Titelia

Holdings of Dimensional US Large Cap Value ETF

Dimensional ETF Trust · Original filing · Compare with another fund · Report an error

Net assets
5.9B $ including 5.9B $ in equities, 99.9 %
Positions
331 in 9 countries
Top ten
25.6 % of net assets
Filed on
Apr 30, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
1JPMorgan Chase & Co 863,325270.4M $4.59 %
2Exxon Mobil Corp 1,542,654238.1M $4.04 %
3Amazon.com Inc 699,077185.3M $3.15 %
4Micron Technology Inc 312,610161.7M $2.75 %
5Johnson & Johnson 614,933141.3M $2.40 %
6Chevron Corp 622,468120.3M $2.04 %
7Cisco Systems, Inc. 1,224,903112.1M $1.90 %
8Berkshire Hathaway Inc 210,83799.9M $1.70 %
9UnitedHealth Group Inc 256,79195.1M $1.62 %
10Procter & Gamble Co/The 556,19281.8M $1.39 %
11Linde PLC 147,80674.1M $1.26 %
12Verizon Communications Inc 1,465,90070.4M $1.20 %
13Merck & Co Inc 640,64069.9M $1.19 %
14Morgan Stanley 362,35069.1M $1.17 %
15Goldman Sachs Group Inc/The 69,42364.1M $1.09 %
16AT&T Inc 2,431,78363.5M $1.08 %
17Wells Fargo & Co 738,04960.7M $1.03 %
18Newmont Corp 545,08160.6M $1.03 %
19RTX Corp 310,49754.7M $0.93 %
20ConocoPhillips 431,09354.2M $0.92 %
21SLB Ltd 899,09951.1M $0.87 %
22Cummins Inc 75,46850.6M $0.86 %
23CSX Corp 1,110,29050.4M $0.86 %
24FedEx Corp 124,83750.3M $0.86 %
25Norfolk Southern Corp 158,26750M $0.85 %
26Pfizer Inc 1,849,08849.4M $0.84 %
27CRH PLC 404,12747.9M $0.81 %
28General Motors Co 620,48247.7M $0.81 %
29Baker Hughes Co 682,98447.6M $0.81 %
30Analog Devices Inc 116,91247M $0.80 %
31Deere & Co 78,07546.1M $0.78 %
32Marathon Petroleum Corp 184,82445.9M $0.78 %
33TE Connectivity PLC 213,78845.3M $0.77 %
34EOG Resources Inc 321,29945.2M $0.77 %
35Bank of America Corp 809,17543.3M $0.73 %
36Freeport-McMoRan Inc 743,32942.9M $0.73 %
37NXP Semiconductors NV 144,40942.4M $0.72 %
38Valero Energy Corp 166,53542.1M $0.71 %
39Travelers Cos Inc/The 136,82441.8M $0.71 %
40Thermo Fisher Scientific Inc 80,92038.8M $0.66 %
41Allstate Corp/The 168,12136.5M $0.62 %
42Intel Corp 385,76236.4M $0.62 %
43Cigna Group/The 125,05136.3M $0.62 %
44PACCAR Inc 298,28535.4M $0.60 %
45United Rentals Inc 36,65035.2M $0.60 %
46Target Corp 267,93134.8M $0.59 %
47Occidental Petroleum Corp 566,73334.3M $0.58 %
48Ford Motor Co 2,782,59833.6M $0.57 %
49Republic Services Inc 159,61333.4M $0.57 %
50Bristol-Myers Squibb Co 544,90833M $0.56 %
51Abbott Laboratories 362,63932.9M $0.56 %
52Mondelez International Inc 526,89032.4M $0.55 %
53Emerson Electric Co. 227,86832M $0.54 %
54Comcast Corp 1,172,98831.7M $0.54 %
55MetLife Inc 392,52731.4M $0.53 %
56Salesforce Inc 177,92631.4M $0.53 %
57ONEOK Inc 333,36030.8M $0.52 %
58Delta Air Lines Inc 440,59530M $0.51 %
59Phillips 66 165,51029.7M $0.50 %
60Chubb Ltd 90,11629.5M $0.50 %
