17175647
17175647
PLC
General Information..................................................................................................................................................................................................2
General Information
Board of Directors†:                                        Administrator:
Peter Blessing (Irish)*                                     BNY Mellon Investment Servicing (International) Limited¹
David G. Booth (American)*                                  Riverside Two
Dermot S.L. Butler (Canadian)*                              Sir John Rogerson’s Quay
Richard Eustice (American)*                                 Grand Canal Dock
David Martin (American)*                                    Dublin 2
Catherine L. Newell (American)*                             Ireland
David Salisbury (British)*
Andrew Cain (British)*
Eduardo Repetto (American)*
Registered Office:
70 Sir John Rogerson’s Quay
Dublin 2
Ireland
* Non-executive Director.
¹ Effective 1 July 2010 BNY Mellon Investment Servicing (International) Limited acquired PNC Global Investment
Servicing (Europe) Limited.
² Effective 1 July 2010 BNY Mellon International Bank Limited acquired PNC International Bank Limited.
† Effective 9 March 2010 Andrew Cain was appointed as a Director of the Company. Garrett Quigley resigned as a
Director of the Company effective 2 June 2010.Effective 6 July 2010 Eduardo Repetto was appointed as a Director of the
Company.
                                                           2
                                       DIMENSIONAL FUNDS II PLC
The Emerging Markets Targeted Value Fund was launched on 23 April 2007 with the inception of the Class A Shares which are
denominated in U.S. Dollars and the inception of the Class D Shares which are denominated in Sterling. The Class B Shares
which, are denominated in Euro commenced trading on 12 May 2008. The Class C Shares which, are denominated in sterling
commenced trading on 9 July 2008.
The Emerging Markets Targeted Value Fund has been invested in a broad range of mid cap and small companies with high book-
to-market ratios across the Emerging Markets region and as at 31 May 2010 had holdings in 1,518 companies. This reflects our
approach of delivering highly diversified exposure to the Emerging Markets companies. The weighted average book-to-market
ratio of the holdings in the Fund at 31 May 2010 was 0.85 compared to 0.85 for the MSCI Emerging Markets SMID Value Index.
The weighted average market capitalisation of the holdings in the Fund at 31 May 2010 was $2,091 million compared to $1,671
million for the MSCI Emerging Markets SMID Value Index. The dividend yield of the Fund at 31 May 2010 was 2.04% which
compares to 2.63% for the MSCI Emerging Markets SMID Value Index.
Over six months to 31 May 2010, the total return of the Emerging Markets Targeted Value Fund in U.S. dollars (the Base
Currency of the Fund) was 1.5%. This compares to a total return of 2.3% for the MSCI Emerging Markets SMID Value Index,
and also, to a total return of (2.9%) for the MSCI Emerging Markets Value Index.
Total return over six months and from inception for each class is shown in the Performance Information table. The portfolio is
fully invested and is well positioned to capture the returns of Emerging Markets small and mid-cap value companies.
The Investment Committee of the Advisor, having reviewed the Israeli market, has reclassified Israel as a developed market, the
fund will therefore remove its exposure to Israel from the second quarter of 2010 onwards.
European Value Fund
The European Value Fund was launched on 12 September 2007 with the inception of the Class A Shares which are denominated
in U.S. Dollars. The Class B Shares which are denominated in Euro began trading on 13 September 2007. The Class D Shares
which are denominated in Sterling commenced trading on 20 May 2008. The Class C Shares, which are denominated in Sterling
commenced trading on 19 February 2009.
The European Value Fund has been invested in a broad range of large cap value companies across the European region and as at
31 May 2010 had holdings in 146 companies. This reflects our approach of delivering highly diversified exposure to value
companies. The weighted average market capitalisation of the holdings in the Fund at 31 May 2010 was €30,627 million
compared to €51,601 million for the MSCI Europe Large Value Index. The dividend yield of the Fund at 31 May 2010 was
3.58% which compares to 5.07% for the MSCI Europe Large Value Index. The weighted average book-to-market ratio of the
holdings in the Fund at 31 May 2010 was 1.04 which compares with the MSCI Europe Large Value Index with a value of 0.86.
This reflects our intentional bias towards high book-to-market companies compared to the index since we believe that companies
with high book-to-market ratios deliver the strongest long term returns.
Over six months to 31 May 2010 the total return of the European Value Fund in Euro (the Base Currency of the Fund) was 0.3%,
the total return of the U.S. dollar class was (18.1%). This compares to Euro and U.S. dollar total returns of (0.3%) and (18.5%)
respectively for the MSCI Europe Large Value Index.
Total return over six months and from inception for each class is shown in the Performance Information table. The portfolio is
fully invested and is well positioned to capture the returns of European large-cap value companies.
                                                               3
                                       DIMENSIONAL FUNDS II PLC
                                                              4
                                       DIMENSIONAL FUNDS II PLC
The Pacific Basin Value Fund has been invested in a broad range of large cap value companies across the Pacific Basin region
and as at 31 May 2010 had holdings in 211 companies. This reflects our approach of delivering highly diversified exposure to
value companies. The weighted average market capitalisation of the holdings in the Fund at 31 May 2010 was $15,705 million
compared to $35,595 million for the MSCI Pacific Large Value Index. The dividend yield of the Fund at 31 May 2010 was 2.68%
which compares to 3.46% for the MSCI Pacific Large Value Index. The weighted average book-to-market ratio of the holdings in
the Fund at 31 May 2010 was 1.12 which compares with the MSCI Pacific Large Value Index with a value of 0.86. This reflects
our intentional bias towards high book-to-market companies compared to the index since we believe that companies with high
book-to-market ratios deliver the strongest long term returns.
Over six months to 31 May 2010, the total return of the Pacific Basin Value Fund in U.S. dollars (the Base Currency of the Fund)
was (0.3%). This compares to total return of -3.6% for the MSCI Pacific Large Value Index.
Total return over six months and from inception is shown in the Performance Information table. The portfolio is fully invested
and is well positioned to capture the returns of Pacific Basin large-cap value companies.
                                                               5
                                     DIMENSIONAL FUNDS II PLC
Emerging Markets Targeted Value Fund Class A Shares       USD        23-Apr-07        1.5%             0.4%
MSCI Emerging SMID Value Index                            USD                         2.3%             6.4%
Emerging Markets Targeted Value Fund Class B Shares       EUR        12-May-08       24.3%              8.2%
MSCI Emerging SMID Value Index                            EUR                        25.1%             12.8%
Emerging Markets Targeted Value Fund Class C Shares       GBP         9-Jul-08       15.3%             23.0%
MSCI Emerging SMID Value Index                            GBP                        16.3%             29.3%
Emerging Markets Targeted Value Fund Class D Shares       GBP        23-Apr-07       14.9%             10.6%
MSCI Emerging SMID Value Index                            GBP                        16.3%             18.1%
Global Core Equity Fund Class A Shares                    USD        3-Sep-08        (3.3%)            (6.8%)
MSCI World Net TR Index                                   USD                        (6.0%)           (10.8%)
Global Core Equity Fund Class B Shares                    EUR        3-Sep-08        18.5%             2.6%
MSCI World Net TR Index                                   EUR                        15.0%             2.1%
Global Core Equity Fund Class C Shares                    GBP        3-Sep-08         9.8%             4.2%
MSCI World Net TR Index                                   GBP                         7.0%             0.4%
Global Core Equity Fund Class D Shares                    GBP        3-Sep-08         9.9%             4.7%
MSCI World Net TR Index                                   GBP                         7.0%             0.4%
                                                      6
                                      DIMENSIONAL FUNDS II PLC
Global Targeted Value Fund Class A Shares                        USD          6-Feb-08         2.9%              (6.4%)
MSCI World SMID Value Index                                      USD                           2.9%              (3.9%)
Global Targeted Value Fund Class B Shares                        EUR         12-May-08        25.8%              1.0%
MSCI World SMID Value Index                                      EUR                          25.9%              4.1%
Global Targeted Value Fund Class C Shares                         GBP         5-Sep-08        16.7%               8.2%
MSCI World SMID Value Index                                       GBP                         17.0%              11.8%
Global Targeted Value Fund Class D Shares                         GBP        18-Mar-08        16.5%               8.9%
MSCI World SMID Value Index                                       GBP                         17.0%              11.9%
Pacific Basin Value Fund Class A Shares                          USD         18-Sep-07        (0.3%)             (3.4%)
MSCI Pacific Large Value Index                                   USD                          (3.6%)             (5.4%)
Pacific Basin Value Fund Class B Shares                          EUR          29-Oct-08       22.0%              30.7%
MSCI Pacific Large Value Index                                   EUR                          17.9%              22.9%
Pacific Basin Value Fund Class C Shares                           GBP        19-Feb-09        13.2%              40.6%
MSCI Pacific Large Value Index                                    GBP                         9.6%               29.4%
Pacific Basin Value Fund Class D Shares                           GBP        26-Nov-08        13.3%              32.4%
MSCI Pacific Large Value Index                                    GBP                         9.6%               27.4%
*All historic distribution have been adjusted for in calculating the return of Class C and Class D to ensure class return is
comparable to the index.
                                                             7
                                            DIMENSIONAL FUNDS II PLC
Liabilities
Management fee                 4                    (222,611 )              (17,777 )      (22,913 )      (101,921 )        (1,577 )
Payable for shares repurchased                       (59,483 )                  (62 )     (131,878 )    (2,235,985 )      (277,595 )
Payable for securities
purchased                                         (1,321,644 )              (75,639 )     (132,094 )    (1,729,167 )       (96,671 )
Distributions payable                               (973,586 )              (22,042 )     (395,896 )      (382,373 )       (10,525 )
Capital gains tax payable                           (345,427 )                    –              –               –               –
Accrued expenses                                    (260,990 )              (37,614 )      (77,656 )      (123,000 )       (53,280 )
Total Liabilities (excluding
net assets attributable to
holders of redeemable
shares)                                           (3,183,741 )             (153,134 )     (760,437 )    (4,572,446 )      (439,648 )
                                                                      8
                                            DIMENSIONAL FUNDS II PLC
                                             Emerging
                                              Markets
                                        Targeted Value European Value           Global Core Global Targeted   Pacific Basin
                                                 Fund           Fund            Equity Fund     Value Fund     Value Fund
                                                                      9
                                            DIMENSIONAL FUNDS II PLC
Liabilities
Bank overdraft                                             –                     –       (175,628 )             –               –
Management fee                 4                    (181,393 )             (13,866 )      (10,097 )       (45,139 )             –
Payable for shares repurchased                       (11,638 )                   –           (838 )        (2,452 )             –
Payable for securities
purchased                                            (17,303 )                   –         (7,370 )       (28,766 )      (315,663 )
Distributions payable                             (1,469,584 )              (3,794 )     (221,298 )      (190,472 )          (507 )
Capital gains tax payable                            (21,460 )                   –              –               –               –
Accrued expenses                                    (125,188 )             (26,562 )      (34,882 )       (47,364 )       (43,241 )
Total Liabilities (excluding
net assets attributable to
holders of redeemable
shares)                                           (1,826,566 )             (44,222 )     (450,113 )      (314,193 )      (359,411 )
                                                                      10
                                            DIMENSIONAL FUNDS II PLC
* European Value Fund Class C and Pacific Basin Value Fund Class C launched on 19 February 2009.
                                                                      11
                                            DIMENSIONAL FUNDS II PLC
Assets
Financial assets at fair value through profit or loss      2(b),13         675,702,902     413,841,548
Cash and cash equivalents                                  2(i), 5           5,899,906       1,429,790
Receivable for shares sold                                                     212,104         112,652
Receivable for securities sold                                               1,736,201         634,399
Interest receivable                                                             91,608          34,427
Dividends and tax receivable                                                 2,197,176       1,503,794
Receivable from Investment Manager                                                  33           7,836
Prepaid fees                                                                     4,064           2,264
Other assets                                                                         –             200
Total Assets                                                               685,843,994     417,566,910
Liabilities
Bank overdraft                                                                       –        (124,232 )
Management fee                                       4                        (302,194 )      (181,249 )
Payable for shares repurchased                                              (2,204,318 )       (10,560 )
Payable for securities purchased                                            (2,748,166 )      (261,088 )
Distributions payable                                                       (1,458,205 )    (1,334,948 )
Capital gains tax payable                                                     (281,489 )       (15,180 )
Accrued expenses                                                              (457,227 )      (203,879 )
Total Liabilities (excluding net assets attributable
to holders of redeemable shares)                                            (7,451,599 )    (2,131,136 )
Adjustment from bid market value to fair value 2(b) (1,208,144 ) 3,238,118
                                                                      12
                                            DIMENSIONAL FUNDS II PLC
Profit and Loss Account for the period ended 31 May 2010 (Unaudited)
                                                 Emerging
                                                  Markets                                                       Global
                                            Targeted Value    European                      Global Core Targeted Value            Pacific Basin
                                       Note          Fund   Value Fund                      Equity Fund          Fund              Value Fund
                                                      USD          EUR                             USD            USD                      USD
Income
Interest income                        2(c)           481             –                              230                464                 27
Dividends                              2(c)     3,845,261    1,408,269                         1,355,466          2,376,253            294,435
Stock lending income                   2(i)        78,485      111,201                            30,184             78,164              2,713
Other income                                       40,534         1,645                            7,412             15,971              4,927
Net (loss)/gain on financial assets at
fair value through profit or loss      3       (2,575,430 )   (505,554 )                      (5,134,605 )        1,571,213           (159,294 )
Net income/(loss)                               1,389,331    1,015,561                        (3,741,313 )        4,042,065            142,808
Expenses
Management fee                              4           (1,268,071 )         (114,229 )         (158,996 )         (585,426 )          (48,414 )
Combined administration and
custodian fee                               4             (152,441 )          (29,513 )          (57,139 )         (121,493 )          (33,215 )
Sub-custodian fees                                        (188,425 )           (5,587 )          (14,064 )          (44,475 )           (5,241 )
Audit and legal fees                        4              (38,397 )          (12,868 )          (18,712 )          (28,347 )          (10,495 )
Other expenses                                             (29,324 )          (13,948 )          (18,825 )          (22,078 )          (18,576 )
Total operating expenses before
waivers                                                 (1,676,658 )         (176,145 )         (267,736 )         (801,819 )         (115,941 )
Finance costs
Distributions to redeemable
shareholders                                12            (904,101 )          (20,908 )         (359,515 )         (291,492 )               (9,851 )
Total finance costs                                       (904,101 )          (20,908 )         (359,515 )         (291,492 )               (9,851 )
Gains and losses arose solely from continuing operations. There were no gains or losses other than those dealt within the Profit and Loss
Account.
                                                                       13
                                            DIMENSIONAL FUNDS II PLC
Profit and Loss Account for the period ended 31 May 2009 (Unaudited)
                                                 Emerging
                                                  Markets                                                       Global
                                            Targeted Value    European                      Global Core Targeted Value            Pacific Basin
                                       Note          Fund   Value Fund                      Equity Fund          Fund              Value Fund
                                                      USD          EUR                             USD            USD                      USD
Income
Interest income                        2(c)        10,871         4,251                            4,356              5,417              3,132
Dividends                              2(c)     4,235,449    1,208,164                           733,012          1,379,010            300,972
Stock lending income                   2(i)       119,234       46,381                               849             41,460              3,870
Other income                                            –         1,925                                –                  –                  –
Net gain/(loss) on financial assets at
fair value through profit or loss      3      127,716,787     (313,223 )                       6,571,755         17,900,039          1,072,139
Net income                                    132,082,341      947,498                         7,309,972         19,325,926          1,380,113
Expenses
Management fee                              4             (862,975 )          (84,390 )          (62,636 )         (232,406 )          (55,237 )
Combined administration and
custodian fee                               4             (110,228 )          (22,661 )          (24,674 )          (50,094 )          (25,505 )
Sub-custodian fees                                         (98,634 )          (10,217 )           (8,090 )          (19,465 )          (15,435 )
Audit and legal fees                        4              (24,394 )           (7,909 )          (14,120 )          (16,613 )          (10,550 )
Other expenses                                             (25,011 )          (11,656 )          (19,470 )          (20,026 )          (12,663 )
Total operating expenses before
waivers                                                 (1,121,242 )         (136,833 )         (128,990 )         (338,604 )         (119,390 )
Finance costs
Distributions to redeemable
shareholders                                12          (1,465,162 )            (3,105 )        (208,914 )         (174,204 )               (303 )
Total finance costs                                     (1,465,162 )            (3,105 )        (208,914 )         (174,204 )               (303 )
Gains and losses arose solely from continuing operations. There were no gains or losses other than those dealt within the Profit and Loss
Account.
                                                                       14
                                            DIMENSIONAL FUNDS II PLC
Combined Profit and Loss Account for the period ended 31 May 2010 (Unaudited)
                                                           Note
                                                                                   Total 2010                   Total 2009
                                                                                         EUR                          EUR
Income
Interest income                                            2(c)                         880                        22,188
Dividends                                                  2(c)                   7,174,081                     6,223,750
Stock lending income                                       2(i)                     250,043                       171,169
Other income                                                                         52,071                         1,925
Net (loss)/gain on financial assets at fair value
through profit or loss                                     3                      (5,445,461 )               115,306,664
Net gain                                                                           2,031,614                 121,725,696
Expenses
Management fee                                             4                      (1,623,843 )                   (999,668 )
Combined Administration and Custodian fee                  4                        (296,354 )                   (181,463 )
Sub-Custodian fees                                                                  (190,326 )                   (117,059 )
Audit and legal fees                                       4                         (83,151 )                    (57,456 )
Other expenses                                                                       (78,996 )                    (69,873 )
Total operating expenses before waivers                                           (2,272,670 )                 (1,425,519 )
Finance costs
Distributions to redeemable shareholders                   12                     (1,167,240 )                 (1,397,677 )
Total finance costs                                                               (1,167,240 )                 (1,397,677 )
Adjustment from bid market value to fair value 2(b) (2,738,542 ) 491,045
Gains and losses arose solely from continuing operations. There were no gains or losses other than those dealt within the
Profit and Loss Account.
                                                                       15
                                            DIMENSIONAL FUNDS II PLC
                                                                      16
                                            DIMENSIONAL FUNDS II PLC
                                                                      17
                                            DIMENSIONAL FUNDS II PLC
                                                                                  EUR                   EUR
Net assets attributable to holders of redeemable
shares at the start of the period                                          470,954,581           330,061,061
                                                                      18
                                             DIMENSIONAL FUNDS II PLC
                                                                      % of                                                                            % of
                                                            Value      Net                                                                  Value      Net
                                                           (000's)   Asset                                                                 (000's)   Asset
Shares (000's)                                               USD     Value       Shares (000's)                                              USD     Value
Common Stock - 96.73%                                                            Common Stock - 96.73% (continued)
Brazil - 7.73%                                                                   Brazil - 7.73% (continued)
     70 Acucar Guarani S.A.                                   157     0.04            31 Sao Carlos Empreendimentos e Participacoes
     15 American Banknote S.A.                                122     0.03                  S.A.                                              258     0.07
     37 Banco ABC Brasil S.A.                                 239     0.06            40 Sao Martinho S.A.                                    318     0.09
     26 Banco Cruzeiro do Sul S.A.                            132     0.04            22 SLC Agricola S.A.                                    165     0.04
     47 Banco Daycoval S.A.                                   211     0.06            18 Springs Global Participacoes S.A.                     41     0.01
    152 Banco do Estado do Rio Grande do Sul S.A.           1,018     0.27            30 Sul America S.A.                                     744     0.20
     45 Banco Industrial e Comercial S.A.                     299     0.08            31 Tam S.A., ADR                                        414     0.11
     64 Banco Panamericano S.A.                               296     0.08              5 Tegma Gestao Logistica S.A.                          38     0.01
     42 Bematech S.A.                                         199     0.05            39 Trisul S.A.                                          130     0.03
    106 BR Malls Participacoes S.A.                         1,332     0.36            13 Ultrapar Participacoes S.A., ADR                     579     0.16
    158 Brascan Residential Properties S.A.                   648     0.17                                                                 28,660     7.73
    135 Brasil Ecodiesel Industria e Comercio de                                 Chile - 2.69%
           Biocombustiveis e Oleos Vegetais S.A.               63     0.01            32 Banco de Credito e Inversiones S.A.                1,230     0.33
     40 Camargo Correa Desenvolvimento Imobiliario                                    21 Besalco S.A.                                          17        –
           S.A.                                               118     0.03            58 Cementos Bio Bio S.A.                                128     0.03
     31 Cia Providencia Industria e Comercio S.A.              97     0.02            43 Cia Cervecerias Unidas S.A.                          352     0.09
       7 Cia. Hering                                          168     0.05           116 Cia General de Electricidad S.A.                     676     0.18
     94 Cosan S.A. Industria e Comercio                     1,073     0.29           997 Cia Sudamericana De Vapores S.A.                     866     0.23
       7 Cremer S.A.                                           74     0.02       129,881 CorpBanca S.A.                                     1,118     0.30
    109 Duratex S.A.                                          918     0.25            65 Cristalerias de Chile S.A.                           920     0.25
    484 Empresa Brasileira de Aeronautica S.A.              2,603     0.70         2,731 Empresas Iansa S.A.                                  182     0.05
     22 Empresa Brasileira de Aeronautica S.A., ADR           478     0.13           215 Empresas La Polar S.A.                             1,139     0.31
     85 Eternit S.A.                                          376     0.10            29 Entel Chile S.A.                                     383     0.10
     89 Even Construtora e Incorporadora S.A.                 315     0.09            36 Gasco S.A.                                           187     0.05
     55 Ez Tec Empreendimentos e Participacoes S.A.           237     0.06           865 Industrias Forestales S.A.                           180     0.05
       9 Fertilizantes Heringer S.A.                           38     0.01           420 Inversiones Aguas Metropolitanas S.A.                509     0.14
     91 Fibria Celulose S.A.                                1,462     0.40         4,093 Madeco S.A.                                          214     0.06
     70 Fibria Celulose S.A., ADR                           1,117     0.30         3,967 Masisa S.A.                                          524     0.14
    233 Gafisa S.A.                                         1,380     0.37           323 Ripley Corp. S.A.                                    299     0.08
     79 Gafisa S.A., ADR                                      940     0.25           122 Salfacorp S.A.                                       250     0.07
     99 Gol Linhas Aereas Inteligentes S.A., ADR            1,121     0.30            17 Sigdo Koppers S.A.                                    17        –
     96 Grendene S.A.                                         388     0.10           417 Socovesa S.A.                                        188     0.05
     10 Guararapes Confeccoes S.A.                            327     0.09           269 Sonda S.A.                                           411     0.11
     17 Helbor Empreendimentos S.A.                           109     0.03           285 Soquimich Comercial S.A.                             113     0.03
     15 IdeiasNet S.A.                                         25     0.01        18,577 Vina San Pedro S.A.                                  138     0.04
     23 Iguatemi Empresa de Shopping Centers S.A.             370     0.10                                                                 10,041     2.69
     62 Industrias Romi S.A.                                  365     0.10
       6 Inepar S.A. Industria e Construcoes                   16        –       China - 11.84%
    103 Inpar S.A.                                            155     0.04           796 Agile Property Holdings Ltd.                         840     0.23
     80 JHSF Participacoes S.A.                               107     0.03           390 AMVIG Holdings Ltd.                                  241     0.06
     16 Kroton Educacional S.A.                               130     0.04            78 Anhui Tianda Oil Pipe Co. Ltd., Class H               30     0.01
     46 Log-In Logistica Intermodal S.A.                      157     0.04           160 Anton Oilfield Services Group                         14        –
     73 Magnesita Refratarios S.A.                            438     0.12           450 AVIC International Holding HK Ltd.                    21     0.01
     86 Marfrig Alimentos S.A.                                798     0.22           192 Baoye Group Co. Ltd., Class H                        111     0.03
     34 Medial Saude S.A.                                     247     0.07         1,008 Beijing Capital International Airport Co. Ltd.,
     33 Minerva S.A.                                          116     0.03                 Class H                                            550     0.15
     44 MPX Energia S.A.                                      502     0.14           554 Beijing Capital Land Ltd., Class H                   167     0.04
     46 Mrv Engenharia E Participacoes S.A.                   295     0.08           102 Beijing Development HK Ltd.                           19     0.01
     34 Multiplan Empreendimentos Imobiliarios S.A.           616     0.17           310 Beijing Enterprises Holdings Ltd.                  1,959     0.53
    116 Net Servicos de Comunicacao S.A. , ADR              1,189     0.32            43 Beijing Jingkelong Co. Ltd., Class H                  43     0.01
       5 Obrascon Huarte Lain Brasil S.A.                     114     0.03           364 Beijing North Star Co. Ltd., Class H                  91     0.02
     36 Parana Banco S.A.                                     171     0.05           294 Bosideng International Holdings Ltd.                  69     0.02
     45 PDG Realty S.A. Empreendimentos e                                          1,864 Brilliance China Automotive Holdings Ltd.            591     0.16
           Participacoes                                      382     0.10           251 BYD Electronic International Co. Ltd.                155     0.04
     19 Plascar Participacoes Industriais S.A.                 33     0.01           157 Central China Real Estate Ltd.                        36     0.01
     70 Porto Seguro S.A.                                     709     0.19            90 Centron Telecom International Holdings Ltd.           27     0.01
       3 Positivo Informatica S.A.                             27     0.01         1,798 Chaoda Modern Agriculture Holdings Ltd.            1,743     0.47
       2 Profarma Distribuidora de Produtos                                        1,369 China Aerospace International Holdings Ltd.          151     0.04
           Farmaceuticos S.A.                                  19     0.01           567 China Agri-Industries Holdings Ltd.                  644     0.17
       3 Rodobens Negocios Imobiliarios S.A.                   20     0.01           510 China Aoyuan Property Group Ltd.                      78     0.02
    125 Rossi Residencial S.A.                                917     0.25           728 China BlueChemical Ltd., Class H                     446     0.12
                                                                      % of                                                                            % of
                                                            Value      Net                                                                  Value      Net
                                                           (000's)   Asset                                                                 (000's)   Asset
Shares (000's)                                               USD     Value        Shares (000's)                                             USD     Value
Common Stock - 96.73% (continued)                                                 Common Stock - 96.73% (continued)
China - 11.84% (continued)                                                        China - 11.84% (continued)
    306 China Chengtong Development Group Ltd.                  18        –           163 Haitian International Holdings Ltd.                 119     0.03
    828 China Communications Services Corp. Ltd.,                                     536 Harbin Power Equipment Co. Ltd., Class H            390     0.11
          Class H                                              367     0.10           460 Heng Tai Consumables Group Ltd.                      39     0.01
    460 China Everbright Ltd.                                1,015     0.27           145 Hidili Industry International Development Ltd.      132     0.04
     90 China Green Holdings Ltd.                               91     0.02         2,091 HKC Holdings Ltd.                                   134     0.04
    950 China Haidian Holdings Ltd.                            103     0.03            25 Hong Kong Energy Holdings Ltd.                        2        –
    154 China Huiyuan Juice Group Ltd.                         104     0.03           299 Honghua Group Ltd.                                   44     0.01
    291 China Merchants Holdings International Co. Ltd.        898     0.24           532 Hopson Development Holdings Ltd.                    642     0.17
  2,304 China Mining Resources Group Ltd.                       62     0.02           124 Hua Han Bio-Pharmaceutical Holdings Ltd.             38     0.01
    546 China Molybdenum Co. Ltd., Class H                     354     0.10         1,208 Hunan Non-Ferrous Metal Corp. Ltd., Class H         411     0.11
    392 China National Building Material Co. Ltd., Class                            1,010 Inspur International Ltd.                            82     0.02
          H                                                    627     0.17           124 Intime Department Store Group Co. Ltd.              106     0.03
    388 China National Materials Co. Ltd., Class H             224     0.06            48 Jingwei Textile Machinery, Class H                   14        –
     20 China Oil and Gas Group Ltd.                             2        –           294 Ju Teng International Holdings Ltd.                 228     0.06
    594 China Pharmaceutical Group Ltd.                        342     0.09         1,880 Kai Yuan Holdings Ltd.                               62     0.02
    132 China Properties Group Ltd.                             33     0.01            67 Kasen International Holdings Ltd.                    17        –
    698 China Rare Earth Holdings Ltd.                         152     0.04           267 Kingboard Chemical Holdings Ltd.                  1,250     0.34
    514 China Resources Enterprise Ltd.                      1,752     0.47            27 Kingboard Chemical Holdings Ltd.                     12        –
  1,120 China Resources Microelectronics Ltd.                   43     0.01           516 Kingway Brewery Holdings Ltd.                        90     0.02
    148 China Shanshui Cement Group Ltd.                        72     0.02           712 Kunlun Energy Co. Ltd.                              969     0.26
  2,040 China Shipping Container Lines Co. Ltd., Class                                424 KWG Property Holding Ltd.                           243     0.07
          H                                                    715     0.19           692 Lai Fung Holdings Ltd.                               22     0.01
    349 China Shipping Development Co. Ltd., Class H           478     0.13           124 Lenovo Group Ltd.                                    76     0.02
    402 China State Construction International Holdings                               170 Lingbao Gold Co. Ltd., Class H                       66     0.02
          Ltd.                                                 131     0.04         1,174 Maanshan Iron & Steel Co. Ltd., Class H             573     0.15
  2,358 China Travel International Investment Hong                                  6,700 Media China Corp. Ltd.                               39     0.01
          Kong Ltd.                                            491     0.13            24 MIN XIN Holdings Ltd.                                10        –
    206 Chongqing Iron & Steel Co. Ltd., Class H                49     0.01           720 Minmetals Resources Ltd.                            256     0.07
    246 Chongqing Machinery & Electric Co. Ltd., Class                                112 Minth Group Ltd.                                    147     0.04
          H                                                     58     0.02         9,550 Nan Hai Corp. Ltd.                                   77     0.02
    553 Citic Pacific Ltd.                                   1,014     0.27           322 Neo-China Group Holdings Ltd.                        96     0.03
  1,002 Citic Resources Holdings Ltd.                          187     0.05            26 NetDragon Websoft, Inc.                              11        –
     45 Clear Media Ltd.                                        25     0.01           495 New World China Land Ltd.                           154     0.04
    595 COSCO International Holdings Ltd.                      303     0.08            90 New World Department Store China Ltd.                72     0.02
    806 COSCO Pacific Ltd.                                     988     0.27            42 Nine Dragons Paper Holdings Ltd.                     63     0.02
     22 Coslight Technology International Group Ltd.            21     0.01            11 Oriental Ginza Holdings Ltd.                          2        –
  1,404 Country Garden Holdings Co. Ltd.                       398     0.11           556 Poly Hong Kong Investment Ltd.                      558     0.15
    652 Dalian Port PDA Co. Ltd., Class H                      243     0.07           400 Prosperity International Holdings HK Ltd.            21     0.01
  2,962 Denway Motors Ltd.                                   1,179     0.32            40 Qin Jia Yuan Media Services Co. Ltd.                  6        –
    227 Dongyue Group Ltd.                                      48     0.01           534 Qingling Motors Co. Ltd., Class H                   121     0.03
    282 Dynasty Fine Wines Group Ltd.                          103     0.03            78 Regent Manner International Ltd.                     33     0.01
     47 Embry Holdings Ltd.                                     22     0.01           375 REXLot Holdings Ltd.                                 38     0.01
    159 First Tractor Co. Ltd., Class H                         87     0.02           208 Samson Holding Ltd.                                  31     0.01
    611 Fosun International Ltd.                               399     0.11        13,555 Semiconductor Manufacturing International
  1,500 Franshion Properties China Ltd.                        443     0.12                 Corp.                                           1,149     0.31
    150 FU JI Food and Catering Services Holdings Ltd.           –        –            97 Shandong Chenming Paper Holdings Ltd., Class
    906 Fushan International Energy Group Ltd.                 563     0.15                 H                                                  72     0.02
    935 GCL Poly Energy Holdings Ltd.                          175     0.05            37 Shandong Molong Petroleum Machinery Co.
    800 Geely Automobile Holdings Ltd.                         267     0.07                 Ltd., Class H                                      36     0.01
  1,220 Global Bio-Chemical Technology Group Co. Ltd.          233     0.06           332 Shanghai Forte Land Co. Ltd., Class H                87     0.02
    288 Golden Meditech Holdings Ltd.                           55     0.02           326 Shanghai Industrial Holdings Ltd.                 1,317     0.36
     48 Goldlion Holdings Ltd.                                  14        –           304 Shanghai Jin Jiang International Hotels Group
    238 Great Wall Motor Co. Ltd., Class H                     390     0.11                 Co. Ltd., Class H                                  64     0.02
    130 Great Wall Technology Co. Ltd., Class H                 53     0.01           424 Shanghai Prime Machinery Co. Ltd., Class H           70     0.02
    208 Greentown China Holdings Ltd.                          227     0.06         1,070 Shanghai Zendai Property Ltd.                        47     0.01
  1,012 Guangshen Railway Co. Ltd., Class H                    350     0.09         5,565 Shenzhen International Holdings Ltd.                354     0.10
     44 Guangzhou Pharmaceutical Co. Ltd., Class H              42     0.01         1,698 Shenzhen Investment Ltd.                            497     0.13
    344 Guangzhou R&F Properties Co. Ltd., Class H             446     0.12           202 Shenzhou International Group Holdings Ltd.          227     0.06
     44 GZI Transportation Ltd.                                 22     0.01         1,008 Shimao Property Holdings Ltd.                     1,489     0.40
     96 Hainan Meilan International Airport Co. Ltd.,                               1,094 Shougang Concord International Enterprises Co.
