Strategies / US Large Cap Value Portfolio (I)
Inception Date Ticker Symbol CUSIP Number
February 19, 1993 DFLVX 233-203-827
The US Large Cap Value Portfolio is a no-load mutual fund designed to capture the returns and diversification benefits of a broad cross-section of US value companies, on a market-cap weighted basis. The Portfolio invests in securities of US companies with market capitalizations within the largest 90% of the market universe or larger than the 1,000th largest US company, whichever results in a higher market capitalization break. The market universe is comprised of companies listed on the New York Stock Exchange, American Stock Exchange, and NASDAQ National Market System. After identifying the aggregate market capitalization break, a value screen is applied to the universe. Securities are considered value stocks primarily because a company's shares have a high book value in relation to their market value (BtM). This BtM sort excludes firms with negative or zero book values. In assessing value, additional factors such as price to cash flow or price to earning ratios may be considered, as well as economic conditions and developments in the issuer's industry. The criteria for assessing value are subject to change from time to time.

For a full description, please consult the Portfolio's prospectus.
Prices
Updated Daily
Date Closing Price NAV Change $ NAV Change %
September 1, 2010 $17.05 $0.61 3.71%
Performance
Updated Daily
Total Returns Year-to-Date
September 1, 2010 0.54%
Updated Monthly
Total Returns One Month Three Month Year-to-Date
August 31, 2010 -6.11% -6.42% -3.06%
Updated Monthly
Average Annual Total Returns One Year Five Years Ten Years Since Inception
August 31, 2010 5.02% -2.12% 3.86% 8.11%
Updated Quarterly
Average Annual Total Returns One Year Five Years Ten Years Since Inception
June 30, 2010 21.23% -1.58% 4.77% 8.11%
Annual Expenses Net Expense Ratio (to investor) Total Operating Expense Ratio
October 31, 2009 0.30% 0.30%
Distributions
Last 12 Months
Type Amount per Share Record Date Ex-dividend Date Payable Date Ex-dividend Price
Dividend $0.0590 USD 06/07/2010 06/08/2010 06/11/2010 $16.87 USD
Dividend $0.0440 USD 03/08/2010 03/09/2010 03/12/2010 $18.05 USD
Dividend $0.0880 USD 12/08/2009 12/09/2009 12/14/2009 $16.65 USD
Dividend $0.0400 USD 09/08/2009 09/09/2009 09/14/2009 $16.12 USD
Holdings
As of July 31, 2010 % of portfolio
CONOCOPHILLIPS 4.01
GENERAL ELECTRIC CO 3.76
AT&T INC 3.61
BANK OF AMERICA CORP 3.35
COMCAST CORP 2.75
UNION PACIFIC CORP 2.59
TIME WARNER INC 2.40
METLIFE INC 2.39
CITIGROUP INC 2.37
CVS CAREMARK CORP 2.29
TRAVELERS COS INC/THE 2.06
ANADARKO PETROLEUM CORP 1.66
WELLPOINT INC 1.60
KRAFT FOODS INC 1.53
NORFOLK SOUTHERN CORP 1.51
CSX CORP 1.48
MARATHON OIL CORP 1.41
TIME WARNER CABLE INC 1.40
NORTHROP GRUMMAN CORP 1.38
WALT DISNEY CO/THE 1.38
Total 44.94
Sector Allocations
As of July 31, 2010 % of portfolio
Financials 25.3
Consumer Discretionary 17.8
Energy 14.9
Industrials 14.6
Consumer Staples 7.3
Health Care 6.4
Telecommunication Services 5.8
Information Technology 3.8
Materials 3.0
Utilities 1.1
Total 100.0
Sectors defined by MSCI
Market Risk
Even a long-term investment approach cannot guarantee a profit. Economic, political, and issuer-specific events will cause the value of securities, and the funds that own them, to rise or fall. Because the value of your investment in a fund will fluctuate, there is a risk that you will lose money.

Dimensional Fund Advisors is an investment advisor registered with the Securities and Exchange Commission. Consider the investment objectives, risks, and charges and expenses of the Dimensional funds carefully before investing. For this and other information about the Dimensional funds, please read the prospectus carefully before investing. Prospectuses are available by calling Dimensional Fund Advisors collect at (310) 395-8005; on the Internet at www.dimensional.com; or, by mail, DFA Securities LLC, c/o Dimensional Fund Advisors, 1299 Ocean Avenue, 11th Floor, Santa Monica, CA 90401.

Mutual funds distributed by DFA Securities LLC
These Net Asset Values ("NAVs") have been prepared by the fund accounting agent. Dimensional Fund Advisors reserves the right to restate these NAV figures, if necessary, at any time.
Performance data represents past performance. Past performance is no guarantee of future results, and current performance may be higher or lower than the performance displayed. The investment return and principal value of an investment will fluctuate such that an investor's shares, when redeemed, may be worth more or less than their original cost. Total returns include reinvestment of dividends and capital gains and are net of all fees and expenses. Prior to April 2002, certain international equity portfolios charged a reimbursement fee to the purchasers of shares of those portfolios.