
Holdings Count | $ / shares 52
Investment Company Portfolio Turnover 43.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$638,459,633
Portfolio Turnover Rate
43%
Number of Holdings
52
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Top 10 Holdings
Woodward, Inc.
3.3
%
Twilio, Inc. - Class A
3.0
%
Illumina, Inc.
3.0
%
Victoria’s Secret & Co.
2.8
%
Fastenal Co.
2.7
%
XPO, Inc.
2.7
%
Hubbell, Inc.
2.6
%
Dutch Bros, Inc. - Class A
2.6
%
HEICO Corp.
2.4
%
Ferguson Enterprises, Inc.
2.4
%
Sector Breakdown*
Industrials
36.9
%
Consumer Discretionary
20.0
%
Health Care
16.5
%
Information Technology
14.9
%
Consumer Staples
3.4
%
Financials
2.3
%
Energy
2.0
%
Communication Services
1.9
%
Money Market Funds
2.1
%
[42]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Mid Cap Growth Fund
Class Name Investor Class Shares
Trading Symbol BMDSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Mid Cap Growth Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BMDSX
$57
1.10%
[43]
Expenses Paid, Amount $ 57
Expense Ratio, Percent 1.10%
Net Assets $ 638,459,633
Holdings Count | $ / shares 52
Investment Company Portfolio Turnover 43.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$638,459,633
Portfolio Turnover Rate
43%
Number of Holdings
52
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Top 10 Holdings
Woodward, Inc.
3.3
%
Twilio, Inc. - Class A
3.0
%
Illumina, Inc.
3.0
%
Victoria’s Secret & Co.
2.8
%
Fastenal Co.
2.7
%
XPO, Inc.
2.7
%
Hubbell, Inc.
2.6
%
Dutch Bros, Inc. - Class A
2.6
%
HEICO Corp.
2.4
%
Ferguson Enterprises, Inc.
2.4
%
Sector Breakdown*
Industrials
36.9
%
Consumer Discretionary
20.0
%
Health Care
16.5
%
Information Technology
14.9
%
Consumer Staples
3.4
%
Financials
2.3
%
Energy
2.0
%
Communication Services
1.9
%
Money Market Funds
2.1
%
[44]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Small/Mid Cap Growth Fund
Class Name Institutional Class Shares
Trading Symbol BSGIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Small/Mid Cap Growth Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BSGIX
$45
0.85%
[45]
Expenses Paid, Amount $ 45
Expense Ratio, Percent 0.85%
Net Assets $ 77,568,127
Holdings Count | $ / shares 60
Investment Company Portfolio Turnover 54.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$77,568,127
Portfolio Turnover Rate
54%
Number of Holdings
60
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Top 10 Holdings
First American Government Obligations Fund - Class U
3.5
%
Neurocrine Biosciences, Inc.
3.2
%
Curtiss-Wright Corp.
3.2
%
Twist Bioscience Corp.
3.0
%
Victoria’s Secret & Co.
2.7
%
Dutch Bros, Inc. - Class A
2.6
%
FTAI Aviation Ltd.
2.5
%
Twilio, Inc. - Class A
2.4
%
UL Solutions, Inc.
2.2
%
Woodward, Inc.
2.2
%
Sector Breakdown*
Industrials
26.2
%
Health Care
24.6
%
Information Technology
17.2
%
Consumer Discretionary
16.4
%
Financials
6.3
%
Consumer Staples
2.7
%
Real Estate
1.7
%
Energy
1.4
%
Money Market Funds
3.5
%
[46]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Small/Mid Cap Growth Fund
Class Name Investor Class Shares
Trading Symbol BSGSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Small/Mid Cap Growth Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BSGSX
$58
1.10%
[47]
Expenses Paid, Amount $ 58
Expense Ratio, Percent 1.10%
Net Assets $ 77,568,127
Holdings Count | $ / shares 60
Investment Company Portfolio Turnover 54.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$77,568,127
Portfolio Turnover Rate
54%
Number of Holdings
60
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Top 10 Holdings
First American Government Obligations Fund - Class U
3.5
%
Neurocrine Biosciences, Inc.
3.2
%
Curtiss-Wright Corp.
3.2
%
Twist Bioscience Corp.
3.0
%
Victoria’s Secret & Co.
2.7
%
Dutch Bros, Inc. - Class A
2.6
%
FTAI Aviation Ltd.
2.5
%
Twilio, Inc. - Class A
2.4
%
UL Solutions, Inc.
2.2
%
Woodward, Inc.