          Class H                                              101     0.03                 Ltd.                                              166     0.05
                                         The accompanying notes are an integral part of the Financial Statements
                                                                          20
                                                  DIMENSIONAL FUNDS II PLC
                                                                        % of                                                                             % of
                                                              Value      Net                                                                   Value      Net
                                                             (000's)   Asset                                                                  (000's)   Asset
Shares (000's)                                                 USD     Value        Shares (000's)                                              USD     Value
Common Stock - 96.73% (continued)                                                   Common Stock - 96.73% (continued)
China - 11.84% (continued)                                                          India - 12.42% (continued)
    986 Shui On Land Ltd.                                        426     0.11              6 Aptech Ltd.                                          17        –
    125 Sichuan Xinhua Winshare Chainstore Co. Ltd.,                                    106 Arvind Mills Ltd.                                     71     0.02
          Class H                                                 61     0.02           403 Ashok Leyland Ltd.                                   524     0.14
    452 Silver Grant International Industries Ltd.               129     0.03             15 Associated Cement Co. Ltd                           265     0.07
    186 SIM Technology Group Ltd.                                 36     0.01             16 Aurobindo Pharma Ltd.                               290     0.08
    902 Sinofert Holdings Ltd.                                   412     0.11              7 Bajaj Auto Finance Ltd.                              73     0.02
  1,648 Sinolink Worldwide Holdings Ltd.                         243     0.07             22 Bajaj Finserv Ltd.                                  208     0.06
  1,581 Sino-Ocean Land Holdings Ltd.                          1,172     0.32             45 Bajaj Hindusthan Ltd.                               105     0.03
    240 Sinopec Kantons Holdings Ltd.                            130     0.04             22 Bajaj Holdings and Investment Ltd.                  318     0.08
  1,237 Sinotrans Ltd., Class H                                  275     0.07              2 Balkrishna Industries Ltd.                           20     0.01
    292 Sinotruk Hong Kong Ltd.                                  230     0.06           176 Ballarpur Industries Ltd.                            119     0.03
    291 Skyworth Digital Holdings Ltd.                           228     0.06              3 Balmer Lawrie & Co. Ltd.                             40     0.01
  1,058 Soho China Ltd.                                          560     0.15             43 Balrampur Chini Mills Ltd.                           75     0.02
    220 Solargiga Energy Holdings Ltd.                            39     0.01             47 Bank of Baroda                                      714     0.19
     90 SPG Land (Holdings) Ltd.                                  38     0.01             68 Bank of India                                       474     0.13
  1,298 SRE Group Ltd.                                           118     0.03             82 Bank of Maharashtra                                  96     0.03
     38 TAK Sing Alliance Holdings Ltd.                            4        –             35 Bank of Rajasthan                                   124     0.03
    203 TCC International Holdings Ltd.                           63     0.02              1 Bannari Amman Sugars Ltd.                            10        –
    295 TCL Multimedia Technology Holdings Ltd.                  200     0.05              4 BASF India Ltd.                                      35     0.01
    238 Tian an China Investments Co. Ltd.                       146     0.04              8 BEML Ltd.                                           180     0.05
    174 Tomson Group Ltd.                                         67     0.02             52 Bharat Forge Ltd.                                   299     0.08
    467 Travelsky Technology Ltd., Class H                       319     0.09             10 Bhushan Steel Ltd.                                  308     0.08
     62 Truly International Holdings Ltd.                         80     0.02             42 Binani Cement Ltd.                                   70     0.02
    290 Uni-President China Holdings Ltd.                        158     0.04             19 Biocon Ltd.                                         116     0.03
     50 Vinda International Holdings Ltd.                         39     0.01             17 Birla Corp. Ltd.                                    129     0.03
     58 Wasion Group Holdings Ltd.                                38     0.01              4 Bombay Burmah Trading Corp. Ltd.                     28     0.01
    309 Weiqiao Textile Co. Ltd., Class H                        191     0.05             16 Bombay Rayon Fashions Ltd.                           70     0.02
    494 Xiamen International Port Co. Ltd., Class H               82     0.02             53 Canara Bank                                         454     0.12
    186 Xingda International Holdings Ltd.                       106     0.03              9 Carborundum Universal Ltd.                           37     0.01
    253 Xinjiang Xinxin Mining Industry Co. Ltd., Class                                   71 Central Bank of India                               217     0.06
          H                                                      123     0.03             15 Century Textile & Industries Ltd.                   141     0.04
    211 Xiwang Sugar Holdings Co. Ltd.                            50     0.01           105 Chambal Fertilizers & Chemicals Ltd.                 128     0.03
     64 Yip's Chemical Holdings Ltd.                              57     0.02           112 City Union Bank Ltd.                                  79     0.02
      4 Yorkey Optical International Cayman Ltd.                   1        –             12 Consolidated Construction Consortium Ltd.            21     0.01
  1,492 Yuexiu Property Co. Ltd.                                 328     0.09             17 Coromandel International Ltd.                       145     0.04
     38 Zhejiang Glass Co. Ltd., Class H                          12        –             15 Corp. Bank                                          168     0.05
    244 Zhong An Real Estate Ltd.                                 69     0.02             10 Dalmia Cement Bharat Ltd.                            46     0.01
                                                              43,906    11.84             52 DCM Shriram Consolidated Ltd.                        54     0.01
Hungary - 0.17%                                                                           27 Deccan Chronicle Holdings Ltd.                       70     0.02
     2 Danubius Hotel and S.p.A. PLC                              35     0.01             34 Deepak Fertilizers & Petrochemicals Corp. Ltd.       78     0.02
     6 Egis Gyogyszergyar NyRt                                   502     0.14             12 Dewan Housing Finance Corp. Ltd.                     63     0.02
    34 Fotex Holding SE                                           62     0.02             10 Dishman Pharmaceuticals & Chemicals Ltd.             45     0.01
                                                                 599     0.17             14 Dr Reddy's Laboratories Ltd.                        422     0.11
                                                                                          10 Edelweiss Capital Ltd.                               84     0.02
India - 12.42%                                                                             9 Eicher Motors Ltd.                                  161     0.04
      26 3i Infotech Ltd.                                         37     0.01             27 EID Parry India Ltd.                                205     0.06
       7 ABG Shipyard Ltd.                                        38     0.01             10 EIH Ltd.                                             26     0.01
      29 Aditya Birla Nuvo Ltd.                                  452     0.12             36 Electrosteel Castings Ltd.                           36     0.01
       2 Advanta India Ltd.                                       17        –             17 Escorts Ltd.                                         67     0.02
       5 Akzo Nobel India Ltd.                                    65     0.02           125 Essar Shipping Ports & Logistics Ltd.                221     0.06
      53 Alembic Ltd.                                             52     0.01             14 Essel Propack Ltd.                                   13        –
      84 Allahabad Bank                                          294     0.08              1 FAG Bearings India Ltd.                              12        –
    237 Alok Industries Ltd.                                      95     0.03             63 FDC Ltd.                                            127     0.03
    460 Ambuja Cements Ltd.                                    1,082     0.29           112 Federal Bank Ltd.                                    803     0.22
      61 Amtek Auto Ltd.                                         213     0.06             12 Financial Technologies India Ltd.                   343     0.09
      32 Anant Raj Industries Ltd.                                77     0.02             15 Finolex Cables Ltd.                                  16        –
      78 Andhra Bank                                             226     0.06             37 Finolex Industries Ltd.                              54     0.01
      31 Ansal Properties & Infrastructure Ltd.                   56     0.02             90 Firstsource Solutions Ltd.                           51     0.01
       8 Apar Industries Ltd.                                     40     0.01             41 Gammon India Ltd.                                   175     0.05
      19 Apollo Hospitals Enterprise Ltd.                        320     0.08             74 Gammon Infrastructure Projects Ltd.                  42     0.01
    109 Apollo Tyres Ltd.                                        165     0.04              8 Gateway Distriparks Ltd.                             21     0.01
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            21
                                               DIMENSIONAL FUNDS II PLC
                                                                       % of                                                                          % of
                                                             Value      Net                                                                Value      Net
                                                            (000's)   Asset                                                               (000's)   Asset
Shares (000's)                                                USD     Value        Shares (000's)                                           USD     Value
Common Stock - 96.73% (continued)                                                  Common Stock - 96.73% (continued)
India - 12.42% (continued)                                                         India - 12.42% (continued)
      30 Geodesic Ltd.                                           69     0.02             20 Kesoram Industries Ltd.                          137     0.04
      52 Geojit BNP Paribas Financial Services Ltd.              38     0.01             42 Kirloskar Industries Ltd.                        160     0.04
      25 Gitanjali Gems Ltd.                                     52     0.01             40 Kotak Mahindra Bank Ltd.                         655     0.18
       2 Godfrey Philips India Ltd.                              63     0.02              6 Koutons Retail India Ltd.                         44     0.01
      38 Godrej Industries Ltd.                                 123     0.03             75 KS Oils Ltd.                                      98     0.03
      30 Gokul Refoils & Solvent Ltd.                            47     0.01              4 KSK Energy Ventures Ltd.                          15        –
      73 Graphite India Ltd.                                    148     0.04             15 Lakshmi Energy & Foods Ltd.                       33     0.01
      14 Grasim Industries Ltd.                                 573     0.15              2 Lakshmi Machine Works Ltd.                        74     0.02
       8 Great Offshore Ltd.                                     81     0.02             36 LIC Housing Finance Ltd.                         751     0.20
      12 Grindwell Norton Ltd.                                   49     0.01             13 Madhucon Projects Ltd.                            40     0.01
      31 GTL Ltd.                                               258     0.07             44 Madras Cements Ltd.                               96     0.03
      32 Gujarat Alkalies & Chemicals Ltd.                       79     0.02             56 Mahanagar Telephone Nigam Ltd.                    68     0.02
      25 Gujarat Flourochemicals Ltd.                            82     0.02             19 Maharashtra Seamless Ltd.                        154     0.04
      47 Gujarat Narmada Valley Fertilizers Co. Ltd.            107     0.03             19 Mahindra & Mahindra Financial Services Ltd.      171     0.05
      23 Gujarat State Fertilisers & Chemicals Ltd.             107     0.03             95 Mahindra & Mahindra Ltd.                       1,115     0.30
      35 HBL Power Systems Ltd.                                  24     0.01             11 Mahindra Lifespace Developers Ltd.               100     0.03
      42 HCL Infosystems Ltd.                                   102     0.03             14 Mastek Ltd.                                       71     0.02
      81 HCL Technologies Ltd.                                  659     0.18             48 Max India Ltd.                                   168     0.05
      15 HEG Ltd.                                               102     0.03             31 McLeod Russel India Ltd.                         142     0.04
      35 HeidelbergCement India Ltd.                             39     0.01             43 Mercator Lines Ltd.                               43     0.01
      42 Hexaware Technologies Ltd.                              67     0.02              2 Merck Ltd.                                        33     0.01
    380 Hindalco Industries Ltd.                              1,237     0.33             14 Monnet Ispat & Energy Ltd.                       112     0.03
       9 Hinduja Ventures Ltd.                                   51     0.01             52 Moser Baer India Ltd.                             66     0.02
    109 Hotel Leela Venture Ltd.                                107     0.03              1 Motilal Oswal Financial Services Ltd.              4        –
      42 Housing Development & Infrastructure Ltd.              207     0.06              1 MRF Ltd.                                         170     0.05
      16 ICSA India Ltd.                                         44     0.01             97 Nagarjuna Construction Co. Ltd.                  358     0.10
    156 IDBI Bank Ltd.                                          377     0.10             67 Nagarjuna Fertilizers & Chemicals Ltd.            42     0.01
    437 Idea Cellular Ltd.                                      473     0.13              1 Nalwa Sons Investments Ltd.                       18     0.01
      93 IFCI Ltd.                                              108     0.03             66 National Aluminium Co. Ltd.                      580     0.16
    131 India Cements Ltd.                                      313     0.08              9 Nava Bharat Ventures Ltd.                         79     0.02
      54 India Infoline Ltd.                                    115     0.03             28 Navneet Publications (India) Ltd.                 30     0.01
    121 Indiabulls Financial Services Ltd.                      361     0.10             57 Nectar Lifesciences Ltd.                          47     0.01
    177 Indiabulls Real Estate Ltd.                             600     0.16             53 NIIT Ltd.                                         70     0.02
      53 Indian Bank                                            257     0.07             19 NIIT Technologies Ltd.                            74     0.02
    251 Indian Hotels Co. Ltd.                                  558     0.15             49 Nirma Ltd.                                       198     0.05
      94 Indian Overseas Bank                                   183     0.05             25 OMAXE Ltd.                                        51     0.01
    137 Indusind Bank Ltd.                                      567     0.15             13 Orbit Corp. Ltd.                                  72     0.02
      23 Infotech Enterprises Ltd.                              188     0.05             29 Orchid Chemicals & Pharmaceuticals Ltd.           86     0.02
    442 Infrastructure Development Finance Co. Ltd.           1,476     0.40             44 Orient Paper & Industries Ltd.                    54     0.02
       9 ING Vysya Bank Ltd.                                     62     0.02             30 Oriental Bank of Commerce                        215     0.06
       3 Ingersoll-Rand India Ltd.                               22     0.01              6 Panacea Biotec Ltd.                               23     0.01
      29 Ipca Laboratories Ltd.                                 164     0.04              7 Patel Engineering Ltd.                            57     0.02
    108 Ispat Industries Ltd.                                    41     0.01             62 Patni Computer Systems Ltd.                      740     0.20
      20 IVRCL Assets & Holdings Ltd.                            49     0.01             30 Peninsula Land Ltd.                               44     0.01
    101 IVRCL Infrastructures & Projects Ltd.                   339     0.09           240 Petronet LNG Ltd.                                 426     0.12
      17 Jammu & Kashmir Bank Ltd.                              283     0.08              5 Pfizer Ltd.                                      120     0.03
      16 JBF Industries Ltd.                                     46     0.01              6 Plethico Pharmaceuticals Ltd.                     47     0.01
      15 Jet Airways India Ltd.                                 161     0.04             20 Polaris Software Laboratory Ltd.                  71     0.02
      85 Jindal Saw Ltd.                                        342     0.09           197 Power Finance Corp. Ltd.                        1,230     0.33
       1 Jindal South West Holdings Ltd.                         44     0.01           100 Prism Cement Ltd.                                 116     0.03
       8 JK Cement Ltd.                                          30     0.01             10 PSL Ltd.                                          28     0.01
      13 JK Tyre & Industries Ltd.                               51     0.01           103 PTC India Ltd.                                    228     0.06
      41 Jsl Stainless Ltd.                                      91     0.02             75 Punj Lloyd Ltd.                                  223     0.06
      58 JSW Steel Ltd.                                       1,380     0.37              4 Punjab National Bank Ltd.                         77     0.02
      10 Jubilant Organosys Ltd.                                 74     0.02             10 Rain Commodities Ltd.                             30     0.01
      26 Jyoti Structures Ltd.                                   83     0.02             39 Rajesh Exports Ltd.                               75     0.02
       5 Kalpataru Power Transmission Ltd.                      109     0.03             49 Ranbaxy Laboratories Ltd.                        450     0.12
       1 Kalyani Investment Co. Ltd.                             13     0.01             21 Raymond Ltd.                                      94     0.03
       7 Kalyani Steels Ltd.                                     13        –             13 Redington India Ltd.                             101     0.03
      59 Karnataka Bank Ltd.                                    191     0.05           121 REI Agro Ltd.                                      78     0.02
      12 Karur Vysya Bank Ltd.                                  130     0.03             45 REI Six Ten Retail Ltd.                           58     0.02
                                          The accompanying notes are an integral part of the Financial Statements
                                                                           22
                                               DIMENSIONAL FUNDS II PLC
                                                                       % of                                                                            % of
                                                             Value      Net                                                                  Value      Net
                                                            (000's)   Asset                                                                 (000's)   Asset
Shares (000's)                                                USD     Value        Shares (000's)                                             USD     Value
Common Stock - 96.73% (continued)                                                  Common Stock - 96.73% (continued)
India - 12.42% (continued)                                                         Indonesia - 4.21% (continued)
      57 Reliance Capital Ltd.                                  800     0.22        14,803 Bakrieland Development Tbk PT                       229     0.06
      10 Reliance Mediaworks Ltd.                                36     0.01         2,255 Bank Bukopin Tbk PT                                 127     0.03
      78 Rolta India Ltd.                                       287     0.08         1,822 Bank Danamon Indonesia Tbk PT                       974     0.26
      46 Ruchi Soya Industries Ltd.                              99     0.03         3,583 Bank Negara Indonesia Persero Tbk PT                938     0.25
      34 S Kumars Nationwide Ltd.                                55     0.02        12,346 Bank Pan Indonesia Tbk PT                         1,520     0.41
      14 Samruddhi Cement Ltd.                                  106     0.03         1,908 Barito Pacific Tbk PT                               210     0.06
       8 Seamec Ltd.                                             29     0.01         2,307 Berlian Laju Tanker Tbk PT                          100     0.03
       5 Sesa Goa Ltd.                                           42     0.01         8,482 Bhakti Investama Tbk PT                             139     0.04
      16 Shipping Corp. of India Ltd.                            58     0.02        11,500 Bumi Resources Tbk PT                             2,515     0.68
       5 Shiv-Vani Oil & Gas Exploration Services Ltd.           49     0.01        11,416 Central Proteinaprima Tbk PT                         62     0.02
    129 Shree Renuka Sugars Ltd.                                168     0.05         4,555 Ciputra Development Tbk PT                          357     0.10
       3 Simplex Infrastructures Ltd.                            31     0.01         1,164 Ciputra Surya Tbk PT                                 71     0.02
       6 SKF India Ltd.                                          54     0.01         7,829 Darma Henwa Tbk PT                                   70     0.02
      14 Sobha Developers Ltd.                                   94     0.03         2,211 Elnusa Tbk PT                                       106     0.03
      33 South Indian Bank Ltd.                                 117     0.03        15,983 Energi Mega Persada Tbk PT                          216     0.06
      52 SREI Infrastructure Finance Ltd.                        92     0.02           504 Gajah Tunggal Tbk PT                                 44     0.01
      18 SRF Ltd.                                                86     0.02         6,234 Global MediaCom Tbk PT                              241     0.06
      16 Sterling Biotech Ltd.                                   39     0.01         1,031 Gozco Plantations Tbk PT                             37     0.01
      93 Sterlite Technologies Ltd.                             200     0.05           519 Gudang Garam Tbk PT                               1,877     0.51
       6 Strides Arcolab Ltd.                                    45     0.01         2,978 Indah Kiat Pulp and Paper Corp. Tbk PT              560     0.15
      15 Sundram Fastners Ltd.                                   16        –         2,960 Indofood Sukses Makmur Tbk PT                     1,143     0.31
       4 Supreme Industries Ltd.                                 40     0.01           759 International Nickel Indonesia Tbk PT               315     0.08
    315 Suzlon Energy Ltd.                                      414     0.11           100 Japfa Comfeed Indonesia Tbk PT                       14        –
      91 Syndicate Bank                                         176     0.05         7,045 Kawasan Industri Jababeka Tbk PT                     69     0.02
      31 Tanla Solutions Ltd.                                    25     0.01         7,635 Lippo Karawaci Tbk PT                               355     0.10
      52 Tata Chemicals Ltd.                                    355     0.10         6,210 Matahari Putra Prima Tbk PT                         650     0.18
      31 Tata Communications Ltd.                               168     0.04         1,765 Medco Energi Internasional Tbk PT                   515     0.14
       9 Tata Investment Corp. Ltd.                              94     0.03           883 Mitra Adiperkasa Tbk PT                              62     0.02
      22 Tata Tea Ltd.                                          511     0.14         1,480 Mitra International Resources Tbk PT                 42     0.01
      51 The Great Eastern Shipping Co. Ltd.                    328     0.09         9,316 Panin Financial Tbk PT                              221     0.06
      19 Time Technoplast Ltd.                                   19     0.01         2,789 Panin Insurance Tbk PT                              129     0.04
      21 Torrent Pharmaceuticals Ltd.                           244     0.07         2,496 Ramayana Lestari Sentosa Tbk PT                     197     0.05
      18 Transport Corp. of India Ltd.                           43     0.01         6,791 Sentul City Tbk PT                                   93     0.03
       3 Trent Ltd.                                              51     0.01           194 Sorini Agro Asia Corp.orindo Tbk PT                  33     0.01
      53 Triveni Engineering & Industries Ltd.                  110     0.03         2,979 Summarecon Agung Tbk PT                             243     0.07
      28 Tube Investments of India Ltd.                          64     0.02         7,654 Suryainti Permata Tbk PT                             73     0.02
      78 TVS Motor Co. Ltd.                                     167     0.05         2,936 Trimegah Securities Tbk PT                           43     0.01
       6 Ultratech Cement Ltd.                                  122     0.03         8,260 Truba Alam Manunggal Engineering PT                  87     0.02
      11 Unichem Laboratories Ltd.                               96     0.03           593 Tunas Ridean Tbk PT                                 141     0.04
      82 Union Bank of India                                    513     0.14         1,248 Wijaya Karya Tbk PT                                  47     0.01
    180 United Phosphorus Ltd.                                  662     0.18                                                                15,564     4.21
      96 Usha Martin Ltd.                                       166     0.04       Israel - 1.26%
       5 UTV Software Communications Ltd.                        40     0.01               – Alvarion Ltd.                                       –        –
      11 Vardhman Textiles Ltd.                                  62     0.02             23 AudioCodes Ltd.                                     63     0.02
      40 Varun Shipping Co. Ltd.                                 39     0.01            132 Bank Hapoalim BM                                   502     0.14
      48 Videocon Industries Ltd.                               211     0.06             57 Clal Industries and Investments Ltd.               380     0.10
       9 Walchandnagar Industries Ltd.                           36     0.01             23 Clal Insurance Enterprise Holdings Ltd.            449     0.12
      29 Welspun Corp. Ltd.                                     143     0.04               – Delta-Galil Industries Ltd.                         –        –
       1 Welspun Global Brands Ltd.                               –        –               1 Electra (Israel) Ltd.                              54     0.01
      21 Welspun India Ltd.                                      36     0.01               – Electra Real Estate Ltd.                            –        –
       – Welspun Investments Ltd.                                 –        –             12 Elron Electronic Industries Ltd.                    67     0.02
      28 Wockhardt Ltd.                                          74     0.02             60 First International Bank of Israel Ltd. FTIN1      194     0.05
      54 YES Bank Ltd.                                          328     0.09             10 Formula Systems (1985) Ltd.                        117     0.03
    122 Zee Entertainment Enterprises Ltd.                      742     0.20               1 Hadera Paper Ltd.                                  71     0.02
      12 Zuari Industries Ltd.                                  190     0.05               4 Harel Insurance Investments & Finances Ltd.       212     0.06
                                                             46,023    12.42               8 Jerusalem Oil Exploration Ltd.                    128     0.03
Indonesia - 4.21%                                                                        63 Makhteshim-Agan Industries Ltd.                    227     0.06
    861 AKR Corporindo Tbk PT                                    89     0.02               4 Menorah Mivtachim Holdings Ltd.                    46     0.01
 35,036 Bakrie and Brothers Tbk PT                              231     0.06             99 Migdal Insurance & Financial Holding Ltd.          165     0.04
  5,143 Bakrie Sumatera Plantations Tbk PT                      203     0.05               4 Mivtach Shamir Holdings Ltd.                      119     0.03
 11,621 Bakrie Telecom Tbk PT                                   176     0.05             86 Mizrahi Tefahot Bank Ltd.                          681     0.18
                                          The accompanying notes are an integral part of the Financial Statements
                                                                           23
                                            DIMENSIONAL FUNDS II PLC
                                                                    % of                                                                             % of
                                                          Value      Net                                                                   Value      Net
                                                         (000's)   Asset                                                                  (000's)   Asset
Shares (000's)                                             USD     Value        Shares (000's)                                              USD     Value
Common Stock - 96.73% (continued)                                               Common Stock - 96.73% (continued)
Israel - 1.26% (continued)                                                      Korea, Republic Of - 12.32% (continued)
      17 Nice Systems Ltd.                                   515     0.14             1 Dongwon F&B Co. Ltd.                                  54     0.01
     504 Oil Refineries Ltd.                                 257     0.07             – Dongwon Industries Co. Ltd.                           46     0.01
      22 Ormat Industries Ltd.                               151     0.04            20 Dongwon Systems Corp.                                 23     0.01
      11 Retalix Ltd.                                        119     0.03             2 Dongyang Engineering & Construction Corp.             19     0.01
        8 Scailex Corp. Ltd.                                 133     0.04             9 Dongyang Mechatronics Corp.                           54     0.01
      17 Union Bank of Israel                                 69     0.02            15 Doosan Construction & Engineering Co. Ltd.            52     0.01
                                                           4,719     1.26          226 Eugene Investment & Securities Co. Ltd.               131     0.04
Korea, Republic Of - 12.32%                                                           6 Fursys, Inc.                                         119     0.03
      4 Aekyung Petrochemical Co. Ltd.                        61     0.02             1 Gaon Cable Co. Ltd.                                   18        –
      1 Asia Cement Co. Ltd.                                  41     0.01            10 Global & Yuasa Battery Co. Ltd.                      219     0.06
     54 Asiana Airlines, Inc.                                325     0.09            22 GS Engineering & Construction Corp.                1,316     0.35
      2 Binggrae Co. Ltd.                                     97     0.03            46 GS Holdings Corp.                                  1,346     0.36
      3 BNG Steel Co. Ltd.                                    21     0.01             – GwangjuShinsegae Co. Ltd.                             17        –
      2 Bookook Securities Co. Ltd.                           25     0.01            10 Halla Climate Control Corp.                          130     0.04
      3 Boryung Pharmaceutical Co. Ltd.                       30     0.01            13 Halla Engineering & Construction Corp.               145     0.04
     94 Busan Bank                                           829     0.22             5 Han Kuk Carbon Co. Ltd.                               24     0.01
     13 Byucksan Engineering & Construction Co. Ltd.          23     0.01             5 Handok Pharmaceuticals Co. Ltd.                       55     0.02
     12 Charm&CI Co. Ltd.                                     30     0.01            10 Handsome Co. Ltd.                                    119     0.03
     19 Cheil Industries, Inc.                             1,328     0.36             2 Hanil Cement Co. Ltd.                                 94     0.03
     80 Chin Hung International, Inc.                         33     0.01            18 Hanil E-Wha Co. Ltd.                                 110     0.03
      6 Chong Kun Dang Pharm Corp.                            75     0.02            21 Hanjin Heavy Industries & Construction Co. Ltd.      447     0.12
      1 Chosun Refractories Co. Ltd.                          38     0.01             6 Hanjin Heavy Industries & Construction
      2 CJ CheilJedang Corp.                                 350     0.09                Holdings Co. Ltd.                                    58     0.02
     10 CJ Corp.                                             499     0.13            28 Hanjin Shipping Co. Ltd.                             693     0.19
      – Crown Confectionery Co. Ltd.                          33     0.01             5 Hanjin Shipping Holdings Co. Ltd.                     70     0.02
     16 Dae Dong Industrial Co. Ltd.                          60     0.02             7 Hanjin Transportation Co. Ltd.                       221     0.06
      1 Dae Han Flour Mills Co. Ltd.                         138     0.04             6 Hankook Cosmetices Manufacturing Co. Ltd.             20     0.01
     56 Dae Won Kang Up Co. Ltd.                             121     0.03             8 Hankook Tire Co. Ltd.                                166     0.05
     23 Daechang Co. Ltd.                                     29     0.01             3 Hankuk Glass Industries, Inc.                         60     0.02
     25 DaeDuck Electronics Co. Ltd.                         147     0.04             3 Hankuk Paper Manufacturing Co. Ltd.                   87     0.02
     14 DaeDuck GDS Co. Ltd.                                 116     0.03             6 Hanmi Semiconductor Co. Ltd.                          36     0.01
     75 Daegu Bank Ltd.                                      854     0.23             6 Hanshin Construction Co. Ltd.                         37     0.01
      8 Daegu Department Store Co. Ltd.                       68     0.02            10 Hansol Chemical Co. Ltd.                             113     0.03
      4 Daehan Steel Co. Ltd.                                 28     0.01            17 Hansol Paper Co. Ltd.                                181     0.05
      1 Daehan Synthetic Fiber Co. Ltd.                       44     0.01            11 Hanssem Co. Ltd.                                     117     0.03
     39 Daekyo Co. Ltd.                                      169     0.05            53 Hanwha Chem Corp.                                    704     0.19
     19 Daelim Industrial Co. Ltd.                           913     0.25            11 Hanwha Corp.                                         322     0.09
     13 Daesang Corp.                                         93     0.02            15 Hanwha Non-Life Insurance Co. Ltd.                   119     0.03
      3 Daesang Holdings Co. Ltd.                              9        –            34 Hanwha Securities Co. Ltd.                           183     0.05
      2 Daesung Industrial Co. Ltd.                           96     0.03             2 Hanwha Timeworld Co. Ltd.                             22     0.01
     68 Daewoo Engineering & Construction Co. Ltd.           500     0.13             4 Hanyang Securities Co. Ltd.                           30     0.01
     16 Daewoo Motor Sales Corp.                              30     0.01             2 Hite Brewery Co. Ltd.                                191     0.05
     53 Daewoo Securities Co. Ltd.                           868     0.24             2 Hite Holdings Co. Ltd.                                34     0.01
     23 Daewoo Shipbuilding & Marine Engineering Co.                                  8 HMC Investment Securities Co. Ltd.                   105     0.03
         Ltd.                                                344     0.09            10 Honam Petrochemical Corp.                          1,004     0.27
      4 Daewoong Co. Ltd.                                     69     0.02            12 Hotel Shilla Co. Ltd.                                207     0.05
     31 Daishin Securities Co. Ltd.                          362     0.10             5 Husteel Co. Ltd.                                      61     0.02
     16 Daou Technology, Inc.                                103     0.03             7 Hwa Shin Co. Ltd.                                     69     0.02
      3 DCM Corp.                                             17        –            14 Hyosung Corp.                                        755     0.20
      1 Dong Ah Tire & Rubber Co. Ltd.                         5        –             2 Hyundai Cement Co. Ltd.                               11        –
      9 Dong Wha Pharmaceutical Industrial Co. Ltd.           36     0.01            35 Hyundai Development Co.                              685     0.18
      7 Dong Yang Gang Chul Co. Ltd.                          22     0.01             2 Hyundai DSF Co. Ltd.                                  17        –
      7 Dongaone Co. Ltd.                                     27     0.01             1 Hyundai Elevator Co. Ltd.                             38     0.01
     10 Dongbang Agro Corp.                                   52     0.01            21 Hyundai H&S Co. Ltd.                                 158     0.04
      7 Dongbu Corp.                                          35     0.01            21 Hyundai HYSCO Co. Ltd.                               312     0.08
      6 Dongbu HiTek Co. Ltd.                                 51     0.01            13 Hyundai Merchant Marine Co. Ltd.                     273     0.07
     10 Dongbu Securities Co. Ltd.                            46     0.01             7 Hyundai Mipo Dockyard Co. Ltd.                       697     0.19
      9 Dongbu Steel Co. Ltd.                                 69     0.02            88 Hyundai Securities Co. Ltd.                          788     0.21
      1 Dong-Il Corp.                                         45     0.01             2 Il Dong Pharmaceutical Co. Ltd.                       55     0.02
      1 Dongil Industries Co. Ltd.                            38     0.01             6 Iljin Electric Co. Ltd.                               43     0.01
     25 Dongkuk Steel Mill Co. Ltd.                          435     0.12             1 Ilsung Pharmaceuticals Co. Ltd.                       57     0.02
                                       The accompanying notes are an integral part of the Financial Statements
                                                                        24
                                             DIMENSIONAL FUNDS II PLC
                                                                     % of                                                                          % of
                                                           Value      Net                                                                Value      Net
                                                          (000's)   Asset                                                               (000's)   Asset
Shares (000's)                                              USD     Value        Shares (000's)                                           USD     Value
Common Stock - 96.73% (continued)                                                Common Stock - 96.73% (continued)
Korea, Republic Of - 12.32% (continued)                                          Korea, Republic Of - 12.32% (continued)
      6 IS Dongseo Co. Ltd.                                    43     0.01            11 Motonic Corp.                                      89     0.02
      4 ISU Chemical Co. Ltd.                                  41     0.01             4 Namkwang Engineering & Construction Co. Ltd.       11        –
      5 IsuPetasys Co. Ltd.                                    11        –             – Namyang Dairy Products Co. Ltd.                    80     0.02
     12 Jahwa Electronics Co. Ltd.                             57     0.02             2 Nexen Corp.                                        60     0.02
     11 Jeil Pharmaceutical Co. Ltd.                          123     0.03            13 NH Investment & Securities Co. Ltd.               107     0.03
     23 Jeonbuk Bank Ltd.                                     121     0.03             2 Nong Shim Co. Ltd.                                387     0.10
      2 Jinheung Mutual Savings Bank Co. Ltd.                   5        –             1 Nong Shim Holdings Co. Ltd.                        67     0.02
     11 KC Tech Co. Ltd.                                       60     0.02            26 ON*Media Corp.                                     75     0.02
      3 KCC Corp.                                             723     0.19             1 Ottogi Corp.                                       97     0.03
      4 Keangnam Enterprises Ltd.                              28     0.01             2 Pacific Corp.                                     191     0.05
     20 Keyang Electric Machinery Co. Ltd.                     37     0.01             1 Pacific Pharmaceutical Co. Ltd.                    33     0.01
      5 KG Chemical Corp.                                      46     0.01             4 PaperCorea, Inc.                                   22     0.01
      5 KIC Ltd.                                               27     0.01            14 Poongsan Corp.                                    281     0.08
      3 KISCO Corp.                                            80     0.02             3 Poongsan Holdings Corp.                            49     0.01
      1 KISCO Holdings Co. Ltd.                                33     0.01             1 POSCO Coated & Color Steel Co. Ltd.                27     0.01
      8 KISWIRE Ltd.                                          256     0.07             4 Pumyang Construction Co. Ltd.                      20     0.01
     12 Kodenshi Korea Corp.                                   45     0.01             5 Pusan City Gas Co. Ltd.                            90     0.02
      1 Kolon Corp.                                            31     0.01             2 S&T Daewoo Co. Ltd.                                35     0.01
      5 Kolon Engineering & Construction Co. Ltd.              17        –            13 S&T Dynamics Co. Ltd.                             174     0.05
      1 Kolon Industries, Inc.                                 26     0.01             2 S&T Holdings Co. Ltd.                              18        –
      1 Korea Airport Service Co. Ltd.                         19     0.01            60 S&T Motors Co. Ltd.                                43     0.01
      5 Korea Cast Iron Pipe Industries Co. Ltd.               18     0.01             2 Sajo Industries Co. Ltd.                           57     0.02
      8 Korea Development Corp.                                23     0.01             4 Sam Kwang Glass Industrial Co. Ltd.               140     0.04
      1 Korea Development Financing Corp.                      18     0.01             4 Sam Lip General Foods Co. Ltd.                     32     0.01
      7 Korea Electric Terminal Co. Ltd.                      119     0.03            14 Sam Young Electronics Co. Ltd.                    125     0.03
      6 Korea Express Co. Ltd.                                280     0.08             8 Sam Yung Trading Co. Ltd.                          33     0.01
     17 Korea Investment Holdings Co. Ltd.                    440     0.12             5 Sambu Construction Co. Ltd.                        61     0.02
      2 Korea Kumho Petrochemical Co. Ltd.                     73     0.02            12 SAMHWA Paint Industrial Co. Ltd.                   44     0.01
      2 Korea Line Corp.                                      101     0.03            51 Samick Musical Instruments Co. Ltd.                43     0.01
      2 Korea Mutual Savings Bank                              19        –             7 Samjin Pharmaceutical Co. Ltd.                     61     0.02
      5 Korea Petrochemical Ind Co. Ltd.                      170     0.05             2 Samsung Electro-Mechanics Co. Ltd.                183     0.05
      1 Korea Zinc Co. Ltd.                                   233     0.06            19 Samsung SDI Co. Ltd.                            2,483     0.67
     21 Korean Air Lines Co. Ltd.                           1,235     0.33            22 Samsung Securities Co. Ltd.                       965     0.26
     36 KP Chemical Corp.                                     283     0.08             8 Samwhan Corp.                                      57     0.02
      2 KPX Chemical Co. Ltd.                                  74     0.02             6 Samyang Corp.                                     217     0.06
     25 KTB Securities Co. Ltd.                                69     0.02             1 Samyang Genex Co. Ltd.                             56     0.02
      2 Kukdo Chemical Co. Ltd.                                42     0.01             2 Samyang Tongsang Co. Ltd.                          33     0.01
      2 Kumho Electric Co. Ltd.                                73     0.02            22 Savezone I&C Corp.                                 55     0.01
      3 Kumho Industrial Co. Ltd.                               7        –             5 SBS Media Holdings Co. Ltd.                         9        –
     36 Kumho Investment Bank                                  29     0.01            22 SeAH Besteel Corp.                                326     0.09
     24 Kumho Tire Co. Ltd.                                    69     0.02             2 SeAH Steel Corp.                                   51     0.01
      6 Kunsul Chemical Industrial Co. Ltd.                    65     0.02            12 Sebang Co. Ltd.                                   146     0.04
     24 Kwang Dong Pharmaceutical Co. Ltd.                     53     0.01            14 Sejong Industrial Co. Ltd.                        138     0.04
      4 Kyeryong Construction Industrial Co. Ltd.              38     0.01             2 Shin Poong Pharmaceutical Co. Ltd.                 52     0.01
     11 Kyobo Securities Co. Ltd.                              76     0.02             3 Shinhan Engineering & Construction Co. Ltd.        17        –
      – Kyungbang Ltd.                                         17        –             1 Shinhung Co. Ltd.                                   5        –
      8 LG Fashion Corp.                                      179     0.05             – Shinsegae Information & Communication Co.
