DFA INTERNATIONAL VALUE PORTFOLIO DFA INTERNATIONAL VALUE PORTFOLIO- INSTITUTIONAL CLASS(DFIVX) USD 19.56
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.20%USD 0.04USD0.03972023-03-30
20223.44%USD 0.672USD0.182312022-12-14
USD0.139712022-09-29
USD0.329742022-06-29
USD0.020132022-03-30
20216.02%USD 1.177USD0.742012021-12-15
USD0.146992021-09-29
USD0.267672021-06-29
USD0.020482021-03-30
20202.09%USD 0.409USD0.154852020-12-16
USD0.085462020-09-29
USD0.168972020-06-29
20193.35%USD 0.656USD0.189072019-12-17
USD0.08792019-09-27
USD0.341852019-06-27
USD0.037092019-03-28
20185.37%USD 1.051USD0.622052018-12-18
USD0.077942018-09-27
USD0.312992018-06-28
USD0.037792018-03-28
20172.98%USD 0.584USD0.159222017-12-15
USD0.097692017-09-28
USD0.273222017-06-29
USD0.053472017-03-30
20162.88%USD 0.564USD0.159832016-12-15
USD0.055782016-09-29
USD0.278182016-06-29
USD0.070122016-03-30
20152.83%USD 0.554USD0.13742015-12-16
USD0.075422015-09-09
USD0.340972015-06-08
20144.41%USD 0.863USD0.134232014-12-16
USD0.08852014-09-09
USD0.32482014-06-09
USD0.31512014-03-10
20132.75%USD 0.538USD0.1082013-12-12
USD0.0732013-09-10
USD0.3272013-06-10
USD0.032013-03-08
20122.65%USD 0.518USD0.1412012-12-13
USD0.0752012-09-10
USD0.2712012-06-08
USD0.0312012-03-08
20113.13%USD 0.613USD0.1482011-12-13
USD0.0992011-09-08
USD0.3112011-06-08
USD0.0552011-03-08
20102.03%USD 0.397USD0.1012010-12-09
USD0.0672010-09-08
USD0.2152010-06-08
USD0.0142010-03-09
20093.34%USD 0.654USD0.0872009-12-09
USD0.2572009-11-11
USD0.0712009-09-09
USD0.222009-06-09
USD0.0192009-03-10
20084.72%USD 0.924USD0.1792008-12-17
USD0.0862008-12-10
USD0.1112008-09-09
USD0.5242008-06-10
USD0.0242008-03-10
20077.66%USD 1.499USD0.6152007-12-19
USD0.3382007-12-12
USD0.1292007-09-10
USD0.4032007-06-08
USD0.0142007-03-08
20066.69%USD 1.308USD0.4592006-12-18
USD0.3362006-12-13
USD0.2372006-09-08
USD0.2762006-06-08
20055.18%USD 1.013USD0.4762005-12-19
USD0.0022005-11-14
USD0.2362005-10-26
USD0.082005-09-08
USD0.212005-06-08
USD0.00932005-03-08
20041.87%USD 0.365USD0.1392004-12-20
USD0.0782004-09-08
USD0.1442004-06-08
USD0.0042004-03-09
20031.37%USD 0.268USD0.0792003-12-22
USD0.0412003-09-09
USD0.1362003-06-10
USD0.0122003-03-10
20021.03%USD 0.202USD0.0442002-12-16
USD0.0512002-09-10
USD0.1072002-06-10
20013.05%USD 0.596USD0.3972001-12-17
USD0.0542001-09-10
USD0.1452001-06-08
20001.27%USD 0.248USD0.0682000-12-18
USD0.0622000-09-08
USD0.1042000-06-08
USD0.0142000-03-08