U.S. MICRO CAP PORTFOLIO
DFA INVESTMENT DIMENSIONS GROUP INC

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
1734
Top-10 weight
16.75%
Effective holdings ?
113
Crowding ?
303.7

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 DFA Short Term Investment Fund 533,422,717 $533.42M 7.14%
2 The DFA Short Term Investment Fund 44,698,632 $516.94M 6.92%
3 ARGAN INC 120,680 $80.85M 1.08%
4 State Street Navigator Securities Lending Portfolio II GVMXX 61,931,070 $61.93M 0.83%
5 TTM TECHNOLOGIES INC 339,288 $53.68M 0.72%
6 PLEXUS CORP 175,122 $43.88M 0.59%
7 POWELL INDUSTRIES INC 149,700 $41.51M 0.56%
8 FIRST BANCORP PUERTO RICO 1,330,998 $32.32M 0.43%
9 ENOVA INTL INC 181,557 $30.76M 0.41%
10 COVISTA INC 264,753 $30.50M 0.41%
11 VIAVI SOLUTIONS INC 571,121 $29.93M 0.40%
12 AAR CORP 257,097 $28.38M 0.38%
13 ENPRO INDUSTRIES INC 93,306 $27.20M 0.36%
14 ARCHROCK INC 672,069 $26.04M 0.35%
15 MATSON INC 145,000 $25.29M 0.34%
16 US LIME & MINERA 234,787 $25.28M 0.34%
17 LAUREATE EDUCATION INC CL A 774,687 $23.31M 0.31%
18 MYR GROUP INC/DELAWARE 56,937 $23.05M 0.31%
19 EVERUS CONSTRUCTION GROUP INC 153,221 $22.59M 0.30%
20 GRANITE CONSTRUCTION INC 161,055 $22.08M 0.30%
21 BENCHMARK ELECTRONICS INC 266,736 $21.89M 0.29%
22 TUTOR PERINI CORP 225,294 $20.93M 0.28%
23 HURON CONSULTING GROUP INC 159,461 $20.84M 0.28%
24 BANCFIRST CORP 186,286 $20.79M 0.28%
25 CENTURY ALUMINUM COMPANY 343,569 $20.42M 0.27%
26 ATLANTIC UNION B 528,334 $19.89M 0.27%
27 MERCURY GENERAL CORP 203,957 $19.85M 0.27%
28 MAXLINEAR INC 278,557 $19.71M 0.26%
29 ESCO TECHNOLOGIES INC 60,152 $19.49M 0.26%
30 VICTORY CAPITAL HOLDINGS INC CL A 247,583 $19.44M 0.26%
31 ST JOE COMPANY 295,676 $19.09M 0.26%
32 DANA INC 511,292 $18.64M 0.25%
33 WSFS FINANCIAL CORP 256,737 $18.48M 0.25%
34 PRICESMART INC 117,343 $18.41M 0.25%
35 MATERION CORP 99,969 $18.38M 0.25%
36 TEXAS CAPITAL BANCSHARES INC 181,601 $18.29M 0.24%
37 DXP ENTERPRISES INC 106,385 $18.17M 0.24%
38 PATHWARD FINANCIAL INC 206,620 $17.94M 0.24%
39 DIGITALOCEAN HOLDINGS INC 185,573 $17.89M 0.24%
40 LIGAND PHARMACEUTICALS 77,487 $17.78M 0.24%
41 OSI SYSTEMS INC 61,580 $17.67M 0.24%
42 RUSH ENTERPRISES INC CL A 235,248 $17.42M 0.23%
43 WARRIOR MET COAL INC 193,538 $17.39M 0.23%
44 BANCORP INC/THE 288,894 $17.28M 0.23%
45 TRAVEL+LEISURE CO 262,595 $16.98M 0.23%
46 KODIAK GAS SERVICES INC 249,329 $16.90M 0.23%
47 BELDEN INC 149,473 $16.81M 0.23%
48 AXOS FINANCIAL INC 174,286 $16.81M 0.22%
49 ACUSHNET HOLDINGS CORP 171,900 $16.64M 0.22%
50 ENVISTA HOLDINGS CORP 641,135 $16.63M 0.22%
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