      – LG Hausys Ltd.                                         14        –                Ltd.                                              19     0.01
     15 LG International Corp.                                353     0.10            10 Shinsung Holdings Co. Ltd.                         34     0.01
      1 Livart Furniture Co. Ltd.                               4        –          103 Shinsung Tongsang Co. Ltd.                          42     0.01
      1 Lotte Chilsung Beverage Co. Ltd.                      336     0.09            22 Shinwon Corp.                                      26     0.01
      1 Lotte Confectionery Co. Ltd.                          604     0.16             6 Shinyoung Securities Co. Ltd.                     176     0.05
      9 Lotte Midopa Co. Ltd.                                  74     0.02             7 Silla Co. Ltd.                                     70     0.02
      6 Lotte Non-Life Insurance Co. Ltd.                      34     0.01             4 Sindoh Co. Ltd.                                   149     0.04
      – Lotte Samkang Co. Ltd.                                 98     0.03            10 SJM Co. Ltd.                                       50     0.01
      3 Manho Rope & Wire Ltd.                                 36     0.01             8 SK Chemicals Co. Ltd.                             387     0.10
   134 Meritz Securities Co. Ltd.                             112     0.03             3 SK Gas Co. Ltd.                                   117     0.03
      2 Mi Chang Oil Industrial Co. Ltd.                       72     0.02            16 SK Holdings Co. Ltd.                            1,134     0.31
     14 Mirae Asset Securities Co. Ltd.                       565     0.15            45 SK Networks Co. Ltd.                              388     0.10
      2 Moorim P&P Co. Ltd.                                    11        –            13 SKC Co. Ltd.                                      263     0.07
     13 Moorim Paper Co. Ltd.                                  87     0.02             2 SL Corp.                                           20     0.01
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         25
                                              DIMENSIONAL FUNDS II PLC
                                                                      % of                                                                  % of
                                                            Value      Net                                                        Value      Net
                                                           (000's)   Asset                                                       (000's)   Asset
Shares (000's)                                               USD     Value        Shares (000's)                                   USD     Value
Common Stock - 96.73% (continued)                                                 Common Stock - 96.73% (continued)
Korea, Republic Of - 12.32% (continued)                                           Malaysia - 5.67% (continued)
      9 Songwon Industrial Co. Ltd.                             77     0.02           427 EON Capital Bhd                           889     0.24
     22 Ssangyong Cement Industrial Co. Ltd.                    99     0.03           148 Esso Malaysia Bhd                         108     0.03
     14 STX Corp. Co. Ltd.                                     182     0.05           195 Evergreen Fibreboard Bhd                   80     0.02
      6 STX Engine Co. Ltd.                                     97     0.03           266 General Corp. Bhd                         126     0.03
     28 STX Offshore & Shipbuilding Co. Ltd.                   238     0.07           197 Glomac Bhd                                 70     0.02
     62 STX Pan Ocean Co. Ltd.                                 589     0.16           533 Goldis Bhd                                209     0.06
      8 Suheung Capsule Co. Ltd.                                44     0.01           258 Green Packet Bhd                           78     0.02
      1 Sung Bo Chemicals Co. Ltd.                              15        –           535 GuocoLand Malaysia Bhd                    151     0.04
      1 Sungchang Enterprise Holdings Ltd.                       8        –           268 HAP Seng Consolidated Bhd                 227     0.06
     13 Sungshin Cement Co. Ltd.                                44     0.01            38 Hong Leong Financial Group Bhd             91     0.02
      1 Sunjin Co. Ltd.                                         38     0.01           183 Hong Leong Industries Bhd                 241     0.06
     20 Tae Kyung Industrial Co. Ltd.                           77     0.02           777 Hubline Bhd                                40     0.01
      – Taekwang Industrial Co. Ltd.                           139     0.04            69 Hunza Properties Bhd                       26     0.01
     20 TaeYoung Engineering & Construction Co. Ltd.            68     0.02           236 Hwangdbs Malaysia Bhd                     108     0.03
     15 Taihan Electric Wire Co. Ltd.                          114     0.03         1,067 IGB Corp. Bhd                             531     0.14
     28 Tailim Packaging Industrial Co. Ltd.                    30     0.01         1,090 IJM Corp. Bhd                           1,524     0.41
      5 Telcoware Co. Ltd.                                      31     0.01           362 IJM Land Bhd                              239     0.06
      3 The Basic House Co. Ltd.                                21     0.01           450 Insas Bhd                                  69     0.02
     45 Tong Yang Securities, Inc.                             309     0.08           227 JAKS Resources Bhd                         47     0.01
      1 TS Corp.                                                51     0.01            33 Jaya Tiasa Holdings Bhd                    30     0.01
      6 Uangel Corp.                                            26     0.01            69 Jerneh Asia Bhd                            62     0.02
      2 UNID Co. Ltd.                                           70     0.02           770 K&N Kenanga Holdings Bhd                  192     0.05
      2 Union Steel Co. Ltd.                                    32     0.01           190 Keck Seng Malaysia Bhd                    281     0.08
     15 Woongjin Holdings Co. Ltd.                             126     0.03           451 Kian Joo Can Factory Bhd                  164     0.05
      6 Woori Financial Co. Ltd.                                46     0.01           407 Kinsteel Bhd                              102     0.03
     71 Woori Investment & Securities Co. Ltd.                 870     0.23           566 KLCC Property Holdings Bhd                498     0.13
      3 YESCO Co. Ltd.                                          69     0.02           302 KSL Holdings Bhd                          118     0.03
     10 Youlchon Chemical Co. Ltd.                              73     0.02           445 KUB Malaysia Bhd                           67     0.02
      – Young Poong Corp.                                      177     0.05           209 Kulim Malaysia Bhd                        465     0.13
     13 Youngone Corp.                                          96     0.03           193 Kumpulan Perangsang Selangor Bhd           73     0.02
      4 Youngone Holdings Co. Ltd.                              93     0.02            71 Kwantas Corp. Bhd                          37     0.01
      7 YuHwa Securities Co. Ltd.                               83     0.02           190 Landmarks Bhd                              63     0.02
                                                            45,498    12.32           317 Leader Universal Holdings Bhd              82     0.02
Malaysia - 5.67%                                                                      520 Lien Hoe Corp. Bhd                         38     0.01
   328 A&M Realty Bhd                                           58     0.02            30 Lingui Development Bhd                     10        –
   468 Affin Holdings Bhd                                      410     0.11         1,002 Lion Corp. Bhd                             90     0.02
 1,241 AirAsia Bhd                                             440     0.12           498 Lion Diversified Holdings Bhd              61     0.02
   906 Alliance Financial Group Bhd                            756     0.20           549 Lion Industries Corp. Bhd                 250     0.07
   106 AMDB Bhd                                                 13        –            18 Mah Sing Group Bhd                          9        –
   171 Ann Joo Resources Bhd                                   126     0.03           330 Malaysia Airports Holdings Bhd            496     0.13
   101 APM Automotive Holdings Bhd                             129     0.04           229 Malaysia Building Society Bhd              72     0.02
   549 Bandar Raya Developments Bhd                            258     0.07           164 MEASAT Global Bhd                         160     0.04
   134 Batu Kawan Bhd                                          427     0.11           183 Mega First Corp. Bhd                       89     0.02
   644 Berjaya Assets BHD                                       98     0.02           226 Metro Kajang Holdings Bhd                  82     0.02
 1,378 Berjaya Corp. Bhd                                       623     0.17           156 MK Land Holdings Bhd                       14        –
    34 Berjaya Media Bhd                                         7        –           523 MMC Corp. Bhd                             390     0.11
   110 BIMB Holdings Bhd                                        40     0.01           357 Muhibbah Engineering M Bhd                 96     0.03
   238 Bolton Bhd                                               53     0.01         2,048 Mulpha International Bhd                  283     0.08
   414 Boustead Holdings Bhd                                   431     0.12           863 Multi-Purpose Holdings Bhd                516     0.14
   365 Cahya Mata Sarawak Bhd                                  249     0.07             6 Naim Holdings Bhd                           5        –
    15 CB Industrial Product Holding Bhd                        13     0.01            19 NCB Holdings Bhd                           18        –
    51 Chemical Co. of Malaysia Bhd                             33     0.01           690 Oriental Holdings Bhd                   1,155     0.31
   162 CSC Steel Holdings Bhd                                   88     0.02           505 OSK Holdings Bhd                          196     0.05
   261 Daiman Development Bhd                                  125     0.03           390 Pan Malaysia Corp. Bhd                     15     0.01
   218 Dijaya Corp. Bhd                                         65     0.02            59 Panasonic Manufacturing Malaysia Bhd      304     0.08
   203 DNP Holdings Bhd                                         77     0.02            80 Paramount Corp. Bhd                        85     0.02
   900 DRB-Hicom Bhd                                           282     0.08           176 Pelikan International Corp. Bhd            57     0.02
   180 Eastern & Oriental Bhd                                   48     0.01           368 Permaju Industries Bhd                     37     0.01
   134 Eastern Pacific Indusrial Corp. Bhd                      68     0.02            18 Pie Industrial Bhd                         22     0.01
 1,376 ECM Libra Financial Group Bhd                           264     0.07           436 PJ Development Holdings Bhd                93     0.02
    57 Encorp Bhd                                               18        –            46 POS Malaysia Bhd                           37     0.01
                                         The accompanying notes are an integral part of the Financial Statements
                                                                          26
                                             DIMENSIONAL FUNDS II PLC
                                                                     % of                                                                    % of
                                                           Value      Net                                                          Value      Net
                                                          (000's)   Asset                                                         (000's)   Asset
Shares (000's)                                              USD     Value        Shares (000's)                                     USD     Value
Common Stock - 96.73% (continued)                                                Common Stock - 96.73% (continued)
Malaysia - 5.67% (continued)                                                     Mexico - 4.81% (continued)
    230 Protasco Bhd                                           72     0.02           84 Grupo Simec SAB de CV                        208     0.06
    354 Proton Holdings Bhd                                   487     0.13          161 Industrias CH SAB de CV                      573     0.16
     16 QSR Brands Bhd                                         17        –           58 Maxcom Telecomunicaciones SAB de CV           36     0.01
    365 RCE Capital Bhd                                        69     0.02          778 Organizacion Soriana SAB de CV, Class B    2,082     0.56
    233 Scientex Bhd                                           97     0.03           39 Qualitas Compania de Seguros S.A. de CV       25     0.01
    872 Scomi Group Bhd                                       108     0.03          195 Sare Holding SAB de CV, Class B               48     0.01
    683 Selangor Dredging Bhd                                 108     0.03          424 Urbi Desarrollos Urbanos SAB de CV           825     0.22
    202 Shangri-La Hotels Bhd                                 127     0.03          432 Vitro SAB de CV                              373     0.10
    439 SHL Consolidated Bhd                                  137     0.04                                                        17,815     4.81
    406 Sino Hua-An International Bhd                          43     0.01       Philippines - 1.25%
    159 Southern Steel Bhd                                     92     0.02           384 Banco de Oro Unibank, Inc.                  357     0.10
    164 SPK Sentosa Corp. Bhd                                  16        –         5,430 Belle Corp.                                 214     0.06
    192 Sunrise Bhd                                           107     0.03         1,828 Benpres Holdings Corp.                      142     0.04
    176 Sunway City Bhd                                       195     0.05         1,182 DMCI Holdings, Inc.                         397     0.11
    232 Sunway Holdings Bhd                                   102     0.03         6,270 Empire East Land Holdings, Inc.              56     0.01
    155 Suria Capital Holdings Bhd                             66     0.02           275 Filinvest Development Corp.                  12        –
  1,389 TA Enterprise Bhd                                     268     0.07        13,536 Filinvest Land, Inc.                        270     0.07
  1,044 TA Global Bhd                                         115     0.03           292 First Philippine Holdings Corp.             353     0.10
    387 TAN Chong Motor Holdings Bhd                          463     0.12             42 Ginebra San Miguel, Inc.                    29     0.01
    187 TDM Bhd                                               100     0.03        11,722 Megaworld Corp.                             320     0.09
    407 Tebrau Teguh Bhd                                       77     0.02           623 Metropolitan Bank & Trust Co.               762     0.21
      9 TH Plantations Bhd                                      4        –           242 Philippine National Bank                    149     0.04
  1,203 Time dotCom Bhd                                       148     0.04           348 Rizal Commercial Banking Corp.              139     0.04
    403 Titan Chemicals Corp.                                 147     0.04           449 Robinsons Land Corp.                        131     0.04
     34 Tradewinds Malaysia Bhd                                29     0.01             85 Security Bank Corp.                        114     0.03
    173 TRC Synergy Bhd                                        53     0.01         1,340 SM Development Corp.                        180     0.05
    137 Unico-Desa Plantations Bhd                             39     0.01           303 Union Bank of Philippines                   262     0.07
    474 Unisem M Bhd                                          401     0.11         1,084 Universal Robina Corp.                      575     0.15
     56 United Malacca Bhd                                    135     0.04         2,708 Vista Land & Lifescapes, Inc.                94     0.03
    109 VS Industry Bhd                                        39     0.01                                                         4,556     1.25
    438 WTK Holdings Bhd                                      153     0.04
    105 Yi-Lai Bhd                                             26     0.01       Poland - 3.14%
    288 YNH Property Bhd                                      126     0.03            62 Agora S.A.                                  484     0.13
    273 Zelan Bhd                                              41     0.01             3 Amica S.A.                                   30     0.01
                                                           21,174     5.67            61 Asseco Poland S.A.                        1,031     0.28
                                                                                      19 ATM S.A.                                     51     0.01
Mexico - 4.81%                                                                        33 Bank Handlowy w Warszawie S.A.              732     0.20
   280 Alfa SAB de CV, Class A                              1,910     0.51           341 Bank Millennium S.A.                        482     0.13
   203 Alsea SAB de CV                                        200     0.05         2,095 Bioton S.A.                                 126     0.04
   421 Axtel SAB de CV                                        236     0.06            17 Bomi S.A.                                    71     0.02
   145 Bolsa Mexicana de Valores SA de CV                     216     0.06            65 Boryszew S.A.                                38     0.01
   145 Carso Infraestructura Y Construccion                    79     0.02            17 Ciech S.A.                                  132     0.04
   802 Consorcio Ara SAB de CV                                493     0.13             3 ComArch S.A.                                 70     0.02
   148 Controladora Comercial Mexicana SAB de CV              137     0.04             6 Dom Development S.A.                         95     0.03
   389 Corporacion Geo SAB de CV                            1,075     0.29           125 Dom Maklerski IDMSA                          90     0.02
    39 Desarrolladora Homex SAB de CV                         169     0.05           339 Echo Investment S.A.                        435     0.12
   114 Dine SAB de CV                                          57     0.02             7 Emperia Holding S.A.                        188     0.05
   128 Embotelladoras Arca SAB de CV                          437     0.12            40 Energomontaz Poludnie S.A.                   50     0.01
   517 Empresas ICA SAB de CV                               1,207     0.33            15 Fabryki Mebli Forte S.A.                     69     0.02
   121 Gruma SAB de CV, Class B                               185     0.05           110 Famur S.A., Class B                          69     0.02
   162 Grupo Aeroportuario del Centro Norte SAB de                                     1 Farmacol S.A.                                15        –
          CV                                                  269     0.07             8 Firma Oponiarska Debica S.A.                162     0.04
   439 Grupo Aeroportuario del Pacifico SAB de CV,                                    10 Gant Development S.A.                        70     0.02
          Class B                                           1,488     0.40            14 Grupa Kety S.A.                             457     0.12
   183 Grupo Aeroportuario del Sureste SAB de CV,                                     70 Grupa Lotos S.A.                            667     0.18
          Class B                                             930     0.25           111 Impexmetal S.A.                             129     0.03
    81 Grupo Carso SAB de CV                                  271     0.07             3 Koelner S.A.                                 12        –
    47 Grupo Cementos de Chihuahua SAB de CV                  155     0.04            25 Kopex S.A.                                  141     0.04
   126 Grupo Famsa SAB de CV, Class A                         212     0.06            31 Kredyt Bank S.A.                            148     0.04
   885 Grupo Financiero Banorte SAB de CV, Class O          3,406     0.92           227 LC Corp. S.A.                               104     0.03
   317 Grupo Industrial Saltillo SAB de CV                    260     0.07            37 MCI Management S.A.                          78     0.02
   223 Grupo Kuo SAB de CV                                    253     0.07
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         27
                                              DIMENSIONAL FUNDS II PLC
                                                                      % of                                                                      % of
                                                            Value      Net                                                            Value      Net
                                                           (000's)   Asset                                                           (000's)   Asset
Shares (000's)                                               USD     Value        Shares (000's)                                       USD     Value
Common Stock - 96.73% (continued)                                                 Common Stock - 96.73% (continued)
Poland - 3.14% (continued)                                                        South Africa - 10.50% (continued)
      5 Mercor S.A.                                             27     0.01           278 Metair Investments Ltd.                       302     0.08
     33 MNI S.A.                                                35     0.01           518 Metorex Ltd.                                  244     0.07
    157 Netia S.A.                                             228     0.06           563 Metropolitan Holdings Ltd.                  1,181     0.32
     34 Orbis S.A.                                             389     0.10           143 Mondi Ltd.                                    902     0.24
      2 Pol-Aqua S.A.                                            8        –           417 Mvelaphanda Group Ltd.                        450     0.12
     11 Polnord S.A.                                           122     0.03           465 Nampak Ltd.                                 1,090     0.29
      5 Polska Grupa Farmaceutyczna S.A.                        56     0.02           114 Northam Platinum Ltd.                         708     0.19
    330 Polski Koncern Naftowy Orlen S.A.                    3,770     1.02            42 Omnia Holdings Ltd.                           341     0.09
     95 Stalexport Autostrady S.A.                              45     0.01             7 Palabora Mining Co. Ltd.                       94     0.03
     15 Sygnity S.A.                                            70     0.02           160 Peregrine Holdings Ltd.                       249     0.07
    739 Synthos S.A.                                           411     0.11            66 Pioneer Foods Ltd.                            341     0.09
     28 Vistula Group S.A.                                      24     0.01           158 PSG Group Ltd.                                530     0.14
      7 Zaklady Azotowe Pulawy S.A.                            128     0.03            89 Rainbow Chicken Ltd.                          182     0.05
     16 Zaklady Azotowe w Tarnowie-Moscicach S.A.               76     0.02           567 Sappi Ltd.                                  2,149     0.58
     16 Zaklady Chemiczne Police S.A.                           27     0.01           184 Sentula Mining Ltd.                            56     0.01
                                                            11,642     3.14           482 Simmer & Jack Mines Ltd.                       78     0.02
South Africa - 10.50%                                                                  24 Spur Corp. Ltd.                                38     0.01
     16 Adcorp Holdings Ltd.                                    55     0.02            12 Stefanutti Stocks Holdings Ltd.                18        –
    122 AECI Ltd.                                            1,114     0.30         1,153 Steinhoff International Holdings Ltd.       2,969     0.80
    356 AFGRI Ltd.                                             282     0.08         1,980 Super Group Ltd.                              161     0.04
    703 African Bank Investments Ltd.                        2,933     0.79            24 Telkom S.A. Ltd.                              116     0.03
     85 African Oxygen Ltd.                                    248     0.07            88 Tongaat Hulett Ltd.                         1,121     0.30
     89 African Rainbow Minerals Ltd.                        2,026     0.55            96 Trans Hex Group Ltd.                           51     0.01
     48 Allied Electronics Corp. Ltd.                          159     0.04           111 Trencor Ltd.                                  483     0.13
      3 Allied Technologies Ltd.                                27     0.01           117 Value Group Ltd.                               53     0.01
     99 Argent Industrial Ltd.                                 111     0.03           153 Wesizwe Platinum Ltd.                          44     0.01
     13 Argility Ltd.                                            –        –           204 Zeder Investments Ltd.                         50     0.01
    771 AST Group Ltd.                                          82     0.02                                                          39,064    10.50
      6 Astral Foods Ltd.                                       94     0.02       Taiwan - 12.07%
    394 Aveng Ltd.                                           1,878     0.51           236 AcBel Polytech, Inc.                          156     0.04
    301 AVI Ltd.                                               919     0.25           261 Accton Technology Corp.                       126     0.03
    115 Avusa Ltd.                                             291     0.08           282 ACHEM Technology Corp.                        126     0.03
    208 Barloworld Ltd.                                      1,249     0.34            36 Advanced Semiconductor Engineering, Inc.       30     0.01
     36 Bell Equipment Ltd.                                     47     0.01            36 Advancetek Enterprise Co. Ltd.                 21     0.01
    162 Blue Label Telecoms Ltd.                               110     0.03           298 AGV Products Corp.                            103     0.03
     42 Brait S.A.                                             125     0.03           105 Allis Electric Co. Ltd.                        36     0.01
    156 Caxton and CTP Publishers and Printers Ltd.            267     0.07            63 Arima Communications Corp.                     21     0.01
      – Ceramic Industries Ltd.                                  7        –           590 Asia Cement Corp.                             507     0.14
    371 Cipla Medpro South Africa Ltd.                         260     0.07            16 Asia Optical Co., Inc.                         24        –
     34 Coronation Fund Managers Ltd.                           47     0.01           129 Asia Polymer Corp.                            109     0.03
     29 Datacentrix Holdings Ltd.                               15     0.01           121 Asia Vital Components Co. Ltd.                143     0.04
    240 DataTec Ltd.                                         1,111     0.30            28 Aurora Systems Corp.                           19     0.01
    218 Discovery Holdings Ltd.                              1,000     0.27            76 Avision, Inc.                                  57     0.02
    314 DRDGOLD Ltd.                                           143     0.04           239 Bank of Kaohsiung                              76     0.02
     54 Exxaro Resources Ltd.                                  778     0.21           903 BES Engineering Corp.                         201     0.05
     39 Freeworld Coatings Ltd.                                 53     0.01            41 Biostar Microtech International Corp.          27     0.01
     15 Gold Reef Resorts Ltd.                                  33     0.01            78 C Sun Manufacturing Ltd.                       47     0.01
    376 Grindrod Ltd.                                          738     0.20            46 Cameo Communications, Inc.                     24     0.01
     86 Group Five Ltd.                                        396     0.11           445 Capital Securities Corp.                      189     0.05
    154 Harmony Gold Mining Co. Ltd., ADR                    1,488     0.40           283 Carnival Industrial Corp.                      89     0.02
     34 Hudaco Industries Ltd.                                 309     0.08            96 Cathay Chemical Works, Inc.                    33     0.01
     56 Hulamin Ltd.                                            77     0.02           617 Cathay Real Estate Development Co. Ltd.       222     0.06
    125 Iliad Africa Ltd.                                      135     0.04            84 Central Reinsurance Co. Ltd.                   42     0.01
    190 Illovo Sugar Ltd.                                      757     0.20           177 Champion Building Materials Co. Ltd.          129     0.03
    169 Imperial Holdings Ltd.                               2,151     0.58         2,861 Chang Hwa Commercial Bank                   1,132     0.30
    154 JD Group Ltd.                                          829     0.22            91 Charoen Pokphand Enterprise Co. Ltd.           42     0.01
    151 Kap International Holdings Ltd.                         46     0.01           438 Cheng Loong Corp.                             156     0.04
     97 Lewis Group Ltd.                                       745     0.20           128 Cheng Uei Precision Industry Co. Ltd.         199     0.05
    108 Liberty Holdings Ltd.                                1,019     0.27           372 Chia Hsin Cement Corp.                        152     0.04
    177 Medi-Clinic Corp. Ltd.                                 624     0.17            33 Chien Kuo Construction Co. Ltd.                18     0.01
  1,338 Merafe Resources Ltd.                                  285     0.08           126 Chien Shing Stainless Steel Co. Ltd.           27     0.01
                                         The accompanying notes are an integral part of the Financial Statements
                                                                          28
                                            DIMENSIONAL FUNDS II PLC
                                                                    % of                                                                     % of
                                                          Value      Net                                                           Value      Net
                                                         (000's)   Asset                                                          (000's)   Asset
Shares (000's)                                             USD     Value        Shares (000's)                                      USD     Value
Common Stock - 96.73% (continued)                                               Common Stock - 96.73% (continued)
Taiwan - 12.07% (continued)                                                     Taiwan - 12.07% (continued)
    918 China Airlines Ltd.                                  406     0.11             1 Great Wall Enterprise Co. Ltd., Class H        1        –
    690 China Bills Finance Corp.                            196     0.05            74 Greatek Electronics, Inc.                     74     0.02
    125 China Chemical & Pharmaceutical Co. Ltd.              75     0.02            35 GTM Corp.                                     21     0.01
  4,997 China Development Financial Holding Corp.          1,271     0.34            77 Hannstar Board Corp.                          60     0.02
    283 China General Plastics Corp.                          86     0.02         2,644 HannStar Display Corp.                       499     0.13
    111 China Glaze Co. Ltd.                                  89     0.02           393 Hey Song Corp.                               276     0.07
    474 China Manmade Fibers Corp.                           141     0.04             2 Hitron Technology, Inc.                        1        –
     28 China Metal Products Co. Ltd.                         35     0.01           366 Ho Tung Chemical Corp.                       173     0.05
    465 China Motor Corp.                                    276     0.07           222 Hocheng Group Corp.                           73     0.02
    961 China Petrochemical Development Corp.                445     0.12           158 Hold-Key Electric Wire & Cable Co. Ltd.       78     0.02
     93 China Steel Structure Co. Ltd.                        65     0.02            12 Holiday Entertainment Co. Ltd.                10        –
    257 China Synthetic Rubber Corp.                         256     0.07           157 HONG TAI Electric Industrial Co. Ltd.         62     0.02
    195 China Wire & Cable Co. Ltd.                           61     0.02            80 Hsin Kuang Steel Co. Ltd.                     65     0.02
    120 Chin-Poon Industrial Co. Ltd.                         85     0.02           217 Hsing TA Cement Co. Ltd.                      65     0.02
    207 Chun YU Works & Co. Ltd.                              63     0.02           391 HUA ENG Wire & Cable                         127     0.03
    334 Chun Yuan Steel Industry Co. Ltd.                    130     0.04           138 Hung Ching Development Co.                    72     0.02
    228 Chung Hsin Electric & Machinery Manufacturing                                73 Hung Poo Real Estate Development Corp.        93     0.02
          Corp.                                              125     0.03           288 Hung Sheng Construction Co. Ltd.             148     0.04
    274 Chung Hwa Pulp Corp.                                 117     0.03           131 Hwa Fong Rubber Co. Ltd.                      50     0.01
  5,796 Chunghwa Picture Tubes Ltd.                          374     0.10           232 Ichia Technologies, Inc.                      99     0.03
  1,931 CMC Magnetics Corp.                                  486     0.13             4 Inventec Appliances Corp.                      3        –
     57 Collins Co. Ltd.                                      24     0.01         1,235 Inventec Co. Ltd.                            668     0.18
    731 Compeq Manufacturing Co. Ltd.                        184     0.05           141 Kang Na Hsiung Enterprise Co. Ltd.            82     0.02
    319 Continental Holdings Corp.                           115     0.03            44 Kao Hsing Chang Iron & Steel Corp.            11        –
     41 Cosmos Bank Taiwan                                     7        –           105 Kindom Construction Co. Ltd.                  69     0.02
     59 Darfon Electronics Corp.                              65     0.02           555 King Yuan Electronics Co. Ltd.               237     0.06
    127 Delpha Construction Co. Ltd.                          51     0.01           518 King's Town Bank                             138     0.04
     14 Depo Auto Parts Industrial Co. Ltd.                   33     0.01           986 Kinpo Electronics, Inc.                      267     0.07
     19 DFI, Inc.                                             19        –            76 Kuoyang Construction Co. Ltd.                 46     0.01
    298 D-Link Corp.                                         234     0.06           185 Kwong Fong Industries Corp.                   46     0.01
     77 Dynamic Electronics Co. Ltd.                          62     0.02            56 L&K Engineering Co. Ltd.                      52     0.01
  2,217 E.Sun Financial Holding Co. Ltd.                     874     0.24           195 LAN FA Textile Co. Ltd.                       58     0.02
    577 Eastern Media International Corp.                    156     0.04           179 Lead Data, Inc.                               37     0.01
    103 Eclat Textile Co. Ltd.                                62     0.02           532 Lealea Enterprise Co. Ltd.                   190     0.05
    103 Edom Technology Co. Ltd.                              55     0.01           129 LEE Chang Yung Chemical Industry Corp.       151     0.04
    541 Elitegroup Computer Systems Co. Ltd.                 184     0.05           101 LEE CHI Enterprises Co. Ltd.                  41     0.01
      9 EnTie Commercial Bank                                  3        –            56 Lelon Electronics Corp.                       30     0.01
    130 Eternal Chemical Co. Ltd.                            122     0.03           153 Leofoo Development Co. Ltd.                   79     0.02
    919 Eva Airways Corp.                                    512     0.14           436 Li Peng Enterprise Co. Ltd.                  195     0.05
    210 Everest Textile Co. Ltd.                              38     0.01           396 Lien Hwa Industrial Corp.                    192     0.05
    331 Evergreen International Storage & Transport                                 195 Lingsen Precision Industries Ltd.            102     0.03
          Corp.                                              237     0.06           150 LITE-ON IT Corp.                             168     0.04
    800 Evergreen Marine Corp. Taiwan Ltd.                   458     0.12            66 Lite-On Semiconductor Corp.                   36     0.01
     55 Everlight Chemical Industrial Corp.                   50     0.01           764 Lite-On Technology Corp.                     869     0.23
     40 Everspring Industry Co. Ltd.                          14        –           151 Long Bon Development Co. Ltd.                 59     0.02
    418 Far Eastern Department Stores Co. Ltd.               340     0.09           262 Long Chen Paper Co. Ltd.                      79     0.02
    811 Far Eastern International Bank                       242     0.06           192 Lucky Cement Corp.                            43     0.01
    260 Federal Corp.                                        154     0.04         2,089 Macronix International Co. Ltd.            1,353     0.36
    174 First Copper Technology Co. Ltd.                      71     0.02           206 Mercuries & Associates Ltd.                   99     0.03
     79 First Hotel                                           59     0.02             6 Merry Electronics Co. Ltd.                    10        –
    220 First Insurance Co. Ltd.                              86     0.02           198 Microelectronics Technology, Inc.            101     0.03
    357 Formosa Taffeta Co. Ltd.                             251     0.07           693 Micro-Star International Co. Ltd.            368     0.10
     14 Fullerton Technology Co. Ltd.                         15        –           443 Mitac International Corp.                    172     0.05
    142 Fwusow Industry Co. Ltd.                              50     0.01           165 Mosel Vitelic, Inc.                           69     0.02
    152 Getac Technology Corp.                                92     0.02            27 Nantex Industry Co. Ltd.                      18        –
    376 Gigabyte Technology Co. Ltd.                         383     0.10           109 Nanya Technology Corp.                        88     0.02
    289 Gold Circuit Electronics Ltd.                         96     0.03           272 Nien Hsing Textile Co. Ltd.                  147     0.04
    746 Goldsun Development & Construction Co. Ltd.          310     0.08           111 Orient Semiconductor Electronics Ltd.         29     0.01
    105 Gordon Auto Body Parts Co. Ltd.                       39     0.01           180 Oriental Union Chemical Corp.                130     0.03
    393 Grand Pacific Petrochemical Corp.                    145     0.04           527 Pacific Construction Co. Ltd.                 73     0.02
     57 Great China Metal Industry Co. Ltd.                   39     0.01           223 Phihong Technology Co. Ltd.                  219     0.06
                                       The accompanying notes are an integral part of the Financial Statements
                                                                        29
                                            DIMENSIONAL FUNDS II PLC
                                                                    % of                                                                        % of
                                                          Value      Net                                                              Value      Net
                                                         (000's)   Asset                                                             (000's)   Asset
Shares (000's)                                             USD     Value        Shares (000's)                                         USD     Value
Common Stock - 96.73% (continued)                                               Common Stock - 96.73% (continued)
Taiwan - 12.07% (continued)                                                     Taiwan - 12.07% (continued)
     41 Plotech Co. Ltd.                                      28     0.01           238 Taiwan Pulp & Paper Corp.                        81     0.02
    583 Polaris Securities Co. Ltd.                          242     0.07           142 Taiwan Sakura Corp.                              93     0.03
  1,197 Pou Chen Corp.                                       908     0.24            77 Taiwan Sogo Shin Kong SEC                        55     0.01
    177 President Securities Corp.                            87     0.02           281 Taiwan Styrene Monomer Corp.                    109     0.03
    417 Prince Housing Development Corp.                     180     0.05           102 Taiwan Tea Corp.                                 55     0.02
     47 Promate Electronic Co. Ltd.                           37     0.01            61 Taiyen Biotech Co. Ltd.                          36     0.01
    918 Qisda Corp.                                          468     0.13         2,263 Tatung Co. Ltd.                                 414     0.11
    119 Quintaim Steel Co. Ltd.                               35     0.01         1,320 Teco Electric and Machinery Co. Ltd.            537     0.15
    168 Radiant Opto-Electronics Corp.                       227     0.06           172 Tecom Co. Ltd.                                   49     0.01
    205 Radium Life Tech Co. Ltd.                            163     0.04           296 Test-Rite International Co. Ltd.                164     0.04
     41 Ralec Electronic Corp.                                84     0.02            84 The Ambassador Hotel                             86     0.02
    103 Rechi Precision Co. Ltd.                              41     0.01           570 Ton Yi Industrial Corp.                         231     0.06
    154 Rexon Industrial Corp. Ltd.                           58     0.01            23 Tong-Tai Machine & Tool Co. Ltd.                 21     0.01
  1,751 Ritek Corp.                                          444     0.12            20 Tsann Kuen Enterprise Co. Ltd.                   38     0.01
    693 Sampo Corp.                                           93     0.03           138 TYC Brother Industrial Co. Ltd.                  86     0.02
    498 Sanyang Industrial Co. Ltd.                          177     0.05           333 Tycoons Group Enterprise Co. Ltd.                59     0.02
     89 Sheng Yu Steel Co. Ltd.                               60     0.02           102 TZE Shin International Co. Ltd.                  39     0.01
    228 Shihlin Electric & Engineering Corp.                 256     0.07           604 Unimicron Technology Corp.                      857     0.23
  2,569 Shin Kong Financial Holding Co. Ltd.                 864     0.23           802 Union Bank of Taiwan                            138     0.04
    172 Shinkong Insurance Co. Ltd.                          152     0.04            86 Unitech Computer Co. Ltd.                        49     0.01
    725 Shinkong Synthetic Fibers Corp.                      231     0.06           210 Unitech Printed Circuit Board Corp.              69     0.02
    181 Sigurd Microelectronics Corp.                        134     0.04           142 United Integrated Services Co. Ltd.             128     0.03
    409 Silicon Integrated Systems Corp.                     232     0.06           440 Universal Cement Corp.                          190     0.05
     48 Sinbon Electronics Co. Ltd.                           34     0.01            68 Universal Microelectronics Co. Ltd.              36     0.01
    249 Sinon Corp.                                           99     0.03           453 UPC Technology Corp.                            247     0.07
  2,891 SinoPac Financial Holdings Co. Ltd.                  860     0.23           413 USI Corp.                                       262     0.07
      – Sintek Photronic Corp.                                 –        –           114 U-Tech Media Corp.                               47     0.01
     63 Siward Crystal Technology Co. Ltd.                    26     0.01           117 Ve Wong Corp.                                    84     0.02
     74 Solomon Technology Corp.                              30     0.01             1 Via Technologies, Inc.                            1        –
    206 Southeast Cement Co. Ltd.                             69     0.02             8 Wah Lee Industrial Corp.                         11        –
     58 Spirox Corp.                                          42     0.01         1,558 Walsin Lihwa Corp.                              561     0.15
    154 Springsoft, Inc.                                     139     0.04           400 Walsin Technology Corp.                         221     0.06
     30 Star Travel Taiwan Co. Ltd.                           24     0.01            50 Walton Advanced Engineering, Inc.                22     0.01
     69 Stark Technology, Inc.                                65     0.02           796 Wan Hai Lines Ltd.                              435     0.12
    174 Sunplus Technology Co. Ltd.                          132     0.03         1,411 Waterland Financial Holding Co. Ltd.            417     0.11
    256 T JOIN Transportation Co. Ltd.                       185     0.05           190 WEI Chih Steel Industrial Co. Ltd.               43     0.01
     21 TA Chen Stainless Pipe Co. Ltd.                       13        –            37 Weikeng Industrial Co. Ltd.                      25     0.01
  1,209 Ta Chong Bank Co. Ltd.                               230     0.06            45 Wellypower Optronics Corp.                       41     0.01
    261 Ta Ya Electric Wire & Cable Co. Ltd.                  65     0.02         1,960 Winbond Electronics Corp.                       497     0.13
    114 Tah Hsin Industrial Co. Ltd.                          81     0.02           595 Wintek Corp.                                    413     0.11
      9 TA-I Technology Co. Ltd.                              10        –            35 Wistron NeWeb Corp.                              63     0.02
    694 Taichung Commercial Bank Co. Ltd.                    172     0.05            61 WT Microelectronics Co. Ltd.                     65     0.02
      4 Tainan Enterprises Co. Ltd.                            4        –           258 WUS Printed Circuit Co. Ltd.                     98     0.03
    754 Tainan Spinning Co. Ltd.                             305     0.08         1,419 Yageo Corp.                                     615     0.17
  2,576 Taishin Financial Holdings Co. Ltd.                  907     0.24           940 Yang Ming Marine Transport Corp.                385     0.10
    196 Taisun Enterprise Co. Ltd.                            80     0.02            79 Yeun Chyang Industrial Co. Ltd.                  53     0.01
    165 Taita Chemical Co. Ltd.                               54     0.01           606 Yieh Phui Enterprise Co. Ltd.                   216     0.06
     20 Taiwan Acceptance Corp.                               24     0.01           187 Yosun Industrial Corp.                          281     0.08
  1,319 Taiwan Business Bank                                 330     0.09           802 Yuen Foong Yu Paper Manufacturing Co. Ltd.      292     0.08
  1,151 Taiwan Cement Corp.                                  971     0.26           619 Yulon Motor Co. Ltd.                            616     0.17
    144 Taiwan Cogeneration Corp.                             75     0.02           250 Yungtay Engineering Co. Ltd.                    217     0.06
     99 Taiwan Cooperative Bank                               57     0.02            50 Zenitron Corp.                                   31     0.01
    178 Taiwan Fluorescent Lamp Co. Ltd.                      17        –           345 Zig Sheng Industrial Co. Ltd.                   153     0.04
    113 Taiwan Fu Hsing Industrial Co. Ltd.                   70     0.02           142 Zyxel Communications Corp.                       87     0.02
    565 Taiwan Glass Industrial Corp.                        508     0.14                                                            45,066    12.07
     91 Taiwan International Securities Corp.                 25     0.01       Thailand - 3.21%
    106 Taiwan Kai Yih Industrial Co. Ltd.                    99     0.03           559 Asia Plus Securities PCL                         29     0.01
    191 Taiwan Kolin Co. Ltd.                                  –        –           616 Asian Property Development PCL                   88     0.02
    132 Taiwan Mask Corp.                                     45     0.01           478 Bangchak Petroleum PCL                          197     0.05
     48 Taiwan Nano Electro-Optical Technology Co.                                  397 Bangkok Expressway PCL                          219     0.06
          Ltd.                                                32     0.01         6,495 Bangkokland PCL                                  94     0.03
                                       The accompanying notes are an integral part of the Financial Statements
                                                                        30
                                             DIMENSIONAL FUNDS II PLC
                                                                     % of                                                                          % of
                                                           Value      Net                                                                Value      Net
                                                          (000's)   Asset                                                               (000's)   Asset
Shares (000's)                                              USD     Value      Shares (000's)                                             USD     Value
Common Stock - 96.73% (continued)                                              Common Stock - 96.73% (continued)
Thailand - 3.21% (continued)                                                   Turkey - 3.44% (continued)
  1,731 Bank of Ayudhya PCL NVDR                             962     0.26            4 Borusan Mannesmann Boru Sanayi ve Ticaret
  1,905 CalComp Electronics Thailand PCL, Class F            172     0.05                A/S                                                37     0.01
  1,150 Central Plaza Hotel PCL                              135     0.04            – Cemtas Celik Makina Sanayi ve Ticaret A/S             –        –
  2,743 Charoen Pokphand Foods PCL                         1,466     0.39           53 Cimsa Cimento Sanayi ve Ticaret A/S                 253     0.07
    427 Delta Electronics Thai PCL                           266     0.07            – Dentas Ambalaj ve Kagit Sanayii A/S                   –        –
