Dimensional US Large Cap Value ETF Holdings
DFLV was created on 2022-12-06 by Dimensional. The fund's investment portfolio concentrates primarily on large cap equity. The ETF currently has 4473.09m in AUM and 342 holdings. DFLV is actively managed to hold a broad and diversified selection of US large-cap companies of any sector that exhibit value characteristics. Portfolio holdings are weighted by market capitalization.
Last Updated: 13 hours ago
Last reported holdings - Dimensional US Large Cap Value ETF
| Ticker | Name | Est. Value |
|---|---|---|
|
JPM
|
JPMorgan Chase & Co | $211.9 million |
|
XOM
|
Exxon Mobil Corp | $160.8 million |
|
JNJ
|
Johnson & Johnson | $118.1 million |
|
CSCO
|
Cisco Systems Inc | $96.7 million |
|
CVX
|
Chevron Corp | $89.5 million |
|
BRK.B
|
Berkshire Hathaway Inc Class B | $86.6 million |
|
UNH
|
UnitedHealth Group Inc | $84.8 million |
|
MU
|
Micron Technology Inc | $79.2 million |
|
MS
|
Morgan Stanley | $61.8 million |
|
WFC
|
Wells Fargo & Co | $57.5 million |
|
NEM
|
Newmont Corp | $51.5 million |
|
VZ
|
Verizon Communications Inc | $50.6 million |
|
GS
|
The Goldman Sachs Group Inc | $50.5 million |
|
LIN
|
Linde PLC | $49.3 million |
|
T
|
AT&T Inc | $49.3 million |
|
TEL
|
TE Connectivity PLC Registered Shares | $45.6 million |
|
RTX
|
RTX Corp | $45.0 million |
|
CRM
|
Salesforce Inc | $44.7 million |
|
GM
|
General Motors Co | $43.6 million |
|
CMI
|
Cummins Inc | $42.0 million |
|
MRK
|
Merck & Co Inc | $39.5 million |
|
NSC
|
Norfolk Southern Corp | $39.1 million |
|
TMO
|
Thermo Fisher Scientific Inc | $38.1 million |
|
ABT
|
Abbott Laboratories | $37.6 million |
|
PFE
|
Pfizer Inc | $37.4 million |
|
BAC
|
Bank of America Corp | $37.0 million |
|
COP
|
ConocoPhillips | $35.2 million |
|
FCX
|
Freeport-McMoRan Inc | $34.3 million |
|
CSX
|
CSX Corp | $33.9 million |
|
PCAR
|
PACCAR Inc | $32.2 million |
|
None
|
E-mini S&P 500 Future Dec 25 | $32.1 million |
|
FDX
|
FedEx Corp | $32.1 million |
|
F
|
Ford Motor Co | $32.1 million |
|
QCOM
|
Qualcomm Inc | $31.9 million |
|
ADI
|
Analog Devices Inc | $31.8 million |
|
CRH
|
CRH PLC | $31.4 million |
|
MPC
|
Marathon Petroleum Corp | $31.3 million |
|
GLW
|
Corning Inc | $30.8 million |
|
DE
|
Deere & Co | $30.7 million |
|
BKR
|
Baker Hughes Co Class A | $30.4 million |
|
EOG
|
EOG Resources Inc | $30.1 million |
|
CMCSA
|
Comcast Corp Class A | $29.6 million |
|
MET
|
MetLife Inc | $29.1 million |
|
ALL
|
Allstate Corp | $28.6 million |
|
CTSH
|
Cognizant Technology Solutions Corp Class A | $28.6 million |
|
MDT
|
Medtronic PLC | $28.1 million |
|
TRV
|
The Travelers Companies Inc | $28.1 million |
|
PYPL
|
PayPal Holdings Inc | $28.0 million |
|
