Strategies / Prices
Consolidated Quarterly Updates

Monthly Non-Valuation Dates

These Net Asset Values ("NAVs") have been prepared by the fund accounting agent. DFA Australia Limited reserves the right to restate these NAV figures, if necessary, at any time. Click through to our client site for historical prices.

  • All Funds
  • Australian Equities
  • Global
  • Fixed Interest
  • Multi-Factor
  • Real Estate
Australian Core Equity Strategy
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Australian Core Equity Trust DFA0003AU February 21, 2012 $8.94 $8.93 $8.92
Australian Small Cap Strategy
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Australian Small Co. Trust DFA0104AU February 21, 2012 $18.12 $18.10 $18.08
Australian Large Cap Strategy
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Australian Large Co. Trust DFA0103AU February 21, 2012 $13.39 $13.38 $13.37
Australian Value Strategy
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Australian Value Trust DFA0101AU February 21, 2012 $17.15 $17.13 $17.11
Global Core Equity Strategies
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Global Core Equity Trust AUD Unh. Class DFA0004AU February 21, 2012 $6.62 $6.61 $6.60
Global Core Equity Trust AUD Hedged Class DFA0009AU February 21, 2012 $10.94 $10.92 $10.90
Global Core Equity Trust NZD Hedged Class ‡ -- February 21, 2012 $12.08 $12.06 $12.04
Global Small Cap Strategy
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Global Small Company Trust DFA0106AU February 21, 2012 $9.16 $9.15 $9.14
Global Large Cap Strategy
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Global Large Company Trust DFA0105AU February 21, 2012 $5.38 $5.37 $5.36
Global Value Strategy
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Global Value Trust DFA0102AU February 21, 2012 $8.24 $8.23 $8.22
Global Emerging Markets Strategy
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Emerging Markets Trust DFA0107AU February 21, 2012 $13.90 $13.87 $13.84
Multi-Factor Growth Strategy
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Multi-Factor Growth Trust DFA0029AU February 21, 2012 $10.28 $10.27 $10.26
Real Estate Strategy
Fund Name APIR Code Prices as of Application Price Net Asset Value Redemption Price
Global Real Estate Trust DFA0005AU February 21, 2012 $4.96 $4.95 $4.94
‡ Five Year Diversified Fixed Interest Trust NZD class and Global Core Equity Trust NZD Hedged Class in New Zealand dollars. All other prices are in Australian dollars


Performance data reported by DFA Australia Limited represents past performance and is not indicative of future performance. The investment return and principal value will fluctuate so that an investor's units, when redeemed, may be worth more or less than their original cost. Further, there can be no assurance that any of the Trusts will achieve its investment objective.
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