    179 Eastern Water Resources Development and                                     47 Deva Holding A/S                                     84     0.02
          Management PCL, Class F                             25        –           56 Dogan Gazetecilik A/S                               106     0.03
 13,000 G J Steel PCL                                         68     0.02        1,004 Dogan Sirketler Grubu Holding A/S                   730     0.20
  2,566 G Steel PCL                                           30     0.01          284 Dogan Yayin Holding A/S                             255     0.07
    234 Hana Microelectronics PCL                            172     0.05           47 Dogus Otomotiv Servis ve Ticaret A/S                215     0.06
  8,881 Hemaraj Land and Development PCL                     243     0.07          253 Eczacibasi Ilac Sanayi ve Ticaret A/S               378     0.10
  6,085 IRPC PCL                                             807     0.22          339 Eregli Demir ve Celik Fabrikalari TAS               913     0.25
  1,327 Italian-Thai Development PCL                         104     0.03           28 Finans Finansal Kiralama A/S                         60     0.02
    680 Jasmine International PCL                              9        –            – Gentas Genel Metal Sanayi ve Ticaret A/S              –        –
    217 Kiatnakin Bank PCL                                   170     0.05          290 Global Yatirim Holding A/S                          129     0.03
    151 Kim Eng Securities Thailand PCL                       50     0.01            1 Goltas Cimento A/S                                   29     0.01
    933 Krung Thai Bank PCL                                  301     0.08            8 Goodyear Lastikleri Turk A/S                         75     0.02
  3,062 Loxley PCL                                           150     0.04          462 GSD Holding A/S                                     350     0.09
    203 Major Cineplex Group PCL                              52     0.02           25 Gunes Sigorta A/S                                    30     0.01
     95 MBK PCL                                              232     0.06           49 Haci Omer Sabanci Holding A/S                       203     0.05
    300 Polyplex PCL                                          69     0.02          212 Hurriyet Gazetecilik A/S                            192     0.05
    434 Precious Shipping PCL                                241     0.07          194 Ihlas Holding A/S                                    82     0.02
    838 PTT Aromatics & Refining PCL                         669     0.18            9 Is Yatirim Menkul Degerler A/S                       19     0.01
  1,809 Quality House PCL                                    110     0.03           21 Isiklar Yatirim Holding A/S                          23     0.01
    124 Regional Container Lines PCL                           –        –           49 Izmir Demir Celik Sanayi A/S                         69     0.02
    494 Regional Container Lines PCL                         181     0.05           80 Kardemir Karabuk Demir Celik Sanayi ve Ticaret
    330 Saha-Union PCL                                       297     0.08                A/S, Class A                                       49     0.01
  6,490 Sahaviriya Steel Industries PCL                      307     0.08           46 Karsan Otomotiv Sanayi ve Ticaret AS                 45     0.01
    300 Samart Corp. PCL                                      49     0.01            1 Konya Cimento Sanayii A/S                           102     0.03
  1,022 Sansiri PCL                                          143     0.04           50 Marmaris Otel Isletmeleri A/S                        40     0.01
     50 Serm Suk PCL                                          46     0.01            – Menderes Tekstil Sanayi ve Ticaret A/S                –        –
    438 Siam City Bank PCL                                   431     0.12          166 Net Turizm Ticaret ve Sanayi A/S                    111     0.03
    314 Sino Thai Engineering & Construction PCL              48     0.01            6 Nortel Networks Netas Telekomunikasyon A/S          214     0.06
  2,556 Tata Steel Thailand PCL                              127     0.03           16 Park Elektrik Madencilik Sanayi ve Ticaret A/S       27     0.01
    577 Thai Oil PCL                                         762     0.20           57 Petkim Petrokimya Holding A/S                       390     0.11
    388 Thai Plastic & Chemical PCL                          212     0.06           21 Pinar Entegre et v un Sanayii A/S                    77     0.02
    633 Thaicom PCL                                           98     0.03           35 Pinar SUT Mamulleri Sanayii A/S                     187     0.05
    765 Thanachart Capital PCL                               550     0.15           59 Sarkuysan Elektrolitik Bakir Sanayi ve Ticaret
    302 Thoresen Thai Agencies PCL                           216     0.06                A/S                                                116    0.03
    211 Tisco Financial Group PCL                            154     0.04          161 Sekerbank TAS                                        227    0.06
  6,103 TMB Bank PCL                                         247     0.07           88 Selcuk Ecza Depuso Ticaret Ve Sanayi A/S             131    0.04
    669 Total Access Communication PCL NVDR                  653     0.18          112 Tekfen Holding A/S                                   340    0.09
    757 TPI Polene PCL, Class B                              190     0.05          118 Tekstil Bankasi A/S                                   83    0.02
                                                          11,841     3.21          305 Trakya Cam Sanayi A/S                                441    0.12
Turkey - 3.44%                                                                      15 Turcas Petrolculuk A/S                                49    0.01
     22 Adana Cimento, Class A                                67     0.02          187 Turk Ekonomi Bankasi A/S                             254    0.07
      – Adana Cimento, Class C                                 –        –          297 Turk Hava Yollari A.O.                               840    0.23
      – Akal Tekstil Sanayii A/S                               –        –          496 Turk Sise ve Cam Fabrikalari A/S                     569    0.15
     33 Akcansa Cimento A/S                                  142     0.04            5 Turk Traktor ve Ziraat Makineleri AS                  39    0.01
     84 Aksa Akrilik Kimya Sanayii A/S                       132     0.03          249 Turkiye Sinai Kalkinma Bankasi A/S                   281    0.08
    207 Aksigorta A/S                                        240     0.06          330 Turkiye Vakiflar Bankasi Tao, Class D                711    0.19
     95 Alarko Holding A/S                                   211     0.06           72 Ulker Biskuvi Sanayi A/S                             159    0.04
     16 Altinyildiz                                           81     0.02           47 Uzel Makina Sanayii A/S                               23    0.01
     79 Anadolu Cam Sanayii A/S                              108     0.03           33 Vestel Beyaz Esya Sanayi ve Ticaret A/S               74    0.02
      – Anadolu Isuzu Otomotiv Sanayi Ve Ticaret A/S,                              219 Vestel Elektronik Sanayi ve Ticaret A/S              313    0.08
          Class C                                              –        –                                                                12,735    3.44
    307 Anadolu Sigorta                                      229     0.06       Total Common Stock (Cost USD387,445)                    358,903   96.73
    170 Arcelik A/S                                          724     0.20       Preferred Stock - 3.34%
    138 Aygaz A/S                                            507     0.14       Brazil - 3.34%
      9 Baticim Bati Anadolu Cimento Sanayii A/S              42     0.01             11 Banco Alfa de Investimento S.A.                    35     0.01
    117 Bolu Cimento Sanayii A/S                             128     0.03             31 Banco Pine S.A.                                   161     0.04
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         31
                                                DIMENSIONAL FUNDS II PLC
- Amounts designated as "-" are either $0, less than $1,000 or less than
1,000 shares
                                                                       % of                                                                          % of
                                                             Value      Net                                                                Value      Net
                                                            (000's)   Asset                                                               (000's)   Asset
Shares (000's)                                                EUR     Value       Shares (000's)                                            EUR     Value
Common Stock - 99.72%                                                             Common Stock - 99.72% (continued)
Austria - 0.09%                                                                   Germany - 14.82% (continued)
     2 Erste Group Bank AG                                      53     0.09          76 Deutsche Telekom AG                                  688     1.20
                                                                53     0.09           1 Fraport AG Frankfurt Airport Services Worldwide       44     0.08
Belgium - 1.35%                                                                       – Hannover Rueckversicherung AG                         15     0.03
   70 Ageas                                                    146     0.25           3 HeidelbergCement AG                                  121     0.21
     4 KBC Groupe NV                                           139     0.24           9 Muenchener Rueckversicherungs AG                     884     1.55
     1 Solvay S.A.                                              70     0.12           5 Salzgitter AG                                        265     0.46
   16 UCB S.A.                                                 419     0.74           4 Suedzucker AG                                         61     0.11
                                                               774     1.35          11 ThyssenKrupp AG                                      248     0.44
                                                                                                                                           8,461    14.82
Denmark - 2.20%
    – AP Moller - Maersk A/S, Class B                          493     0.86       Greece - 0.28%
    4 Carlsberg A/S, Class B                                   263     0.46           6 Alpha Bank A.E.                                       28     0.05
    3 Danisco A/S                                              157     0.27           8 EFG Eurobank Ergasias S.A.                            33     0.06
   18 Danske Bank A/S                                          302     0.53          11 Hellenic Petroleum S.A.                               65     0.11
    1 Jyske Bank A/S                                            28     0.05           3 National Bank of Greece S.A.                          33     0.06
    – Rockwool International A/S, Class B                       14     0.03                                                                  159     0.28
                                                             1,257     2.20       Ireland - 0.73%
Finland - 2.12%                                                                       23 CRH PLC                                             419     0.73
     4 Fortum Oyj                                               81     0.14                                                                  419     0.73
     3 Metso Oyj                                                87     0.15       Italy - 3.91%
    10 Neste Oil Oyj                                           129     0.23          185 Banca Monte dei Paschi di Siena S.p.A.              166     0.29
     5 Outokumpu Oyj                                            63     0.11           18 Banco Popolare SC                                    80     0.14
    60 Stora Enso Oyj, Class R                                 361     0.63             2 Buzzi Unicem S.p.A.                                 21     0.04
    47 UPM-Kymmene Oyj                                         490     0.86           32 Fiat S.p.A.                                         276     0.48
                                                             1,211     2.12          366 Intesa Sanpaolo S.p.A.                              780     1.36
France - 15.61%                                                                         1 Italcementi S.p.A.                                   8     0.01
     9 Air France-KLM                                           88     0.15          404 Telecom Italia S.p.A.                               389     0.68
   61 AXA S.A.                                                 820     1.44          181 UniCredit Italiano S.p.A.                           308     0.54
   23 BNP Paribas S.A.                                       1,061     1.86           29 Unione di Banche Italiane SCPA                      212     0.37
     6 Cap Gemini S.A.                                         225     0.40                                                                2,240     3.91
     3 Casino Guichard Perrachon S.A.                          182     0.32       Netherlands - 8.41%
     9 Cie Generale de Geophysique-Veritas                     158     0.28          63 Aegon NV                                             294     0.51
     4 Cie Generale des Etablissements Michelin, Class B       228     0.40          11 Akzo Nobel NV                                        478     0.84
     – Ciments Francais S.A.                                    31     0.06          61 ArcelorMittal                                      1,510     2.64
     2 CNP Assurances                                          112     0.20          24 European Aeronautic Defence and Space Co. NV         387     0.68
   27 Compagnie de St-Gobain                                   851     1.49          62 ING Groep NV                                         402     0.70
   42 Credit Agricole S.A.                                     370     0.65           9 Koninklijke DSM NV                                   287     0.50
   34 GDF Suez                                                 868     1.52          48 Koninklijke Philips Electronics NV                 1,179     2.06
   34 Groupe Eurotunnel S.A.                                   216     0.38          43 STMicroelectronics NV                                275     0.48
     2 Lafarge S.A.                                            110     0.19                                                                4,812     8.41
   13 Lagardere SCA                                            348     0.61       Norway - 1.79%
   41 Natixis                                                  148     0.26          24 DnB NOR ASA                                          192     0.34
   17 Peugeot S.A.                                             337     0.59          25 Marine Harvest ASA                                    16     0.03
     5 Pinault - Printerps - Redoute                           455     0.80          50 Norsk Hydro ASA                                      246     0.43
   17 Renault S.A.                                             497     0.87          61 Orkla ASA                                            343     0.60
     2 Rexel S.A.                                               27     0.05          16 Storebrand ASA                                        71     0.12
   10 Safran S.A.                                              229     0.40          15 Telenor ASA                                          151     0.27
     7 SCOR SE                                                 103     0.18                                                                1,019     1.79
   10 Societe Generale                                         348     0.61
   61 Vivendi S.A.                                           1,086     1.90       Portugal - 0.07%
                                                             8,898    15.61            3 Banco BPI S.A.                                        4     0.01
                                                                                      18 Banco Comercial Portugues S.A., Class R              11     0.02
Germany - 14.82%                                                                       7 Banco Espirito Santo S.A.                            23     0.04
   20 Allianz SE                                             1,580     2.77                                                                   38     0.07
   23 Bayerische Motoren Werke AG                              863     1.51
   25 Commerzbank AG                                           143     0.25       Spain - 7.04%
   60 Daimler AG                                             2,392     4.19            1 Acciona S.A.                                         72     0.12
   18 Deutsche Bank AG                                         877     1.53          78 Banco Bilbao Vizcaya Argentaria S.A.                 671     1.17
   24 Deutsche Lufthansa AG                                    257     0.45          34 Banco de Sabadell S.A.                               117     0.20
    1 Deutsche Postbank AG                                      23     0.04            6 Banco Espanol de Credito S.A.                        39     0.07
                                                                      % of                                                                                  % of
                                                            Value      Net                                                                        Value      Net
                                                           (000's)   Asset                                                                       (000's)   Asset
Shares (000's)                                               EUR     Value        Shares (000's)                                                   EUR     Value
Common Stock - 99.72% (continued)                                                 Common Stock - 99.72% (continued)
Spain - 7.04% (continued)                                                         United Kingdom - 23.85% (continued)
   34 Banco Popular Espanol S.A.                               142     0.25          11 Wolseley PLC                                                215     0.37
  246 Banco Santander S.A.                                   2,065     3.61          55 Xstrata PLC                                                 662     1.16
     5 Criteria Caixacorp S.A.                                  18     0.03                                                                      13,631    23.85
     4 EDP Renovaveis S.A.                                      20     0.04       Total Common Stock (Cost EUR72,232)                            56,976    99.72
     8 Iberdrola Renovables S.A.                                20     0.03       Preferred Stock - 0.14%
   52 Repsol YPF S.A.                                          870     1.52       Germany - 0.14%
                                                             4,034     7.04            2 Porsche Automobil Holding SE                                79     0.14
Sweden - 5.21%                                                                                                                                       79     0.14
  139 Nordea Bank AB                                           931     1.63       Total Preferred Stock (Cost EUR112)                                79     0.14
   63 Skandinaviska Enskilda Banken AB, Class A                266     0.47
    9 SSAB AB, Class B                                          92     0.16       Total Investments (Cost EUR72,344)                             57,055    99.86
   19 SSAB Svenskt Stal AB, Class A                            227     0.40
   70 Svenska Cellulosa AB, Class B                            664     1.16       Other Assets in Excess of Liabilities                              82     0.14
   23 Svenska Handelsbanken AB, Class A                        448     0.78
                                                                                  Total Net Assets                                              €57,137 100.00
   25 Swedbank AB, Class A                                     182     0.32
   13 Tele2 AB, Class B                                        158     0.28       - Amounts designated as "-" are either €0, less than €1,000 or less than
    1 TeliaSonera AB                                             6     0.01       1,000 shares
                                                             2,974     5.21
Switzerland - 12.24%
                                                                                  Analysis of Total Assets                                   % of Total Assets
     8 Adecco S.A.                                             313     0.55
     2 Baloise Holding AG                                       97     0.17       Transferable securities admitted to an official exchange
   38 Credit Suisse Group AG                                 1,221     2.14       listing or traded on a regulated market                             98 .86%
   28 Holcim Ltd.                                            1,423     2.49       Other Assets                                                         1.14%
   51 Novartis AG                                            1,887     3.30       Total Assets                                                       100 .00%
     1 Swiss Life Holding AG                                    58     0.10
   13 Swiss Reinsurance Co. Ltd.                               420     0.73
   60 UBS AG                                                   649     1.14
     6 Zurich Financial Services AG                            928     1.62
                                                             6,996    12.24
United Kingdom - 23.85%
   27 Associated British Foods PLC                           305     0.53
  124 Aviva PLC                                              467     0.82
  286 Barclays PLC                                         1,028     1.80
   69 BP PLC                                                 403     0.70
   58 British Airways PLC                                    136     0.24
   18 Carnival PLC                                           560     0.98
   12 EasyJet PLC                                             55     0.10
     – HSBC Holdings PLC                                       –         –
  116 International Power PLC                                398     0.70
     8 Investec PLC                                           49     0.09
  135 J Sainsbury PLC                                        514     0.90
   13 Kazakhmys PLC                                          178     0.31
  249 Kingfisher PLC                                         655     1.15
  296 Legal & General Group PLC                              275     0.48
     2 Mondi PLC                                              11     0.02
   19 Old Mutual PLC                                          25     0.04
   42 Pearson PLC                                            472     0.82
     5 Resolution Ltd.                                         3         –
   69 Rexam PLC                                              256     0.45
  589 Royal Bank of Scotland Group PLC                       324     0.57
  100 Royal Dutch Shell PLC, Class B                       2,068     3.62
  148 RSA Insurance Group PLC                                204     0.36
     – Standard Chartered PLC                                  –         –
   80 Standard Life PLC                                      171     0.30
   46 Thomas Cook Group PLC                                  113     0.20
   12 Travis Perkins PLC                                     109     0.19
1,938 Vodafone Group PLC                                   3,154     5.52
   11 Whitbread PLC                                          175     0.30
  207 WM Morrison Supermarkets PLC                           646     1.13
                                         The accompanying notes are an integral part of the Financial Statements
                                                                          34
                                           DIMENSIONAL FUNDS II PLC
                                                                   % of                                                                        % of
                                                         Value      Net                                                              Value      Net
                                                        (000's)   Asset                                                             (000's)   Asset
Shares (000's)                                            USD     Value      Shares (000's)                                           USD     Value
Common Stock - 81.53%                                                        Common Stock - 81.53% (continued)
Australia - 3.17%                                                            Australia - 3.17% (continued)
     3 AGL Energy Ltd.                                      29     0.02           4 Woolworths Ltd.                                     94     0.08
   33 Alumina Ltd.                                          46     0.04                                                              3,800     3.17
   16 Amcor Ltd.                                            82     0.07      Austria - 0.12%
   12 AMP Ltd.                                              55     0.05           2 Erste Group Bank AG                                 55     0.05
     1 ASX Ltd.                                             21     0.02           1 OMV AG                                              30     0.02
   12 Australia & New Zealand Banking Group Ltd.           221     0.18           – Raiffeisen International Bank Holding AG             8     0.01
     5 AXA Asia Pacific Holdings Ltd.                       24     0.02           2 Telekom Austria AG                                  25     0.02
     3 Bendigo and Adelaide Bank Ltd.                       20     0.02           1 Voestalpine AG                                      29     0.02
   11 BHP Billiton Ltd.                                    353     0.29                                                                147     0.12
     6 BlueScope Steel Ltd.                                 12     0.01
     4 Boral Ltd.                                           18     0.01      Belgium - 0.30%
   12 Brambles Ltd.                                         68     0.06         26 Ageas NV                                             67     0.06
   11 CFS Retail Property Trust                             17     0.01           – Anheuser-Busch InBev NV                              –        –
     2 Coca-Cola Amatil Ltd.                                20     0.02           1 Belgacom S.A.                                       31     0.03
     – Cochlear Ltd.                                        27     0.02           – Delhaize Group S.A.                                 26     0.02
     5 Commonwealth Bank of Australia                      233     0.19           1 Dexia S.A.                                           4        –
     5 Computershare Ltd.                                   44     0.04           2 InBev NV                                           111     0.09
     3 Crown Ltd.                                           16     0.01           1 KBC Groupe NV                                       58     0.05
     1 CSL Ltd.                                             39     0.03           – Solvay S.A.                                         34     0.03
     5 Downer EDI Ltd.                                      29     0.02           1 UCB S.A.                                            17     0.01
   27 Fairfax Media Ltd.                                    34     0.03           – Umicore NV                                           7     0.01
     6 Fortescue Metals Group Ltd.                          22     0.02                                                                355     0.30
   12 Foster's Group Ltd.                                   57     0.05       Canada - 4.43%
   36 Goodman Group                                         19     0.02             – Agnico-Eagle Mines Ltd.                           23     0.02
   23 GPT Group                                             51     0.04             1 Agrium, Inc.                                      77     0.06
   20 Incitec Pivot Ltd.                                    50     0.04             3 Bank of Montreal                                 205     0.17
   18 Insurance Australia Group Ltd.                        54     0.05             2 Bank of NOVA Scotia                               79     0.07
   11 Intoll Group                                           9     0.01             5 Barrick Gold Corp.                               215     0.18
     3 Land Lease Corp. Ltd.                                22     0.02             3 BCE, Inc.                                         83     0.07
     1 Leighton Holdings Ltd.                               30     0.02            14 Bombardier, Inc., Class B                         63     0.05
   13 Lihir Gold Ltd.                                       43     0.04             3 Brookfield Asset Management, Inc., Class A        74     0.06
     2 Macquarie Atlas Roads Group                           1        –             3 Brookfield Properties Corp.                       37     0.03
     2 Macquarie Group Ltd.                                 75     0.06             3 Cameco Corp.                                      76     0.06
     6 Metcash Ltd.                                         20     0.02             2 Canadian Imperial Bank of Commerce               129     0.11
   16 Mirvac Group                                          17     0.01             2 Canadian National Railway Co.                    132     0.11
   12 National Australia Bank Ltd.                         262     0.22             4 Canadian Natural Resources Ltd.                  153     0.13
     1 Newcrest Mining Ltd.                                 31     0.03             1 Canadian Pacific Railway Ltd.                     81     0.07
   11 Oil Search Ltd.                                       51     0.04             1 Canadian Tire Corp. Ltd., Class A                 46     0.04
     6 OneSteel Ltd.                                        15     0.01             1 Canadian Utilities Ltd.                           32     0.03
     3 Orica Ltd.                                           73     0.06             3 Cenovus Energy, Inc.                              75     0.06
     7 Origin Energy Ltd.                                   86     0.07             3 CGI Group, Inc., Class A                          39     0.03
   57 OZ Minerals Ltd.                                      52     0.04             2 Crescent Point Energy Corp.                       78     0.07
     4 Primary Health Care Ltd.                             13     0.01             2 Eldorado Gold Corp.                               36     0.03
     9 Qantas Airways Ltd.                                  19     0.02             3 Enbridge, Inc.                                   127     0.11
     5 QBE Insurance Group Ltd.                             76     0.06             3 EnCana Corp.                                      86     0.07
     2 Rio Tinto Ltd.                                      116     0.10             2 Finning International, Inc.                       33     0.03
     5 Santos Ltd.                                          53     0.04             1 First Quantum Minerals Ltd.                       42     0.03
     1 Sims Metal Management Ltd. NPV                       16     0.01             3 Fortis, Inc.                                      66     0.06
     4 Sonic Healthcare Ltd.                                38     0.03             1 Franco-Nevada Corp.                               31     0.03
   18 Stockland                                             58     0.05             1 George Weston Ltd.                                56     0.05
   15 Suncorp-Metway Ltd.                                  102     0.09             4 Goldcorp, Inc.                                   155     0.13
     8 TABcorp Holdings Ltd.                                43     0.04             2 Great-West Lifeco, Inc.                           42     0.04
   14 Tatts Group Ltd.                                      29     0.03             1 Husky Energy, Inc.                                12     0.01
   16 Telstra Corp Ltd.                                     40     0.03             1 IGM Financial, Inc.                               49     0.04
     4 Toll Holdings Ltd.                                   20     0.02             1 Imperial Oil Ltd.                                 19     0.02
     5 Transurban Group                                     19     0.02             1 Industrial Alliance Insurance and Financial
     6 Wesfarmers Ltd.                                     146     0.12                 Services, Inc.                                  32     0.03
     9 Westfield Group                                     100     0.08             1 Inmet Mining Corp.                                26     0.02
   16 Westpac Banking Corp.                                314     0.26             1 Intact Financial Corp.                            56     0.05
     2 Woodside Petroleum Ltd.                              56     0.05             3 Kinross Gold Corp.                                57     0.05
                                      The accompanying notes are an integral part of the Financial Statements.
                                                                       35
                                             DIMENSIONAL FUNDS II PLC
                                                                     % of                                                                              % of
                                                           Value      Net                                                                    Value      Net
                                                          (000's)   Asset                                                                   (000's)   Asset
Shares (000's)                                              USD     Value        Shares (000's)                                               USD     Value
Common Stock - 81.53% (continued)                                                Common Stock - 81.53% (continued)
Canada - 4.43% (continued)                                                       France - 3.63% (continued)
    2 Loblaw Cos. Ltd.                                         55     0.05            1 Air France-KLM                                          10     0.01
    1 Magna International, Inc., Class A                       54     0.04            1 Air Liquide S.A.                                        98     0.08
   11 Manulife Financial Corp.                                176     0.15          15 Alcatel-Lucent                                           40     0.03
    1 Metro, Inc., Class A                                     58     0.05            1 Alstom S.A.                                             42     0.04
    2 National Bank of Canada                                  88     0.07            – Atos Origin S.A.                                        17     0.01
    2 Nexen, Inc.                                              46     0.04            9 AXA S.A.                                               156     0.13
    – Niko Resources Ltd.                                      44     0.04            4 BNP Paribas S.A.                                       240     0.20
    2 Pacific Rubiales Energy Corp.                            41     0.03            2 Bouygues S.A.                                           87     0.07
    1 Petrobank Energy & Resources Ltd.                        45     0.04            2 Cap Gemini S.A.                                         83     0.07
    1 Potash Corp. of Saskatchewan                             69     0.06            3 Carrefour S.A.                                         104     0.09
    2 Red Back Mining, Inc.                                    46     0.04            1 Casino Guichard Perrachon S.A.                          40     0.03
    2 Research In Motion Ltd.                                 124     0.10            – Christian Dior S.A.                                     34     0.03
    2 Rogers Communications, Inc., Class B                     82     0.07            – Cie Generale de Geophysique-Veritas                     12     0.01
    4 Royal Bank of Canada                                    226     0.19            1 Cie Generale des Etablissements Michelin, Class B       88     0.07
    1 Saputo, Inc.                                             26     0.02            1 Cie Generale d'Optique Essilor International S.A.       62     0.05
    1 Shaw Communications, Inc., Class B                       16     0.01            – CNP Assurances                                          12     0.01
    1 Shoppers Drug Mart Corp.                                 24     0.02            3 Compagnie de St-Gobain                                 104     0.09
    2 Silver Wheaton Corp.                                     43     0.04            6 Credit Agricole S.A.                                    63     0.05
    3 Sino-Forest Corp.                                        56     0.05            3 Danone S.A.                                            138     0.12
    2 SNC-Lavalin Group, Inc.                                  66     0.06            – Dassault Systemes S.A.                                  21     0.02
    5 Sun Life Financial, Inc.                                142     0.12            1 Electricite de France                                   49     0.04
    5 Suncor Energy, Inc.                                     166     0.14            – Eutelsat Communications Promesses                        6        –
    7 Talisman Energy, Inc.                                   122     0.10            – Fonciere des Regions                                    33     0.03
    2 Teck Resources Ltd., Class B                             61     0.05            8 France Telecom S.A.                                    153     0.13
    2 TELUS Corp.                                              52     0.04            6 GDF Suez                                               193     0.16
    5 The Toronto-Dominion Bank                               339     0.28            5 Groupe Eurotunnel S.A.                                  36     0.03
    2 Thomson Reuters Corp.                                    77     0.06            – Hermes International S.A.                               27     0.02
    2 Tim Hortons, Inc.                                        53     0.04            1 Klepierre                                               20     0.02
    3 TransAlta Corp.                                          48     0.04            2 Lafarge S.A.                                            96     0.08
    3 TransCanada Corp.                                       104     0.09            1 Lagardere SCA                                           44     0.04
    3 Viterra, Inc.                                            20     0.02            1 L'Oreal S.A.                                            77     0.06
    6 Yamana Gold, Inc.                                        66     0.06            1 LVMH Moet Hennessy Louis Vuitton S.A.                   90     0.08
                                                            5,257     4.43            4 Natixis                                                 20     0.02
Denmark - 0.39%                                                                       2 Pernod-Ricard S.A.                                     113     0.09
    – AP Moller - Maersk A/S, Class B                          67     0.06            – Peugeot S.A.                                            10     0.01
    1 Carlsberg A/S, Class B                                   97     0.08            1 Pinault - Printerps - Redoute                          101     0.09
    – Danisco A/S                                              18     0.02            – Publicis Groupe S.A.                                    17     0.01
    2 Danske Bank A/S                                          44     0.04            2 Renault S.A.                                            58     0.05
    1 DSV A/S                                                  20     0.02            1 Safran S.A.                                             15     0.01
    1 FLSmidth & Co. A/S                                       51     0.04            6 Sanofi-Aventis S.A.                                    341     0.29
    1 Novo Nordisk A/S, Class B                                91     0.08            1 Schneider Electric S.A.                                142     0.12
    – Novozymes A/S, Class B                                   20     0.02            1 SCOR SE                                                 17     0.01
    1 Vestas Wind Systems A/S                                  38     0.03            1 SES S.A.                                                22     0.02
                                                              446     0.39            3 Societe Generale                                       145     0.12
                                                                                      – Sodexho Alliance S.A.                                   26     0.02
Finland - 0.35%                                                                       2 Suez Environnement S.A.                                 39     0.03
     3 Fortum Oyj                                              65     0.05            1 Technip S.A.                                            55     0.05
     1 Kone Oyj, Class B                                       41     0.03            9 Total S.A.                                             409     0.34
     1 Metso Oyj                                               16     0.01            1 Unibail-Rodamco SE                                     108     0.09
     1 Neste Oil Oyj                                           23     0.02            1 Vallourec S.A.                                          98     0.08
    11 Nokia Oyj                                              112     0.09            3 Veolia Environnement S.A.                               68     0.06
     1 Nokian Renkaat Oyj                                      15     0.01            2 Vinci S.A.                                              90     0.08
     3 Sampo Oyj, Class A                                      54     0.05            5 Vivendi S.A.                                           113     0.09
     6 Stora Enso Oyj, Class R                                 42     0.03                                                                   4,341     3.63
     4 UPM-Kymmene Oyj                                         56     0.05
     – Wartsila Oyj, Class B                                   15     0.01       Germany - 2.61%
                                                              439     0.35           1 Adidas AG                                                54     0.05
                                                                                     2 Allianz SE                                              218     0.18
France - 3.63%                                                                       1 Aspen Insurance Holdings Ltd.                            25     0.02
     1 Accor S.A.                                            38     0.03             4 BASF SE                                                 187     0.16
     – Aeroports de Paris                                    21     0.02
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         36
                                             DIMENSIONAL FUNDS II PLC
                                                                     % of                                                                    % of
                                                           Value      Net                                                          Value      Net
                                                          (000's)   Asset                                                         (000's)   Asset
Shares (000's)                                              USD     Value      Shares (000's)                                       USD     Value
Common Stock - 81.53% (continued)                                              Common Stock - 81.53% (continued)
Germany - 2.61% (continued)                                                    Hong Kong - 0.94% (continued)
    3 Bayer AG                                               181     0.15          7 Kerry Properties Ltd.                            27     0.02
    2 Bayerische Motoren Werke AG                             99     0.08          8 Li & Fung Ltd.                                   36     0.03
    – Beiersdorf AG                                           16     0.01         10 MTR Corp.                                        33     0.03
    2 Celesio AG                                              44     0.04         15 New World Development Ltd.                       25     0.02
    7 Commerzbank AG                                          49     0.04         18 Shangri-La Asia Ltd.                             32     0.03
    5 Daimler AG                                             244     0.20         30 Sino Land Co. Ltd.                               50     0.04
    3 Deutsche Bank AG                                       174     0.15          8 Sun Hung Kai Properties Ltd.                    106     0.09
    1 Deutsche Boerse AG                                      45     0.04          6 Swire Pacific Ltd., Class A                      59     0.05
    2 Deutsche Lufthansa AG                                   30     0.02         26 The Link REIT                                    61     0.05
    6 Deutsche Post AG                                        94     0.08          6 Wharf Holdings Ltd.                              30     0.02
    – Deutsche Postbank AG                                    10     0.01          9 Wheelock & Co. Ltd.                              24     0.02
   15 Deutsche Telekom AG                                    170     0.14                                                          1,122     0.94
    8 E.ON AG                                                247     0.21      Ireland - 0.23%
    – Fresenius Medical Care AG & Co. KGaA                    18     0.02           2 Allied Irish Banks PLC                           2        –
    3 Garmin Ltd.                                             89     0.07           2 Anglo Irish Bank Corp. PLC                       1        –
    1 GEA Group AG                                            11     0.01           7 CRH PLC                                        151     0.13
    1 Hannover Rueckversicherung AG                           36     0.03           6 Elan Corp.                                      34     0.03
    1 HeidelbergCement AG                                     67     0.06           6 Experian PLC                                    53     0.04
    1 Henkel AG & Co. KGaA                                    38     0.03           1 Kerry Group PLC , Class A                       31     0.03
    – Hochtief AG                                             17     0.01           4 The Governor & Co. of the Bank of Ireland        3        –
    9 Infineon Technologies AG                                49     0.04                                                            275     0.23
    1 K&S AG                                                  45     0.04
    1 Linde AG                                                99     0.08      Italy - 1.11%
    1 MAN AG                                                  48     0.04            5 Assicurazioni Generali S.p.A.                  99     0.08
    – Merck KGaA                                              14     0.01            1 Atlantia S.p.A.                                24     0.02
    1 Metro AG                                                36     0.03          10 Banca Monte dei Paschi di Siena S.p.A.          10     0.01
    1 Muenchener Rueckversicherungs AG                       114     0.10            2 Banca Popolare dell'Emilia Romagna Scarl       16     0.01
    2 RWE AG                                                 114     0.10            2 Banca Popolare di Milano Scarl                  9     0.01
    – Salzgitter AG                                            9     0.01            5 Banco Popolare SC                              27     0.02
    3 SAP AG                                                 110     0.09          27 Enel S.p.A.                                    126     0.11
    3 Siemens AG                                             244     0.20          10 ENI S.p.A.                                     184     0.15
    2 ThyssenKrupp AG                                         56     0.05            8 Fiat S.p.A.                                    86     0.07
    1 TUI AG                                                   9     0.01            3 Finmeccanica S.p.A.                            34     0.03
                                                           3,110     2.61          44 Intesa Sanpaolo S.p.A.                         114     0.10
                                                                                     4 Mediaset S.p.A.                                23     0.02
Greece - 0.14%                                                                       2 Mediobanca S.p.A.                              11     0.01
    3 Alpha Bank A.E.                                         18     0.02          22 Parmalat S.p.A.                                 52     0.04
    1 Coca-Cola Hellenic Bottling Co. S.A.                    26     0.02            1 Saipem S.p.A.                                  43     0.04
    2 EFG Eurobank Ergasias S.A.                              10     0.01          12 Snam Rete Gas S.p.A.                            49     0.04
    1 Hellenic Telecommunications Organization S.A.           11     0.01          95 Telecom Italia S.p.A.                          113     0.09
    3 Marfin Investment Group S.A.                             4        –            2 Tenaris S.A.                                   38     0.03
    3 National Bank of Greece S.A.                            39     0.03          15 Terna Rete Elettrica Nazionale S.p.A.           56     0.05
    2 OPAP S.A.                                               27     0.02          84 UniCredit Italiano S.p.A.                      176     0.15
    3 Piraeus Bank S.A.                                       16     0.01            4 Unione di Banche Italiane SCPA                 35     0.03
    1 Public Power Corp. S.A.                                 20     0.02                                                          1,325     1.11
                                                             171     0.14
                                                                                Japan - 8.04%
Hong Kong - 0.94%                                                                     6 Aeon Co. Ltd.                                 59     0.05
    6 Bank of East Asia Ltd.                                  22     0.02             1 Aisin Seiki Co. Ltd.                          22     0.02
   25 BOC Hong Kong Holdings Ltd.                             56     0.05             8 Ajinomoto Co., Inc.                           68     0.06
    9 Cheung Kong Holdings Ltd.                              102     0.09             4 Amada Co. Ltd.                                29     0.02
   14 CLP Holdings Ltd.                                       94     0.08             4 Asahi Breweries Ltd.                          70     0.06
    6 Esprit Holdings Ltd.                                    34     0.03             6 Asahi Glass Co. Ltd.                          64     0.05
    5 Hang Lung Group Ltd.                                    24     0.02            10 Asahi Kasei Corp.                             52     0.04
   17 Hang Lung Properties Ltd.                               60     0.05             2 Astellas Pharma, Inc.                         63     0.05
    1 Hang Seng Bank Ltd.                                     16     0.01             4 Bridgestone Corp.                             66     0.05
    5 Henderson Land Development Co., Ltd.                    30     0.02             4 Canon, Inc.                                  148     0.12
