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Emerging Markets Portfolio (I)


Inception DateTicker SymbolCUSIP Number
April 25, 1994DFEMX233203785
The Emerging Markets Portfolio is a no-load mutual fund designed to achieve long-term capital appreciation. The Portfolio pursues its objective by investing substantially all of its assets in its corresponding Master Fund, The Emerging Markets Series. The Master Fund purchases a broad market coverage of larger companies associated with a diverse group of countries, which may include both emerging and frontier markets, that Dimensional has designated as approved markets.

For a full description, please consult the Portfolio's prospectus.
Updated Daily
DateClosing PriceNAV Change$NAV Change %
April 17, 2014$26.37$0.200.76%
Updated Monthly
DateTotal Net Assets
March 31, 2014$3,810,047,629.81
Updated Daily
Total Returns Year-to-Date
April 17, 2014 1.58%
Updated Monthly
Total Returns One Month Three Month Year-to-Date
March 31, 2014 3.48% -0.27% -0.27%
Updated Monthly
Average Annual Total Returns One Year Five Years Ten Years Since Inception
March 31, 2014 -1.28% 15.03% 10.84% 7.61%
Updated Quarterly
Average Annual Total Returns One Year Five Years Ten Years Since Inception
As of March 31, 2014 -1.28% 15.03% 10.84% 7.61%
Annual ExpensesNet Expense Ratio (to investor)Total Operating Expense Ratio
Operating Expense ratios as of 10/31/2013. The fund's prospectus contains more information on fees and expenses.
Performance data shown represents past performance and is no guarantee of future results. Current performance may be higher or lower than the performance shown. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. To obtain performance data current to the most recent month-end, visit
Last 12 Months
TypeAmount per ShareRecord DateEx-dividend DatePayable DateEx-dividend Price
Dividend$0.1570 USD12/11/201312/12/201312/13/2013$25.54 USD
Long-Term Gain$0.1560 USD12/11/201312/12/201312/13/2013$25.54 USD
Dividend$0.1680 USD09/9/201309/10/201309/11/2013$25.85 USD
Dividend$0.2000 USD06/7/201306/10/201306/11/2013$25.44 USD
Top Holdings (1048 Total)
As of March 31, 2014% of portfolio
Samsung Electronics Co Lt3.43
Taiwan Semiconductor Manu2.64
Tencent Holdings Ltd1.46
Petroleo Brasileiro SA1.42
Gazprom OAO1.34
Naspers Ltd1.26
Vale SA1.14
Itau Unibanco Holding SA1.12
China Mobile Ltd1.07
China Construction Bank C1.06
Banco Bradesco SA1.05
MTN Group Ltd0.99
America Movil SAB de CV0.97
Industrial & Commercial B0.95
Hon Hai Precision Industr0.93
Hyundai Motor Co0.92
Sasol Ltd0.91
Lukoil OAO0.79
Bank of China Ltd0.74
Sector Allocations
As of March 31, 2014% of portfolio
Financials 25.3
Information Technology 16.3
Energy 10.6
Materials 10.2
Consumer Discretionary 9.6
Consumer Staples 8.5
Industrials 7.5
Telecommunication Services 6.6
Utilities 3.5
Health Care 1.8
Other 0.0
Sectors defined by MSCI
Market Risk
Even a long-term investment approach cannot guarantee a profit. Economic, political, and issuer-specific events will cause the value of securities, and the funds that own them, to rise or fall. Because the value of your investment in a fund will fluctuate, there is a risk that you will lose money.

Foreign Securities and Currencies Risk
Foreign securities prices may decline or fluctuate because of: (a) economic or political actions of foreign governments, and/or (b) less regulated or liquid securities markets. Investors holding these securities are also exposed to foreign currency risk (the possibility that foreign currency will fluctuate in value against the US dollar).

Small Company Risk
Securities of small companies are often less liquid than those of large companies. As a result, small company stocks may fluctuate relatively more in price. In general, small companies are also more vulnerable than larger companies to adverse business or economic developments and they may have more limited resources.

Emerging Markets Risk
Numerous emerging countries have recently experienced serious, and potentially continuing, economic and political problems. Stock markets in many emerging countries are relatively small, expensive and risky. Foreigners are often limited in their ability to invest in, and withdraw assets from, these markets. Additional restrictions may be imposed under other conditions.

Dimensional Fund Advisors is an investment advisor registered with the Securities and Exchange Commission. Consider the investment objectives, risks, and charges and expenses of the Dimensional funds carefully before investing. For this and other information about the Dimensional funds, please read the prospectus carefully before investing. Prospectuses are available by calling Dimensional Fund Advisors collect at (512) 306-7400 or at

Mutual funds distributed by DFA Securities LLC.

These Net Asset Values ("NAVs") have been prepared by the fund accounting agent. Dimensional Fund Advisors reserves the right to restate these NAV figures, if necessary, at any time.

Top Holdings data provided by State Street.