Strategies / Five-Year Global Fixed Income Fund (F)
Inception Date    
October 24, 2003    
 
The fundamental investment objective of the Five-Year Global Fixed Income Fund is to provide a market rate of return for a global fixed income portfolio with relatively low volatility of returns, while maintaining its eligibility for investment by registered plans. In constructing the portfolio, Dimensional buys high-quality fixed income securities that mature generally within five years from the date of settlement, and that are issued or guaranteed by the Canadian government or its agencies or instrumentalities, other Canadian issuers, foreign governments or their agencies or instrumentalities, other foreign issuers, and supranational organizations. Currently, Dimensional expects that most of the Fund's non-Canadian investments will be made in the obligations of issuers that are located in developed countries, such as those countries that are members of the Organization for Economic Co-Operation and Development. However, in the future, Dimensional anticipates investing in issuers located in other countries as well. Currency exposure tends to increase the volatility of an international fixed income portfolio. To reduce this volatility, Dimensional will hedge currency exposure in the Five-Year Global Fixed Income Fund. This enables us to gain the benefits that come from diversifying across many countries without measurably increasing currency risk.

For a full description, please consult the Portfolio's prospectus.
Prices
Updated Daily
Date Closing Price NAV Change $ NAV Change %
May 23, 2012 $10.01 $0.01 0.10%
Performance
Updated Daily
Total Returns Year-to-Date
May 23, 2012 2.41%
Updated Monthly
Total Returns One Month Three Month Year-to-Date
April 30, 2012 0.40% 0.97% 2.00%
Updated Monthly
Average Annual Total Returns One Year Five Years Ten Years Since Inception
April 30, 2012 5.67% 4.73% -- 4.11%
Updated Quarterly
Average Annual Total Returns One Year Five Years Ten Years Since Inception
As of March 31, 2012 6.68% 4.69% -- 4.10%
Distributions
Last 12 Months
Type Amount per Share Record Date Ex-dividend Date Payable Date Ex-dividend Price
Dividend $0.0556 CAD 03/19/2012 03/20/2012 03/20/2012 $9.86 CAD
Dividend $0.0497 CAD 12/16/2011 12/19/2011 12/19/2011 $9.83 CAD
Dividend $0.0669 CAD 09/19/2011 09/20/2011 09/20/2011 $9.96 CAD
Dividend $0.0604 CAD 06/17/2011 06/20/2011 06/20/2011 $9.78 CAD
Commissions, trailing commissions, management fees, and expenses all may be associated with mutual fund investments. Please read the prospectus before investing. Mutual funds are not guaranteed; their values change frequently and past performance may not be repeated.


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