HoldingsChannel.com
Dimensional Fund Advisors LP Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
APPLE INC 16,466,165 -30,865 $3,127,715
     AAPL16,466,165-30,865$3,127,715
INTEL CORP 50,843,345 -90,411 $2,730,167
     INTC50,843,345-90,411$2,730,167
EXXON MOBIL CORP 31,748,121 -766,589 $2,565,282
     XOM31,748,121-766,589$2,565,282
MICROSOFT CORP 21,576,814 +141,510 $2,544,716
     MSFT21,576,814+141,510$2,544,716
AT&T INC 77,603,512 -493,169 $2,433,501
     T77,603,512-493,169$2,433,501
JPMORGAN CHASE & CO 23,166,440 +1,960,254 $2,345,115
     JPM23,166,440+1,960,254$2,345,115
AMAZON COM INC 1,243,553 +5,470 $2,214,491
     AMZN1,243,553+5,470$2,214,491
PFIZER INC 50,649,473 -1,425,559 $2,151,054
     PFE50,649,473-1,425,559$2,151,054
COMCAST CORP NEW 52,573,020 -1,006,431 $2,102,066
     CMCSA52,573,020-1,006,431$2,102,066
CHEVRON CORP NEW 15,980,341 +1,871,808 $1,968,482
     CVX15,980,341+1,871,808$1,968,482
WELLS FARGO CO NEW 35,020,724 -229,965 $1,692,442
     WFC35,020,724-229,965$1,692,442
BERKSHIRE HATHAWAY INC DEL      $1,639,202
     BRK.B8,155,057-176,296$1,638,298
     BRK.A3UNCH$904
BANK AMER CORP 55,443,811 +401,687 $1,529,646
     BAC55,443,811+401,687$1,529,646
AMERICAN TOWER CORP NEW 6,573,420 +15,452 $1,295,344
     AMT6,573,420+15,452$1,295,344
CISCO SYS INC 22,063,595 -928,338 $1,191,182
     CSCO22,063,595-928,338$1,191,182
WALMART INC 12,036,155 -372,551 $1,173,876
     WMT12,036,155-372,551$1,173,876
JOHNSON & JOHNSON 8,143,129 +258,828 $1,138,298
     JNJ8,143,129+258,828$1,138,298
VERIZON COMMUNICATIONS INC 18,393,284 +512,622 $1,087,594
     VZ18,393,284+512,622$1,087,594
CITIGROUP INC 17,308,582 -83,962 $1,076,944
     C17,308,582-83,962$1,076,944
ROYAL DUTCH SHELL PLC      $981,500
     RDS.B7,680,762+144,508$491,185
     RDS.A7,833,767+475,649$490,315
FACEBOOK INC 5,849,746 +157,854 $975,077
     FB5,849,746+157,854$975,077
DISNEY WALT CO 7,852,191 +2,171,534 $871,829
     DIS7,852,191+2,171,534$871,829
SIMON PPTY GROUP INC NEW 4,641,496 -6,483 $845,735
     SPG4,641,496-6,483$845,735
ANTHEM INC 2,941,303 -14,224 $844,030
     ANTM2,941,303-14,224$844,030
MEDTRONIC PLC 8,727,779 +4,938 $794,874
     MDT8,727,779+4,938$794,874
CROWN CASTLE INTL CORP NEW 6,156,819 +33,499 $788,067
     CCI6,156,819+33,499$788,067
CONOCOPHILLIPS 11,800,476 +412,728 $787,630
     COP11,800,476+412,728$787,630
VISA INC 4,986,581 -118,367 $778,832
     V4,986,581-118,367$778,832
ALPHABET INC 650,496 +1,071 $763,237
     GOOG650,496+1,071$763,237
ABBOTT LABS 9,486,955 -37,406 $758,381
     ABT9,486,955-37,406$758,381
UNITEDHEALTH GROUP INC 3,065,835 +1,480 $757,976
     UNH3,065,835+1,480$757,976
CHARTER COMMUNICATIONS INC N 2,151,375 -32,357 $746,426
     CHTR2,151,375-32,357$746,426
ALPHABET INC 630,721 +2,563 $742,293
     GOOGL630,721+2,563$742,293
THERMO FISHER SCIENTIFIC INC 2,702,055 -4,271 $739,567
     TMO2,702,055-4,271$739,567
HOME DEPOT INC 3,706,964 +37,833 $711,305
     HD3,706,964+37,833$711,305
MASTERCARD INC 2,999,308 +35,287 $706,195
     MA2,999,308+35,287$706,195
UNITED TECHNOLOGIES CORP 5,459,155 +1,075,481 $703,571
     UTX5,459,155+1,075,481$703,571
CVS HEALTH CORP 12,915,464 -875,289 $696,500
     CVS12,915,464-875,289$696,500
PROCTER AND GAMBLE CO 6,681,864 -9,306 $695,227
     PG6,681,864-9,306$695,227
PROLOGIS INC 9,429,108 +10,366 $678,429
     PLD9,429,108+10,366$678,429
BP PLC 15,086,863 -1,931,672 $659,598
     BP15,086,863-1,931,672$659,598
GOLDMAN SACHS GROUP INC 3,104,761 -7,287 $596,083
     GS3,104,761-7,287$596,083
TAIWAN SEMICONDUCTOR MFG LTD 14,517,855 -23,824 $594,651
     TSM14,517,855-23,824$594,651
PETROLEO BRASILEIRO SA PETRO      $594,539
     PBR.A23,367,137-429,353$334,145
     PBR16,357,519-102,601$260,394
MERCK & CO INC 7,089,197 +369,456 $589,596
     MRK7,089,197+369,456$589,596
NORFOLK SOUTHERN CORP 3,153,389 -57,504 $589,342
     NSC3,153,389-57,504$589,342
CIGNA CORP NEW 3,617,725 +78,403 $581,774
     CI3,617,725+78,403$581,774
MICRON TECHNOLOGY INC 13,620,725 +50,656 $562,739
     MU13,620,725+50,656$562,739
EQUINIX INC 1,221,355 +23,063 $553,464
     EQIX1,221,355+23,063$553,464
GENERAL MTRS CO 14,913,922 -19,941 $553,322
     GM14,913,922-19,941$553,322

See Full List: All Stocks Held By Dimensional Fund Advisors LP
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Dimensional Fund Advisors LP

Size ($ in 1000's)
At 03/31/2019: $251,083,718
At 12/31/2018: $220,756,634

Combined Holding Report Includes:
DIMENSIONAL FUND ADVISORS LP
Dimensional Fund Advisors Ltd.
DFA Australia Ltd.

Dimensional Fund Advisors LP holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Dimensional Fund Advisors LP 13F filings. Link to 13F filings: SEC filings

Dimensional Fund Advisors LP Top Holdings 13F Filings | www.HoldingsChannel.com

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