61Bank of New York Mellon Corp/The 218,69929.4M $0.50 %
62Nucor Corp 128,19528.9M $0.49 %
63AMETEK Inc 120,95728.5M $0.48 %
64Air Products and Chemicals Inc 94,84628.5M $0.48 %
65General Dynamics Corp 82,40728.4M $0.48 %
66Kroger Co/The 416,51628.4M $0.48 %
67NIKE Inc 628,52427.9M $0.47 %
68T-Mobile US Inc 142,56027.9M $0.47 %
69Diamondback Energy Inc 132,19827.2M $0.46 %
70Vulcan Materials Co 89,80327.1M $0.46 %
71Northrop Grumman Corp 46,49626.9M $0.46 %
72Hartford Insurance Group Inc/The 196,42426.9M $0.46 %
73US Bancorp 473,42726.8M $0.46 %
74Citigroup Inc 206,79026.5M $0.45 %
75Medtronic PLC 324,47126.3M $0.45 %
76Williams Cos Inc/The 335,91825.6M $0.44 %
77Aflac Inc 219,37524.9M $0.42 %
78Elevance Health Inc 65,62024.7M $0.42 %
79Walt Disney Co/The 235,32724.4M $0.41 %
80DR Horton Inc 154,38523.8M $0.40 %
81PayPal Holdings Inc 454,07822.8M $0.39 %
82Kinder Morgan, Inc. 691,19822.7M $0.39 %
83CVS Health Corp 265,34922.1M $0.38 %
84American International Group Inc 294,16622M $0.37 %
85L3Harris Technologies Inc 68,44121.9M $0.37 %
86Westinghouse Air Brake Technologies Corp 81,03321.9M $0.37 %
87CBRE Group Inc 148,00421.1M $0.36 %
88Carrier Global Corp 313,67321.1M $0.36 %
89Martin Marietta Materials Inc 33,81120.9M $0.36 %
90Raymond James Financial Inc 131,87920.9M $0.35 %
91Steel Dynamics Inc 90,06820.6M $0.35 %
92State Street Corp 133,34120.4M $0.35 %
93GE HealthCare Technologies Inc 328,12820M $0.34 %
94Cognizant Technology Solutions Corp. 374,52619.8M $0.34 %
95Hewlett Packard Enterprise Co 680,14419.6M $0.33 %
96Garmin Ltd 74,62818.7M $0.32 %
97United Airlines Holdings Inc 205,64318.5M $0.31 %
98Kenvue Inc 1,053,53618.5M $0.31 %
99Arch Capital Group Ltd 192,78918.2M $0.31 %
100Flex Ltd 196,03217.9M $0.30 %

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Sector breakdown

  • Financials 20.5 %
  • Health care 13.4 %
  • Industrials 13.0 %
  • Energy 12.3 %
  • Technology 11.7 %
  • Materials 7.3 %
  • Consumer discretionary 7.1 %
  • Communication 4.4 %
  • Consumer staples 3.9 %
  • Real estate 0.4 %
  • Unattributed 6.0 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • United States 98.1 %
  • Netherlands 0.8 %
  • Ireland 0.4 %
  • Bermuda 0.3 %
  • Singapore 0.3 %
  • Cayman Islands 0.0 %
  • Jersey 0.0 %
  • United Kingdom 0.0 %
  • Guernsey 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1United States3175.8B $98.08 %
2Netherlands347.4M $0.81 %
3Ireland326M $0.44 %
4Bermuda319.7M $0.34 %
5Singapore117.9M $0.31 %
6Cayman Islands11.1M $0.02 %
7Jersey1740.4K $0.01 %
8United Kingdom185.8K $0.00 %
9Guernsey162K $0.00 %
Cite this page

Titelia. "Holdings of Dimensional US Large Cap Value ETF". https://titelia.com/en/funds/S000078987