DAL
|
Delta Air Lines Inc | $26.4 million |
|
VLO
|
Valero Energy Corp | $26.0 million |
|
DIS
|
The Walt Disney Co | $25.8 million |
|
WMB
|
Williams Companies Inc | $25.2 million |
|
TMUS
|
T-Mobile US Inc | $25.1 million |
|
EMR
|
Emerson Electric Co | $24.9 million |
|
URI
|
United Rentals Inc | $24.6 million |
|
NOC
|
Northrop Grumman Corp | $24.3 million |
|
GEHC
|
GE HealthCare Technologies Inc Common Stock | $24.1 million |
|
USB
|
U.S. Bancorp | $24.0 million |
|
CI
|
The Cigna Group | $23.9 million |
|
DHI
|
D.R. Horton Inc | $23.7 million |
|
KR
|
The Kroger Co | $23.6 million |
|
CB
|
Chubb Ltd | $23.6 million |
|
GD
|
General Dynamics Corp | $23.6 million |
|
BK
|
Bank of New York Mellon Corp | $23.3 million |
|
BMY
|
Bristol-Myers Squibb Co | $22.5 million |
|
HIG
|
The Hartford Insurance Group Inc | $22.4 million |
|
VMC
|
Vulcan Materials Co | $22.3 million |
|
NXPI
|
NXP Semiconductors NV | $22.0 million |
|
EA
|
Electronic Arts Inc | $21.6 million |
|
WDC
|
Western Digital Corp | $21.4 million |
|
AMD
|
Advanced Micro Devices Inc | $21.3 million |
|
AME
|
AMETEK Inc | $21.1 million |
|
SLB
|
SLB Ltd | $21.0 million |
|
BDX
|
Becton Dickinson & Co | $20.9 million |
|
PSX
|
Phillips 66 | $20.0 million |
|
PRU
|
Prudential Financial Inc | $20.0 million |
|
AIG
|
American International Group Inc | $20.0 million |
|
C
|
Citigroup Inc | $19.4 million |
|
RJF
|
Raymond James Financial Inc | $19.2 million |
|
MLM
|
Martin Marietta Materials Inc | $19.1 million |
|
AFL
|
Aflac Inc | $19.0 million |
|
PG
|
Procter & Gamble Co | $18.8 million |
|
FIS
|
Fidelity National Information Services Inc | $18.8 million |
|
MDLZ
|
Mondelez International Inc Class A | $18.8 million |
|
NUE
|
Nucor Corp | $18.7 million |
|
UAL
|
United Airlines Holdings Inc | $17.9 million |
|
KVUE
|
Kenvue Inc | $17.7 million |
|
LHX
|
L3Harris Technologies Inc | $17.6 million |
|
APD
|
Air Products and Chemicals Inc | $17.5 million |
|
ACN
|
Accenture PLC Class A | $17.5 million |
|
CVS
|
CVS Health Corp | $17.1 million |
|
DHR
|
Danaher Corp | $16.7 million |
|
SYF
|
Synchrony Financial | $16.4 million |
|
ACGL
|
Arch Capital Group Ltd | $15.8 million |
|
GILD
|
Gilead Sciences Inc | $15.8 million |
|
STLD
|
Steel Dynamics Inc | $15.7 million |
|
FANG
|
Diamondback Energy Inc | $15.4 million |
|
RSG
|
Republic Services Inc | $15.3 million |
|
ELV
|
Elevance Health Inc | $15.1 million |
|
HPE
|
Hewlett Packard Enterprise Co | $14.7 million |
|
OXY
|
Occidental Petroleum Corp | $14.6 million |
|
PHM
|
PulteGroup Inc | $14.4 million |
|
WAB
|
Westinghouse Air Brake Technologies Corp | $14.3 million |
|
FITB
|
Fifth Third Bancorp | $14.2 million |
|
STT
|
