DFA GLOBAL EQUITY I - EQUITY FUNDS Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / EQUITY FUNDS
Price per share
$39.21
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
448,573
Total reported value
$17,586,889
% of total 13F portfolios
0%
Share change
-7,974
Value change
-$308,759
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 448,573 shares of DFA GLOBAL EQUITY I - EQUITY FUNDS.

Institutional Holders of DFA GLOBAL EQUITY I - EQUITY FUNDS across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 448,573 $17,586,889 -$308,759 $39.21 2
2025 Q2 456,547 $16,713,209 -$554,380 $36.61 2
2025 Q1 471,785 $15,732,808 -$590,438 $33.35 3
2024 Q4 489,491 $16,656,315 -$718,708 $34.03 2
2024 Q3 510,612 $18,034,000 -$915,082 $35.32 1
2024 Q2 537,190 $17,823,245 -$42,536,501 $33.18 2
2024 Q1 543,697 $17,836,140 -$559,075 $32.84 3
2023 Q4 1,951,690 $59,462,304 -$764,322,912 $30.47 6
2023 Q3 27,035,714 $789,226,856 +$687,834 $28.13 4
2023 Q2 883,228 $25,241,410 -$21,377,755 $28.46 2
2023 Q1 1,650,268 $45,827,339 -$76,670 $27.77 2
2022 Q4 545,203 $14,366,000 -$30,329 $26.35 1
2022 Q3 546,354 $13,363,000 +$12,861,999 $24.46 1
2022 Q2 19,048 $501,000 +$501,001 $26.30 1
2021 Q1 0 $0 -$218,000 $39.21 0
2020 Q4 7,943 $218,000 -$80,000 $27.45 1
2020 Q3 12,577 $298,000 $0 $23.69 1
2020 Q2 12,577 $278,000 -$354,832 $22.10 1
2020 Q1 28,630 $525,000 -$320,098 $18.34 1
2019 Q4 46,086 $1,146,000 -$75,644 $24.87 1
2019 Q3 49,128 $1,129,000 +$1,129,001 $22.98 1
2017 Q1 13,924 $285,729 -$31,212 $20.52 1
2016 Q4 15,445 $300,706 +$674 $19.47 1
2016 Q3 75 $1,000 $0 $13.33 1
2016 Q2 75 $1,000 -$1,146,999 $13.33 1
2016 Q1 77,620 $1,417,884 +$1,137,188 $18.07 2
2015 Q4 18,666 $328,300 +$1,548 $17.59 3
2015 Q3 15,734 $267,919 +$15,710 $17.32 2
2015 Q2 14,810 $279,687 +$14,396 $19.04 2
2015 Q1 14,059 $265,158 +$265,158 $18.86 1
2014 Q1 14,059 $265,158 $0 $18.86 1