2.2
%
Sector Breakdown*
Industrials
26.2
%
Health Care
24.6
%
Information Technology
17.2
%
Consumer Discretionary
16.4
%
Financials
6.3
%
Consumer Staples
2.7
%
Real Estate
1.7
%
Energy
1.4
%
Money Market Funds
3.5
%
[48]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Equity Opportunity Fund
Class Name Institutional Class Shares
Trading Symbol BSVIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Equity Opportunity Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | BSVIX
$64
1.25%
[49]
Expenses Paid, Amount $ 64
Expense Ratio, Percent 1.25%
Net Assets $ 77,254,101
Holdings Count | $ / shares 36
Investment Company Portfolio Turnover 36.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$77,254,101
Portfolio Turnover Rate
36%
Number of Holdings
36
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Top 10 Holdings
First American Government Obligations Fund - Class U
12.1
%
NCR Voyix Corp.
7.1
%
NeoGenomics, Inc.
5.3
%
Sportradar Group AG - Class A
5.3
%
RBC Bearings, Inc.
5.1
%
HealthEquity, Inc.
4.6
%
Norwegian Cruise Line Holdings Ltd.
4.4
%
Hayward Holdings, Inc.
4.1
%
BILL Holdings, Inc.
4.1
%
State Street SPDR S&P Biotech ETF
3.9
%
Sector Breakdown*
Information Technology
20.5
%
Health Care
20.4
%
Industrials
16.3
%
Consumer Discretionary
15.7
%
Energy
6.6
%
Materials
3.5
%
Financials
3.1
%
Communication Services
1.8
%
Money Market Funds
12.1
%
[50]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Equity Opportunity Fund
Class Name Investor Class Shares
Trading Symbol BSVSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Equity Opportunity Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | BSVSX
$76
1.50%
[51]
Expenses Paid, Amount $ 76
Expense Ratio, Percent 1.50%
Net Assets $ 77,254,101
Holdings Count | $ / shares 36
Investment Company Portfolio Turnover 36.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$77,254,101
Portfolio Turnover Rate
36%
Number of Holdings
36
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Top 10 Holdings
First American Government Obligations Fund - Class U
12.1
%
NCR Voyix Corp.
7.1
%
NeoGenomics, Inc.
5.3
%
Sportradar Group AG - Class A
5.3
%
RBC Bearings, Inc.
5.1
%
HealthEquity, Inc.
4.6
%
Norwegian Cruise Line Holdings Ltd.
4.4
%
Hayward Holdings, Inc.
4.1
%
BILL Holdings, Inc.
4.1
%
State Street SPDR S&P Biotech ETF
3.9
%
Sector Breakdown*
Information Technology
20.5
%
Health Care
20.4
%
Industrials
16.3
%
Consumer Discretionary
15.7
%
Energy
6.6
%
Materials
3.5
%
Financials
3.1
%
Communication Services
1.8
%
Money Market Funds
12.1
%
[52]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Chautauqua International Growth Fund
Class Name Institutional Class Shares
Trading Symbol CCWIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Chautauqua International Growth Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | CCWIX
$39
0.80%
[53]
Expenses Paid, Amount $ 39
Expense Ratio, Percent 0.80%
Net Assets $ 1,304,212,918
Holdings Count | $ / shares 29
Investment Company Portfolio Turnover 25.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$1,304,212,918
Portfolio Turnover Rate
25%
Number of Holdings
29
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Geographic Breakdown
Japan
15.4
%
United States
13.9
%
China
12.3
%
Canada
10.5
%
Taiwan, Province of China
10.0
%
Netherlands
9.1
%
Singapore
7.7
%
Denmark
5.9
%
Switzerland
5.1
%
Other Countries
10.1
%
Top 10 Holdings
Taiwan Semiconductor Manufacturing Co. Ltd.
10.0
%
ASML Holding NV
6.6
%
Keyence Corp.
5.3
%
Waste Connections, Inc.
5.1
%
DBS Group Holdings Ltd.
4.6
%
Safran SA
4.1
%
Recruit Holdings Co. Ltd.
4.0
%
FANUC Corp.
4.0
%
BeOne Medicines Ltd.
