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Global Equity Portfolio (R2)


Inception DateTicker SymbolCUSIP Number
December 24, 2003DGERX25434D682
The Global Equity Portfolio is a no-load mutual fund designed to achieve long-term capital appreciation. The Portfolio generally allocates its assets to a combination of underlying US, international, and emerging markets equity funds.

For a full description, please consult the Portfolio's prospectus.
Updated Daily
DateClosing PriceNAV Change$NAV Change %
August 19, 2014$19.06$0.070.37%
Updated Monthly
DateTotal Net Assets
July 31, 2014$10,418,015.02
Updated Daily
Total Returns Year-to-Date
August 19, 2014 6.16%
Updated Monthly
Total Returns One Month Three Month Year-to-Date
July 31, 2014 -2.35% 1.88% 4.04%
Updated Monthly
Average Annual Total Returns One Year Five Years Ten Years Since Inception
July 31, 2014 15.77% 14.59% 8.47% 8.33%
Updated Quarterly
Average Annual Total Returns One Year Five Years Ten Years Since Inception
As of June 30, 2014 25.12% 17.21% 8.31% 8.65%
Annual ExpensesNet Expense Ratio (to investor)Total Operating Expense Ratio
Operating Expense ratio as of 10/31/2013. The net expense ratio takes into account contractual management fee waivers/caps and expense assumption agreements that are in effect through 2/28/2015. An amount up to 0.25% of the average net assets of the Portfolio's Class R2 shares may be used to compensate service agents that provide shareholder servicing, record keeping, account maintenance and other services to investors.
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$0.1093 USD06/6/201406/9/201406/10/2014$19.01 USD
Dividend$0.0432 USD03/7/201403/10/201403/11/2014$18.36 USD
Dividend$0.0840 USD12/11/201312/12/201312/13/2013$17.31 USD
Dividend$0.0560 USD09/9/201309/10/201309/11/2013$16.65 USD
Top Holdings (11972 Total)
As of July 31, 2014Weight
Exxon Mobil Corp1.48
Apple Inc1.18
AT&T Inc0.74
Wells Fargo & Co0.74
Chevron Corp0.72
JPMorgan Chase & Co0.63
Intel Corp0.60
General Electric Co0.59
Pfizer Inc0.54
Verizon Communications In0.49
Microsoft Corp0.48
Johnson & Johnson0.46
Comcast Corp0.45
Citigroup Inc0.39
Merck & Co Inc0.39
Cisco Systems Inc0.38
Royal Dutch Shell PLC0.36
Bank of America Corp0.35
Walt Disney Co/The0.34
Sector Allocations
As of July 31, 2014% of portfolio
Financials 18.5
Industrials 14.1
Consumer Discretionary 13.7
Information Technology 13.2
Energy 10.7
Health Care 8.7
Materials 7.4
Consumer Staples 6.6
Telecommunication Services 3.0
Utilities 2.5
REITs 1.5
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.

Fund of Funds Risk
The investment performance of each Portfolio is affected by the investment performance of the Underlying Funds in which the Portfolio invests. The ability of a Portfolio to achieve its investment objective depends on the ability of the Underlying Funds to meet their investment objectives and on the Advisor's decisions regarding the allocation of the Portfolio's assets among the Underlying Funds. There can be no assurance that the investment objective of any Portfolio or Underlying Fund will be achieved. Through their investments in the Underlying Funds, the Portfolios are subject to the risks of the Underlying Funds investments. The risks of the Underlying Funds may include Market Risk, Small Company Risk, Risks of Concentrating in the Real Estate Industry, Emerging Markets Risk, Interest Rate Risk, Credit Risk, and Risks of Banking Concentration. For more details regarding these risks, please see the DIG Global Portfolios Prospectus.

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.