   15 Hong Kong & China Gas Co., Ltd.                         34     0.03             3 Casio Computer Co., Ltd.                      17     0.02
    4 Hong Kong Exchanges & Clearing Ltd.                     62     0.05             – Central Japan Railway Co.                     32     0.03
    4 Hongkong Electric Holdings Ltd.                         24     0.02             2 Chubu Electric Power Co., Inc.                39     0.03
   13 Hutchison Whampoa Ltd.                                  81     0.07             4 Chuo Mitsui Trust Holdings, Inc.              14     0.01
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         37
                                              DIMENSIONAL FUNDS II PLC
                                                                      % of                                                                           % of
                                                            Value      Net                                                                 Value      Net
                                                           (000's)   Asset                                                                (000's)   Asset
Shares (000's)                                               USD     Value        Shares (000's)                                            USD     Value
Common Stock - 81.53% (continued)                                                 Common Stock - 81.53% (continued)
Japan - 8.04% (continued)                                                         Japan - 8.04% (continued)
     2 Credit Saison Co. Ltd.                                   18     0.01            4 Mitsubishi Electric Corp.                            33     0.03
     3 Dai Nippon Printing Co. Ltd.                             37     0.03            2 Mitsubishi Estate Co., Ltd.                          31     0.03
     5 Daiichi Sankyo Co. Ltd.                                  80     0.07            5 Mitsubishi Gas Chemical Co., Inc.                    27     0.02
     1 Daikin Industries Ltd.                                   20     0.02           25 Mitsubishi Heavy Industries Ltd.                     91     0.08
     7 Daiwa House Industry Co., Ltd.                           68     0.06            6 Mitsubishi Materials Corp.                           16     0.01
    14 Daiwa Securities Group, Inc.                             63     0.05           14 Mitsubishi Motors Corp.                              18     0.02
     5 Denki Kagaku Kogyo KK                                    23     0.02           62 Mitsubishi UFJ Financial Group, Inc.                304     0.25
     3 Denso Corp.                                              73     0.06            9 Mitsui & Co. Ltd.                                   126     0.10
     1 Dentsu, Inc.                                             31     0.03            5 Mitsui Chemicals, Inc.                               15     0.01
     1 East Japan Railway Co.                                   51     0.04            4 Mitsui Fudosan Co., Ltd.                             61     0.05
     1 Eisai Co. Ltd.                                           16     0.01           10 Mitsui OSK Lines Ltd.                                71     0.06
     1 Electric Power Development Co. Ltd.                      18     0.01            3 Mitsui Sumitomo Insurance Group Holdings, Inc.       64     0.05
     1 Fanuc Ltd.                                               85     0.07           71 Mizuho Financial Group, Inc.                        129     0.11
     – Fast Retailing Co. Ltd.                                  43     0.04           14 Mizuho Securities Co. Ltd.                           35     0.03
     7 Fuji Heavy Industries Ltd.                               40     0.03            1 Murata Manufacturing Co. Ltd.                        59     0.05
     4 FUJIFILM Holdings Corp.                                 107     0.09            7 Nagoya Railroad Co. Ltd.                             19     0.01
    10 Fujitsu Ltd.                                             64     0.05            2 Namco Bandai Holdings, Inc.                          18     0.02
     4 Fukuoka Financial Group, Inc.                            17     0.01           34 NEC Corp.                                            95     0.08
    16 Hankyu Hanshin Holdings, Inc.                            70     0.06            2 NGK Insulators Ltd.                                  36     0.03
    19 Hitachi Ltd.                                             77     0.07            – Nidec Corp.                                          28     0.02
     1 Hokkaido Electric Power Co., Inc.                        20     0.02            2 Nikon Corp.                                          43     0.04
    21 Hokuhoku Financial Group, Inc.                           38     0.03            – Nintendo Co., Ltd.                                   88     0.07
     2 Hokuriku Electric Power Co.                              49     0.04            – Nippon Building Fund, Inc.                           24     0.02
     8 Honda Motor Co. Ltd.                                    232     0.19            4 Nippon Electric Glass Co. Ltd.                       52     0.04
     1 HOYA Corp.                                               26     0.02            4 Nippon Express Co. Ltd.                              18     0.01
     1 Ibiden Co. Ltd.                                          34     0.03            1 Nippon Meat Packers, Inc.                            12     0.01
     – INPEX Corp.                                              19     0.02            1 Nippon Paper Group, Inc.                             17     0.01
     2 Isetan Mitsukoshi Holdings Ltd.                          18     0.02            4 Nippon Sheet Glass Co. Ltd.                          11     0.01
    15 Ishikawajima-Harima Heavy Industries Co. Ltd.            26     0.02           27 Nippon Steel Corp.                                   94     0.08
     8 ITOCHU Corp.                                             67     0.06            3 Nippon Telegraph & Telephone Corp.                  110     0.09
     6 J Front Retailing Co. Ltd.                               31     0.03           17 Nippon Yusen KK                                      61     0.05
     – Japan Real Estate Investment Corp.                       25     0.02           14 Nissan Motor Co. Ltd.                               101     0.08
     – Japan Tobacco, Inc.                                      35     0.03            1 Nitto Denko Corp.                                    25     0.02
     2 JFE Holdings, Inc.                                       70     0.06           14 NKSJ Holdings, Inc.                                  84     0.07
     2 JS Group Corp.                                           29     0.02           17 Nomura Holdings, Inc.                               105     0.09
    21 JX Holdings, Inc.                                       113     0.09            5 NSK Ltd.                                             36     0.03
     3 Kamigumi Co. Ltd.                                        23     0.02           11 NTN Corp.                                            47     0.04
     6 Kaneka Corp.                                             37     0.03            – NTT DoCoMo, Inc.                                     96     0.08
     3 Kao Corp.                                                66     0.06            4 Obayashi Corp.                                       16     0.01
     9 Kawasaki Heavy Industries Ltd.                           26     0.02            2 Odakyu Electric Railway Co. Ltd.                     16     0.01
     2 Kawasaki Kisen Kaisha Ltd.                                8     0.01            4 OJI Paper Co. Ltd.                                   19     0.02
     – KDDI Corp.                                               82     0.07            1 Olympus Corp.                                        26     0.02
     4 Keio Corp.                                               25     0.02            2 Omron Corp.                                          31     0.03
     – Keyence Corp.                                            44     0.04            1 Ono Pharmaceutical Co. Ltd.                          20     0.02
     6 Kintetsu Corp.                                           18     0.01            1 ORIX Corp.                                           73     0.06
     5 Kirin Holdings Co., Ltd.                                 67     0.06           21 Osaka Gas Co., Ltd.                                  71     0.06
    20 Kobe Steel Ltd.                                          41     0.03            9 Panasonic Corp.                                     118     0.10
     3 Komatsu Ltd.                                             60     0.05            2 Resona Holdings, Inc.                                21     0.02
     5 Konica Minolta Holdings, Inc.                            50     0.04            6 Ricoh Co. Ltd.                                       86     0.07
     3 Kubota Corp.                                             25     0.02            1 Rohm Co. Ltd.                                        71     0.06
     3 Kuraray Co. Ltd.                                         31     0.03            – SBI Holdings, Inc.                                   20     0.02
     1 Kyocera Corp.                                            96     0.08            1 Secom Co. Ltd.                                       22     0.02
     2 Kyowa Hakko Kogyo Co. Ltd.                               19     0.02            3 Sekisui Chemical Co. Ltd.                            19     0.02
     1 Kyushu Electric Power Co., Inc.                          22     0.02            2 Sekisui House Ltd.                                   18     0.01
     1 Makita Corp.                                             30     0.03            3 Seven & I Holdings Co., Ltd.                         76     0.06
     1 Marubeni Corp.                                            6        –            6 Sharp Corp.                                          66     0.05
    20 Mazda Motor Corp.                                        52     0.04            1 Shikoku Electric Power Co., Inc.                     18     0.01
     1 MEIJI Holdings Co. Ltd.                                  36     0.03            1 Shin-Etsu Chemical Co. Ltd.                          66     0.06
    10 Mitsubishi Chemical Holdings Corp.                       45     0.04            9 Shinsei Bank Ltd.                                     9     0.01
     6 Mitsubishi Corp.                                        139     0.12            1 Shionogi & Co. Ltd.                                  18     0.02
                                         The accompanying notes are an integral part of the Financial Statements
                                                                          38
                                            DIMENSIONAL FUNDS II PLC
                                                                    % of                                                                        % of
                                                          Value      Net                                                              Value      Net
                                                         (000's)   Asset                                                             (000's)   Asset
Shares (000's)                                             USD     Value        Shares (000's)                                         USD     Value
Common Stock - 81.53% (continued)                                               Common Stock - 81.53% (continued)
Japan - 8.04% (continued)                                                       Netherlands - 1.41%
     2 Shiseido Co. Ltd.                                      35     0.03          10 Aegon NV                                           59     0.05
    14 Showa Denko KK                                         28     0.02           2 Akzo Nobel NV                                     104     0.09
     – SMC Corp.                                              26     0.02           5 ArcelorMittal                                     143     0.12
     1 Softbank Corp.                                         31     0.03           2 ASML Holding NV                                    60     0.05
     8 Sojitz Corp.                                           13     0.01           1 Corio NV                                           28     0.02
     6 Sony Corp.                                            175     0.15           3 European Aeronautic Defence and Space Co. NV       68     0.06
     8 Sumitomo Chemical Co. Ltd.                             33     0.03           1 Fugro NV                                           37     0.03
     9 Sumitomo Corp.                                         96     0.08           1 Gemalto NV                                         21     0.02
     3 Sumitomo Electric Industries Ltd.                      34     0.03           – Heineken Holding NV                                17     0.01
    17 Sumitomo Metal Industries Ltd.                         43     0.04           1 Heineken NV                                        61     0.05
     2 Sumitomo Metal Mining Co. Ltd.                         28     0.02          15 ING Groep NV                                      117     0.10
     6 Sumitomo Mitsui Financial Group, Inc.                 171     0.14           3 James Hardie Industries SE                         20     0.02
     2 Sumitomo Realty & Development Co., Ltd.                36     0.03           9 Koninklijke Ahold NV                              112     0.09
     4 Surga Bank Ltd.                                        36     0.03           1 Koninklijke DSM NV                                 32     0.03
     1 Suzuken Co. Ltd.                                       28     0.02           3 Koninklijke KPN NV                                 37     0.03
     2 Suzuki Motor Corp.                                     30     0.03           7 Koninklijke Philips Electronics NV                196     0.16
     2 T&D Holdings, Inc.                                     37     0.03           1 Qiagen NV                                          29     0.02
     9 Taisei Corp.                                           17     0.01           1 Randstad Holding NV                                29     0.02
     2 Takashimaya Co. Ltd.                                   18     0.02           7 Reed Elsevier NV                                   69     0.06
     3 Takeda Pharmaceutical Co. Ltd.                        111     0.09           3 Schlumberger Ltd.                                 174     0.15
     1 TDK Corp.                                              29     0.03           7 STMicroelectronics NV                              55     0.05
     6 Teijin Ltd.                                            17     0.01           1 TNT NV                                             37     0.03
     1 Terumo Corp.                                           24     0.02           5 Unilever NV                                       131     0.11
     7 The 77 Bank Ltd.                                       36     0.03           3 Wolters Kluwer NV                                  49     0.04
     2 The Bank of Kyoto Ltd.                                 16     0.01                                                             1,685     1.41
     5 The Bank of Yokohama Ltd.                              24     0.02       New Zealand - 0.02%
     4 The Chiba Bank Ltd.                                    24     0.02           4 Fletcher Building Ltd.                             21     0.02
     4 The Chugoku Electric Power Co., Inc.                   70     0.06                                                                21     0.02
     3 The Hachijuni Bank Ltd.                                16     0.01
    11 The Hiroshima Bank Ltd.                                43     0.04       Norway - 0.33%
     4 The Joyo Bank Ltd.                                     15     0.01           1 Acergy S.A.                                        18     0.02
     4 The Kansai Electric Power Co., Inc.                    98     0.08           1 Aker Solutions ASA                                  8     0.01
     8 The Nishi-Nippon City Bank Ltd.                        22     0.02           5 DnB NOR ASA                                        46     0.04
     7 The Shizuoka Bank Ltd.                                 57     0.05           6 Norsk Hydro ASA                                    38     0.03
     5 The Sumitomo Trust & Banking Co. Ltd.                  27     0.02           6 Orkla ASA                                          41     0.03
     1 THK Co. Ltd.                                           27     0.02           1 Petroleum Geo-Services ASA                          9     0.01
     4 Tobu Railway Co. Ltd.                                  21     0.02           1 Renewable Energy Corp. ASA                          3        –
     3 Toho Gas Co. Ltd.                                      15     0.01           2 Seadrill Ltd.                                      35     0.03
     1 Tohoku Electric Power Co., Inc.                        20     0.02           5 Statoil ASA                                       101     0.08
     4 Tokio Marine Holdings, Inc.                           111     0.09           3 Storebrand ASA                                     16     0.01
     6 Tokyo Electric Power Co., Inc.                        136     0.11           5 Telenor ASA                                        61     0.05
     1 Tokyo Electron Ltd.                                    41     0.03           1 Yara International ASA                             26     0.02
     5 Tokyo Gas Co., Ltd.                                    22     0.02                                                               402     0.33
     5 Tokyu Corp.                                            20     0.02       Portugal - 0.13%
     2 TonenGeneral Sekiyu KK                                 17     0.01           17 Banco Comercial Portugues S.A., Class R           13     0.01
     7 Toppan Printing Co. Ltd.                               59     0.05            7 Banco Espirito Santo S.A.                         27     0.02
     6 Toray Industries, Inc.                                 30     0.03           18 Electricidade de Portugal S.A.                    57     0.05
     5 Toshiba Corp.                                          26     0.02            1 Galp Energia SGPS S.A., Class B                   18     0.01
     2 Toyo Seikan Kaisha Ltd.                                27     0.02            5 Portugal Telecom SGPS S.A.                        50     0.04
     1 Toyota Industries Corp.                                21     0.02                                                               165     0.13
    12 Toyota Motor Corp.                                    439     0.37
                                                                                Singapore - 0.58%
     3 Toyota Tsusho Corp.                                    47     0.04
                                                                                   20 CapitaLand Ltd.                                    51     0.04
     – West Japan Railway Co.                                 56     0.05            4 City Developments Ltd.                            29     0.02
     – Yamada Denki Co. Ltd.                                  19     0.02
                                                                                   12 DBS Group Holdings Ltd.                           113     0.09
     2 Yamaguchi Financial Group, Inc.                        19     0.02
                                                                                     7 Fraser and Neave Ltd.                             24     0.02
     2 Yamaha Corp.                                           22     0.02         121 Golden Agri-Resources Ltd.                         43     0.04
     5 Yamato Holdings Co., Ltd.                              65     0.05
                                                                                     4 Keppel Corp. Ltd.                                 25     0.02
                                                           9,628     8.04          17 Oversea-Chinese Banking Corp. Ltd.                100     0.08
                                                                                     5 Singapore Airlines Ltd.                           50     0.04
                                                                       % of                                                                     % of
                                                             Value      Net                                                           Value      Net
                                                            (000's)   Asset                                                          (000's)   Asset
Shares (000's)                                                USD     Value        Shares (000's)                                      USD     Value
Common Stock - 81.53% (continued)                                                  Common Stock - 81.53% (continued)
Singapore - 0.58% (continued)                                                      Switzerland - 2.61% (continued)
     1 Singapore Airport Terminal Services Ltd.                   3        –            – Actelion Ltd.                                  13     0.01
     8 Singapore Exchange Ltd.                                   42     0.04            1 Adecco S.A.                                    49     0.04
     7 Singapore Press Holdings Ltd.                             19     0.01            – Baloise Holding AG                             16     0.01
   48 Singapore Telecommunications Ltd.                          98     0.08            3 Cie Financiere Richemont S.A., Class A        108     0.09
     7 United Overseas Bank Ltd.                                 90     0.08            5 Credit Suisse Group AG                        211     0.18
     6 Wilmar International Ltd.                                 26     0.02            1 GAM Holding Ltd.                                9     0.01
                                                                713     0.58            – Geberit AG                                     22     0.02
Spain - 1.09%                                                                           – Givaudan S.A.                                  49     0.04
     1 Abertis Infraestructuras S.A.                             15     0.01            2 Holcim Ltd.                                   132     0.11
     – Acciona S.A.                                              21     0.02            1 Julius Baer Group Ltd.                         30     0.03
     1 ACS Actividades Cons y Servicios S.A.                     39     0.03            – Kuehne & Nagel International AG                33     0.03
   12 Banco Bilbao Vizcaya Argentaria S.A.                      131     0.11            – Lindt & Spruengli AG                           23     0.02
     6 Banco de Sabadell S.A.                                    25     0.02            – Lonza Group AG                                 22     0.02
   11 Banco Popular Espanol S.A.                                 54     0.05          12 Nestle S.A.                                    536     0.45
   35 Banco Santander S.A.                                      364     0.30            1 Noble Corp.                                    15     0.01
     1 Banco Santander S.A., ADR                                  7     0.01          10 Novartis AG                                    451     0.38
     2 Bankinter S.A.                                            10     0.01            1 Petroplus Holdings AG                           8     0.01
     – Cia Espanola de Petroleos S.A.                             6        –            – Roche Holding AG                               21     0.02
     8 Criteria Caixacorp S.A.                                   34     0.03            2 Roche Holding AG-Genusschien                  268     0.22
     1 Enagas S.A.                                               14     0.01            – SGS S.A.                                       26     0.02
     2 Ferrovial S.A.                                            11     0.01            – Sonova Holding AG                              22     0.02
     – Gamesa Corp. Tecnologica S.A.                              5        –            – Sulzer AG                                       6     0.01
     3 Gas Natural SDG S.A.                                      40     0.03            – Swiss Life Holding AG                          12     0.01
     4 Iberdrola Renovables S.A.                                 12     0.01            3 Swiss Reinsurance Co. Ltd.                    105     0.09
   21 Iberdrola S.A.                                            141     0.12            – Swisscom AG                                    47     0.04
     1 Inditex S.A.                                              40     0.03            – Syngenta AG                                   100     0.08
     1 Red Electrica Corp. S.A.                                  21     0.02            – The Swatch Group AG                            70     0.06
     5 Repsol YPF S.A.                                          105     0.09            2 Tyco Electronics Ltd.                          58     0.05
   11 Telefonica S.A.                                           214     0.18          19 UBS AG                                         250     0.21
                                                              1,309     1.09            1 Weatherford International Ltd.                 13     0.01
                                                                                        1 Zurich Financial Services AG                  197     0.16
Sweden - 1.03%                                                                                                                        3,106     2.61
    4 Alfa Laval AB                                              47     0.04
    2 Assa Abloy AB, Class B                                     32     0.03       United Kingdom - 8.38%
    2 Atlas Copco AB, Class A                                    23     0.02          13 3i Group PLC                                    55     0.05
    2 Boliden AB                                                 24     0.02            2 Accenture Ltd.                                 84     0.07
    2 Getinge AB, Class B                                        34     0.03            1 Admiral Group PLC                              24     0.02
    2 Hennes & Mauritz AB, Class B                              101     0.08            2 Aggreko PLC                                    42     0.04
    1 Hexagon AB, Class B                                        17     0.01            1 Allied World Assurance Co. Holdings Ltd.       27     0.02
    5 Husqvarna AB , Class B                                     28     0.02            3 Amdocs Ltd.                                    71     0.06
   19 Nordea Bank AB                                            156     0.13            5 AMEC PLC                                       53     0.04
    1 Ratos AB, Class B                                          14     0.01            7 Anglo American PLC                            255     0.21
    4 Sandvik AB                                                 45     0.04            3 Antofagasta PLC                                43     0.04
    3 Securitas AB, Class B                                      22     0.02            3 Associated British Foods PLC                   41     0.03
    9 Skandinaviska Enskilda Banken AB, Class A                  47     0.04            6 AstraZeneca PLC                               244     0.20
    2 Skanska AB, Class B                                        35     0.03            2 Autonomy Corp. PLC                             39     0.03
    3 SKF AB , Class B                                           57     0.05          23 Aviva PLC                                      107     0.09
    1 SSAB Svenskt Stal AB, Class A                              12     0.01          25 BAE Systems PLC                                116     0.10
    5 Svenska Cellulosa AB, Class B                              53     0.04            4 Balfour Beatty PLC                             15     0.01
    4 Svenska Handelsbanken AB, Class A                          89     0.07          61 Barclays PLC                                   269     0.22
    4 Swedbank AB, Class A                                       39     0.03          14 BG Group PLC                                   212     0.18
    1 Swedish Match AB                                           25     0.02            7 BHP Billiton PLC                              203     0.17
    5 Tele2 AB, Class B                                          74     0.06         102 BP PLC                                         733     0.61
   13 Telefonaktiebolaget LM Ericsson, Class B                  134     0.11            7 British American Tobacco PLC                  215     0.18
   11 TeliaSonera AB                                             69     0.06          10 British Land Co. PLC                            65     0.05
    2 Volvo AB, Class A                                          20     0.02            4 British Sky Broadcasting Group PLC             37     0.03
    4 Volvo AB, Class B                                          45     0.04          60 British Telecommunications PLC                 111     0.09
                                                              1,242     1.03            2 Bunzl PLC                                      21     0.02
                                                                                        3 Burberry Group PLC                             32     0.03
Switzerland - 2.61%                                                                   35 Cable & Wireless Communications PLC             30     0.02
   11 ABB Ltd.                                                184     0.15
                                          The accompanying notes are an integral part of the Financial Statements
                                                                           40
                                                DIMENSIONAL FUNDS II PLC
                                                                        % of                                                                  % of
                                                              Value      Net                                                        Value      Net
                                                             (000's)   Asset                                                       (000's)   Asset
Shares (000's)                                                 USD     Value        Shares (000's)                                   USD     Value
Common Stock - 81.53% (continued)                                                   Common Stock - 81.53% (continued)
United Kingdom - 8.38% (continued)                                                  United Kingdom - 8.38% (continued)
    35 Cable & Wireless Worldwide PLC                             40     0.03            2 Severn Trent PLC                            33     0.03
     4 Cairn Energy PLC                                           26     0.02            2 Shire PLC                                   49     0.04
     5 Capital & Counties Properties PLC                           8     0.01            4 Smith & Nephew PLC                          38     0.03
     5 Capital Shopping Centres Group                             25     0.02            3 Smiths Group PLC                            45     0.04
     2 Carnival PLC                                               69     0.06          11 Standard Chartered PLC                      266     0.22
    35 Centrica PLC                                              137     0.11          13 Standard Life PLC                            34     0.03
     5 Cobham PLC                                                 17     0.01            1 Subsea 7, Inc.                              17     0.01
    14 Compass Group PLC                                         106     0.09            2 Tate & Lyle PLC                             15     0.01
    11 Diageo PLC                                                161     0.13          29 Tesco PLC                                   172     0.14
     2 Drax Group PLC                                              8     0.01            4 The Capita Group PLC                        42     0.03
     2 EnQuest PLC                                                 3        –          14 The Sage Group PLC                           47     0.04
     1 F&C Asset Management PLC                                    –        –            3 TUI Travel PLC                              10     0.01
     3 Firstgroup PLC                                             15     0.01            4 Tullow Oil PLC                              65     0.05
     8 G4S PLC                                                    31     0.03            4 Unilever PLC                               104     0.09
    10 GKN PLC                                                    18     0.02            4 United Utilities Group PLC                  27     0.02
    18 GlaxoSmithKline PLC                                       297     0.25            1 Vedanta Resources PLC                       20     0.02
     2 Hammerson PLC                                              10     0.01         300 Vodafone Group PLC                          598     0.50
    14 Home Retail Group PLC                                      50     0.04            1 Whitbread PLC                               20     0.02
    83 HSBC Holdings PLC                                         755     0.63          17 WM Morrison Supermarkets PLC                 63     0.05
     6 ICAP PLC                                                   31     0.03            2 Wolseley PLC                                52     0.04
     5 Imperial Tobacco Group PLC                                142     0.12            9 WPP PLC                                     81     0.07
     6 Informa PLC                                                33     0.03          13 Xstrata PLC                                 189     0.16
     3 Inmarsat PLC                                               38     0.03                                                      10,073     8.38
     1 Intercontinental Hotels Group PLC                          17     0.01       United States - 40.49%
    15 International Power PLC                                    64     0.05            2 3M Co.                                     146     0.12
     6 Invensys PLC                                               24     0.02            4 Abbott Laboratories                        195     0.16
    11 J Sainsbury PLC                                            53     0.04            1 Abercrombie & Fitch Co., Class A            36     0.03
     2 Johnson Matthey PLC                                        36     0.03          10 Activision Blizzard, Inc.                   107     0.09
     1 Kazakhmys PLC                                              14     0.01            2 Adobe Systems, Inc.                         58     0.05
    20 Kingfisher PLC                                             65     0.05            1 Advance Auto Parts, Inc.                    26     0.02
     4 Land Securities Group PLC                                  31     0.03            5 Advanced Mirco Devices, Inc.                44     0.04
    48 Legal & General Group PLC                                  55     0.05            2 Aecom Technology Corp.                      45     0.04
   217 Lloyds TSB Group PLC                                      178     0.15            3 Aetna, Inc.                                 85     0.07
     2 Lonmin PLC                                                 52     0.04            – Affiliated Managers Group, Inc.             14     0.01
    17 Man Group PLC                                              58     0.05            2 Aflac, Inc.                                 84     0.07
    10 Marks & Spencer Group PLC                                  50     0.04            – AGCO, Inc.                                  11     0.01
     6 National Grid PLC                                          12     0.01            1 Agilent Technologies, Inc.                  36     0.03
    15 National Grid PLC                                         109     0.09            1 AGL Resources, Inc.                         40     0.03
     1 Next PLC                                                   31     0.03            1 Air Products & Chemicals, Inc.              41     0.03
     4 Northumbrian Water Group PLC                               17     0.01            1 Airgas, Inc.                                38     0.03
    24 Old Mutual PLC                                             39     0.03            1 Akamai Technologies, Inc.                   40     0.03
     7 Pearson PLC                                                91     0.08            1 Albemarle Corp.                             22     0.02
     1 Pennon Group PLC                                           11     0.01            2 Alberto-Culver Co.                          52     0.04
     2 Petrofac Ltd.                                              39     0.03            5 Alcoa, Inc.                                 55     0.05
    18 Prudential PLC                                            139     0.12            1 Alexandria Real Estate Equities, Inc.       46     0.04
     3 Reckitt Benckiser Group PLC                               128     0.11            1 Allegheny Energy, Inc.                      10     0.01
     4 Reed Elsevier PLC                                          31     0.03            1 Allegheny Technologies, Inc.                49     0.04
     5 Resolution Ltd.                                             5        –            1 Allergan, Inc.                              78     0.07
     4 Rexam PLC                                                  16     0.01            1 Alliant Energy Corp.                        22     0.02
     6 Rio Tinto PLC                                             262     0.22            1 Alpha Natural Resources, Inc.               42     0.03
    16 Rolls-Royce Group PLC                                     138     0.12            2 Altera Corp.                                47     0.04
 1,456 Rolls-Royce Group PLC, Class C                              2        –            5 Altria Group, Inc.                         105     0.09
   131 Royal Bank of Scotland Group PLC                           88     0.07            1 Amazon.Com, Inc.                           175     0.15
    24 Royal Dutch Shell PLC, Class B                            612     0.51            1 Ameren Corp.                                30     0.03
    45 RSA Insurance Group PLC                                    76     0.06            1 American Capital Ltd.                        6     0.01
     7 SABMiller PLC                                             199     0.17            2 American Eagle Outfitters, Inc.             25     0.02
     1 Schroders PLC                                              19     0.02            1 American Electric Power Co., Inc.           35     0.03
     7 Scottish & Southern Energy PLC                            102     0.09            4 American Express Co.                       159     0.13
     7 Segro PLC                                                  29     0.02            1 American Financial Group, Inc.              20     0.02
     3 Serco Group PLC                                            30     0.02
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            41
                                              DIMENSIONAL FUNDS II PLC
                                                                    % of                                                                           % of
                                                          Value      Net                                                                 Value      Net
                                                         (000's)   Asset                                                                (000's)   Asset
Shares (000's)                                             USD     Value        Shares (000's)                                            USD     Value
Common Stock - 81.53% (continued)                                               Common Stock - 81.53% (continued)
United States - 40.49% (continued)                                              United States - 40.49% (continued)
     – American National Insurance Co.                        42     0.04            1 Bucyrus International, Inc.                          37     0.03
     2 American Tower Corp., Class A                          73     0.06            1 Bunge Ltd.                                           54     0.05
     2 American Water Works Co., Inc.                         47     0.04            3 CA, Inc.                                             63     0.05
     1 Ameriprise Financial, Inc.                             24     0.02            1 Cablevision Systems Corp., Class A                   32     0.03
     2 AmerisourceBergen Corp.                                50     0.04            1 Cabot Oil & Gas Corp.                                35     0.03
     1 AMETEK, Inc.                                           49     0.04            4 Calpine Corp.                                        56     0.05
     3 Amgen, Inc.                                           135     0.11            – Cameron International Corp.                          15     0.01
     1 Amphenol Corp., Class A                                21     0.02            1 Campbell Soup Co.                                    32     0.03
     2 AMR Corp.                                              15     0.01            4 Capital One Financial Corp.                         157     0.13
     3 Anadarko Petroleum Corp.                              162     0.14            3 Cardinal Health, Inc.                                93     0.08
     2 Analog Devices, Inc.                                   50     0.04            3 CareFusion Corp.                                     66     0.06
     1 AOL, Inc.                                              12     0.01            1 Carmax, Inc.                                         28     0.02
     2 AON Corp.                                              75     0.06            4 Carnival Corp.                                      159     0.13
     1 Apache Corp.                                          107     0.09            2 Caterpillar, Inc.                                   105     0.09
     1 Apollo Group, Inc., Class A                            69     0.06            3 CB Richard Ellis Group, Inc., Class A                47     0.04
     2 Apple, Inc.                                           540     0.45            6 CBS Corp., Class B                                   90     0.07
     4 Applied Materials, Inc.                                48     0.04            1 Celanese Corp.                                       40     0.03
     – Aptargroup, Inc.                                       16     0.01            2 Celgene Corp.                                       121     0.10
     2 Arch Coal, Inc.                                        39     0.03            2 CenterPoint Energy, Inc.                             31     0.03
     4 Archer-Daniels-Midland Co.                             96     0.08            1 Central European Distribution Corp.                  33     0.03
     – Ascent Media Corp., Class A                             1        –            2 CenturyTel, Inc.                                     65     0.05
     1 Associated Banc-Corp.                                  16     0.01            1 Cephalon, Inc.                                       53     0.04
     – Assurant, Inc.                                         14     0.01            – Cerner Corp.                                         25     0.02
   21 AT&T, Inc.                                             518     0.43            1 CH Robinson Worldwide, Inc.                          58     0.05
     1 Atmos Energy Corp.                                     13     0.01            – Charles River Laboratories International, Inc.       10     0.01
     1 Atwood Oceanics, Inc.                                  22     0.02            3 Charles Schwab Corp.                                 52     0.04
     1 Autodesk, Inc.                                         18     0.02            6 Chesapeake Energy Corp.                             143     0.12
     2 Automatic Data Processing, Inc.                        68     0.06            9 Chevron Corp.                                       667     0.56
     1 AutoNation, Inc.                                       24     0.02            3 Chubb Corp.                                         125     0.10
     – AutoZone, Inc.                                         57     0.05            – Church & Dwight, Inc.                                26     0.02
     1 AvalonBay Communities, Inc.                            49     0.04            1 CIGNA Corp.                                          47     0.04
     1 Avery Dennison Corp.                                   24     0.02            – Cimarex Energy Co.                                   29     0.02
     – Aviat Networks, Inc.                                    –        –            1 Cincinnati Financial Corp.                           19     0.02
     1 Avnet, Inc.                                            20     0.02            1 Cintas Corp.                                         36     0.03
     2 Avon Products, Inc.                                    61     0.05          17 Cisco Systems, Inc.                                  384     0.32
     2 AVX Corp.                                              27     0.02          99 Citigroup, Inc.                                      394     0.33
     2 Baker Hughes, Inc.                                     94     0.08            – Citrix Systems, Inc.                                 17     0.01
     – Ball Corp.                                             15     0.01            – City National Corp.                                   6        –
     1 BancorpSouth, Inc.                                     15     0.01            1 Cliffs Natural Resources, Inc.                       56     0.05
   54 Bank of America Corp.                                  851     0.71            1 Clorox Co.                                           69     0.06
     2 Baxter International, Inc.                             80     0.07            – CME Group, Inc.                                     111     0.09
     4 BB&T Corp.                                            109     0.09            2 CMS Energy Corp.                                     31     0.03
     2 BE Aerospace, Inc.                                     46     0.04            1 CNA Financial Corp.                                  26     0.02
     1 Beckman Coulter, Inc.                                  29     0.03            1 CNX Gas Corp.                                        27     0.02
     1 Becton Dickinson & Co.                                 64     0.05            1 Coach, Inc.                                          29     0.02
     1 Bed Bath & Beyond, Inc.                                45     0.04            1 Coca-Cola Enterprises, Inc.                          31     0.03
     1 Bemis Co., Inc.                                        15     0.01            1 Cognizant Technology Solutions Corp., Class A        35     0.03
     1 Best Buy Co., Inc.                                     59     0.05            2 Colgate-Palmolive Co.                               187     0.16
     2 Biogen Idec, Inc.                                      81     0.07          18 Comcast Corp., Class A                               334     0.28
     1 Bio-Rad Laboratories, Inc., Class A                    47     0.04            6 Comcast Corp., Special Class A, Class A             105     0.09
     – BlackRock, Inc.                                        34     0.03            1 Comerica, Inc.                                       38     0.03
     1 BMC Software, Inc.                                     41     0.03            1 Commerce Bancshares, Inc.                            24     0.02
     1 BOK Financial Corp.                                    25     0.02            2 CommScope, Inc.                                      42     0.04
     1 BorgWarner, Inc.                                       19     0.02            1 Community Health Systems, Inc.                       23     0.02
     1 Boston Properties, Inc.                                69     0.06            2 Computer Sciences Corp.                             110     0.09
     7 Boston Scientific Corp.                                45     0.04            4 ConAgra Foods, Inc.                                  85     0.07
     7 Bristol-Myers Squibb Co.                              158     0.13            1 Concho Resources, Inc.                               52     0.04
     1 Broadcom Corp., Class A                                31     0.03            8 ConocoPhillips                                      401     0.34
     8 Brocade Communications Systems, Inc.                   44     0.04            1 Consol Energy, Inc.                                  33     0.03
     – Brown-Forman Corp., Class B                            25     0.02            2 Consolidated Edison, Inc.                            89     0.07
                                       The accompanying notes are an integral part of the Financial Statements
                                                                        42
                                             DIMENSIONAL FUNDS II PLC
                                                                     % of                                                                          % of
                                                           Value      Net                                                                Value      Net
                                                          (000's)   Asset                                                               (000's)   Asset
Shares (000's)                                              USD     Value        Shares (000's)                                           USD     Value
Common Stock - 81.53% (continued)                                                Common Stock - 81.53% (continued)
United States - 40.49% (continued)                                               United States - 40.49% (continued)
     1 Constellation Brands, Inc., Class A                     15     0.01          12 EMC Corp.                                           216     0.18
     2 Constellation Energy Group, Inc.                        64     0.05            3 Emerson Electric Co.                               135     0.11
     1 Continental Airlines, Inc., Class B                     21     0.02            1 Endo Pharmaceutical Holdings, Inc.                  15     0.01
     1 Continental Resources, Inc.                             52     0.04            1 Energizer Holdings, Inc.                            39     0.03
     2 Cooper Industries PLC                                   71     0.06            1 Entergy Corp.                                       67     0.06
     1 Corn Products International, Inc.                       17     0.01            2 EOG Resources, Inc.                                199     0.17
   12 Corning, Inc.                                           213     0.18            1 EQT Corp.                                           20     0.02
     1 Corrections Corp. of America                            14     0.01            – Equifax, Inc.                                       12     0.01
     3 Costco Wholesale Corp.                                 151     0.13            2 Equity Residential Properties Trust                 90     0.08
     1 Covance, Inc.                                           63     0.05            1 Essex Property Trust, Inc.                          52     0.04
     3 Covanta Holding Corp.                                   52     0.04            1 Everest Re Group Ltd.                               44     0.04
     1 Coventry Health Care, Inc.                              13     0.01            4 Exelon Corp.                                       145     0.12
     1 CR Bard, Inc.                                           65     0.06            1 Expedia, Inc.                                       24     0.02
     1 Cree, Inc.                                              53     0.04            1 Expeditors International of Washington, Inc.        31     0.02
     2 Crown Castle International Corp.                        56     0.05            1 Express Scripts, Inc.                              101     0.09
