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DFSB

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Key Stats
Assets Under Management
598.02MUSD
Fund Flows (1Y)
190.51MUSD
Dividend Yield
3.45%
Discount/Premium to NAV
0.31%
Shares Outstanding
11.60M
Expense Ratio
0.24%
About Dimensional Global Sustainability Fixed Income ETF
Issuer
Dimensional
Brand
Dimensional
Inception Date
Nov 15, 2022
Structure
Open-Ended Fund
Index Tracked
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Management Style
Active
Dividend Treatment
Distributes
Distribution Tax Treatment
Ordinary income
Income Tax Type
Capital Gains
Max ST Capital Gains Rate
39.60%
Max LT Capital Gains Rate
20.00%
Primary Advisor
Dimensional Fund Advisors LP
Distributor
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DFSB broadly invests in investment-grade corporate and government debt securities from developed markets. The fund aims to capture returns from higher-risk and longer-term securities while making adjustments depending on their expected term and credit premiums. While the fund invests in those that mature within 20 years from their settlement date, the weighted average duration is maintained to be close to its broad-based benchmark, the Bloomberg Global Aggregate Bond Index. At least 40% of assets are invested in non-US debt securities. During unfavorable market conditions, non-US exposure is reduced to at least 30%. Furthermore, the fund hedges its foreign currency exposure. As such, it may enter foreign currency forward contracts and credit default swaps. The fund may also use derivatives or engage in securities lending. In addition, the advisor makes environment and other sustainability considerations in their investment process, when applicable. It could overweight securities based on sustainability impacts and other factors. As an actively managed fund, the portfolio managers have full discretion to make investment decisions for portfolio at any time.
Classification
Asset Class
Fixed Income
Category
Broad Market, Broad-based
Focus
Investment Grade
Niche
Broad Maturities
Strategy
Active
Geography
Developed Markets
Weighting Scheme
Proprietary
Selection Criteria
Proprietary
Returns
1-Month
3-Month
YTD
1-Year
3-Year
5-Year
Price Performance
-0.92%-2.42%+1.82%+1.98%+3.46%+2.65%
NAV Total Return
-0.42%+0.82%+5.27%+5.32%+17.94%+0.13%
Ratings

No data is currently available

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Holdings Analysis

Sector

No data is currently available

Asset

No data is currently available

Region

No data is currently available

Investment Style

No data is currently available

Top 10 Holdings

Symbol

Ratio

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UNITED KI 1.125% 01/31/39

2.40%
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FNMA 30YR TBA JAN 2.00%

2.27%
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FNMA 30YR TBA JAN 2.5%

2.19%
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FNMA 30YR TBA JAN 6%

2.19%
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KINGDOM O 1.9% 06/22/38

1.39%
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FNMA 30YR TBA JAN 6.5%

1.36%
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JAPAN GOV 2.4% 09/20/38

1.25%
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ASIAN DEV VRN 05/23/29

1.17%
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PROVINCE 4.15% 06/18/34

1.12%
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US T-NOTE VRN 01/31/26

1.07%

Top 10 Weight 16.4%

716 Total Holdings

Dividends

Dividend Payout History

Declaration Date
Record Date
Payment Date
Amount
2025-11-182025-11-182025-11-200.430
2025-10-212025-10-212025-10-230.651
2025-03-252025-03-252025-03-270.057
2025-02-192025-02-192025-02-210.030
2024-12-172024-12-172024-12-190.744
2024-11-192024-11-192024-11-210.409
2024-10-222024-10-222024-10-240.106

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Premium/Discount Chart
Premium/Discount to NAV
Price
Assets Under Management
Assets Under Management
Fund Flows
Inflows
Outflows