State Street Corp | $13.9 million |
|
OKE
|
ONEOK Inc | $13.9 million |
|
JCI
|
Johnson Controls International PLC Registered Shares | $13.9 million |
|
DOV
|
Dover Corp | $13.6 million |
|
CARR
|
Carrier Global Corp Ordinary Shares | $13.3 million |
|
IR
|
Ingersoll Rand Inc | $13.0 million |
|
CBRE
|
CBRE Group Inc Class A | $13.0 million |
|
CCL
|
Carnival Corp | $12.8 million |
|
GIS
|
General Mills Inc | $12.7 million |
|
COF
|
Capital One Financial Corp | $12.6 million |
|
EW
|
Edwards Lifesciences Corp | $12.5 million |
|
DGX
|
Quest Diagnostics Inc | $12.3 million |
|
KEYS
|
Keysight Technologies Inc | $12.2 million |
|
PPG
|
PPG Industries Inc | $12.2 million |
|
WBD
|
Warner Bros. Discovery Inc Ordinary Shares - Class A | $12.1 million |
|
BLK
|
BlackRock Inc | $12.0 million |
|
RF
|
Regions Financial Corp | $11.9 million |
|
KDP
|
Keurig Dr Pepper Inc | $11.7 million |
|
XYL
|
Xylem Inc | $11.5 million |
|
LDOS
|
Leidos Holdings Inc | $11.5 million |
|
TGT
|
Target Corp | $11.4 million |
|
STE
|
Steris PLC | $11.3 million |
|
FLEX
|
Flex Ltd | $11.1 million |
|
PNC
|
PNC Financial Services Group Inc | $11.0 million |
|
FSLR
|
First Solar Inc | $11.0 million |
|
CASY
|
Casey's General Stores Inc | $10.9 million |
|
CTVA
|
Corteva Inc | $10.7 million |
|
PKG
|
Packaging Corp of America | $10.6 million |
|
INTC
|
Intel Corp | $10.6 million |
|
SNA
|
Snap-on Inc | $10.5 million |
|
HBAN
|
Huntington Bancshares Inc | $10.0 million |
|
ICE
|
Intercontinental Exchange Inc | $9.9 million |
|
TFC
|
Truist Financial Corp | $9.9 million |
|
GRMN
|
Garmin Ltd | $9.7 million |
|
STZ
|
Constellation Brands Inc Class A | $9.6 million |
|
SSNC
|
SS&C Technologies Holdings Inc | $9.6 million |
|
NTRS
|
Northern Trust Corp | $9.4 million |
|
HUM
|
Humana Inc | $9.0 million |
|
REGN
|
Regeneron Pharmaceuticals Inc | $8.9 million |
|
LEN
|
Lennar Corp Class A | $8.9 million |
|
PH
|
Parker Hannifin Corp | $8.8 million |
|
FISV
|
Fiserv Inc | $8.8 million |
|
MRVL
|
Marvell Technology Inc | $8.7 million |
|
MKL
|
Markel Group Inc | $8.4 million |
|
KMI
|
Kinder Morgan Inc Class P | $8.4 million |
|
DLTR
|
Dollar Tree Inc | $8.3 million |
|
DG
|
Dollar General Corp | $8.3 million |
|
PFG
|
Principal Financial Group Inc | $8.1 million |
|
IQV
|
IQVIA Holdings Inc | $8.0 million |
|
ETN
|
Eaton Corp PLC | $8.0 million |
|
CHTR
|
Charter Communications Inc Class A | $8.0 million |
|
LH
|
Labcorp Holdings Inc | $7.9 million |
|
PNR
|
Pentair PLC | $7.9 million |
|
EBAY
|
eBay Inc | $7.8 million |
|
SNDK
|
SanDisk Corp Ordinary Shares | $7.8 million |
|
DVN
|
Devon Energy Corp | $7.7 million |
|
TXT
|
Textron Inc | $7.7 million |
|
EG
|
Everest Group Ltd | $7.6 million |
|
