DFQTX
U.S. CORE EQUITY 2 PORTFOLIO
DFA INVESTMENT DIMENSIONS GROUP INC

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
2492
Top-10 weight
26.51%
Effective holdings ?
93
Crowding ?
1375.8

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 11,134,534 $2.13B 5.82%
2 APPLE INC 6,715,261 $1.74B 4.76%
3 MICROSOFT CORP 3,480,304 $1.50B 4.10%
4 ALPHABET INC CL A 2,546,270 $860.64M 2.35%
5 META PLATFORMS INC CL A 1,194,962 $856.19M 2.34%
6 AMAZON.COM INC 2,934,998 $702.35M 1.92%
7 The DFA Short Term Investment Fund 51,012,034 $590.06M 1.61%
8 DFA Short Term Investment Fund 582,418,561 $582.42M 1.59%
9 JPMORGAN CHASE and CO 1,784,778 $545.95M 1.49%
10 ALPHABET INC CL C 1,447,502 $490.02M 1.34%
11 EXXON MOBIL CORP 3,049,952 $431.26M 1.18%
12 BROADCOM INC 1,203,275 $398.65M 1.09%
13 BERKSHIRE HATH-B 813,088 $390.71M 1.07%
14 LILLY ELI and CO 364,915 $378.47M 1.03%
15 State Street Navigator Securities Lending Portfolio II GVMXX 315,194,916 $315.19M 0.86%
16 JOHNSON&JOHNSON 1,299,480 $295.31M 0.81%
17 WALMART INC 2,286,919 $272.46M 0.75%
18 MASTERCARD INC CL A 486,597 $262.17M 0.72%
19 CHEVRON CORP 1,437,024 $254.21M 0.70%
20 VISA INC-CLASS A 766,961 $246.83M 0.67%
21 ABBVIE INC 1,090,619 $243.22M 0.67%
22 CATERPILLAR INC 321,812 $211.55M 0.58%
23 PROCTER & GAMBLE 1,383,456 $209.97M 0.57%
24 BANK OF AMERICA CORPORATION 3,352,939 $178.38M 0.49%
25 CISCO SYSTEMS INC 2,247,906 $176.06M 0.48%
26 HOME DEPOT INC 456,996 $171.19M 0.47%
27 INTL BUS MACH CORP 547,292 $167.85M 0.46%
28 COCA-COLA CO/THE 2,176,890 $162.85M 0.45%
29 GOLDMAN SACHS GROUP INC 169,100 $158.18M 0.43%
30 WELLS FARGO & CO 1,742,572 $157.69M 0.43%
31 PEPSICO INC 944,991 $145.18M 0.40%
32 MICRON TECHNOLOGY INC 335,325 $139.12M 0.38%
33 RTX CORP 685,529 $137.74M 0.38%
34 CONOCOPHILLIPS 1,303,709 $135.89M 0.37%
35 LAM RESEARCH CORP 571,131 $133.34M 0.36%
36 GENERAL ELECTRIC CO 433,225 $132.91M 0.36%
37 AMGEN INC 365,932 $125.10M 0.34%
38 QUALCOMM INC 817,724 $123.96M 0.34%
39 ORACLE CORP 727,057 $119.66M 0.33%
40 AMERICAN EXPRESS CO 334,085 $117.65M 0.32%
41 TEXAS INSTRUMENTS INC 524,903 $113.14M 0.31%
42 CITIGROUP INC 941,348 $108.92M 0.30%
43 GILEAD SCIENCES INC 743,690 $105.57M 0.29%
44 MORGAN STANLEY 564,090 $103.12M 0.28%
45 LOCKHEED MARTIN CORP 161,715 $102.56M 0.28%
46 AT&T INC 3,832,947 $100.46M 0.27%
47 TESLA INC 233,270 $100.40M 0.27%
48 MERCK & CO 893,535 $98.53M 0.27%
49 WESTERN DIGITAL CORP 392,580 $98.24M 0.27%
50 UNION PACIFIC CORP 417,017 $98.04M 0.27%
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