     3 CSX Corp.                                              141     0.12          11 Exxon Mobil Corp.                                   666     0.56
     1 Cullen/Frost Bankers, Inc.                              55     0.05            1 Family Dollar Stores, Inc.                          22     0.02
     1 Cummins, Inc.                                           82     0.07            1 Fastenal Co.                                        60     0.05
     6 CVS Caremark Corp.                                     218     0.18            1 Federal Realty Investment Trust                     59     0.05
     3 Danaher Corp.                                          206     0.17            2 FedEx Corp.                                        175     0.15
     1 Darden Restaurants, Inc.                                26     0.02            1 Fidelity National Financial, Inc., Class A          20     0.02
     – DaVita, Inc.                                            25     0.02            3 Fidelity National Information Services, Inc.        80     0.07
     1 Dean Foods Co.                                          13     0.01            9 Fifth Third Bancorp                                116     0.10
     2 Deere & Co.                                            117     0.10            1 First American Corp.                                34     0.03
     1 Del Monte Foods Co.                                     14     0.01            2 First Horizon National Corp.                        26     0.02
     7 Dell, Inc.                                              88     0.07            2 First Niagara Financial Group, Inc.                 29     0.03
     2 Delta Air Lines, Inc.                                   31     0.03            1 First Solar, Inc.                                   56     0.05
     4 Denbury Resources, Inc.                                 64     0.05            1 FirstEnergy Corp.                                   49     0.04
     – Dendreon Corp.                                          10     0.01            1 Fiserv, Inc.                                        43     0.04
     1 Dentsply International, Inc.                            16     0.01            1 Flowserve Corp.                                     48     0.04
     3 Devon Energy Corp.                                     213     0.18            1 Fluor Corp.                                         66     0.06
     1 Diamond Offshore Drilling, Inc.                         38     0.03            – FMC Technologies, Inc.                              23     0.02
     1 Digital Realty Trust, Inc.                              57     0.05            2 Foot Locker, Inc.                                   25     0.02
     4 DIRECTV, Class A                                       158     0.13          20 Ford Motor Co.                                      233     0.20
     7 Discover Financial Services                             91     0.08            2 Forest Laboratories, Inc.                           39     0.03
     2 Discovery Communications, Inc., Class A                 66     0.05            – Forest Oil Corp.                                    11     0.01
     2 Discovery Communications, Inc., Class C                 59     0.05            1 Fortune Brands, Inc.                                57     0.05
     1 DISH Network Corp., Class A                             25     0.02            2 FPL Group, Inc.                                    105     0.09
     – Dollar Tree, Inc.                                       21     0.02            1 Franklin Resources, Inc.                            88     0.07
     3 Dominion Resources, Inc.                               121     0.10            2 Freeport-McMoran Copper & Gold, Inc., Class B      133     0.11
     1 Domtar Corp.                                            43     0.04            1 Frontier Communications Corp.                       10     0.01
     2 Dover Corp.                                             81     0.07            2 GameStop Corp., Class A                             36     0.03
     1 DPL, Inc.                                               14     0.01            2 General Dynamics Corp.                             122     0.10
     2 DR Horton, Inc.                                         19     0.02          57 General Electric Co.                                938     0.78
     2 Dr Pepper Snapple Group, Inc.                           65     0.05            1 General Mills, Inc.                                 57     0.05
     1 DTE Energy Co.                                          45     0.04            1 Genuine Parts Co.                                   20     0.02
     7 Duke Energy Corp.                                      110     0.09            1 Genworth Financial, Inc., Class A                   19     0.02
     4 Duke Realty Corp.                                       43     0.04            2 Genzyme Corp.                                       73     0.06
     1 Dun & Bradstreet Corp.                                  51     0.04            2 Gilead Sciences, Inc.                               77     0.06
     – Eastman Chemical Co.                                    18     0.02            1 Goodrich Corp.                                      49     0.04
     1 Eastman Kodak Co.                                        7     0.01            1 Google, Inc., Class A                              388     0.32
     1 Eaton Corp.                                             91     0.08            2 Great Plains Energy, Inc.                           42     0.04
     7 eBay, Inc.                                             150     0.13            1 H&R Block, Inc.                                     13     0.01
     – Ecolab, Inc.                                            19     0.02            4 Halliburton Co.                                     99     0.08
     2 Edison International                                    65     0.05            2 Harley Davidson, Inc.                               64     0.05
     1 Edwards Lifesciences Corp.                              40     0.03            – Harris Corp.                                        19     0.02
     3 EI Du Pont de Nemours & Co.                            119     0.10            1 Harsco Corp.                                        33     0.03
     8 El Paso Corp.                                           90     0.07            3 Hartford Financial Services Group, Inc.             83     0.07
     3 Electronic Arts, Inc.                                   53     0.04            2 Hasbro Inc                                          64     0.05
     3 Eli Lilly & Co.                                        111     0.09            1 HCC Insurance Holdings, Inc.                        28     0.02
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         43
                                                DIMENSIONAL FUNDS II PLC
                                                                        % of                                                                       % of
                                                              Value      Net                                                             Value      Net
                                                             (000's)   Asset                                                            (000's)   Asset
Shares (000's)                                                 USD     Value        Shares (000's)                                        USD     Value
Common Stock - 81.53% (continued)                                                   Common Stock - 81.53% (continued)
United States - 40.49% (continued)                                                  United States - 40.49% (continued)
     1 HCP, Inc.                                                  38     0.03            1 Kohl's Corp.                                     51     0.04
     1 Health Care REIT, Inc.                                     30     0.02            8 Kraft Foods, Inc., Class A                      233     0.19
     1 Helmerich & Payne, Inc.                                    45     0.04            1 L-3 Communications Holdings, Inc.                50     0.04
     1 Henry Schein, Inc.                                         62     0.05            – Laboratory Corp. of America Holdings             30     0.03
     2 Hertz Global Holdings, Inc.                                24     0.02            1 Lam Research Corp.                               38     0.03
     1 Hess Corp.                                                 69     0.06            3 Las Vegas Sands Corp.                            60     0.05
     6 Hewlett-Packard Co.                                       297     0.25            – Leap Wireless International, Inc.                 7     0.01
     2 HJ Heinz Co.                                               71     0.06            1 Legg Mason, Inc.                                 30     0.03
     1 Hologic, Inc.                                              15     0.01            1 Leggett & Platt, Inc.                            16     0.01
     5 Home Depot, Inc.                                          156     0.13            3 Lennar Corp., Class A                            48     0.04
     3 Honeywell International, Inc.                             128     0.11            1 Leucadia National Corp.                          13     0.01
     1 Hormel Foods Corp.                                         24     0.02            1 Lexmark International, Inc., Class A             22     0.02
     1 Hospira, Inc.                                              31     0.03            2 Liberty Global, Inc.                             46     0.04
     2 Hospitality Properties Trust                               47     0.04            2 Liberty Global, Inc., Class A                    46     0.04
     5 Host Hotels & Resorts, Inc.                                73     0.06            7 Liberty Media Corp. - Interactive, Class A       89     0.07
     1 Hubbell, Inc., Class B                                     21     0.02            1 Liberty Media Corp. - Starz                      58     0.05
     5 Hudson City Bancorp, Inc.                                  62     0.05            2 Life Technologies Corp.                          85     0.07
     1 Human Genome Sciences, Inc.                                17     0.01            – Lincoln Electric Holdings, Inc.                   6     0.01
     1 Humana, Inc.                                               51     0.04            3 Lincoln National Corp.                           66     0.06
     2 Huntington Bancshares, Inc.                                15     0.01            3 Linear Technology Corp.                          73     0.06
     1 Huntsman Corp.                                             13     0.01            3 LKQ Corp.                                        48     0.04
     1 IAC/InterActiveCorp.                                       26     0.02            1 Lockheed Martin Corp.                            80     0.07
     2 IBM Corp.                                                 290     0.24            2 Loews Corp.                                      75     0.06
     1 IDEX Corp.                                                 41     0.04            – Lorillard, Inc.                                  29     0.02
     1 Illinois Tool Works, Inc.                                  65     0.05            6 Lowe's Cos., Inc.                               158     0.13
     2 Ingersoll-Rand Plc                                         78     0.07            3 LSI Corp.                                        14     0.01
     1 Ingram Micro, Inc., Class A                                19     0.01            3 Ltd. Brands, Inc.                                77     0.06
     1 Integrys Energy Group, Inc.                                50     0.04            – Lubrizol Corp.                                   36     0.03
   19 Intel Corp.                                                411     0.34            1 M&T Bank Corp.                                   95     0.08
     – IntercontinentalExchange, Inc.                             46     0.04            1 Mack-Cali Realty Corp.                           43     0.04
     2 International Game Technology                              39     0.03            4 Macy's, Inc.                                     98     0.08
     5 International Paper Co.                                   109     0.09            – Madison Square Garden, Inc., Class A              4        –
     5 Interpublic Group Cos., Inc.                               39     0.03            1 Manpower, Inc.                                   23     0.02
     1 Intuit, Inc.                                               21     0.02            3 Marathon Oil Corp.                               96     0.08
     – Intuitive Surgical, Inc.                                   32     0.03            – Markel Corp.                                     35     0.03
     4 Invesco Ltd.                                               69     0.06            2 Marriott International, Inc., Class A            50     0.04
     1 Iron Mountain, Inc.                                        20     0.02            3 Marsh & McLennan Cos., Inc.                      72     0.06
     – ITC Holdings Corp.                                         16     0.01            2 Marshall & Ilsley Corp.                          12     0.01
     – Itron, Inc.                                                13     0.01            1 Masco Corp.                                      16     0.01
     1 ITT Corp.                                                  43     0.04            1 Massey Energy Co.                                43     0.04
     – ITT Educational Services, Inc.                             20     0.02            – Mastercard, Inc., Class A                        81     0.07
     1 Jacobs Engineering Group, Inc.                             22     0.02            1 Mattel, Inc.                                     24     0.02
     2 Janus Capital Group, Inc.                                  18     0.02            1 Maxim Integrated Products, Inc.                  25     0.02
     2 JC Penney Co., Inc.                                        44     0.04            2 MBIA, Inc.                                       16     0.01
     2 Jefferies Group, Inc.                                      37     0.03            1 McAfee, Inc.                                     19     0.02
   10 Johnson & Johnson                                          565     0.47            1 McCormick & Co., Inc.                            42     0.04
     4 Johnson Controls, Inc.                                    104     0.09            2 McDermott International, Inc.                    42     0.04
     – Jones Lang LaSalle, Inc.                                   22     0.02            3 McDonald's Corp.                                180     0.15
     1 Joy Global, Inc.                                           26     0.02            1 McKesson Corp.                                   77     0.06
   19 JPMorgan Chase & Co.                                       753     0.63            1 MDU Resources Group, Inc.                        13     0.01
     1 Juniper Networks, Inc.                                     37     0.03            1 Mead Johnson Nutrition Co., Class A              64     0.05
     1 Kansas City Southern Industries, Inc.                      30     0.02            1 MeadWestvaco Corp.                               17     0.01
     1 KBR, Inc.                                                  33     0.03            1 Medco Health Solutions, Inc.                     63     0.05
     1 Kellogg Co.                                                27     0.02            1 Mednax, Inc.                                     51     0.04
     2 KeyCorp.                                                   14     0.01            3 Medtronic, Inc.                                 121     0.10
     1 Kimberly-Clark Corp.                                       67     0.06            1 MEMC Electronic Materials, Inc.                   6     0.01
     4 Kimco Realty Corp.                                         56     0.05          12 Merck & Co., Inc.                                408     0.34
     1 Kinetic Concepts, Inc.                                     29     0.03            3 Mervell Technology Group Ltd.                    53     0.04
     2 King Pharmaceuticals, Inc.                                 15     0.01            3 MetLife, Inc.                                   125     0.10
     1 KLA-Tencor Corp.                                           18     0.02            1 MGM Mirage                                        7     0.01
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            44
                                             DIMENSIONAL FUNDS II PLC
                                                                     % of                                                                     % of
                                                           Value      Net                                                           Value      Net
                                                          (000's)   Asset                                                          (000's)   Asset
Shares (000's)                                              USD     Value        Shares (000's)                                      USD     Value
Common Stock - 81.53% (continued)                                                Common Stock - 81.53% (continued)
United States - 40.49% (continued)                                               United States - 40.49% (continued)
     2 Microchip Technology, Inc.                              45     0.04            1 People's United Financial, Inc.                16     0.01
     1 Micron Technology, Inc.                                  6     0.01            1 Pepco Holdings, Inc.                           13     0.01
   24 Microsoft Corp.                                         622     0.52            3 PepsiCo, Inc.                                 210     0.18
     – Mohawk Industries, Inc.                                 17     0.01            1 PerkinElmer, Inc.                              18     0.02
     1 Molson Coors Brewing Co., Class B                       45     0.04            – Perrigo Co.                                    14     0.01
     2 Monsanto Co.                                            97     0.08            1 PetroHawk Energy Corp.                         23     0.02
     2 Moody's Corp.                                           31     0.03          40 Pfizer, Inc.                                   604     0.51
     6 Morgan Stanley                                         168     0.14            1 PG&E Corp.                                     33     0.03
     6 Motorola, Inc.                                          44     0.04            1 Pharmaceutical Product Development, Inc.       38     0.03
     – Murphy Oil Corp.                                        21     0.02            4 Philip Morris International, Inc.             154     0.13
     2 Mylan, Inc.                                             43     0.04            1 Phillips-Van Heusen Corp.                      55     0.05
     2 Nabors Industries Ltd.                                  36     0.03            1 Pinnacle West Capital Corp.                    21     0.02
     1 Nalco Holding Co.                                       23     0.02            – Pioneer Natural Resources Co.                  25     0.02
     1 National Fuel Gas Co                                    44     0.04            1 Pitney Bowes, Inc.                             13     0.01
     2 National Oilwell Varco, Inc.                            58     0.05            1 Plains Exploration & Production Co.            13     0.01
     2 Nationwide Health Properties, Inc.                      53     0.04            2 PNC Financial Services Group, Inc.            138     0.12
     – Navistar International Corp.                            11     0.01            1 Polo Ralph Lauren Corp.                        52     0.04
     2 NetApp, Inc.                                            68     0.06            1 PPG Industries, Inc.                           32     0.03
     1 New York Community Bancorp, Inc.                        21     0.02            1 PPL Corp.                                      36     0.03
     2 Newell Rubbermaid Inc                                   40     0.03            1 Praxair, Inc.                                  60     0.05
     1 Newfield Exploration Co.                                26     0.02            1 Precision Castparts Corp.                      93     0.08
     1 Newmont Mining Corp.                                    59     0.05            – Priceline.com, Inc.                            38     0.03
   10 News Corp., Class A                                     131     0.11            2 Pride International, Inc.                      49     0.04
     7 News Corp., Class B                                    101     0.08            2 Principal Financial Group, Inc.                57     0.05
     1 NII Holdings, Inc.                                      22     0.02            1 Progress Energy, Inc.                          19     0.02
     1 NIKE, Inc., Class B                                     51     0.04            4 ProLogis                                       41     0.03
     3 NiSource, Inc.                                          45     0.04            3 Prudential Financial, Inc.                    161     0.13
     – Noble Energy, Inc.                                      24     0.02            3 Public Service Enterprise Group, Inc.         101     0.08
     2 Nordstrom, Inc.                                         76     0.06            1 Public Storage                                 93     0.08
     3 Norfolk Southern Corp.                                 141     0.12            1 Pulte Homes, Inc.                              14     0.01
     1 Northeast Utilities                                     23     0.02            7 Qualcomm, Inc.                                235     0.20
     2 Northern Trust Corp.                                    81     0.07            1 Quanta Services, Inc.                          14     0.01
     1 Northrop Grumman Corp.                                  55     0.05            1 Quest Diagnostics, Inc.                        26     0.02
     3 NRG Energy, Inc.                                        77     0.06            1 Questar Corp.                                  54     0.05
     2 NSTAR                                                   53     0.04          18 Qwest Communications International, Inc.        93     0.08
     2 Nuance Communications, Inc.                             29     0.02            – Ralcorp Holdings, Inc.                         18     0.02
     1 Nucor Corp.                                             49     0.04            2 Range Resources Corp.                          72     0.06
     3 NV Energy, Inc.                                         40     0.03            1 Raymond James Financial, Inc.                  28     0.02
     3 NVIDIA Corp.                                            39     0.03            1 Raytheon Co.                                   63     0.05
     3 NYSE Euronext                                           77     0.07            2 Realty Income Corp.                            53     0.04
     3 Occidental Petroleum Corp.                             206     0.17            2 Red Hat, Inc.                                  44     0.04
     – Oceaneering International, Inc.                          9     0.01            1 Regency Centers Corp.                          26     0.02
     – OGE Energy Corp.                                        15     0.01            9 Regions Financial Corp.                        69     0.06
     – Old Republic International Corp.                         3        –            – Reinsurance Group of America, Inc.              6        –
     1 Omnicare, Inc.                                          23     0.02            1 Reliance Steel & Aluminum Co.                  41     0.03
     1 Omnicom Group, Inc.                                     19     0.02            1 RenaissanceRe Holdings Ltd.                    54     0.05
     1 Oneok, Inc.                                             31     0.02            2 Republic Services, Inc.                        47     0.04
   10 Oracle Corp.                                            223     0.19            1 Reynolds American, Inc.                        77     0.06
     1 O'Reilly Automotive, Inc.                               36     0.03            1 Rockwall Holdings, Inc.                        37     0.03
     1 Owens Corning, Inc.                                     43     0.03            1 Rockwell Collins, Inc.                         70     0.06
     – Owens-Illinois, Inc.                                    12     0.01            – Roper Industries, Inc.                         17     0.01
     1 PACCAR, Inc.                                            38     0.03            1 Ross Stores, Inc.                              37     0.03
     2 Packaging Corp. of America                              46     0.04            2 Rowan Cos., Inc.                               40     0.03
     – Pactiv Corp.                                            11     0.01            1 Royal Caribbean Cruises Ltd.                   20     0.02
     1 Parker Hannifin Corp.                                   31     0.03            1 RPM International, Inc.                        14     0.01
     3 Patterson-UTI Energy, Inc.                              35     0.03            1 RR Donnelley & Sons Co.                        17     0.01
     1 Paychex, Inc.                                           17     0.01            1 RRI Energy, Inc.                                6        –
     2 Peabody Energy Corp.                                    58     0.05            – Ryder System, Inc.                             18     0.01
     1 Penn National Gaming, Inc.                              26     0.02            2 Safeway, Inc.                                  49     0.04
     1 Pentair, Inc.                                           17     0.01            3 SAIC Inc                                       46     0.04
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         45
                                               DIMENSIONAL FUNDS II PLC
                                                                       % of                                                                     % of
                                                             Value      Net                                                           Value      Net
                                                            (000's)   Asset                                                          (000's)   Asset
Shares (000's)                                                USD     Value        Shares (000's)                                      USD     Value
Common Stock - 81.53% (continued)                                                  Common Stock - 81.53% (continued)
United States - 40.49% (continued)                                                 United States - 40.49% (continued)
     1 Salesforce.Com, Inc.                                      61     0.05            9 The Coca-Cola Co.                             482     0.40
     1 SanDisk Corp.                                             42     0.04            6 The Dow Chemical Co.                          151     0.13
     2 Sara Lee Corp.                                            23     0.02            2 The Gap, Inc.                                  50     0.04
     1 SCANA Corp.                                               18     0.01            2 The Goldman Sachs Group, Inc.                 346     0.29
     1 Scripps Networks Interactive, Inc., Class A               45     0.04            1 The Hershey Co.                                23     0.02
     3 Seagate Technology                                        40     0.03            1 The JM Smucker Co.                             72     0.06
     – Seahawk Drilling, Inc.                                     –        –            1 The Kroger Co.                                 28     0.02
     3 Sealed Air Corp.                                          58     0.05            1 The McGraw-Hill Cos., Inc.                     22     0.02
     1 Sears Holdings Corp.                                      88     0.07            1 The Mosaic Co.                                 65     0.05
     1 Sempra Energy                                             23     0.02            1 The NASDAQ OMX Group                           13     0.01
     – Senior Housing Properties Trust                            6        –            8 The Procter & Gamble Co.                      490     0.41
     – Sigma-Aldrich Corp.                                       16     0.01            3 The Progressive Corp.                          51     0.04
     2 Signet Jewelers Ltd.                                      47     0.04            1 The Shaw Group, Inc.                           28     0.02
     3 Skyworks Solutions, Inc.                                  53     0.04            – The Sherwin-Williams Co.                       23     0.02
     1 SL Green Realty Corp.                                     68     0.06            1 The St. Joe Co.                                22     0.02
     3 SLM Corp.                                                 38     0.03          10 The Walt Disney Co.                            328     0.27
     1 Smith International, Inc.                                 26     0.02            – The Washington Post Co., Class B               47     0.04
     3 Smithfield Foods, Inc.                                    46     0.04            1 The Western Union Co.                          14     0.01
     – Snap-On, Inc.                                             13     0.01            4 The Williams Cos., Inc.                        69     0.06
     1 Sonoco Products Co.                                       19     0.02            2 Thermo Fisher Scientific, Inc.                 99     0.08
     2 Southern Co.                                              62     0.05            – Tidewater, Inc.                                 4        –
     3 Southern Copper Corp.                                     77     0.06            1 Tiffany & Co.                                  23     0.02
     2 Southern Union Co.                                        46     0.04            2 Time Warner Cable, Inc.                       106     0.09
     7 Southwest Airlines Co.                                    88     0.07            4 Time Warner, Inc.                             127     0.11
     1 Southwestern Energy Co.                                   30     0.03            2 Timken Co.                                     49     0.04
     2 Spectra Energy Corp.                                      38     0.03            2 TJX Cos., Inc.                                 95     0.08
     2 Spirit Aerosystems Holdings, Inc., Class A                41     0.03            1 Toll Brothers, Inc.                            17     0.01
   13 Sprint Nextel Corp.                                        66     0.06            1 Torchmark Corp.                                41     0.03
     1 SPX Corp.                                                 65     0.05            2 Total System Services, Inc.                    29     0.02
     2 St. Jude Medical, Inc.                                    63     0.05            – Transatlantic Holdings, Inc.                   14     0.01
     1 Stanley Black & Decker, Inc.                              73     0.06            3 Travelers Cos., Inc.                          148     0.12
     4 Staples, Inc.                                             77     0.06            1 Trimble Navigation Ltd.                        29     0.02
     2 Starbucks Corp.                                           62     0.05            1 Tyson Foods, Inc., Class A                     25     0.02
     1 Starwood Hotels & Resorts Worldwide, Inc.                 42     0.04            8 U.S. Bancorp.                                 201     0.17
     3 State Street Corp.                                       110     0.09            3 UAL Corp.                                      58     0.05
     1 Steel Dynamics, Inc.                                      13     0.01            – UDR, Inc.                                       2        –
     – Stericycle, Inc.                                          23     0.02            2 UGI Corp.                                      44     0.04
     – Strayer Education, Inc.                                   24     0.02            3 Union Pacific Corp.                           178     0.15
     2 Stryker Corp.                                             85     0.07            1 United Parcel Service, Inc., Class B           82     0.07
     2 Sunoco, Inc.                                              66     0.06            1 United States Steel Corp.                      66     0.05
     2 SunTrust Banks, Inc.                                      59     0.05            3 United Technologies Corp.                     212     0.18
     1 Supervalu, Inc.                                           15     0.01            5 UnitedHealth Group, Inc.                      142     0.12
     3 Symantec Corp.                                            45     0.04            1 Universal Health Services, Inc., Class B       26     0.02
     1 Synopsys, Inc.                                            21     0.02            2 Unum Group                                     53     0.04
     3 SYSCO Corp.                                               77     0.06            2 Urban Outfitters, Inc.                         54     0.05
     1 T. Rowe Price Group, Inc.                                 25     0.02            4 Valero Energy Corp.                            67     0.06
     4 Target Corp.                                             196     0.16            2 Validus Holdings Ltd.                          47     0.04
     1 TD Ameritrade Holding Corp.                               18     0.01            2 Valspar Corp.                                  47     0.04
     1 TECO Energy, Inc.                                         11     0.01            – Varian Medical Systems, Inc.                   15     0.01
     – Teleflex, Inc.                                            17     0.01            1 Ventas, Inc.                                   33     0.03
     7 Tellabs, Inc.                                             58     0.05          13 Verizon Communications, Inc.                   358     0.30
     1 Teradata Corp.                                            45     0.04            1 Vertex Pharmaceuticals, Inc.                   45     0.04
     1 Terex Corp.                                               11     0.01            1 VF Corp.                                       54     0.04
     6 Texas Instruments, Inc.                                  134     0.11            3 Viacom, Inc., Class B                          89     0.07
     3 Textron, Inc.                                             54     0.04            2 Visa, Inc., Class A                           109     0.09
     1 TFS Financial Corp.                                       10     0.01            1 Vulcan Materials Co.                           40     0.03
     6 The AES Corp.                                             61     0.05            3 Walgreen Co.                                   96     0.08
     3 The Allstate Corp.                                        80     0.07          13 Wal-Mart Stores, Inc.                          640     0.54
     5 The Bank of New York Mellon Corp.                        144     0.12            – Walter Energy, Inc.                            24     0.02
     3 The Boeing Co.                                           160     0.13            1 Waste Connections, Inc.                        21     0.02
                                          The accompanying notes are an integral part of the Financial Statements
                                                                           46
                                              DIMENSIONAL FUNDS II PLC
                                                                      % of                                                                                  % of
                                                            Value      Net                                                                        Value      Net
                                                           (000's)   Asset                                                                       (000's)   Asset
Shares (000's)                                               USD     Value        Shares (000's)                                                   USD     Value
Common Stock - 81.53% (continued)                                                 Rights - 0.00% (continued)
United States - 40.49% (continued)                                                Spain - 0.00%
     1 Waste Management, Inc.                                   36     0.03            1 Abertis Infraestructuras S.A.                                1          –
     – Waters Corp.                                             24     0.02                                                                           1          –
     1 Watson Pharmaceuticals, Inc.                             31     0.03       Total Rights (Cost USD11)                                           2          –
     2 Weingarten Realty Investors                              44     0.04       Warrant - 0.00%
     3 WellPoint, Inc.                                         133     0.11       Hong Kong - 0.00%
   28 Wells Fargo & Co.                                        807     0.67           1 Henderson Land Development Co. Ltd.                           –          –
     1 Westar Energy, Inc.                                      11     0.01
                                                                                                                                                      –          –
     2 Western Digital Corp.                                    73     0.06
                                                                                  Total Warrant (Cost USD–)                                           –          –
     1 Weyerhaeuser Co.                                         21     0.02
     1 Whirlpool Corp.                                          94     0.08       Collective Investment Scheme - 17.82%
     – White Mountains Insurance Group Ltd.                     33     0.03       Ireland - 17.82%
     2 Whole Foods Market, Inc.                                 61     0.05          182 European Small Companies Fund, Class D                   3,373     2.82
     – Windstream Corp.                                          1        –          601 Global Targeted Value Fund, Class D                     10,226     8.54
     – Wisconsin Energy Corp.                                   20     0.02          123 Pacific Basin Small Companies Fund, Class D              2,664     2.23
     1 WR Berkley Corp.                                         24     0.02          252 U.S. Small Companies Fund, Class D                       5,068     4.23
     – WW Grainger, Inc.                                        20     0.02                                                                      21,331    17.82
     1 Wyndham Worldwide Corp.                                  26     0.02       Total Collective Investment Scheme (Cost USD17,555)            21,331    17.82
     1 Wynn Resorts Ltd.                                        42     0.04
     1 Xcel Energy, Inc.                                        23     0.02       Total Investments (Cost USD117,729)                           119,470    99.81
   10 Xerox Corp.                                               89     0.08
                                                                                  Other Assets in Excess of Liabilities                             229     0.19
     3 Xilinx, Inc.                                             73     0.06
     3 XL Capital Ltd., Class A                                 48     0.04       Total Net Assets                                             $119,699 100.00
     2 XTO Energy, Inc.                                         92     0.08
     7 Yahoo!, Inc.                                            100     0.08       - Amounts designated as "-" are either $0, less than $1,000 or less than
     1 Yum! Brands, Inc.                                        57     0.05       1,000 shares
     1 Zimmer Holdings, Inc.                                    73     0.06
     1 Zions Bancorporation                                     19     0.02
                                                                                  Analysis of Total Assets                                   % of Total Assets
                                                            48,455    40.49
Total Common Stock (Cost USD99,650)                         97,587    81.53       Transferable securities admitted to an official exchange
Preferred Stock - 0.09%                                                           listing or traded on a regulated market                             81 .32%
Australia - 0.05%                                                                 UCITS Collective Investment Schemes                                 17 .67%
   39 Asciano Group                                             53     0.05       Other Assets                                                         1.01%
                                                                53     0.05       Total Assets                                                       100 .00%
Germany - 0.04%
    – Fresenius SE                                              25     0.02
    1 Porsche Automobil Holding SE                              26     0.02       •    As disclosed in note 8, the investment in UCITS Collective
                                                                                       Investment Schemes are related party transactions.
                                                                51     0.04
Total Preferred Stock (Cost USD122)                            104     0.09
Real Estate Investment Trust - 0.37%
Australia - 0.03%
   47 Dexus Property Group                                      31     0.03
                                                                31     0.03
United States - 0.34%
     2 AMB Property Corp.                                       49     0.04
     1 Camden Property Trust                                    50     0.04
     4 Developers Diversified Realty Corp.                      44     0.04
     1 Liberty Property Trust                                   31     0.03
     1 Simon Property Group, Inc.                              125     0.10
     1 The Macerich Co.                                         54     0.04
     1 Vornado Realty Trust                                     62     0.05
                                                               415     0.34
Total Real Estate Investment Trust (Cost USD391)               446     0.37
Rights - 0.00%
Ireland - 0.00%
     6 The Governor & Co. of the Bank of Ireland                 1        –
                                                                 1        –
                                                                       % of                                                                   % of
                                                             Value      Net                                                         Value      Net
                                                            (000's)   Asset                                                        (000's)   Asset
Shares (000's)                                                USD     Value      Shares (000's)                                      USD     Value
Common Stock - 99.22%                                                            Common Stock - 99.22% (continued)
Australia - 3.91%                                                                Australia - 3.91% (continued)
   45 Adelaide Brighton Ltd.                                 104      0.04            21 IOOF Holdings Ltd.                           113     0.04
   11 Aevum Ltd.                                              10         –            23 iSOFT Group Ltd.                              11        –
   13 AJ Lucas Group Ltd.                                     26      0.01            45 Kagara Ltd.                                   23     0.01
   19 Alesco Corp. Ltd.                                       39      0.01            37 Land Lease Corp. Ltd.                        241     0.09
  279 Alumina Ltd.                                           395      0.15           276 Lynas Corp. Ltd.                             118     0.05
   14 Amalgamated Holdings Ltd.                               69      0.03            93 Macmahon Holdings Ltd.                        45     0.02
   27 Amcom Telecommunications Ltd.                             8        –             – Melbourne IT Ltd.                              –        –
     6 Ansell Ltd.                                            66      0.03            31 MEO Australia Ltd.                             8        –
   48 APN News & Media Ltd.                                   85      0.03           122 Minara Resources Ltd.                         76     0.03
   54 Ausdrill Ltd.                                           86      0.03            24 Mincor Resources NL                           35     0.01
   12 Ausenco Ltd.                                            23      0.01           112 Mineral Deposits Ltd.                         89     0.03
   16 Austal Ltd.                                             28      0.01            13 Mirabela Nick Ltd.                            25     0.01
   52 Austereo Group Ltd.                                     72      0.03           336 Mirvac Group                                 366     0.14
   66 Australand Property Group                              136      0.05            39 Mitchell Communications Group Ltd.            27     0.01
   10 Australian Agricultural Co. Ltd.                        12         –            31 Molopo Energy Ltd.                            27     0.01
  110 Australian Pharmaceutical Industries Ltd.               42      0.02            59 Mount Gibson Iron Ltd.                        75     0.03
   40 Automotive Holdings Group                               78      0.03           103 Neptune Marine Services Ltd.                  22     0.01
  114 AWB Ltd.                                                94      0.04            53 Nexus Energy Ltd.                             11        –
   65 AWE Ltd.                                               115      0.04            68 NIB Holdings Ltd.                             73     0.03
   23 Bank of Queensland Ltd.                                218      0.08            13 Nufarm Ltd.                                   65     0.03
  111 Beach Energy Ltd.                                       72      0.03           158 OneSteel Ltd.                                428     0.16
   42 Bendigo and Adelaide Bank Ltd.                         302      0.12           109 OZ Minerals Ltd.                             101     0.04
  204 BlueScope Steel Ltd.                                   398      0.15           110 Pacific Brands Ltd.                           95     0.04
   42 Boart Longyear Group                                    97      0.04            16 Panoramic Resources Ltd.                      28     0.01
   50 Boom Logistics Ltd. NPV                                 12         –            50 PaperlinX Ltd.                                29     0.01
   74 Boral Ltd.                                             350      0.14            34 Photon Group Ltd.                             27     0.01
   14 Brickworks Ltd.                                        138      0.05            17 PMP Ltd.                                       7        –
   15 Caltex Australia Ltd.                                  140      0.05            12 Premier Investments Ltd.                      68     0.03
  116 Cape Lambert Iron Ore Ltd.                              40      0.02            52 Primary Health Care Ltd.                     161     0.06
     8 Cardno Ltd.                                            27      0.01             7 Programmed Maintenance Services Ltd.          17     0.01
   35 Centennial Coal Co. Ltd.                               117      0.05            23 Resolute Mining Ltd.                          21     0.01
   38 Challenger Financial Services Group Ltd.               117      0.04            62 RHG Ltd.                                      33     0.01
   39 Coal of Africa Ltd.                                     60      0.02            40 Ridley Corp. Ltd.                             39     0.01
   23 Coffey International Ltd.                               23      0.01           142 Roc Oil Co. Ltd.                              41     0.02
     8 Crane Group Ltd.                                       61      0.02             2 Select Harvests Ltd.                           8        –
   15 Customers Ltd.                                          33      0.01             5 Servcorp Ltd.                                 13     0.01
     8 Deep Yellow Ltd.                                         1        –            21 Seven Group Holdings Ltd.                    108     0.04
   23 Downer EDI Ltd.                                        123      0.05           229 Sigma Pharmaceuticals Ltd.                    96     0.04
   73 Elders Ltd.                                             63      0.02             7 Skilled Group Ltd.                             7        –
   58 Emeco Holdings Ltd.                                     26      0.01            37 Southern Cross Media Group Ltd.               56     0.02
  113 Energy World Corp. Ltd.                                 41      0.02            43 Spotless Group Ltd.                           80     0.03
  242 Fairfax Media Ltd.                                     302      0.12           170 St Barbara Ltd. NPV                           44     0.02
  131 FKP Property Group                                      84      0.03            37 Straits Resources Ltd.                        40     0.02
     – Flight Centre Ltd.                                       4        –            29 STW Communications Group Ltd.                 23     0.01
   33 Geodynamics Ltd.                                        12      0.01            10 Sunland Group Ltd.                             6        –
  160 Goodman Fielder Ltd.                                   184      0.07            45 TABcorp Holdings Ltd.                        252     0.10
   20 GrainCorp Ltd.                                          99      0.04            15 Tap Oil Ltd.                                  12        –
  178 Grange Resources Ltd.                                   82      0.03             3 Tassal Group Ltd.                              3        –
     4 Gujarat NRE Coking Coal Ltd.                             2        –           134 Tatts Group Ltd.                             269     0.10
  120 Gunns Ltd.                                              40      0.02            69 Ten Network Holdings Ltd.                     96     0.04
   28 GWA International Ltd.                                  71      0.03            39 Thakral Holdings Group                        13     0.01
   45 Hastie Group Ltd.                                       55      0.02            38 Tower Australia Group Ltd.                    70     0.03
   34 Healthscope Ltd.                                       150      0.06             3 Transfield Services Infrastructure Fund        2        –
  149 Highlands Pacific Ltd                                   29      0.01            39 Transfield Services Ltd.                     121     0.05
   23 Hills Industries Ltd.                                   46      0.02             2 Transfiled Services Infrastructure Fund        1        –
     5 iiNET Ltd.                                             12         –            69 Transpacific Industries Group Ltd.            70     0.03
   40 Iluka Resources Ltd.                                   160      0.06            14 UGL Ltd.                                     154     0.06
  135 Incitec Pivot Ltd.                                     342      0.13            72 UXC Ltd.                                      32     0.01
  120 Infigen Energy Ltd.                                     84      0.03             7 Village Roadshow Ltd.                         11        –
                                         The accompanying notes are an integral part of the Financial Statements.