FOXA
|
Fox Corp Class A | $7.5 million |
|
DOX
|
Amdocs Ltd | $7.5 million |
|
CTRA
|
Coterra Energy Inc Ordinary Shares | $7.4 million |
|
ROP
|
Roper Technologies Inc | $7.4 million |
|
FCNCA
|
First Citizens BancShares Inc Class A | $7.1 million |
|
A
|
Agilent Technologies Inc | $7.0 million |
|
WRB
|
WR Berkley Corp | $7.0 million |
|
MTB
|
M&T Bank Corp | $7.0 million |
|
EQT
|
EQT Corp | $6.9 million |
|
FLUT
|
Flutter Entertainment PLC | $6.9 million |
|
HAL
|
Halliburton Co | $6.8 million |
|
XYZ
|
Block Inc Class A | $6.7 million |
|
USFD
|
US Foods Holding Corp | $6.6 million |
|
TROW
|
T. Rowe Price Group Inc | $6.6 million |
|
SYK
|
Stryker Corp | $6.4 million |
|
GPC
|
Genuine Parts Co | $6.0 million |
|
L
|
Loews Corp | $5.9 million |
|
ZBH
|
Zimmer Biomet Holdings Inc | $5.9 million |
|
ON
|
ON Semiconductor Corp | $5.8 million |
|
THC
|
Tenet Healthcare Corp | $5.6 million |
|
CPRT
|
Copart Inc | $5.6 million |
|
RMD
|
ResMed Inc | $5.6 million |
|
TSN
|
Tyson Foods Inc Class A | $5.5 million |
|
FOX
|
Fox Corp Class B | $5.5 million |
|
SCHW
|
Charles Schwab Corp | $5.3 million |
|
Q
|
Qnity Electronics Inc | $5.3 million |
|
DD
|
DuPont de Nemours Inc | $5.2 million |
|
LUV
|
Southwest Airlines Co | $5.1 million |
|
KHC
|
The Kraft Heinz Co | $5.1 million |
|
APTV
|
Aptiv PLC | $5.0 million |
|
SW
|
Smurfit WestRock PLC | $5.0 million |
|
CF
|
CF Industries Holdings Inc | $5.0 million |
|
FTV
|
Fortive Corp | $5.0 million |
|
NVR
|
NVR Inc | $4.9 million |
|
UTHR
|
United Therapeutics Corp | $4.9 million |
|
ADM
|
Archer-Daniels-Midland Co | $4.8 million |
|
MKC
|
McCormick & Co Inc Ordinary Shares (Non Voting) | $4.8 million |
|
TRU
|
TransUnion | $4.6 million |
|
UPS
|
United Parcel Service Inc Class B | $4.6 million |
|
DKS
|
Dick's Sporting Goods Inc | $4.5 million |
|
CSGP
|
CoStar Group Inc | $4.4 million |
|
VRTX
|
Vertex Pharmaceuticals Inc | $4.3 million |
|
RS
|
Reliance Inc | $4.2 million |
|
AMZN
|
Amazon.com Inc | $4.2 million |
|
AMCR
|
Amcor PLC Ordinary Shares | $4.1 million |
|
OMC
|
Omnicom Group Inc | $4.1 million |
|
EFX
|
Equifax Inc | $4.1 million |
|
J
|
Jacobs Solutions Inc | $4.1 million |
|
CINF
|
Cincinnati Financial Corp | $4.0 million |
|
BSX
|
Boston Scientific Corp | $3.8 million |
|
FWONK
|
Liberty Media Corp Registered Shs Series -C- Formula One | $3.7 million |
|
IP
|
International Paper Co | $3.7 million |
|
HOLX
|
Hologic Inc | $3.6 million |
|
JBHT
|
JB Hunt Transport Services Inc | $3.6 million |
|
GOOG
|
Alphabet Inc Class C | $3.6 million |
|
CNH
|
CNH Industrial NV | $3.5 million |
|
WTW
|
Willis Towers Watson PLC | $3.5 million |
|
FFIV
|
F5 Inc | $3.5 million |
|
EXE
|