3.9
%
Genmab AS
3.9
%
Sector Breakdown*
Information Technology
27.6
%
Industrials
23.8
%
Health Care
15.6
%
Consumer Discretionary
12.8
%
Financials
10.4
%
Utilities
3.5
%
Real Estate
3.3
%
Money Market Funds
3.0
%
[54]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Chautauqua International Growth Fund
Class Name Investor Class Shares
Trading Symbol CCWSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Chautauqua International Growth Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | CCWSX
$51
1.05%
[55]
Expenses Paid, Amount $ 51
Expense Ratio, Percent 1.05%
Net Assets $ 1,304,212,918
Holdings Count | $ / shares 29
Investment Company Portfolio Turnover 25.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$1,304,212,918
Portfolio Turnover Rate
25%
Number of Holdings
29
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Geographic Breakdown
Japan
15.4
%
United States
13.9
%
China
12.3
%
Canada
10.5
%
Taiwan, Province of China
10.0
%
Netherlands
9.1
%
Singapore
7.7
%
Denmark
5.9
%
Switzerland
5.1
%
Other Countries
10.1
%
Top 10 Holdings
Taiwan Semiconductor Manufacturing Co. Ltd.
10.0
%
ASML Holding NV
6.6
%
Keyence Corp.
5.3
%
Waste Connections, Inc.
5.1
%
DBS Group Holdings Ltd.
4.6
%
Safran SA
4.1
%
Recruit Holdings Co. Ltd.
4.0
%
FANUC Corp.
4.0
%
BeOne Medicines Ltd.
3.9
%
Genmab AS
3.9
%
Sector Breakdown*
Information Technology
27.6
%
Industrials
23.8
%
Health Care
15.6
%
Consumer Discretionary
12.8
%
Financials
10.4
%
Utilities
3.5
%
Real Estate
3.3
%
Money Market Funds
3.0
%
[56]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Institutional Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Chautauqua Global Growth Fund
Class Name Institutional Class Shares
Trading Symbol CCGIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Chautauqua Global Growth Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Institutional Class Shares | CCGIX
$40
0.80%
[57]
Expenses Paid, Amount $ 40
Expense Ratio, Percent 0.80%
Net Assets $ 447,368,875
Holdings Count | $ / shares 39
Investment Company Portfolio Turnover 20.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$447,368,875
Portfolio Turnover Rate
20%
Number of Holdings
39
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Geographic Breakdown
United States
41.1
%
Japan
9.2
%
China
8.0
%
Canada
7.5
%
Netherlands
7.3
%
Taiwan, Province of China
6.3
%
Singapore
5.3
%
Denmark
4.1
%
France
3.3
%
Other Countries
7.9
%
Top 10 Holdings
Taiwan Semiconductor Manufacturing Co. Ltd.
6.3
%
ASML Holding NV
5.4
%
Incyte Corp.
4.4
%
Alphabet, Inc. - Class A
4.2
%
Mastercard, Inc. - Class A
4.0
%
Amazon.com, Inc.
3.7
%
Waste Connections, Inc.
3.7
%
Charles Schwab Corp.
3.6
%
TJX Cos., Inc.
3.5
%
Safran SA
3.3
%
Sector Breakdown*
Information Technology
23.9
%
Health Care
18.0
%
Industrials
16.9
%
Consumer Discretionary
15.9
%
Financials
15.2
%
Communication Services
4.2
%
Utilities
2.2
%
Real Estate
2.1
%
Money Market Funds
1.6
%
[58]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
Investor Class Shares  
Shareholder Report [Line Items]  
Fund Name Baird Chautauqua Global Growth Fund
Class Name Investor Class Shares
Trading Symbol CCGSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Baird Chautauqua Global Growth Fund   (the “Fund”) for the period of January 1, 2026 to June 30, 2026.
Additional Information [Text Block] You can find additional information about the Fund at www.bairdassetmanagement.com/funddocuments. You can also request this information by contacting us at 1-866-442-2473.
Additional Information Phone Number 1-866-442-2473
Additional Information Website www.bairdassetmanagement.com/funddocuments
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS? (based on a hypothetical $10,000 investment)
Fund Share Class
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment*
Investor Class Shares | CCGSX
$52
1.05%
[59]
Expenses Paid, Amount $ 52
Expense Ratio, Percent 1.05%
Net Assets $ 447,368,875
Holdings Count | $ / shares 39
Investment Company Portfolio Turnover 20.00%
Additional Fund Statistics [Text Block]
KEY FUND STATISTICS (as of June 30, 2026)
Net Assets
$447,368,875
Portfolio Turnover Rate
20%
Number of Holdings
39
Holdings [Text Block]
WHAT DID THE FUND INVEST IN?  (% of total investments as of June 30, 2026)
Geographic Breakdown
United States
41.1
%
Japan
9.2
%
China
8.0
%
Canada
7.5
%
Netherlands
7.3
%
Taiwan, Province of China
6.3
%
Singapore
5.3
%
Denmark
4.1
%
France
3.3
%
Other Countries
7.9
%
Top 10 Holdings
Taiwan Semiconductor Manufacturing Co. Ltd.
