Titelia

Holdings of EMERGING MARKETS CORE EQUITY 2 PORTFOLIO

ISIN US2332034212

DFA INVESTMENT DIMENSIONS GROUP INC · Original filing · Compare with another fund · Report an error

Net assets
37.9B $ including 37.9B $ in equities, 100.1 %
Positions
7,533 in 39 countries
Top ten
22.1 % of net assets
Filed on
Apr 30, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
7,401GM Breweries Ltd 1,97620.1K $0.00 %
7,402Creative Sensor Inc 12,60019.8K $0.00 %
7,403Elion Energy Co Ltd 1,910,26519.6K $0.00 %
7,404PXP Energy Corp 363,20019.5K $0.00 %
7,405Korea Airport Service Co Ltd 48619.4K $0.00 %
7,406DAE HYUN CO LTD 16,16019.3K $0.00 %
7,407MedPacto Inc 5,54419.2K $0.00 %
7,408Sebo Manufacturing Engineer Corp 1,17618.7K $
7,409Universal Textile Co Ltd 46,00018.5K $
7,410Alpha Divisions PCL 1,620,20018.5K $
7,411Beijing UBOX Online Technology Corp 71,00018.3K $
7,412SK Telecom Co Ltd 48318.1K $
7,413Rajratan Global Wire Ltd 3,72817.7K $
7,414Krishana Phoschem Ltd 2,74717.6K $
7,415India Pesticides Ltd 11,08317.6K $
7,416Assetwise PCL 81,81017.6K $
7,417Juniper Hotels Ltd 8,17117.5K $
7,418Steelcast Ltd 5,63017.5K $
7,419CM Hospitalar SA 63,50017.4K $
7,420Injazzat Real Estate Development Co KSCP 30,11417.4K $
7,421Shougang Century Holdings Ltd 53,20017.3K $
7,422Bhakti Multi Artha Tbk PT 211,70017.1K $
7,423Shin Shin Natural Gas Co 12,48017K $
7,424Paramount Communications Ltd 40,02816.9K $
7,425Lloyds Enterprises Ltd 23,09016.6K $
7,426Taiwan Takisawa Technology Co Ltd 13,00016.4K $
7,427PSG Corp PCL 177,17116.2K $
7,428VERANDA LEARNING SOLUTIONS LIMITED 7,83916K $
7,429Olectra Greentech Ltd 1,21415.9K $
7,430AlSaif Stores For Development & Investment Co 8,94715.9K $
7,431NUVOTEC Co Ltd 15,39015.4K $
7,432Meilleure Health International Industry Group Ltd 420,00015.4K $
7,433Zonqing Environmental Ltd 444,00015.3K $
7,434Onde SA 5,96615K $
7,435Indian Hume Pipe Co Ltd/The 4,34714.9K $
7,436Lautan Luas Tbk PT 329,80014.9K $
7,437Kuen Ling Machinery Refrigerating Co Ltd 11,00014.9K $
7,438Murapol SA 1,29314.9K $
7,439CIFI Holdings Group Co Ltd 1,650,00014.8K $
7,440Baozun Inc 15,90014.7K $
7,441Catur Sentosa Adiprana Tbk PT 864,20014.5K $
7,442Zhihu Inc 13,50014.4K $
7,443Remed Co Ltd 6,87614.4K $
7,444Control Print Ltd 2,11214.3K $
7,445Ubright Optronics Corp 6,00014.1K $
7,446Instituto de Diagnostico SA 4,78414.1K $
7,447SMS Pharmaceuticals Ltd 3,25514K $
7,448DA Technology Co Ltd 544,76514K $
7,449Prime Securities Ltd 4,62013.8K $
7,450PSS Co Ltd 3,00013.8K $
7,451Shanghai Gench Education Group Ltd 52,00013.7K $
7,452Shouhang High-Tech Energy Co Ltd 1,336,40013.7K $
7,453Sirca Paints India Ltd 3,06013.7K $
7,454Sajodongaone Co Ltd 19,33713.6K $
7,455Jeena Sikho Lifecare Ltd 1,90213.6K $
7,456Som Distilleries And Breweries Ltd 14,46113.5K $
7,457DYPNF Co Ltd 1,28213.1K $
7,458Shin Hai Gas Corp 8,24212.8K $
7,459Dentis Co Ltd 4,73412.7K $
7,460Klinique Medical Clinic PCL/The 15,70012.7K $
7,461LC Logistics Inc/Hong Kong 20,80012.5K $
7,462AAPICO Hitech PCL 30,26012.4K $
7,463Genesys International Corp Ltd 4,33012.4K $
7,464Uniparts India Ltd 2,17512.3K $
7,465Tasty Bite Eatables Ltd 16412.2K $
7,466JG Chemicals Ltd 2,84012.1K $
7,467Ahli Bank QSC 11,71512.1K $
7,468SSI Group Inc 302,00011.8K $
7,469Haosen Fintech Group Ltd 8,00011.5K $
7,470Golden Long Teng Development Co Ltd 14,00011.4K $
7,471Neousys Technology Inc 2,00011.3K $
7,472Harn Len Corp Bhd 63,90011.3K $
7,473Allianca Saude e Participacoes SA 18,48111.1K $
7,474Hsin Ba Ba Corp 9,01710.9K $
7,475Flask Co Ltd 36,32510.9K $
7,476TVS Supply Chain Solutions Ltd/India 8,95610.9K $
7,477DingZing Advanced Materials Inc 4,00010.8K $
7,478Prudent Corporate Advisory Services Ltd 35410.6K $
7,479China Chengtong Development Group Ltd 546,00010.5K $
7,480Cydsa SAB de CV 6,12910.5K $
7,481Aurum Proptech Ltd 5,28710.3K $
7,482Zall Smart Commerce Group Ltd 841,00010.3K $
7,483Beisen Holding Ltd 22,60010.1K $
7,484Vactronics Technologies Inc 8,00010K $
7,485OceanaGold Philippines Inc 18,1009.9K $
7,486SPML INFRA LIMITED 4,4839.8K $
7,487Archosaur Games Inc 38,0009.8K $
7,488Rane Madras Ltd 1,1219.7K $
7,489Podak Co Ltd 7,0009.6K $
7,490Ferro SA 1,2129.6K $
7,491Chateau International Development Co Ltd 12,8109.4K $
7,492Max India Ltd 5,7279.4K $
7,493Dine SAB de CV 7,3009.2K $
7,494ReaLy Development&Construction Corp 10,0009.1K $
7,495LI Ming Development Construction Co Ltd 10,0009K $
7,496Zuari Industries Ltd 3,0998.6K $
7,497Casing Macron Technology Co Ltd 18,8397.9K $
7,498KNM GROUP BHD 15,379,8817.7K $
7,499Polaris Office Corp 2,2677.7K $
7,500Kuwait & Gulf Link Transport Co KSC 42,0837.4K $