Expand Energy Corp Ordinary Shares - New | $3.2 million |
|
CFG
|
Citizens Financial Group Inc | $3.2 million |
|
CRBG
|
Corebridge Financial Inc | $3.2 million |
|
TDY
|
Teledyne Technologies Inc | $3.1 million |
|
ZM
|
Zoom Communications Inc | $2.9 million |
|
PWR
|
Quanta Services Inc | $2.9 million |
|
GOOGL
|
Alphabet Inc Class A | $2.8 million |
|
UNM
|
Unum Group | $2.7 million |
|
BALL
|
Ball Corp | $2.7 million |
|
CME
|
CME Group Inc Class A | $2.6 million |
|
BIIB
|
Biogen Inc | $2.6 million |
|
OTIS
|
Otis Worldwide Corp Ordinary Shares | $2.4 million |
|
CHD
|
Church & Dwight Co Inc | $2.3 million |
|
TRMB
|
Trimble Inc | $2.3 million |
|
None
|
Futures Collateral - Cash | $2.3 million |
|
FNF
|
Fidelity National Financial Inc | $2.3 million |
|
SGI
|
Somnigroup International Inc | $2.2 million |
|
KEY
|
KeyCorp | $2.2 million |
|
BBY
|
Best Buy Co Inc | $2.1 million |
|
LNG
|
Cheniere Energy Inc | $2.1 million |
|
CG
|
The Carlyle Group Inc | $2.0 million |
|
LULU
|
Lululemon Athletica Inc | $2.0 million |
|
UHS
|
Universal Health Services Inc Class B | $2.0 million |
|
TOL
|
Toll Brothers Inc | $1.8 million |
|
CSL
|
Carlisle Companies Inc | $1.8 million |
|
LYB
|
LyondellBasell Industries NV Class A | $1.8 million |
|
RAL
|
Ralliant Corp | $1.8 million |
|
OVV
|
Ovintiv Inc | $1.7 million |
|
ZBRA
|
Zebra Technologies Corp Ordinary Shares - Class A | $1.7 million |
|
MCHP
|
Microchip Technology Inc | $1.7 million |
|
PFGC
|
Performance Food Group Co | $1.6 million |
|
ACI
|
Albertsons Companies Inc Class A | $1.6 million |
|
INCY
|
Incyte Corp | $1.6 million |
|
GPN
|
Global Payments Inc | $1.6 million |
|
RIVN
|
Rivian Automotive Inc Class A | $1.5 million |
|
NWSA
|
News Corp Class A | $1.5 million |
|
TWLO
|
Twilio Inc Class A | $1.4 million |
|
IFF
|
International Flavors & Fragrances Inc | $1.4 million |
|
PINS
|
Pinterest Inc Class A | $1.4 million |
|
OKTA
|
Okta Inc Class A | $1.4 million |
|
NDSN
|
Nordson Corp | $1.4 million |
|
AMAT
|
Applied Materials Inc | $1.3 million |
|
RPM
|
RPM International Inc | $1.3 million |
|
HPQ
|
HP Inc | $1.3 million |
|
IEX
|
IDEX Corp | $1.3 million |
|
Z
|
Zillow Group Inc Class C | $1.3 million |
|
SMCI
|
Super Micro Computer Inc | $1.2 million |
|
GL
|
Globe Life Inc | $1.2 million |
|
HUBB
|
Hubbell Inc | $1.2 million |
|
EL
|
The Estee Lauder Companies Inc Class A | $1.2 million |
|
RL
|
Ralph Lauren Corp Class A | $1.1 million |
|
NVT
|
nVent Electric PLC | $1.1 million |
|
CLH
|
Clean Harbors Inc | $1.1 million |
|
BLDR
|
Builders FirstSource Inc | $1.0 million |
|
NDAQ
|
Nasdaq Inc | $961399 |
|
EWBC
|
East West Bancorp Inc | $939490 |
|
GGG
|
Graco Inc | $926643 |
|
AKAM
|
Akamai Technologies Inc | $915853 |