6.3
%
ASML Holding NV
5.4
%
Incyte Corp.
4.4
%
Alphabet, Inc. - Class A
4.2
%
Mastercard, Inc. - Class A
4.0
%
Amazon.com, Inc.
3.7
%
Waste Connections, Inc.
3.7
%
Charles Schwab Corp.
3.6
%
TJX Cos., Inc.
3.5
%
Safran SA
3.3
%
Sector Breakdown*
Information Technology
23.9
%
Health Care
18.0
%
Industrials
16.9
%
Consumer Discretionary
15.9
%
Financials
15.2
%
Communication Services
4.2
%
Utilities
2.2
%
Real Estate
2.1
%
Money Market Funds
1.6
%
[60]
Updated Prospectus Web Address www.bairdassetmanagement.com/funddocuments
[1]
* Annualized
[2]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest).
[3]
* Annualized
[4]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest).
[5]
* Annualized
[6]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest).
[7]
* Annualized
[8]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest).
[9]
* Annualized
[10]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest).
[11]
* Annualized
[12]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest).
[13]
* Annualized
[14]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest).
[15]
* Annualized
[16]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest).
[17]
* Annualized
[18]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest).
[19]
* Annualized
[20]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest).
[21]
* Annualized
[22]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest). For pre-refunded securities, the reported credit quality reflects the highest reported rating from an NRSRO for the underlying collateral.
[23]
* Annualized
[24]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest). For pre-refunded securities, the reported credit quality reflects the highest reported rating from an NRSRO for the underlying collateral.
[25]
* Annualized
[26]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest). For pre-refunded securities, the reported credit quality reflects the highest reported rating from an NRSRO for the underlying collateral.
[27]
* Annualized
[28]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest). For pre-refunded securities, the reported credit quality reflects the highest reported rating from an NRSRO for the underlying collateral.
[29]
* Annualized
[30]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest). For pre-refunded securities, the reported credit quality reflects the highest reported rating from an NRSRO for the underlying collateral.
[31]
* Annualized
[32]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest). For pre-refunded securities, the reported credit quality reflects the highest reported rating from an NRSRO for the underlying collateral.
[33]
* Annualized
[34]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest). For pre-refunded securities, the reported credit quality reflects the highest reported rating from an NRSRO for the underlying collateral.
[35]
* Annualized
[36]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest). For pre-refunded securities, the reported credit quality reflects the highest reported rating from an NRSRO for the underlying collateral.
[37]
* Annualized
[38]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest). For pre-refunded securities, the reported credit quality reflects the highest reported rating from an NRSRO for the underlying collateral.
[39]
* Annualized
[40]
* The credit rating quality profile is calculated on a market value-weighted basis and includes accrued interest as of the end of the period using the highest credit quality rating for each security held by the Fund given by a Nationally Recognized Statistical Rating Organization (NRSRO). NRSROs rate the credit quality of securities using a scale that generally ranges from AAA (highest) to D (lowest). For pre-refunded securities, the reported credit quality reflects the highest reported rating from an NRSRO for the underlying collateral.
[41]
* Annualized
[42]
* The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS® is a service mark of MSCI and S&P and has been licensed for use by U.S. Bank Global Fund Services.
[43]
* Annualized
[44]
* The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS® is a service mark of MSCI and S&P and has been licensed for use by U.S. Bank Global Fund Services.
[45]
* Annualized
[46]
* The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS® is a service mark of MSCI and S&P and has been licensed for use by U.S. Bank Global Fund Services.
[47]
* Annualized
[48]
* The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS® is a service mark of MSCI and S&P and has been licensed for use by U.S. Bank Global Fund Services.
[49]
* Annualized
[50]
* The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS® is a service mark of MSCI and S&P and has been licensed for use by U.S. Bank Global Fund Services.
[51]
* Annualized
[52]
* The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS® is a service mark of MSCI and S&P and has been licensed for use by U.S. Bank Global Fund Services.
[53]
* Annualized
[54]
* The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS® is a service mark of MSCI and S&P and has been licensed for use by U.S. Bank Global Fund Services.
[55]
* Annualized
[56]
* The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS® is a service mark of MSCI and S&P and has been licensed for use by U.S. Bank Global Fund Services.
[57]
* Annualized
[58]
* The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS® is a service mark of MSCI and S&P and has been licensed for use by U.S. Bank Global Fund Services.
[59]
* Annualized
[60]
* The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS® is a service mark of MSCI and S&P and has been licensed for use by U.S. Bank Global Fund Services.