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Dimensional Fund Advisors

CIK 0000354204 · SEC 13F-HR filings · 50 holdings · Q2 2026

Holdings detail for selected institution and quarter
Issuer Ticker Shares Value (USD) Δ Shares Δ Value Type
NVIDIA CORPORATIONNVDA81,389,725$16.3B+74.3M$15.0BShares
APPLE INCAAPL50,924,129$14.7B+46.5M$13.6BShares
MICROSOFT CORPMSFT25,753,522$9.6B+999K$443MShares
AMAZON COM INCAMZN35,864,736$8.5B+2.9M$1.7BShares
MICRON TECHNOLOGY INCMU5,918,199$6.8B-177K$4.8BShares
JPMORGAN CHASE & COJPM17,450,406$5.7B+398K$696MShares
ALPHABET INCGOOGL15,710,466$5.6B-438K$971MShares
META PLATFORMS INCMETA9,559,189$5.4B+623K$272MShares
ALPHABET INCGOOG12,372,059$4.4B-555K$663MShares
ELI LILLY & COLLY3,575,603$4.3B+100K$1.1BShares
BROADCOM INCAVGO10,916,139$4.1B+330K$847MShares
JOHNSON & JOHNSONJNJ13,720,369$3.5B-618K$-20MShares
EXXON MOBIL CORPXOM25,278,534$3.5B-491K$-916MShares
BERKSHIRE HATHAWAY INC DELBRKB6,685,485$3.3B+131K$204MShares
CISCO SYS INCCSCO23,399,950$2.7B-1.9M$784MShares
VISA INCV7,944,946$2.7B+186K$381MShares
CATERPILLAR INCCAT2,455,009$2.6B+3K$877MShares
LAM RESEARCH CORPLRCX5,181,382$2.2B-370K$1.1BShares
INTEL CORPINTC15,149,966$2.1BNew$2.1BNEW POSITIONShares
ADVANCED MICRO DEVICES INCAMD3,479,433$2.0BNew$2.0BNEW POSITIONShares
CHEVRON CORPORATIONCVX12,097,942$2.0B-202K$-539MShares
MASTERCARD INCORPORATEDMA3,810,666$2.0B+33K$69MShares
MERCK & CO INCMRK14,963,562$1.9B+1.8M$335MShares
ASML HLDG NVASML966,071$1.9B+53K$716MShares
TESLA INCTSLA4,491,203$1.9B-37K$206MShares
SHELL PLCSHEL24,233,749$1.9B+553K$-323MShares
KLA CORPKLAC6,151,336$1.9BNew$1.9BNEW POSITIONShares
WELLTOWER INCWELL7,814,730$1.8B+114K$251MShares
HOME DEPOT INCHD4,918,133$1.7B+239K$196MShares
PROCTER & GAMBLE COPG11,810,950$1.7B+1.6M$260MShares
UNITEDHEALTH GROUP INCUNH4,131,778$1.7B-296K$519MShares
GOLDMAN SACHS GROUP INCGS1,680,131$1.7B+19K$294MShares
ABBVIE INCABBV6,463,432$1.6B-171K$184MShares
BANK OF AMER CORPBAC28,015,018$1.6B+352K$248MShares
APPLIED MATLS INCAMAT2,198,668$1.6BNew$1.6BNEW POSITIONShares
WALMART INCWMT13,460,001$1.5B+33K$-144MShares
PROLOGIS INC.PLD10,583,315$1.4B-46K$29MShares
NVIDIA CORPORATIONNVDA7,132,347$1.4B-2K$183MShares
WELLS FARGO & COWFC16,984,524$1.4B+200K$67MShares
TAIWAN SEMICONDUCTOR MANUFACTSM2,910,479$1.4BNew$1.4BNEW POSITIONShares
INTERNATIONAL BUSINESS MACHSIBM4,936,211$1.4B+347K$276MShares
COSTCO WHOLESALE CORPORATIONCOST1,470,442$1.4B-37K$-126MShares
RTX CORPORATIONRTX7,200,277$1.4B+138K$4MShares
LINDE PLCLIN2,571,819$1.3B+62K$91MShares
COCA COLA COKO16,316,187$1.3B-168K$72MShares
WESTERN DIGITAL CORPWDC2,068,766$1.3BNew$1.3BNEW POSITIONShares
GE AEROSPACEGE3,495,494$1.3BNew$1.3BNEW POSITIONShares
MORGAN STANLEYMS6,201,219$1.3B-256K$234MShares
APPLE INCAAPL4,378,467$1.3B+3K$156MShares
VERIZON COMMUNICATIONS INCVZ29,323,372$1.2B+654K$-198MShares