IFA Investing Credo
A partial listing of institutional investors of Dimensional Funds Advisors (as of January 1, 2012):
IFA bases its research on the widely accepted Efficient Market Hypothesis.
Risk and Return Are Related
IFA's investment strategies are guided by the highly regarded Fama/French Multifactor Models for Investing.
Diversification is Essential
IFA's portfolios are structured to provide comprehensive asset class allocation and international exposure.
Discipline and Patience Should Reward Investors
IFA’s passive investing strategy is designed to maximize higher risk-adjusted returns over active management.
- Boeing Corporation
- Verizon Communications
- PepsiCo, Inc.
- J. Paul Getty Trust
- City and County of San Francisco