DFAX Dimensional World ex U.S. Core Equity 2 ETF

62

NYSE ARCA | ETF

Price
$34.42
Increased by +1.32%
Dollar volume (20D)
36.81 M
ADR%
1.69
Financial Services - 18.35%Industrials - 17.57%Technology - 14.56%Basic Materials - 10.57%Consumer Cyclicals - 10.10%Energy - 7.15%Healthcare - 6.40%Consumer Defensive - 5.39%Communication Services - 4.69%Utilities - 3.13%Real Estate - 2.08%
Financial Services - 18.35%
Industrials - 17.57%
Technology - 14.56%
Basic Materials - 10.57%
Consumer Cyclicals - 10.10%
Energy - 7.15%
Healthcare - 6.40%
Consumer Defensive - 5.39%
Communication Services - 4.69%
Utilities - 3.13%
Real Estate - 2.08%

Generally, the Advisor buys and sells securities for the Portfolio with the goals of: (i) delaying and minimizing the realization of net capital gains (e.g., selling stocks with capital losses to offset gains, realized or anticipated); and (ii) maximizing the extent to which any realized net capital gains are long-term in nature (i.e., taxable at lower capital gains tax rates).

The Portfolio is designed to purchase a broad and diverse group of equity securities of non-U.S. companies in countries with developed and emerging markets.

Top 20 Holdings

Asset Name Sector Industry Weight
2330 Taiwan Semiconductor Manufacturing Co. Ltd. Technology Semiconductors 1.35%
SSNLF Samsung Electronics Co Ltd Technology Consumer Electronics 0.99%
TSM Taiwan Semiconductor Manufacturing Technology Semiconductors 0.91%
NVS Novartis AG ADR Healthcare Drug Manufacturers - General 0.73%
FP TotalEnergies SE Energy Oil & Gas Integrated 0.65%
005930 Samsung Electronics Co Ltd Technology Consumer Electronics 0.62%
NOVO-B Novo Nordisk A/S Healthcare Drug Manufacturers - General 0.58%
0700 Tencent Holdings Ltd Communication Services Internet Content & Information 0.57%
ASML ASML Holding NV ADR Technology Semiconductor Equipment & Materials 0.56%
L3H SHELL PLC WI ADR/2 Energy Oil & Gas Integrated 0.54%
TTE TotalEnergies SE Energy Oil & Gas Integrated 0.51%
SHEL Shell PLC ADR Energy Oil & Gas Integrated 0.50%
7203 Toyota Motor Corp Consumer Cyclical Auto Manufacturers 0.48%
5803 Fujikura Ltd. Industrials Conglomerates 0.47%
000660 SK Hynix Inc Technology Semiconductors 0.46%
NESN Nestlé S.A. Consumer Defensive Packaged Foods 0.37%
DTE Deutsche Telekom AG Communication Services Telecom Services 0.34%
ROG Roche Holding AG Healthcare Drug Manufacturers - General 0.33%
ROP Roche Holding AG Healthcare Drug Manufacturers - General 0.32%
ENGI Engie S.A. Utilities Utilities - Diversified 0.27%
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