Download this table: CSV, JSON

Sector breakdown

  • Technology 18.1 %
  • Communication 2.6 %
  • Financials 2.5 %
  • Consumer discretionary 2.1 %
  • Funds 1.4 %
  • Energy 0.9 %
  • Materials 0.7 %
  • Unattributed 71.7 %

Titelia assigns each company to a sector, one by one. The unassigned share stays visible, under "Unattributed".

Currency breakdown

  • TWD 22.0 %
  • HKD 16.8 %
  • KRW 16.8 %
  • INR 13.5 %
  • USD 6.7 %
  • CNY 5.0 %
  • BRL 2.8 %
  • ZAR 2.7 %
  • SAR 2.6 %
  • MXN 1.7 %
  • MYR 1.3 %
  • AED 1.3 %
  • PLN 1.2 %
  • THB 1.2 %
  • IDR 1.0 %
  • TRY 0.8 %
  • QAR 0.6 %
  • EUR 0.5 %
  • PHP 0.4 %
  • KWD 0.3 %
  • CLP 0.3 %
  • HUF 0.3 %
  • CZK 0.1 %
  • COP 0.1 %

Each line is counted in its quoted currency, as the fund declares it.

Country breakdown

  • Taiwan 24.1 %
  • South Korea 16.9 %
  • Hong Kong SAR China 14.0 %
  • India 13.8 %
  • China 6.6 %
  • South Africa 2.9 %
  • Brazil 2.8 %
  • Saudi Arabia 2.6 %
  • United States 2.1 %
  • Mexico 2.1 %
  • Cayman Islands 1.6 %
  • Malaysia 1.3 %
  • Other countries 9.2 %

Shares are computed on the fund's equities only.

RankCountryLinesValueShare
1Taiwan1,1119.1B $24.10 %
2South Korea1,0876.4B $16.94 %
3Hong Kong SAR China3025.3B $14.00 %
4India9895.2B $13.80 %
5China1,9382.5B $6.61 %
6South Africa971.1B $2.93 %
7Brazil1621.1B $2.82 %
8Saudi Arabia177970M $2.56 %
9United States22796.1M $2.10 %
10Mexico76777.3M $2.05 %
11Cayman Islands234608.3M $1.61 %
12Malaysia208494.3M $1.30 %
Cite this page

Titelia. "Holdings of EMERGING MARKETS CORE EQUITY 2 PORTFOLIO". https://titelia.com/en/funds/S000000978