                                                                          48
                                               DIMENSIONAL FUNDS II PLC
                                                                      % of                                                                  % of
                                                            Value      Net                                                        Value      Net
                                                           (000's)   Asset                                                       (000's)   Asset
Shares (000's)                                               USD     Value      Shares (000's)                                     USD     Value
Common Stock - 99.22% (continued)                                               Common Stock - 99.22% (continued)
Australia - 3.91% (continued)                                                   Canada - 6.76% (continued)
  230 Virgin Blue Holdings Ltd.                              59     0.02             23 Banro Corp.                                  42     0.02
   18 Washington H Soul Pattinson & Co. Ltd.                197     0.08             12 Bellatrix Exploration Ltd.                   36     0.01
   41 Watpac Ltd.                                            44     0.02             18 Biovail Corp.                               267     0.10
   17 WHK Group Ltd.                                         14     0.01             13 Birchcliff Energy Ltd.                      114     0.04
     4 Wide Bay Australia Ltd.                               30     0.01             27 BlackPearl Resources, Inc.                   71     0.03
                                                         10,181     3.91              3 Boralex, Inc., Class A                       25     0.01
Austria - 0.35%                                                                      80   Breakwater Resources Ltd.                  22     0.01
     1 Agrana Beteiligungs AG                                55     0.02             25 CAE, Inc.                                   229     0.09
     1 A-TEC Industries AG                                    7         –             2 Calfrac Well Services Ltd.                   37     0.01
     2 Austriamicrosystems AG                                53     0.02             12 Calvalley Petroleums, Inc., Class A          38     0.01
     1 Constantia Packaging AG                               28     0.01              9 Canaccord Financial, Inc.                    71     0.03
     1 Flughafen Wien AG                                     51     0.02              1 Canada Bread Co. Ltd.                        40     0.02
     1 Mayr Melnhof Karton AG                                59     0.02             11 Canadian Tire Corp. Ltd., Class A           604     0.23
     1 Palfinger AG                                          30     0.01              7 Canadian Western Bank                       140     0.05
     6 Strabag SE                                           132     0.05              9 Canam Group, Inc.                            63     0.02
     1 Uniqa Versicherungen AG                               22     0.01             13 Canfor Corp.                                121     0.05
     4 Vienna Insurance Group                               149     0.06              2 Cangene Corp.                                 5        –
   20 Wienerberger AG                                       295     0.11             17 Capstone Mining Corp.                        38     0.01
     3 Zumtobel AG                                           45     0.02             12 Cascades, Inc.                               78     0.03
                                                            926     0.35             25 Catalyst Paper Corp.                          4        –
                                                                                      3 CCL Industries, Inc., Class B                74     0.03
Belgium - 0.54%                                                                      27 Celestica, Inc.                             249     0.10
     3 Ackermans & van Haaren NV                            175     0.07              4 Celtic Exploration Ltd.                      37     0.01
     9 AGFA-Gevaert NV                                       59     0.02             11 Centerra Gold, Inc.                         129     0.05
     – Banque Nationale de Belgique                          88     0.03              2 Clarke, Inc.                                  6        –
     1 Barco NV, Class B                                     60     0.02              2 Cogeco Cable, Inc.                           50     0.02
     1 Compagnie d'Entreprises CFE                           30     0.01              3 COM DEV International Ltd.                    7        –
     – Compagnie Immobiliere de Belgique S.A.                13     0.01              8 Compton Petroleum Corp.                       6        –
     6 Delhaize Group S.A.                                  461     0.18             75 Connacher Oil And Gas Ltd.                  106     0.04
     – D'ieteren S.A.                                        11         –            23 Consolidated Thompson Iron Mines Ltd.       177     0.07
     3 Euronav NV                                            49     0.02              3 Corby Distilleries Ltd., Class A             37     0.01
     6 Nyrstar NV                                            67     0.03             20 Corridor Resources, Inc.                     88     0.03
     2 Omega Pharma S.A.                                     84     0.03              6 Corriente Resources, Inc., Class A           46     0.02
     2 Recticel S.A.                                         22     0.01             10 Corus Entertainment, Inc., Class B          181     0.07
     2 Tessenderlo Chemie NV                                 54     0.02              5 Cott Corp.                                   38     0.01
     7 UCB S.A.                                             222     0.09              7 Crew Energy, Inc.                           109     0.04
                                                          1,395     0.54              2 Dalsa Corp.                                  22     0.01
Canada - 6.76%                                                                        8 Daylight Energy Ltd.                         73     0.03
     7 5N Plus, Inc.                                         34     0.01             20 Delphi Energy Corp.                          49     0.02
     2 Aastra Technologies Ltd.                              43     0.02             46 Denison Mines Corp.                          63     0.02
   15 Advantage Oil & Gas Ltd.                               89     0.03              8 Descartes Systems Group, Inc.                47     0.02
     6 Aecon Group, Inc.                                     57     0.02              6 Dorel Industries, Inc., Class B             206     0.08
   17 AGF Management Ltd., Class B                          258     0.10             20 Dundee Precious Metals, Inc.                 78     0.03
     9 Ainsworth Lumber Co. Ltd.                             30     0.01              5 DundeeWealth, Inc.                           61     0.02
     – Algoma Central Corp.                                  14     0.01           101 Eastern Platinum Ltd.                        112     0.04
   17 Algonquin Power & Utilities Corp.                      66     0.02              – E-L Financial Corp. Ltd.                     84     0.03
     6 Altius Minerals Corp.                                 65     0.02              4 Empire Co. Ltd., Class A                    195     0.08
   10 Anderson Energy Ltd.                                   10         –            14 Ensign Energy Services, Inc.                172     0.07
     7 Angle Energy, Inc.                                    50     0.02              1 Equitable Group, Inc.                        21     0.01
   22 Antrim Energy, Inc.                                    19     0.01             34 European Goldfields Ltd.                    199     0.08
   25 Anvil Mining Ltd.                                      78     0.03              4 EXFO Electro-Optical Engineering, Inc.       19     0.01
     5 Astral Media, Inc.                                   170     0.07              5 Fairborne Energy Ltd.                        20     0.01
     7 Atrium Innovations, Inc.                              95     0.04              2 Fairfax Financial Holdings Ltd.             732     0.28
   13 ATS Automation Tooling Systems, Inc.                   91     0.03             14 First Majestic Silver Corp.                  50     0.02
     9 Axia NetMedia Corp.                                   16     0.01             14 First Uranium Corp.                          16     0.01
   37 B2Gold Corp.                                           53     0.02              5 Flint Energy Services Ltd.                   56     0.02
   75 Baffinland Iron Mines Corp.                            32     0.01             15 Fronteer Gold, Inc.                          83     0.03
     7 Ballard Power Systems, Inc.                           13     0.01             20 Gabriel Resources Ltd.                       73     0.03
                                                                                     13 Galleon Energy, Inc., Class A                72     0.03
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         49
                                                DIMENSIONAL FUNDS II PLC
                                                                        % of                                                                    % of
                                                              Value      Net                                                          Value      Net
                                                             (000's)   Asset                                                         (000's)   Asset
Shares (000's)                                                 USD     Value       Shares (000's)                                      USD     Value
Common Stock - 99.22% (continued)                                                  Common Stock - 99.22% (continued)
Canada - 6.76% (continued)                                                         Canada - 6.76% (continued)
   12 Gammon Gold, Inc.                                         84     0.03              7 NuVista Energy Ltd.                           77     0.03
    8 Gennum Corp.                                              58     0.02             10 Onex Corp.                                   258     0.10
   20 Gerdau Ameristeel Corp.                                 145      0.06             34 OPTI Canada, Inc.                             60     0.02
    2 Glacier Media, Inc.                                        4         –            19 Orleans Energy Ltd.                           48     0.02
    6 GLV, Inc., Class A                                        48     0.02              2 Paladin Labs, Inc.                            46     0.02
   55 Golden Star Resources Ltd.                               232     0.09             13 Pan American Silver Corp.                    312     0.12
   14 Grande Cache Coal Corp.                                   79     0.03              4 Paramount Resources Ltd., Class A             69     0.03
   31 Great Basin Gold Ltd.                                     50     0.02              1 Parkbridge Lifestyles Communities, Inc.        4        –
   12 Great Canadian Gaming Corp.                               71     0.03             51 Platmin Ltd.                                  57     0.02
   28 Groupe Aeroplan, Inc.                                   253      0.10             16 Plutonic Power Corp.                          44     0.02
    1 Guardian Capital Group Ltd.                               10         –             2 Precision Drilling Trust                      12        –
    3 Hanfeng Evergreen, Inc.                                   17     0.01              4 Premium Brands Holdings Corp.                 51     0.02
    9 Harry Winston Diamond Corp.                             114      0.04             21 ProEx Energy Ltd.                            237     0.09
    8 Hemisphere GPS, Inc.                                       6         –             7 QLT, Inc.                                     42     0.02
    2 Heroux-Devtek, Inc.                                       11         –            13 Quadra Fxx Mining Ltd.                       176     0.07
   21 HudBay Minerals, Inc.                                    234     0.09              7 Quebecor, Inc., Class B                      239     0.09
   32 IAMGOLD Corp.                                           552      0.21             12 Quest Capital Corp.                           16     0.01
   10 IESI-BFC Ltd.                                            194     0.07              1 Richelieu Hardware Ltd.                       24     0.01
    1 Imperial Metals Corp.                                     25     0.01              3 Rocky Mountain Dealerships, Inc.              25     0.01
    4 Indigo Books & Music, Inc.                                54     0.02             17 RONA, Inc.                                   243     0.09
   11 Industrial Alliance Insurance and Financial                                        8 Russel Metals, Inc.                          139     0.05
        Services, Inc.                                        359      0.14             17 Sabina Gold & Silver Corp.                    29     0.01
    5 Inmet Mining Corp.                                      252      0.10             11 Savanna Energy Services Corp.                 61     0.02
    2 Intermap Technologies Corp.                                1         –            39 Sherritt International Corp.                 249     0.10
    6 International Forest Products Ltd., Class A               27     0.01             16 Shore Gold, Inc.                              12        –
    6 Intertape Polymer Group, Inc.                             16     0.01              3 Sierra Wireless, Inc.                         22     0.01
   12 Iteration Energy Ltd.                                     18     0.01              1 Softchoice Corp.                              11        –
  126 Katanga Mining Ltd.                                      113     0.04             12 Sprott Resource Corp.                         50     0.02
    6 Kingsway Financial Services, Inc.                          9         –            53 Stornoway Diamond Corp.                       28     0.01
   41 Lake Shore Gold Corp.                                    122     0.05              5 Student Transportation, Inc.                  26     0.01
    4 Laurentian Bank of Canada                               176      0.07              5 SunOpta, Inc.                                 21     0.01
    4 Legacy Oil + Gas, Inc.                                    45     0.02             13 Terra Energy Corp.                            17     0.01
    1 Leon's Furniture Ltd.                                     15     0.01              3 The Forzani Group Ltd., Class A               48     0.02
    4 Linamar Corp.                                             80     0.03             16 Thompson Creek Metals Co., Inc.              161     0.06
   60 Lundin Mining Corp.                                      222     0.09              6 Torstar Corp., Class B                        59     0.02
  107 Magindustries Corp.                                       36     0.01              6 Total Energy Services, Inc.                   46     0.02
    7 Magna International, Inc., Class A                       485     0.19             10 Transcontinental, Inc., Class A              115     0.04
    3 Major Drilling Group International, Inc.                  76     0.03              7 TransForce, Inc.                              68     0.03
    3 Manitoba Telecom Services, Inc.                           69     0.03              6 Transglobe Energy Corp.                       43     0.02
   15 Maple Leaf Foods, Inc.                                  134      0.05             17 Trinidad Drilling Ltd.                        83     0.03
    7 Martinrea International, Inc.                             53     0.02             38 Twin Butte Energy Ltd.                        48     0.02
   18 MDS, Inc.                                               154      0.06              – U308 Corp.                                     –        –
   54 Mega Uranium Ltd.                                         19     0.01              2 Uni-Select, Inc.                              36     0.01
   13 Methanex Corp.                                          265      0.10             72 Uranium One, Inc.                            146     0.06
    5 Metro, Inc., Class A                                    211      0.08             60 UTS Energy Corp.                             130     0.05
    6 Migao Corp.                                               34     0.01              3 Vector Aerospace Corp.                        16     0.01
    7 Minera Andes, Inc.                                         6         –             9 Vero Energy, Inc.                             51     0.02
    2 Miranda Technologies, Inc.                                11         –            42 Viterra, Inc.                                305     0.12
    7 Monterey Exploration Ltd.                                 27     0.01              1 Wesdome Gold Mines Ltd.                        1        –
    – Mosaid Technologies, Inc.                                  2         –             6 West Fraser Timber Co. Ltd.                  240     0.09
    6 Mullen Group Ltd.                                         81     0.03             15 Western Canadian Coal Corp.                   75     0.03
   22 Nautilus Minerals, Inc.                                   31     0.01              1 Western Financial Group, Inc.                  3        –
    9 Neo Material Technologies, Inc.                           32     0.01             11 Wi-Lan, Inc.                                  32     0.01
   52 New Gold, Inc.                                           316     0.12              3 Winpak Ltd.                                   27     0.01
    9 Newalta, Inc.                                             76     0.03              2 Xtreme Coil Drilling Corp.                     6        –
    1 Norbord, Inc.                                              9         –                                                         17,656     6.76
    3 North American Energy Partners, Inc.                      23     0.01        Denmark - 0.59%
   65 Northgate Minerals Corp.                                 190     0.07              1 Alm Brand A/S                                  8       –
    2 Northland Resources, Inc.                                  5         –
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            50
                                             DIMENSIONAL FUNDS II PLC
                                                                     % of                                                               % of
                                                           Value      Net                                                     Value      Net
                                                          (000's)   Asset                                                    (000's)   Asset
Shares (000's)                                              USD     Value        Shares (000's)                                USD     Value
Common Stock - 99.22% (continued)                                                Common Stock - 99.22% (continued)
Denmark - 0.59% (continued)                                                      Finland - 1.45% (continued)
    2 Amagerbanken A/S                                          7        –                                                    3,719     1.45
    1 Auriga Industries A/S, Class B                           18     0.01       France - 2.47%
    3 Bang & Olufsen A/S, Class B                              30     0.01          18 Air France-KLM                           222     0.09
    1 Capinordic A/S                                            –        –          18 Altran Technologies S.A.                  75     0.03
    6 Danisco A/S                                             356     0.14            8 Arkema S.A.                             279     0.11
    – Dfds A/S                                                 27     0.01            8 Atos Origin S.A.                        340     0.13
    2 DS Norden A/S                                            84     0.03            – Bonduelle S.C.A.                         31     0.01
    1 East Asiatic Co. Ltd. A/S                                29     0.01            1 Bongrain S.A.                            39     0.01
   26 GN Store Nord A/S                                       202     0.08            3 Bourbon S.A.                            119     0.05
    4 Greentech Energy Systems A/S                             10        –            1 Boursorama                               13        –
    6 Jyske Bank A/S Registered                               176     0.07          20 Cie Generale de Geophysique-Veritas      464     0.18
    3 NKT Holding A/S                                         116     0.04            1 Ciments Francais S.A.                    73     0.03
    1 Nordjyske Bank A/S                                        9        –            5 Club Mediterranee                        62     0.02
    – PER Aarsleff A/S, Class B                                20     0.01            1 Compagnie Plastic-Omnium S.A.            33     0.01
    – Ringkjoebing Landbobank A/S                              44     0.02            – Esso S.A. Francaise                      39     0.02
    1 Rockwool International A/S, Class B                      81     0.03          12 Etablissements Maurel et Prom S.A.       142     0.06
    1 Schouw & Co.                                             23     0.01            2 Euler Hermes S.A.                       157     0.06
    1 Sjaelso Gruppen A/S                                       2        –            3 Euro Disney SCA - Registered             14     0.01
    1 Solar A/S, Class B                                       51     0.02            9 GFI Informatique                         31     0.01
    4 Spar Nord Bank A/S                                       36     0.01            1 Groupe Crit S.A.                         16     0.01
    8 Sydbank A/S                                             172     0.07            9 Groupe Eurotunnel S.A.                   69     0.03
    2 TK Development A/S                                        9        –            3 Groupe Steria SCA                       100     0.04
    2 Torm A/S                                                 15     0.01            – Guyenne et Gascogne S.A.                 37     0.01
    2 Vestjysk Bank A/S                                        22     0.01            2 Haulotte Group S.A.                      25     0.01
                                                            1,547     0.59          57 Havas S.A.                               255     0.10
Finland - 1.45%                                                                       2 IPSOS                                    78     0.03
     3 Ahlstrom Oyj                                            47     0.02            2 JC Decaux S.A.                           47     0.02
    12 Amer Sports Oyj, Class A                               115     0.04            1 Korian                                   20     0.01
     1 Atria PLC                                               18     0.01          14 Lagardere SCA                            451     0.17
     7 Cargotec Oyj, Class B                                  181     0.07            – LDC S.A.                                 20     0.01
     4 Cramo Oyj, Class B                                      54     0.02            – LISI                                     19     0.01
     6 Elektrobit Corp.                                         8        –            1 Manitou BF S.A.                          19     0.01
    12 Finnair Oyj                                             58     0.02            2 Mersen S.A.                              64     0.02
     3 Finnlines Oyj                                           32     0.01            4 Nexans S.A.                             251     0.10
     5 Fiskars Oyj ABP, Class A                                66     0.03            3 Nexity S.A. Group, Class B               91     0.04
     2 HKScan Oyj                                              24     0.01            – Norbert Dentressangle                    24     0.01
     9 Huhtamaki Oyj, Class B                                  93     0.04            3 NRJ Group                                22     0.01
    10 Kemira Oyj, Class B                                    110     0.04            1 Orco Property Group                       5        –
     8 Kesko Oyj, Class B                                     254     0.10            1 Parrot S.A.                              17     0.01
     1 Lannen Tehtaat Oyj                                      22     0.01          16 Peugeot S.A.                             382     0.15
     1 Lemminkainen Oyj                                        16     0.01            – Pierre & Vacances Group                  27     0.01
     9 Metso Oyj                                              271     0.10            3 Rallye S.A.                              88     0.03
    16 M-real Oyj, Class B                                     50     0.02          13 Rexel S.A.                               177     0.07
    14 Outokumpu Oyj                                          225     0.09            1 Sa des Ciments Vicat                     54     0.02
     2 PKC Group Oyj                                           29     0.01          11 Safran S.A.                              304     0.12
    14 Pohjola Bank PLC, Class A                              136     0.05            – Sartorius Stedim Biotech                 11        –
    13 Raisio PLC, Class V                                     41     0.02          20 SCOR SE                                  395     0.15
     3 Rapala VMC Oyj                                          22     0.01            – Seche Environnement S.A.                 17     0.01
     7 Rautaruukki Oyj                                        117     0.05            2 Sequana                                  30     0.01
    15 Ruukki Group Oyj                                        23     0.01            1 Societe BIC S.A.                         70     0.03
    11 Sanoma Oyj                                             198     0.08          16 Soitec S.A.                              147     0.06
     2 Stockmann Oyj ABP, Class A                              53     0.02            – Sperian Protection S.A.                  66     0.03
     3 Stockmann Oyj ABP, Class B                              94     0.04            – Sucriere de Pithiviers-Le-Vieil           6        –
    59 Stora Enso Oyj, Class R                                440     0.17            6 Teleperformance S.A.                    161     0.06
     4 Tieto Oyj                                               81     0.03            1 Theolia S.A.                              4        –
     2 Tikkurila Oyj                                           43     0.02            3 Trigano S.A.                             55     0.02
    51 UPM-Kymmene Oyj                                        658     0.25            8 Valeo S.A.                              233     0.09
     8 YIT Oyj                                                140     0.05            2 Viel et Compagnie S.A.                    8        –
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         51
                                             DIMENSIONAL FUNDS II PLC
                                                                     % of                                                                            % of
                                                           Value      Net                                                                  Value      Net
                                                          (000's)   Asset                                                                 (000's)   Asset
Shares (000's)                                              USD     Value        Shares (000's)                                             USD     Value
Common Stock - 99.22% (continued)                                                Common Stock - 99.22% (continued)
France - 2.47% (continued)                                                       Germany - 2.87% (continued)
     1 Vilmorin & Cie S.A.                                     69     0.03           9 Praktiker Bau-Und Heimwerkermaerkte Holding
     5 Zodiac Aerospace S.A.                                  260     0.10               AG                                                   72     0.03
                                                            6,327     2.47          13 Q-Cells AG                                             75     0.03
Germany - 2.87%                                                                     11 QSC AG                                                 19     0.01
    5 Aareal Bank AG                                           82     0.03           5 Rheinmetall AG                                        288     0.11
    8 ADVA AG Optical Networking                               41     0.02          15 Rhoen Klinikum AG                                     342     0.13
    9 Aspen Insurance Holdings Ltd.                           225     0.09           3 Roth & Rau AG                                          79     0.03
    2 Augusta Technologie AG                                   20     0.01           5 Salzgitter AG                                         332     0.13
    5 Aurubis AG                                              208     0.08           5 SGL Carbon SE                                         140     0.05
    1 Balda AG                                                  4        –           3 Singulus Technologies AG                               21     0.01
    1 Bauer AG                                                 43     0.02           1 Sixt AG                                                18     0.01
    2 BayWa AG                                                 55     0.02           – SKW Stahl-Metallurgie Holding AG                        6        –
    2 Bechtle AG                                               46     0.02          24 Sky Deutschland AG                                     41     0.02
    6 Bilfinger Berger AG                                     341     0.13          12 Solarworld AG                                         123     0.05
    – Biotest AG                                               13        –           1 Solon SE                                                3        –
    3 Carl Zeiss Meditec AG                                    48     0.02           7 Stada Arzneimittel AG                                 243     0.09
    1 CENTROTEC Sustainable AG                                 16     0.01          10 Suedzucker AG                                         176     0.07
    1 Centrotherm Photovoltaics AG                             31     0.01           5 Tag Immobilien AG                                      28     0.01
    1 Cewe Color Holding AG                                    27     0.01          22 TUI AG                                                192     0.07
    6 CropEnergies AG                                          24     0.01           1 Versatel AG                                             7        –
   29 Deutsche Lufthansa AG                                   389     0.15           4 VTG AG                                                 55     0.02
   12 Deutsche Postbank AG                                    375     0.14           3 Wacker Neuson SE                                       32     0.01
    6 Deutz AG                                                 33     0.01                                                                 7,489     2.87
    8 DHT Holdings, Inc.                                       33     0.01       Greece - 0.45%
    4 Douglas Holding AG                                      169     0.06          39 Agricultural Bank of Greece S.A.                       60     0.02
    7 Drillisch AG                                             47     0.02         154 Alapis Holding Industrial and Commercial S.A. of
    1 Duerr AG                                                 12        –                Pharmaceutical Chemical & Organi                    61     0.02
   15 Evotec AG                                                37     0.01           8 Alpha Bank A.E.                                        43     0.02
   13 Freenet AG                                              126     0.05          13 Anek Lines S.A.                                         5        –
    1 GEA Group AG                                             20     0.01           – Bank of Cyprus Public Co. Ltd.                          2        –
    5 Generali Deutschland Holding AG                         528     0.20           3 Bank of Greece                                        111     0.04
    4 Gerresheimer AG                                         113     0.04           8 Diagnostic & Therapeutic Center of Athens Hygeia
    – Gesco AG                                                 23     0.01                S.A.                                                10        –
    1 GFK SE                                                   42     0.02          13 EFG Eurobank Ergasias S.A.                             65     0.03
    5 Gildemeister AG                                          58     0.02          18 Ellaktor S.A.                                          72     0.03
    1 Grammer AG                                               11        –          25 Forthnet S.A.                                          22     0.01
    1 Grenkeleasing AG                                         37     0.01          10 GEK Terna Holding Real Estate Contruction S.A.         56     0.02
    9 Hannover Rueckversicherung AG                           392     0.15          19 GENIKI Bank                                            13     0.01
   12 Heidelberger Druckmaschinen AG                          107     0.04          10 Hellenic Petroleum S.A.                                73     0.03
    2 Hochtief AG                                             146     0.06           2 Heracles General Cement Co. S.A.                       10        –
    – Homag Group AG                                            5        –          12 Intracom Holdings S.A.                                 10        –
    3 Indus Holding AG                                         51     0.02           8 J&P-Avax S.A.                                          14        –
   10 IVG Immobilien AG                                        65     0.03          80 Marfin Investment Group S.A.                          107     0.04
    4 Jenoptik AG                                              18     0.01           6 Marfin Popular Bank Public Co. Ltd.                    13     0.01
   11 Kloeckner & Co. SE                                      206     0.08           7 Michaniki S.A.                                          5        –
    1 Koenig & Bauer AG                                        18     0.01          11 Mytilineos Holdings S.A.                               57     0.02
    8 Kontron AG                                               69     0.03          31 Piraeus Bank S.A.                                     159     0.06
    3 Krones AG                                               128     0.05           4 Proton Bank S.A.                                        4        –
    – KSB AG                                                   36     0.01           9 Sidenor Steel Products Manufacturing Co. S.A.          29     0.01
    – KWS Saat AG                                              35     0.01           4 Titan Cement Co. S.A.                                  68     0.03
   10 Lanxess AG                                              414     0.16          17 TT Hellenic Postbank S.A.                              61     0.02
    3 Leoni AG                                                 55     0.02          16 Viohalco S.A., Class B                                 67     0.03
    – Manz Automation AG                                       11        –                                                                 1,197     0.45
    5 Medion AG                                                59     0.02       Hong Kong - 1.54%
    5 MLP AG                                                   45     0.02          12 Allied Group Ltd.                                      37     0.01
    4 Pfleiderer AG                                            22     0.01         584 Allied Properties HK Ltd.                             107     0.04
   15 PNE Wind AG                                              38     0.02         580 Apac Resources Ltd.                                    38     0.01
                                                                                    19 APT Satellite Holdings Ltd.                             7        –
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         52
                                               DIMENSIONAL FUNDS II PLC
                                                                       % of                                                                          % of
                                                             Value      Net                                                                Value      Net
                                                            (000's)   Asset                                                               (000's)   Asset
Shares (000's)                                                USD     Value         Shares (000's)                                          USD     Value
Common Stock - 99.22% (continued)                                                   Common Stock - 99.22% (continued)
Hong Kong - 1.54% (continued)                                                       Hong Kong - 1.54% (continued)
    10 Arts Optical International Holdings Ltd.                   4         –          118 Pan Asia Environmental Protection Group Ltd.       22     0.01
    30 Asia Financial Holdings Ltd.                              11         –          250 Polytec Asset Holdings Ltd.                        42     0.02
    25 Asia Satellite Telecommunications Holdings Ltd.           36     0.01             40 Public Financial Holdings Ltd.                    20     0.01
    32 Asia Standard International Group Ltd.                     5         –          544 PYI Corp. Ltd.                                     18     0.01
    16 Associated International Hotels Ltd.                      31     0.01           127 Regal Hotels International Holdings Ltd.           44     0.02
   347 C C Land Holdings Ltd.                                   114     0.04           536 Samling Global Ltd.                                52     0.02
   670 Capital Properities Ltd.                                  15         –          382 Shougang Concord Century Holdings Ltd.             42     0.02
   407 Champion Technology Holdings Ltd.                         11         –            46 Shui On Construction and Materials Ltd.           54     0.02
    78 China Metal International Holdings, Inc.                  16     0.01           226 Shun Tak Holdings Ltd.                            124     0.05
   166 China Ting Group Hldgs Ltd                                26     0.01           264 Singamas Container Holdings Ltd.                   45     0.02
    14 Chong Hing Bank Ltd.                                      26     0.01             11 SmarTone Telecommunications Holding Ltd.          11        –
    24 Chow Sang Sang Holdings International Ltd.                41     0.02           184 South China China Ltd.                             13        –
   152 Chu Kong Shipping Development                             33     0.01             88 Sun Hung Kai & Co. Ltd.                           66     0.03
   818 CK Life Sciences International Holdings, Inc.             48     0.02           353 Sustainable Forest Holdings Ltd.                   25     0.01
     8 Dah Chong Hong Holdings Ltd.                               5         –          120 TAI Cheung Holdings Ltd.                           66     0.03
    44 Dah Sing Banking Group Ltd.                               54     0.02             42 Tan Chong International Ltd.                      10        –
    24 Dah Sing Financial Holdings Ltd.                         125     0.05           152 Techtronic Industries Co. Ltd.                    133     0.05
    39 Dickson Concepts International Ltd.                       21     0.01           136 Texhong Textile Group Ltd.                         56     0.02
   186 Emperor International Holdings Ltd.                       33     0.01             99 The Hongkong & Shanghai Hotels Ltd.              153     0.06
    81 eSun Holdings Ltd.                                        11         –          920 Tongda Group Holdings Ltd.                         33     0.01
   217 Far East Consortium International Ltd.                    55     0.02             21 Transport International Holdings Ltd.             60     0.02
 1,130 Frasers Property China Ltd.                               26     0.01           205 USI Holdings Ltd.                                  57     0.02
    44 Fubon Bank Hong Kong Ltd.                                 18     0.01             48 Varitronix International Ltd.                     15     0.01
   129 Galaxy Entertainment Group Ltd.                           56     0.02           344 Vedan International Holdings Ltd.                  37     0.01
   336 Genting Hong Kong Ltd.                                    54     0.02           123 Victory City International Holdings Ltd.           21     0.01
   706 Get Nice Holdings Ltd.                                    39     0.02           130 Wheelock Properties Ltd.                          211     0.08
   182 Global Sweeteners Holdings Ltd.                           29     0.01             39 Wing On Co. International Ltd.                    63     0.02
 1,158 Golden Resorts Group Ltd.                                 62     0.02                                                               4,095     1.54
   320 Goldin Financial Holdings Ltd.                            34     0.01        Ireland - 0.47%
   130 Goldin Properties Holdings Ltd.                           53     0.02             21 Aer Lingus                                        17     0.01
    49 Great Eagle Holdings Ltd.                                118     0.05           103 Allied Irish Banks PLC                            131     0.05
 1,737 G-Resources Group Ltd.                                   103     0.04             16 DCC PLC                                          360     0.14
   242 Guangnan (Holdings) Ltd.                                  44     0.02              6 FBD Holdings PLC                                  44     0.02
    92 Hang Fung Gold Technology Ltd.                             8         –            31 Grafton Group PLC                                122     0.05
   124 Hannstar Board International Holdings Ltd.                26     0.01             31 Greencore Group PLC                               48     0.02
    70 Harbour Centre Development Ltd.                           60     0.02             42 Irish Life & Permanent Group Holdings PLC        102     0.04
    86 HKR International Ltd.                                    27     0.01              4 Kingspan Group PLC                                39     0.02
    52 Hong Kong Ferry (Holdings) Co. Ltd.                       44     0.02             19 Smurfit Kappa Group PLC                          144     0.06
   102 HongKong Chinese Ltd.                                      9         –          112 The Governor & Co. of the Bank of Ireland         100     0.04
    68 Hung Hing Printing Group Ltd.                             21     0.01             21 United Drug PLC                                   60     0.02
   598 Huscoke Resources Holdings Ltd.                           39     0.01                                                               1,167     0.47
   330 Hutchison Harbour Ring Ltd.                               30     0.01
   219 I-CABLE Communications Ltd.                               34     0.01        Israel - 0.16%
   166 IT Ltd.                                                   26     0.01             43 Bank Hapoalim BM                                 163     0.06
    41 Jinhui Holdings Ltd.                                      13         –             1 Clal Insurance Enterprise Holdings Ltd.           19     0.01
   191 Johnson Electric Holdings Ltd.                            94     0.04             11 Makhteshim-Agan Industries Ltd.                   39     0.01
    88 K Wah International Holdings Ltd.                         28     0.01             12 Migdal Insurance & Financial Holding Ltd.         19        –
    46 Keck Seng Investments (Hong Kong) Ltd.                    23     0.01              5 Mizrahi Tefahot Bank Ltd.                         43     0.02
 1,840 Ko Yo Ecological Agrotech Group Ltd.                      35     0.01              3 Nice Systems Ltd.                                 80     0.03
    81 Kowloon Development Co. Ltd.                              84     0.03             43 Oil Refineries Ltd.                               22     0.01
    22 Liu Chong Hing Investment Ltd.                            22     0.01              3 Ormat Industries Ltd.                             19     0.01
    40 Lung Kee (Bermuda) Holdings Ltd.                          21     0.01              – Paz Oil Co. Ltd.                                  21     0.01
   124 Melco International Development Ltd.                      48     0.02                                                                 425     0.16
 1,144 New Times Energy Corp. Ltd.                               41     0.02        Italy - 1.07%
   108 Norstar Founders Group Ltd.                                –         –             – AcegasAps S.p.A.                                   2        –
   288 Pacific Andes International Holdings Ltd.                 46     0.02              3 Actelios S.p.A.                                   12        –
   320 Pacific Basin Shipping Ltd.                              219     0.08              1 Aeroporto di Venezia Marco Polo S.p.A.             5        –
   219 Pacific Century Premium Developments Ltd.                 39     0.02             19 Banca Popolare dell'Emilia Romagna Scarl         196     0.08
    62 Paliburg Holdings Ltd.                                    19     0.01
                                            The accompanying notes are an integral part of the Financial Statements
                                                                             53
                                                  DIMENSIONAL FUNDS II PLC
                                                                         % of                                                                           % of
                                                               Value      Net                                                                 Value      Net
                                                              (000's)   Asset                                                                (000's)   Asset
Shares (000's)                                                  USD     Value        Shares (000's)                                            USD     Value
Common Stock - 99.22% (continued)                                                    Common Stock - 99.22% (continued)
Italy - 1.07% (continued)                                                            Japan - 12.23% (continued)
      6 Banca Popolare dell'Etruria e del Lazio                   26     0.01              9 AOC Holdings, Inc.                                  60     0.02
    62 Banca Popolare di Milano Scarl                            260     0.10              – AOI Electronic Co. Ltd.                              4        –
      4 Banco di Desio e della Brianza S.p.A.                     16     0.01              6 AOKI Holdings, Inc.                                 82     0.03
    95 Banco Popolare SC                                         518     0.20              8 Aoyama Trading Co. Ltd.                            140     0.05
      7 Benetton Group S.p.A.                                     47     0.02             31 Aozora Bank Ltd.                                    39     0.02
      2 Buongiorno S.p.A.                                          3         –             2 Arakawa Chemical Industries Ltd.                    22     0.01
    10 Buzzi Unicem S.p.A.                                       113     0.04              1 Arc Land Sakamoto Co. Ltd.                          10        –
    17 Cementir Holding S.p.A.                                    50     0.02              4 Arcs Co. Ltd.                                       45     0.02
    50 CIR-Compagnie Industriali Riunite S.p.A.                   88     0.03              3 Arisawa Manufacturing Co. Ltd.                      19     0.01
    12 Credito Artigiano S.p.A.                                   22     0.01              1 As One Corp.                                         9        –
    13 Credito Emiliano S.p.A.                                    70     0.03             16 Asahi Organic Chemicals Industry Co. Ltd.           37     0.01
      6 De'Longhi S.p.A.                                          24     0.01              4 Asatsu-DK, Inc.                                     85     0.03
    10 Elica SpA                                                  20     0.01              2 ASKA Pharmaceutical Co. Ltd.                        14        –
      9 ERG S.p.A.                                               109     0.04              6 Asunaro Aoki Construction Co. Ltd.                  25     0.01
      3 Eurotech S.p.A.                                            8         –            16 Atsugi Co. Ltd.                                     19     0.01
    11 Fondiaria-Sai S.p.A.                                      112     0.04              4 Autobacs Seven Co. Ltd.                            127     0.05
    75 Gemina S.p.A.                                              49     0.02              5 Bando Chemical Industries Ltd.                      16     0.01
      6 Gruppo Coin S.p.A.                                        38     0.01              8 Bank of the Ryukyus Ltd.                            92     0.04
    23 IMMSI S.p.A.                                               24     0.01              6 Belc Co. Ltd.                                       52     0.02
    11 Italcementi S.p.A.                                         96     0.04              4 Best Denki Co. Ltd.                                  9        –
      1 Italmobiliare S.p.A.                                      30     0.01              – Bic Camera, Inc.                                    40     0.02
    21 Milano Assicurazioni S.p.A.                                37     0.01              5 Bunka Shutter Co. Ltd.                              13     0.01
    23 Piccolo Credito Valtellinese Scarl                        111     0.04              9 Calsonic Kansei Corp.                               27     0.01
    24 Pirelli & C Real Estate S.p.A.                             10         –             4 Cawachi Ltd.                                        75     0.03
   403 Pirelli & C S.p.A.                                        207     0.08             23 Central Glass Co. Ltd.                              93     0.04
    22 Premafin Finanziaria S.p.A.                                25     0.01              7 Century Tokyo Leasing Corp.                         83     0.03
      4 Safilo Group S.p.A.                                       35     0.01              5 Chiyoda Co. Ltd.                                    65     0.02
   146 Seat Pagine Gialle S.p.A.                                  24     0.01              3 Chiyoda Integre Co. Ltd.                            34     0.01
      6 Snai S.p.A.                                               18     0.01              1 Chofu Seisakusho Co. Ltd.                           25     0.01