|
ALLY
|
Ally Financial Inc | $865677 |
|
RNR
|
RenaissanceRe Holdings Ltd | $830908 |
|
VTRS
|
Viatris Inc | $797415 |
|
WST
|
West Pharmaceutical Services Inc | $737221 |
|
BWA
|
BorgWarner Inc | $713685 |
|
GFS
|
GLOBALFOUNDRIES Inc | $684897 |
|
JLL
|
Jones Lang LaSalle Inc | $643879 |
|
NBIX
|
Neurocrine Biosciences Inc | $628440 |
|
ENTG
|
Entegris Inc | $598786 |
|
BG
|
Bunge Global SA | $572491 |
|
BLD
|
TopBuild Corp | $556357 |
|
NWS
|
News Corp Class B | $543254 |
|
FTI
|
TechnipFMC PLC | $528074 |
|
NXT
|
Nextpower Inc Class A | $520685 |
|
AJG
|
Arthur J. Gallagher & Co | $513812 |
|
MTZ
|
MasTec Inc | $482885 |
|
AMTM
|
Amentum Holdings Inc | $459965 |
|
PTC
|
PTC Inc | $430760 |
|
RGA
|
Reinsurance Group of America Inc | $384755 |
|
CCK
|
Crown Holdings Inc | $383800 |
|
DOW
|
Dow Inc | $354517 |
|
SOLV
|
Solventum Corp | $342751 |
|
CW
|
Curtiss-Wright Corp | $331344 |
|
ZG
|
Zillow Group Inc Class A | $317071 |
|
ACM
|
AECOM | $305678 |
|
FBIN
|
Fortune Brands Innovations Inc | $286322 |
|
ARMK
|
Aramark | $279141 |
|
PAG
|
Penske Automotive Group Inc | $274369 |
|
DECK
|
Deckers Outdoor Corp | $271746 |
|
H
|
Hyatt Hotels Corp Class A | $270071 |
|
SWK
|
Stanley Black & Decker Inc | $238881 |
|
IVZ
|
Invesco Ltd | $227205 |
|
AR
|
Antero Resources Corp | $226737 |
|
WBS
|
Webster Financial Corp | $185461 |
|
COHR
|
Coherent Corp | $177658 |
|
EXPD
|
Expeditors International of Washington Inc | $171688 |
|
SNX
|
TD Synnex Corp | $166780 |
|
MHK
|
Mohawk Industries Inc | $137783 |
|
CRL
|
Charles River Laboratories International Inc | $131629 |
|
NKE
|
Nike Inc Class B | $115497 |
|
KNX
|
Knight-Swift Transportation Holdings Inc Class A | $110964 |
|
WSO
|
Watsco Inc Ordinary Shares | $103380 |
|
MOS
|
The Mosaic Co | $98568 |
|
ALV
|
Autoliv Inc | $96130 |
|
CPB
|
The Campbell's Co | $95212 |
|
FWONA
|
Liberty Media Corp A | $95066 |
|
AFG
|
American Financial Group Inc | $93616 |
|
UHAL
|
U-Haul Holding Co | $92097 |
|
BMRN
|
BioMarin Pharmaceutical Inc | $54474 |
|
TTWO
|
Take-Two Interactive Software Inc | $47512 |
|
HAS
|
Hasbro Inc | $45003 |
|
UBER
|
Uber Technologies Inc | $39730 |
|
TER
|
Teradyne Inc | $39162 |
|
GRAL
|
GRAIL Inc | $30514 |
|
TAP
|
Molson Coors Beverage Co Shs -B- Non-Voting | $29271 |
|
LEN.B
|
Lennar Corp Class B | $23920 |
|
U
|
Unity Software Inc Ordinary Shares | $19790 |
|
None
|
Sycamore Partners Llc-Cvr | $12273 |
|
BF.B
|
Brown-Forman Corp Registered Shs -B- Non Vtg | $9943 |
|
GXO
|
GXO Logistics Inc | $6026 |
|
ARW
|
Arrow Electronics Inc | $4608 |
|
GNTX
|
Gentex Corp | $3511 |
Recent Changes - Dimensional US Large Cap Value ETF
| Date | Ticker | Name | Change (Shares) |
|---|