DFA US Large Company Portfolio
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About the company
The fund primarily invests in the equity securities that constitute the S&P 500® Index, generally aiming to reflect their weighting within that benchmark. Under ordinary market circumstances, a minimum of 95% of the portfolio's net assets will be allocated to these S&P 500 component stocks. To adjust its overall equity market exposure in response to actual or anticipated cash inflows or outflows, the fund may also utilize futures and options contracts linked to U.
- IPO
- 1999
- HQ
- Austin, TX, US
Price Chart
- Market Cap
- $14.75B
- P/E
- 71.99
- P/S
- 96.01
- P/B
- 0.00
- EV/EBITDA
- 0.00
- Div Yield
- 0.99%
- Gross Margin
- 100.00%
- Op Margin
- 74.75%
- Net Margin
- 84.27%
- ROE
- 2.36%
- ROIC
- 2.01%
- Revenue
- $153.64M · 2.49%
- Net Income
- $129.46M · 108.86%
- EPS
- $0.69 · 108.23%
- Op Income
- $114.84M
- FCF YoY
- 0.00%
- 52W High
- $50.57
- 52W Low
- $41.30
- 50D MA
- $49.13
- 200D MA
- $46.11
- Beta
- 1.00
- Avg Volume
- 0
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