      7 Societa Cattolica di Assicurazioni Scarl                 162     0.06              5 Chubu Shiryo Co. Ltd.                               34     0.01
      5 Societa Iniziative Autostradali E Servizi S.p.A.          41     0.02              5 Chudenko Corp.                                      56     0.02
    16 Societa Partecipazioni Finanziarie S.p.A.                   1         –            12 Chuetsu Pulp & Paper Co. Ltd.                       20     0.01
    28 Sorin S.p.A.                                               51     0.02              2 Chuo Denki Kogyo Co. Ltd.                           16     0.01
   143 Unipol Gruppo Finanziario S.p.A.                          121     0.05              4 Chuo Spring Co. Ltd.                                14     0.01
      7 Vianini Lavori S.p.A.                                     36     0.01              5 Circle K Sunkus Co. Ltd.                            61     0.02
      3 Vittoria Assicurazioni S.p.A.                             12         –             3 CKD Corp.                                           26     0.01
                                                               2,829     1.07              4 Cleanup Corp.                                       21     0.01
Japan - 12.23%                                                                            10 CMK Corp.                                           58     0.02
    39 Achilles Corp.                                             52     0.02              4 Coca-Cola Central Japan Co. Ltd.                    41     0.02
     6 Acom Co. Ltd.                                              74     0.03              3 Cocokara Fine Holdings, Inc.                        51     0.02
    12 ADEKA Corp.                                               110     0.04              8 Commuture Corp.                                     41     0.02
     7 Aderans Holdings Co. Ltd.                                  80     0.03             11 COMSYS Holdings Corp.                               93     0.04
     2 Ahresty Corp.                                              15     0.01              2 Corona Corp.                                        17     0.01
    13 Ai Holdings Corp.                                          45     0.02             89 Cosmo Oil Co. Ltd.                                 255     0.10
     3 Aica Kogyo Co. Ltd.                                        36     0.01             19 Credit Saison Co. Ltd.                             214     0.08
     8 Aichi Machine Industry Co. Ltd.                            26     0.01              4 Daibiru Corp.                                       29     0.01
    14 Aichi Steel Corp.                                          57     0.02              3 Dai-Dan Co. Ltd.                                    15     0.01
     9 Aida Engineering Ltd.                                      38     0.01              3 Daidoh Ltd.                                         26     0.01
    19 Aiful Corp.                                                24     0.01              9 Daifuku Co. Ltd.                                    58     0.02
     1 Aiphone Co. Ltd.                                           18     0.01              3 Daiichi Jitsugyo Co. Ltd.                           10        –
     3 Airport Facilities Co. Ltd.                                14         –             4 Daiken Corp.                                         9        –
     2 Aisan Industry Co. Ltd.                                    17     0.01              3 Daimei Telecom Engineering Corp.                    20     0.01
     3 Alpen Co. Ltd.                                             49     0.02             15 Dainichiseika Color & Chemicals Manufacturing
     5 Alpine Electronics, Inc.                                   66     0.02                  Co. Ltd.                                          54     0.02
     1 Alps Logistics Co. Ltd.                                     6         –            10 Daio Paper Corp.                                    73     0.03
    33 Amada Co. Ltd.                                            241     0.09             10 Daiso Co. Ltd.                                      26     0.01
     5 Amano Corp.                                                40     0.01              2 Daisyo Corp.                                        17     0.01
     6 Anritsu Corp.                                              23     0.01              5 Daiwa Industries Ltd.                               23     0.01
                                                                                          12 DCM Japan Holdings Co. Ltd.                         68     0.03
                                             The accompanying notes are an integral part of the Financial Statements
                                                                              54
                                                  DIMENSIONAL FUNDS II PLC
                                                                          % of                                                                     % of
                                                                Value      Net                                                           Value      Net
                                                               (000's)   Asset                                                          (000's)   Asset
Shares (000's)                                                   USD     Value       Shares (000's)                                       USD     Value
Common Stock - 99.22% (continued)                                                    Common Stock - 99.22% (continued)
Japan - 12.23% (continued)                                                           Japan - 12.23% (continued)
    10 Denki Kogyo Co. Ltd.                                       45     0.02             15 Hokkan Holdings Ltd.                           40     0.01
     2 Denyo Co. Ltd.                                             14     0.01              9 Hokuetsu Paper Mills Ltd.                      43     0.02
     5 Descente Ltd.                                              28     0.01           153 Hokuhoku Financial Group, Inc.                 278     0.11
    48 DIC Corp.                                                  80     0.03              3 Horiba Ltd.                                    94     0.04
     3 Doshisha Co. Ltd.                                          62     0.02              4 Hosiden Corp.                                  45     0.02
     4 Doutor Nichires Holdings Co. Ltd.                          53     0.02              5 Hosokawa Micron Corp.                          17     0.01
     4 DTS Corp.                                                  46     0.02              4 IBJ Leasing Co. Ltd.                           70     0.03
     6 Duskin Co. Ltd.                                           102     0.04              1 Ichiyoshi Securities Co., Ltd.                  3        –
     1 Dydo Drinco, Inc.                                          37     0.01              3 Icom, Inc.                                     65     0.03
     5 Eagle Industry Co. Ltd.                                    32     0.01              9 Iino Kaiun Kaisha Ltd.                         47     0.02
    35 Ebara Corp.                                              154      0.06              4 Imasen Electric Industrial Co. Ltd.            51     0.02
    11 Edion Corp.                                                97     0.04              2 Inaba Denki Sangyo Co. Ltd.                    47     0.02
     1 Eiken Chemical Co. Ltd.                                     6         –             2 Inaba Seisakusho Co. Ltd.                      15     0.01
     3 Eizo Nanao Corp.                                           69     0.03              4 Inabata & Co. Ltd.                             20     0.01
     5 Elpida Memory, Inc.                                        94     0.04              5 Ines Corp.                                     37     0.01
     1 Eltematec Corp.                                             8         –             7 Inui Steamship Co. Ltd.                        46     0.02
     2 Enplas Corp.                                               39     0.01             51 Ishihara Sangyo Kaisha Ltd.                    39     0.02
     3 ESPEC Corp.                                                24     0.01              3 IT Holdings Corp.                              35     0.01
     4 Exedy Corp.                                              106      0.04             10 Itochu Enex Co. Ltd.                           53     0.02
     4 F&A Aqua Holdings, Inc.                                    36     0.01              1 Itochu-Shokuhin Co. Ltd.                       21     0.01
     3 FIDEA Holdings Co. Ltd.                                     5         –            23 Itoham Foods, Inc.                             77     0.03
    32 France Bed Holdings Co. Ltd.                               46     0.02              4 Itoki Corp.                                    12        –
    42 Fuji Electric Holdings Co. Ltd.                           115     0.04             14 Izumiya Co. Ltd.                               62     0.02
     4 Fuji Electronics Co. Ltd.                                  43     0.02              7 Jaccs Co. Ltd.                                 13        –
     6 Fuji Oil Co. Ltd.                                          74     0.03              5 Japan Airport Terminal Co. Ltd.                72     0.03
     2 Fuji Soft, Inc.                                            32     0.01              7 Japan Aviation Electronics Industry Ltd.       48     0.02
     2 Fujicco Co. Ltd.                                           22     0.01              3 Japan Cash Machine Co. Ltd.                    21     0.01
    14 Fujikura Ltd.                                              68     0.03              2 Japan Digital Laboratory Co. Ltd.              24     0.01
     4 Fujimori Kogyo Co. Ltd.                                    44     0.02              6 Japan Pulp & Paper Co. Ltd.                    20     0.01
     8 Fujitec Co. Ltd.                                           43     0.02              7 Japan Radio Co. Ltd.                           16     0.01
     1 Fujitsu Frontech Ltd.                                       8         –            12 Japan Securities Finance Co. Ltd.              78     0.03
    25 Fukuyama Transporting Co. Ltd.                            117     0.05              5 Japan Transcity Corp.                          15     0.01
     1 Funai Electric Co. Ltd.                                    55     0.02              5 Japan Vilene Co. Ltd.                          21     0.01
    50 Furukawa Co. Ltd.                                          54     0.02              6 Jeol Ltd.                                      21     0.01
    20 Furukawa-Sky Aluminum Corp.                                54     0.02             13 JFE Shoji Holdings, Inc.                       60     0.02
     7 Fuso Pharmaceutical Industries Ltd.                        22     0.01              7 JMS Co. Ltd.                                   26     0.01
     4 Futaba Corp.                                               72     0.03              7 J-Oil Mills, Inc.                              20     0.01
     5 Futaba Industrial Co. Ltd.                                 37     0.01              7 Joshin Denki Co. Ltd.                          69     0.03
     3 Fuyo General Lease Co. Ltd.                                83     0.03              2 JSP Corp.                                      15     0.01
     9 Gakken Holdings Co. Ltd.                                   17     0.01             86 JVC KENWOOD Holdings, Inc.                     34     0.01
    20 Godo Steel Ltd.                                            45     0.02              4 Kadokawa Group Holdings, Inc.                  84     0.03
     3 Goldcrest Co. Ltd.                                         66     0.03              6 Kaga Electronics Co. Ltd.                      62     0.02
    23 Gunze Ltd.                                                 73     0.03              3 Kamei Corp.                                    13        –
    17 H2O Retailing Corp.                                       107     0.04             10 Kandenko Co. Ltd.                              60     0.02
     2 Hakuto Co. Ltd.                                            14     0.01              3 Kanematsu Electronics Ltd.                     24     0.01
    21 Hanwa Co. Ltd.                                             82     0.03              5 Kanto Auto Works Ltd.                          40     0.01
     2 Harashin Narus Holdings Co. Ltd.                           19     0.01              7 Kanto Natural Gas Development Ltd.             36     0.01
     3 Heiwa Corp.                                                24     0.01             10 Kasumi Co. Ltd.                                50     0.02
    13 Heiwa Real Estate Co. Ltd.                                 32     0.01              5 Katakura Industries Co. Ltd.                   47     0.02
     3 Heiwado Co. Ltd.                                           37     0.01              2 Kato Sangyo Co. Ltd.                           26     0.01
     2 Hibiya Engineering Ltd.                                    17     0.01              8 Kato Works Co. Ltd.                            16     0.01
     2 Hikari Tsushin, Inc.                                       38     0.01             47 Kawasaki Kisen Kaisha Ltd.                    191     0.07
     5 Hisaka Works Ltd.                                          47     0.02             14 Kayaba Industry Co. Ltd.                       50     0.02
    13 Hitachi Cable Ltd.                                         36     0.01              3 Keihanshin Real Estate Co. Ltd.                13     0.01
     6 Hitachi Capital Corp.                                      86     0.03              8 Keihin Corp.                                  150     0.06
     5 Hitachi Kokusai Electric, Inc.                             46     0.02              6 Keiyo Co. Ltd.                                 28     0.01
     2 Hitachi Medical Corp.                                      16     0.01              – Kenedix, Inc.                                  24     0.01
     3 Hitachi Transport System Ltd.                              38     0.01              2 Kewpie Corp.                                   21     0.01
    10 Hodogaya Chemical Co. Ltd.                                 34     0.01              2 KEY Coffee, Inc.                               25     0.01
                                             The accompanying notes are an integral part of the Financial Statements
                                                                              55
                                               DIMENSIONAL FUNDS II PLC
                                                                       % of                                                                           % of
                                                             Value      Net                                                                 Value      Net
                                                            (000's)   Asset                                                                (000's)   Asset
Shares (000's)                                                USD     Value       Shares (000's)                                             USD     Value
Common Stock - 99.22% (continued)                                                 Common Stock - 99.22% (continued)
Japan - 12.23% (continued)                                                        Japan - 12.23% (continued)
    20 Kinden Corp.                                          171      0.07              3 Mitsui Sumitomo Insurance Group Holdings, Inc.       71     0.03
     4 Kissei Pharmaceutical Co. Ltd.                          77     0.03             10 Mitsui-Soko Co. Ltd.                                 38     0.01
    13 Kitagawa Iron Works Co. Ltd.                            22     0.01              3 Mitsuuroko Co. Ltd.                                  20     0.01
    16 Kitz Corp.                                              71     0.03              8 Mizuno Corp.                                         34     0.01
    73 Kiyo Holdings, Inc.                                     92     0.04              8 Mori Seiki Co. Ltd.                                  85     0.03
     3 Koa Corp.                                               32     0.01             25 Morinaga & Co. Ltd.                                  53     0.02
     2 Kohnan Shoji Co. Ltd.                                   21     0.01             24 Morinaga Milk Industry Co. Ltd.                      91     0.03
     5 Kojima Co. Ltd.                                         35     0.01              8 Morita Holdings Corp.                                39     0.01
    10 Kokuyo Co. Ltd.                                         90     0.03             18 Nachi-Fujikoshi Corp.                                49     0.02
     6 Komori Corp.                                            63     0.02             15 Nagase & Co. Ltd.                                   161     0.06
     2 Konishi Co. Ltd.                                        25     0.01             16 Nakayama Steel Works Ltd.                            28     0.01
     3 K's Holdings Corp.                                      78     0.03              1 NEC Capital Solutions Ltd.                           15     0.01
    15 Kumiai Chemical Industry Co. Ltd.                       37     0.01              2 NEC Fielding Ltd.                                    24     0.01
    22 Kurabo Industries Ltd.                                  35     0.01              2 NEC Mobiling Ltd.                                    37     0.02
     9 KUREHA Corp.                                            45     0.02              3 NEC Networks & System Integration Corp.              32     0.01
    11 Kurimoto Ltd.                                           15     0.01              – NET One Systems Co. Ltd.                             41     0.02
     2 Kuroda Electric Co. Ltd.                                33     0.01              3 Neturen Co. Ltd.                                     17     0.01
     8 Kyodo Printing Co. Ltd.                                 19     0.01              5 Nice Holdings, Inc.                                  11        –
     2 Kyoei Steel Ltd.                                        32     0.01             11 Nichias Corp.                                        45     0.02
     4 Kyokuto Kaihatsu Kogyo Co. Ltd.                         15         –             6 Nichicon Corp.                                       65     0.02
     3 Kyokuto Securities Co. Ltd.                             20     0.01              2 Nichiden Corp.                                       46     0.02
     6 Kyorin Co. Ltd.                                         81     0.03              6 Nichiha Corp.                                        61     0.02
     3 Kyoritsu Maintenance Co. Ltd.                           45     0.02              4 Nichii Gakkan Co. Ltd.                               32     0.01
     6 Kyosan Electric Manufacturing Co. Ltd.                  28     0.01             31 Nichirei Corp.                                      119     0.05
    10 Kyowa Exeo Corp.                                        80     0.03              1 Nihon Eslead Corp.                                   11        –
     5 Kyudenko Corp.                                          26     0.01             10 Nihon Yamamura Glass Co. Ltd.                        26     0.01
    21 Leopalace21 Corp.                                       84     0.03             11 Nippo Corp.                                          83     0.03
     5 Lintec Corp.                                            84     0.03             10 Nippon Beet Sugar Manufacturing Co. Ltd.             21     0.01
     3 Macnica, Inc.                                           64     0.02              2 Nippon Ceramic Co. Ltd.                              20     0.01
    24 Maeda Corp.                                             67     0.03              9 Nippon Chemical Industrial Co. Ltd.                  20     0.01
     8 Maeda Road Construction Co. Ltd.                        61     0.02             27 Nippon Chemi-Con Corp.                              110     0.04
     1 Maezawa Kyuso Industries Co. Ltd.                       13         –             3 Nippon Densetsu Kogyo Co. Ltd.                       26     0.01
    17 Makino Milling Machine Co. Ltd.                        103     0.04              4 Nippon Denwa Shisetsu Co. Ltd.                       12        –
     1 Marubun Corp.                                            3         –             3 Nippon Fine Chemical Co. Ltd.                        20     0.01
     8 Marudai Food Co. Ltd.                                   23     0.01             18 Nippon Flour Mills Co. Ltd.                          84     0.03
    21 Maruha Nichiro Holdings, Inc.                           31     0.01             10 Nippon Kayaku Co. Ltd.                               81     0.03
    29 Marui Group Co. Ltd.                                  205      0.08             16 Nippon Koei Co. Ltd.                                 46     0.02
     9 Marusan Securities Co. Ltd.                             49     0.02              6 Nippon Konpo Unyu Soko Co. Ltd.                      65     0.02
     1 Maruwa Co. Ltd.                                         20     0.01             63 Nippon Light Metal Co. Ltd.                          88     0.03
    15 Maruzen Showa Unyu Co. Ltd.                             48     0.02             12 Nippon Paint Co. Ltd.                                77     0.03
     3 Maspro Denkoh Corp.                                     22     0.01              8 Nippon Paper Group, Inc.                            215     0.08
     2 Matsuya Foods Co. Ltd.                                  24     0.01              4 Nippon Seiki Co. Ltd.                                39     0.02
     4 Max Co. Ltd.                                            40     0.02             27 Nippon Sheet Glass Co. Ltd.                          71     0.03
     4 Maxvalu Tokai Co. Ltd.                                  40     0.02              9 Nippon Shinyaku Co. Ltd.                             96     0.04
     2 Meito Sangyo Co. Ltd.                                   23     0.01              9 Nippon Shokubai Co. Ltd.                             82     0.03
     7 Mikuni Coca-Cola Bottling Co. Ltd.                      57     0.02              5 Nippon Signal Co. Ltd.                               36     0.01
     4 Mimasu Semiconductor Industry Co. Ltd.                  47     0.02             18 Nippon Soda Co. Ltd.                                 64     0.02
     3 Ministop Co. Ltd.                                       43     0.02              6 Nippon Steel Trading Co. Ltd.                        16     0.01
     4 Mitsuba Corp.                                           22     0.01              8 Nippon Suisan Kaisha Ltd.                            22     0.01
    53 Mitsubishi Paper Mills Ltd.                             61     0.02             14 Nippon Thompson Co. Ltd.                             87     0.03
     1 Mitsubishi Pencil Co. Ltd.                              18     0.01             15 Nippon Valqua Industries Ltd.                        31     0.01
    20 Mitsubishi Steel Manufacturing Co. Ltd.                 40     0.02             11 Nippon Yakin Kogyo Co. Ltd.                          36     0.01
     5 Mitsubishi UFJ Lease & Finance Co. Ltd.                176     0.07              6 Nipro Corp.                                         103     0.04
     5 Mitsuboshi Belting Co. Ltd.                             21     0.01             46 Nishimatsu Construction Co. Ltd.                     58     0.02
    46 Mitsui Chemicals, Inc.                                 141     0.05              7 Nissan Shatai Co. Ltd.                               48     0.02
     3 Mitsui High-Tec, Inc.                                   18     0.01             56 Nisshin Steel Co. Ltd.                              102     0.04
     2 Mitsui Home Co. Ltd.                                    11         –             5 Nissin Corp.                                         11        –
     – Mitsui Knowledge Industry Co. Ltd.                      13         –             7 Nissin Electric Co. Ltd.                             34     0.01
    15 Mitsui Sugar Co. Ltd.                                   48     0.02              4 Nissin Kogyo Co. Ltd.                                57     0.02
                                          The accompanying notes are an integral part of the Financial Statements
                                                                           56
                                               DIMENSIONAL FUNDS II PLC
                                                                        % of                                                                       % of
                                                              Value      Net                                                             Value      Net
                                                             (000's)   Asset                                                            (000's)   Asset
Shares (000's)                                                 USD     Value       Shares (000's)                                         USD     Value
Common Stock - 99.22% (continued)                                                  Common Stock - 99.22% (continued)
Japan - 12.23% (continued)                                                         Japan - 12.23% (continued)
     1 Nitta Corp.                                              18     0.01              1 San-A Co. Ltd.                                   48     0.02
     5 Nittetsu Mining Co. Ltd.                                 18     0.01              7 San-Ai Oil Co. Ltd.                              27     0.01
    47 Nitto Boseki Co. Ltd.                                   105     0.04             22 Sanden Corp.                                     64     0.02
     2 Nitto Kogyo Corp.                                        18     0.01              2 Sanei-International Co. Ltd.                     21     0.01
     2 Noevir Co. Ltd.                                          25     0.01              3 Sangetsu Co. Ltd.                                52     0.02
    22 NOF Corp.                                                85     0.03             18 Sanken Electric Co. Ltd.                         70     0.03
     3 Nohmi Bosai Ltd.                                         18     0.01             11 Sanki Engineering Co. Ltd.                       82     0.03
     7 Nomura Co. Ltd.                                          23     0.01             11 Sankyo Seiko Co. Ltd.                            29     0.01
    20 Noritake Co. Ltd.                                        61     0.02             57 Sankyo-Tateyama Holdings, Inc.                   70     0.03
     1 Noritsu Koki Co. Ltd.                                     7         –             8 Sanoh Industrial Co. Ltd.                        58     0.02
     2 Noritz Corp.                                             32     0.01              4 Sanshin Electronics Co. Ltd.                     30     0.01
     2 Oiles Corp.                                              33     0.01             27 Sanwa Holdings Corp.                             82     0.03
    13 Okabe Co. Ltd.                                           51     0.02              4 Sanyo Chemical Industries Ltd.                   23     0.01
     6 Okamoto Industries, Inc.                                 23     0.01              6 Sanyo Denki Co. Ltd.                             29     0.01
     5 Okamura Corp.                                            29     0.01             15 Sanyo Shokai Ltd.                                50     0.02
    15 Okasan Securities Group, Inc.                            58     0.02              7 Sanyo Special Steel Co. Ltd.                     32     0.01
    11 OKUMA Corp.                                              67     0.03             24 Sapporo Hokuyo Holdings, Inc.                    88     0.03
    25 Okumura Corp.                                            86     0.03              4 Sato Corp.                                       44     0.02
     2 Okuwa Co. Ltd.                                           19     0.01              1 SBI Holdings, Inc.                              136     0.05
     3 Olympic Corp.                                            19     0.01              1 Secom Joshinetsu Co. Ltd.                        20     0.01
    13 Onward Holdings Co. Ltd.                                 96     0.04             18 Seika Corp.                                      37     0.01
     7 Organo Corp.                                             48     0.02              5 Seikagaku Corp.                                  48     0.02
     4 Origin Electric Co. Ltd.                                 17     0.01              5 Seiko Holdings Corp.                             13        –
     2 Osaka Steel Co. Ltd.                                     24     0.01             17 Seino Holdings Corp.                            118     0.05
     2 OYO Corp.                                                15         –             3 Seiren Co. Ltd.                                  16     0.01
     6 Pacific Industrial Co. Ltd.                              28     0.01              2 Sekisui Jushi Corp.                              18     0.01
     5 PanaHome Corp.                                           30     0.01              7 Sekisui Plastics Co. Ltd.                        32     0.01
     2 Paramount Bed Co. Ltd.                                   30     0.01              7 Senko Co. Ltd.                                   28     0.01
     7 Parco Co. Ltd.                                           53     0.02              3 Senshukai Co. Ltd.                               14     0.01
     4 Paris Miki Holdings, Inc.                                29     0.01              2 Shibuya Kogyo Co. Ltd.                           18     0.01
    32 Penta-Ocean Construction Co. Ltd.                        47     0.02             31 Shikibo Ltd.                                     40     0.01
     1 Piolax, Inc.                                             18     0.01              5 Shikoku Chemicals Corp.                          25     0.01
    12 Pioneer Corp.                                            45     0.02              2 Shima Seiki Manufacturing Ltd.                   53     0.02
     2 Plenus Co. Ltd.                                          20     0.01              4 Shimachu Co. Ltd.                                77     0.03
     9 Press Kogyo Co. Ltd.                                     26     0.01              6 Shinagawa Refractories Co. Ltd.                  16     0.01
    41 Prima Meat Packers Ltd.                                  43     0.02              7 Shindengen Electric Manufacturing Co. Ltd.       23     0.01
    13 Promise Co. Ltd.                                         91     0.04              4 Shin-Etsu Polymer Co. Ltd.                       23     0.01
     7 Pronexus, Inc.                                           37     0.01              1 Shinkawa Ltd.                                    18     0.01
     5 Renesas Electronics Corp.                                54     0.02              2 Shinko Shoji Co. Ltd.                            19     0.01
     5 Renown, Inc.                                             15         –            12 Shinmaywa Industries Ltd.                        44     0.02
    18 Rhythm Watch Co. Ltd.                                    27     0.01           103 Shinsei Bank Ltd.                                104     0.04
     2 Ricoh Leasing Co. Ltd.                                   38     0.01             18 Shinwa Kaiun Kaisha Ltd.                         53     0.02
     5 Riken Corp.                                              17     0.01              – Ship Healthcare Holdings, Inc.                   13        –
    13 Riken Technos Corp.                                      35     0.01             11 Shiroki Corp.                                    29     0.01
     2 Riso Kagaku Corp.                                        21     0.01              5 Shizuoka Gas Co. Ltd.                            27     0.01
     2 Rock Field Co. Ltd.                                      20     0.01              2 Shoei Co. Ltd.                                   13     0.01
     3 Roland Corp.                                             28     0.01              1 Showa Aircraft Industry Co. Ltd.                  7        –
     – Roland DG Corp.                                           1         –            11 Showa Corp.                                      69     0.03
     6 Round One Corp.                                          42     0.02             10 Showa Sangyo Co. Ltd.                            29     0.01
     2 Royal Holdings Co. Ltd.                                  19     0.01              8 Sinanen Co. Ltd.                                 32     0.01
    13 Ryobi Ltd.                                               44     0.02              6 Sintokogio Ltd.                                  41     0.02
     3 Ryoden Trading Co. Ltd.                                  16     0.01              – SKY Perfect JSAT Holdings, Inc.                  82     0.03
     5 Ryosan Co. Ltd.                                         113     0.04              9 SMK Corp.                                        41     0.02
     7 Ryoyo Electro Corp.                                      69     0.03              4 Sodick Co. Ltd.                                  14     0.01
     3 S Foods, Inc.                                            20     0.01              9 Sohgo Security Services Co. Ltd.                 90     0.03
    15 Sakai Chemical Industry Co. Ltd.                         61     0.02           152 Sojitz Corp.                                     253     0.10
     5 Sakata INX Corp.                                         21     0.01              5 Star Micronics Co. Ltd.                          50     0.02
     8 Sakata Seed Corp.                                        97     0.04              1 Starzen Co. Ltd.                                  3        –
     9 Sala Corp.                                               50     0.02             22 Sumikin Bussan Corp.                             49     0.02
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            57
                                               DIMENSIONAL FUNDS II PLC
                                                                       % of                                                                            % of
                                                             Value      Net                                                                  Value      Net
                                                            (000's)   Asset                                                                 (000's)   Asset
Shares (000's)                                                USD     Value       Shares (000's)                                              USD     Value
Common Stock - 99.22% (continued)                                                 Common Stock - 99.22% (continued)
Japan - 12.23% (continued)                                                        Japan - 12.23% (continued)
    20 Suminoe Textile Co. Ltd.                                39     0.01             25 The Hyakujushi Bank Ltd.                              89     0.03
     4 Sumisho Computer Systems Corp.                          52     0.02              9 The Japan Wool Textile Co. Ltd.                       60     0.02
    18 Sumitomo Bakelite Co. Ltd.                              95     0.04             37 The Juroku Bank Ltd.                                 130     0.05
     3 Sumitomo Densetsu Co. Ltd.                              14         –            17 The Kagoshima Bank Ltd.                              105     0.04
    15 Sumitomo Forestry Co. Ltd.                             121     0.05              4 The Kanto Tsukuba Bank Ltd.                           10        –
    52 Sumitomo Osaka Cement Co. Ltd.                         103     0.04             24 The Keiyo Bank Ltd.                                  115     0.04
     2 Sumitomo Pipe & Tube Co. Ltd.                           11         –             1 The Kita-Nippon Bank Ltd.                             12        –
     7 Sumitomo Seika Chemicals Co. Ltd.                       24     0.01              6 The Maruetsu, Inc.                                    23     0.01
    61 SWCC Showa Holdings Co. Ltd.                            58     0.02              7 The Michinoku Bank Ltd.                               13     0.01
     3 T Hasegawa Co. Ltd.                                     41     0.02             14 The Mie Bank Ltd.                                     37     0.01
    17 T RAD Co. Ltd.                                          49     0.02             50 The Minato Bank Ltd.                                  65     0.03
     3 Tachi-S Co. Ltd.                                        28     0.01             22 The Miyazaki Bank Ltd.                                53     0.02
    10 Tadano Ltd.                                             46     0.02              4 The Musashino Bank Ltd.                              112     0.04
     3 Taihei Dengyo Kaisha Ltd.                               22     0.01              7 The Nagano Bank Ltd.                                  13     0.01
    13 Taihei Kogyo Co. Ltd.                                   45     0.02             28 The Nanto Bank Ltd.                                  133     0.05
    69 Taiheiyo Cement Corp.                                   92     0.04             19 The Nippon Road Co. Ltd.                              40     0.02
     2 Taiho Kogyo Co. Ltd.                                    12         –             5 The Nippon Synthetic Chemical Industry Co. Ltd.       32     0.01
     4 Taikisha Ltd.                                           49     0.02             56 The Nishi-Nippon City Bank Ltd.                      153     0.06
  126 Taisei Corp.                                           242      0.09             11 The Nisshin Oillio Group Ltd.                         54     0.02
     8 Taiyo Yuden Co. Ltd.                                   105     0.04             35 The Ogaki Kyoritsu Bank Ltd.                         107     0.04
     3 Takamatsu Construction Group Co., Ltd.                  35     0.01             16 The Oita Bank Ltd.                                    52     0.02
    13 Takara Standard Co. Ltd.                                77     0.03              4 The Pack Corp.                                        60     0.02
     8 Takasago International Corp.                            35     0.01             19 The San-In Godo Bank Ltd.                            134     0.05
     8 Takasago Thermal Engineering Co. Ltd.                   68     0.03              4 The Sankei Building Co. Ltd.                          23     0.01
    18 Takashimaya Co. Ltd.                                   158     0.06             13 The Shibusawa Warehouse Co. Ltd.                      43     0.02
     4 Takata Corp.                                            83     0.03             31 The Shiga Bank Ltd.                                  167     0.06
    15 Takefuji Corp.                                          46     0.02             24 The Shikoku Bank Ltd.                                 70     0.03
     8 Takihyo Co. Ltd.                                        33     0.01              1 The Shimizu Bank Ltd.                                 18     0.01
     4 Tamron Co. Ltd.                                         64     0.02             20 The Sumitomo Warehouse Co. Ltd.                       90     0.04
     5 Tamura Corp.                                            14     0.01             16 The Tochigi Bank Ltd.                                 64     0.02
     8 Tatsuta Electric Wire and Cable Co. Ltd.                18     0.01             38 The Toho Bank Ltd.                                   112     0.04
     7 Tecmo Koei Holdings Co. Ltd.                            44     0.02              3 The Tokyo Tomin Bank Ltd.                             38     0.01
    20 Tekken Corp.                                            19     0.01              2 The Torigoe Co. Ltd.                                  17     0.01
     1 Tenma Corp.                                             15     0.01              7 The Tottori Bank Ltd.                                 19     0.01
    47 The 77 Bank Ltd.                                      242      0.09             19 The Towa Bank Ltd.                                    15     0.01
     1 The Aichi Bank Ltd.                                     75     0.03              2 The Yachiyo Bank Ltd.                                 47     0.02
    37 The Akita Bank Ltd.                                   122      0.05             17 The Yamagata Bank Ltd.                                73     0.03
    21 The Aomori Bank Ltd.                                    47     0.02             17 The Yamanashi Chuo Bank Ltd.                          66     0.03
    25 The Awa Bank Ltd.                                     142      0.05              6 The Yasuda Warehouse Co. Ltd.                         35     0.01
     2 The Bank of Iwate Ltd.                                  99     0.04              – TKC Corp.                                              7        –
    23 The Bank of Nagoya Ltd.                                 77     0.03             17 TOA Corp.                                             18     0.01
     2 The Bank of Okinawa Ltd.                                73     0.03             15 Toagosei Co. Ltd.                                     64     0.02
    24 The Bank of Saga Ltd.                                   66     0.03              7 Tobu Store Co. Ltd.                                   20     0.01
     2 The Chiba Kogyo Bank Ltd.                               12         –            13 TOC Co. Ltd.                                          51     0.02
     9 The Chukyo Bank Ltd.                                    24     0.01             16 Toda Corp.                                            53     0.02
     4 The Daiei, Inc.                                         19     0.01             14 Toei Co. Ltd.                                         63     0.02
    14 The Daisan Bank Ltd.                                    36     0.01              9 Toenec Corp.                                          47     0.02
    41 The Daishi Bank Ltd.                                   127     0.05              5 Toho Holdings Co. Ltd.                                78     0.03
    25 The Ehime Bank Ltd.                                     62     0.02             15 Toho Zinc Co. Ltd.                                    61     0.02
    24 The Eighteenth Bank Ltd.                                65     0.03              4 Tokai Rika Co.                                        84     0.03
    24 The Fuji Fire & Marine Insurance Co. Ltd.               34     0.01              4 Tokai Rubber Industries, Inc.                         46     0.02
    28 The Fukui Bank Ltd.                                     82     0.03             38 Tokai Tokyo Financial Holdings, Inc.                 135     0.05
    23 The Fukushima Bank Ltd.                                 13     0.01             27 Tokushu Tokai Holdings Co. Ltd.                       64     0.02
    52 The Gunma Bank Ltd.                                    267     0.10             37 Tokuyama Corp.                                       191     0.07
    24 The Higashi-Nippon Bank Ltd.                            43     0.02             27 Tokyo Dome Corp.                                      69     0.03
    25 The Higo Bank Ltd.                                     127     0.05              4 Tokyo Energy & Systems, Inc.                          25     0.01
    31 The Hokkoku Bank Ltd.                                  105     0.04              5 Tokyo Ohka Kogyo Co. Ltd.                             89     0.03
    36 The Hokuetsu Bank Ltd.                                  57     0.02              4 Tokyo Rakutenchi Co. Ltd.                             15     0.01
    32 The Hyakugo Bank Ltd.                                 131      0.05             12 Tokyo Rope Manufacturing Co. Ltd.                     27     0.01
                                          The accompanying notes are an integral part of the Financial Statements
                                                                           58
                                              DIMENSIONAL FUNDS II PLC
                                                                      % of                                                                    % of
                                                            Value      Net                                                          Value      Net
                                                           (000's)   Asset                                                         (000's)   Asset
Shares (000's)                                               USD     Value       Shares (000's)                                      USD     Value
Common Stock - 99.22% (continued)                                                Common Stock - 99.22% (continued)
Japan - 12.23% (continued)                                                       Japan - 12.23% (continued)
     4 Tokyo Seimitsu Co. Ltd.                                59     0.02              – Yoshinoya Holdings Co. Ltd.                   32     0.01
    14 Tokyo Steel Manufacturing Co. Ltd.                    153     0.06             18 Yuasa Trading Co. Ltd.                        16     0.01
     6 Tokyo Style Co. Ltd.                                   46     0.02              4 Yurtec Corp.                                  15     0.01
    50 Tokyo Tatemono Co. Ltd.                               186     0.07             12 Zeon Corp.                                    69     0.03
    19 Tokyotokeiba Co. Ltd.                                  26     0.01              3 Zuken, Inc.                                   18     0.01
     2 Tokyu Community Corp.                                  61     0.02                                                          31,589    12.23
    13 Tokyu Construction Co. Ltd.                            34     0.01        Netherlands - 1.42%
     9 Tomato Bank Ltd.                                       17     0.01             13 Aalberts Industries NV                       155     0.06
     1 Tomen Electronics Corp.                                12         –             1 Accell Group                                  42     0.02
    11 Tomoku Co. Ltd.                                        29     0.01              3 ASM International NV                          59     0.02
    27 TOMONY Holdings, Inc.                                  77     0.03              3 BinckBank NV                                  39     0.02
     7 Tonami Holdings Co. Ltd.                               14     0.01              3 Cat Oil AG                                    28     0.01
    10 Topcon Corp.                                           52     0.02              6 Crucell NV                                   112     0.04
     7 Toppan Forms Co. Ltd.                                  72     0.03              6 CSM                                          185     0.07
     8 Topre Corp.                                            56     0.02              2 Draka Holding NV                              33     0.01
    31 Topy Industries Ltd.                                   64     0.02              2 Grontmij NV                                   41     0.02
     1 Torii Pharmaceutical Co. Ltd.                          20     0.01              3 Heijmans NV                                   43     0.02
     9 Toshiba Machine Co. Ltd.                               37     0.01              – Hunter Douglas NV                              8        –
    13 Toshiba TEC Corp.                                      47     0.02              – Kardan NV                                      1        –
     4 Totetsu Kogyo Co. Ltd.                                 23     0.01              1 KAS Bank NV                                    9        –
     3 Touei Housing Corp.                                    29     0.01              1 Kendrion NV                                   15        –
     6 Toyo Corp.                                             56     0.02             10 Koninklijke BAM Groep NV                      63     0.02
    10 Toyo Engineering Corp.                                 30     0.01              5 Koninklijke Boskalis Westminster NV          189     0.07
    32 Toyo Ink Manufacturing Co. Ltd.                       118     0.05             13 Koninklijke DSM NV                           522     0.20
     9 Toyo Kanetsu KK                                        15     0.01              6 Koninklijke Vopak NV                         233     0.09
    12 Toyo Kohan Co. Ltd.                                    60     0.02              1 Macintosh Retail Group NV                     16     0.01
     5 Toyo Securities Co. Ltd.                                8         –             6 Mediq NV                                     106     0.04
    21 Toyo Tire & Rubber Co. Ltd.                            47     0.02              3 Nutreco Holding NV                           141     0.05
    10 Toyobo Co. Ltd.                                        15     0.01              3 Ordina NV                                     12        –
     3 Toyota Auto Body Co. Ltd.                              46     0.02              9 Randstad Holding NV                          362     0.14
     2 Trusco Nakayama Corp.                                  22     0.01             16 SBM Offshore NV                              249     0.10
    17 Tsubakimoto Chain Co.                                  74     0.03              1 Sligro Food Group NV                          16     0.01
     2 Tsukishima Kikai Co. Ltd.                              14         –            12 SNS Reaal NV                                  61     0.02
     1 Tsutsumi Jewelry Co. Ltd.                              24     0.01             71 STMicroelectronics NV                        555     0.21
     – TV Asahi Corp.                                         49     0.02              3 Telegraaf Media Groep NV                      52     0.02
     7 Ube Material Industries Ltd.                           16     0.01              4 Ten Cate NV                                   87     0.03
     5 Uchida Yoko Co. Ltd.                                   13     0.01              3 TKH Group NV                                  55     0.02
    11 Uniden Corp.                                           30     0.01             12 TomTom NV                                     78     0.03
     2 Unimat Life Corp.                                      28     0.01             10 USG People NV                                143     0.06
     3 Unipres Corp.                                          50     0.02              3 Wavin NV                                      36     0.01
    26 UNY Co. Ltd.                                          202     0.08                                                           3,746     1.42
     2 U-Shin Ltd.                                            14     0.01
     4 Valor Co. Ltd.                                         30     0.01        New Zealand - 0.31%
     3 Vital KSK Holdings, Inc.                               14     0.01             59 Air New Zealand Ltd.                          48     0.02
     2 Warabeya Nichiyo Co. Ltd.                              18     0.01             91 Auckland International Airport Ltd.          116     0.04
     3 Xebio Co. Ltd.                                         47     0.02             38 Contact Energy Ltd.                          152     0.06
     6 Yahagi Construction Co. Ltd.                           36     0.01           201 Fisher & Paykel Appliances Holdings Ltd.       75     0.03
    26 Yamaguchi Financial Group, Inc.                       247     0.10              8 Fletcher Building Ltd.                        45     0.02
     6 Yamaha Corp.                                           58     0.02              2 Mainfreight Ltd.                               9        –
    21 Yamatane Corp.                                         29     0.01             55 New Zealand Oil & