Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
DIMENSIONAL FUND ADVISORS LP 11-12-2019 09-30-2019 3417 257,343,191,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%) Date Reported
APPLE INC COM 1 $4,114,820,000 18,374,389 1.60 1.36 669,552 3.78 09-30-2019
MICROSOFT CORP COM 2 $3,138,713,000 22,576,753 1.22 1.13 762,122 3.49 09-30-2019
AT&T INC COM 3 $3,008,931,000 79,522,315 1.17 1.02 1,304,026 1.67 09-30-2019
JPMORGAN CHASE & CO COM 4 $2,729,701,000 23,193,573 1.06 1.05 -985,750 -4.08 09-30-2019
INTEL CORP COM 5 $2,609,372,000 50,642,298 1.01 0.94 -180,896 -0.36 09-30-2019
AMAZON COM INC COM 6 $2,444,576,000 1,408,266 0.95 0.99 62,868 4.67 09-30-2019
COMCAST CORP NEW CLA 7 $2,264,568,000 50,236,228 0.88 0.85 -1,624,503 -3.13 09-30-2019
EXXON MOBIL CORP COM 8 $2,162,643,000 30,625,144 0.84 0.92 -225,115 -0.73 09-30-2019
CHEVRON CORP NEW COM 9 $2,034,379,000 17,153,117 0.79 0.82 227,134 1.34 09-30-2019
WELLS FARGO CO NEW COM 10 $1,836,736,000 36,412,299 0.71 0.66 461,448 1.28 09-30-2019
BERKSHIRE HATHAWAY INC DEL CLB 11 $1,820,734,000 8,752,739 0.71 0.68 488,888 5.92 09-30-2019
PFIZER INC COM 12 $1,737,506,000 48,356,557 0.68 0.81 10,788 0.02 09-30-2019
BANK AMER CORP COM 13 $1,549,029,000 53,100,469 0.60 0.57 2,835,030 5.64 09-30-2019
AMERICAN TOWER CORP NEW COM 14 $1,461,519,000 6,609,387 0.57 0.53 -13,823 -0.21 09-30-2019
JOHNSON & JOHNSON COM 15 $1,248,386,000 9,649,226 0.49 0.46 1,152,350 13.56 09-30-2019
VERIZON COMMUNICATIONS INC COM 16 $1,247,887,000 20,674,103 0.48 0.43 1,475,997 7.69 09-30-2019
WALMART INC COM 17 $1,232,642,000 10,386,289 0.48 0.50 -1,273,374 -10.92 09-30-2019
FACEBOOK INC CLA 18 $1,188,887,000 6,676,287 0.46 0.44 737,493 12.42 09-30-2019
CITIGROUP INC COM 19 $1,126,918,000 16,312,410 0.44 0.45 -269,634 -1.63 09-30-2019
DISNEY WALT CO COM 20 $1,070,846,000 8,217,139 0.42 0.38 1,289,086 18.61 09-30-2019
CISCO SYS INC COM 21 $988,151,000 19,999,781 0.38 0.45 -1,405,961 -6.57 09-30-2019
MEDTRONIC PLC CLA 22 $939,543,000 8,650,157 0.37 0.33 -91,363 -1.05 09-30-2019
MASTERCARD INC CLA 23 $882,514,000 3,249,789 0.34 0.31 195,894 6.41 09-30-2019
CROWN CASTLE INTL CORP NEW COM 24 $860,189,000 6,188,025 0.33 0.31 -2,377 -0.04 09-30-2019
CHARTER COMMUNICATIONS INC N CLA 25 $842,728,000 2,045,025 0.33 0.33 -98,769 -4.61 09-30-2019
VISA INC COM 26 $839,671,000 4,881,151 0.33 0.34 -159,985 -3.17 09-30-2019
ALPHABET INC COM 27 $809,537,000 664,055 0.31 0.28 3,791 0.57 09-30-2019
PROCTER & GAMBLE CO COM 28 $807,765,000 6,494,257 0.31 0.28 -169,440 -2.54 09-30-2019
PROLOGIS INC COM 29 $805,686,000 9,454,096 0.31 0.29 7,604 0.08 09-30-2019
ALPHABET INC CLA 30 $802,675,000 657,279 0.31 0.27 16,215 2.53 09-30-2019
CVS HEALTH CORP COM 31 $769,891,000 12,207,817 0.30 0.25 182,326 1.52 09-30-2019
UNITED TECHNOLOGIES CORP COM 32 $744,333,000 5,452,128 0.29 0.28 -49,010 -0.89 09-30-2019
THERMO FISHER SCIENTIFIC INC COM 33 $744,178,000 2,555,065 0.29 0.30 -79,176 -3.01 09-30-2019
MERCK & CO INC COM 34 $736,183,000 8,746,053 0.29 0.25 973,889 12.53 09-30-2019
EQUINIX INC COM 35 $731,488,000 1,268,181 0.28 0.25 10,229 0.81 09-30-2019
SIMON PPTY GROUP INC NEW COM 36 $717,997,000 4,612,805 0.28 0.29 -7,072 -0.15 09-30-2019
ANTHEM INC COM 37 $696,665,000 2,901,704 0.27 0.32 -36,171 -1.23 09-30-2019
HOME DEPOT INC COM 38 $690,673,000 2,976,925 0.27 0.26 -288,374 -8.83 09-30-2019
TAIWAN SEMICONDUCTOR MFG LTD ADR 39 $688,977,000 14,823,077 0.27 0.23 -12,878 -0.09 09-30-2019
CONOCOPHILLIPS COM 40 $684,242,000 12,006,900 0.27 0.28 90,288 0.76 09-30-2019
PEPSICO INC COM 41 $678,115,000 4,946,379 0.26 0.24 161,066 3.37 09-30-2019
UNITEDHEALTH GROUP INC COM 42 $672,247,000 3,093,568 0.26 0.29 66,307 2.19 09-30-2019
COCA COLA CO COM 43 $606,405,000 11,139,079 0.24 0.22 -99,628 -0.89 09-30-2019
MICRON TECHNOLOGY INC COM 44 $596,288,000 13,914,457 0.23 0.21 -20,155 -0.14 09-30-2019
CIGNA CORP NEW COM 45 $578,004,000 3,808,401 0.22 0.22 173,965 4.79 09-30-2019
GENERAL MTRS CO COM 46 $577,681,000 15,413,007 0.22 0.23 -7,078 -0.05 09-30-2019
ABBOTT LABS COM 47 $575,531,000 6,878,959 0.22 0.27 -1,464,397 -17.55 09-30-2019
PUBLIC STORAGE COM 48 $574,718,000 2,343,209 0.22 0.22 2,474 0.11 09-30-2019
GOLDMAN SACHS GROUP INC COM 49 $570,900,000 2,754,703 0.22 0.22 -70,542 -2.50 09-30-2019
BP PLC ADR 50 $562,514,000 14,806,898 0.22 0.24 61,256 0.42 09-30-2019
NORFOLK SOUTHERN CORP COM 51 $557,480,000 3,102,773 0.22 0.24 -31,114 -0.99 09-30-2019
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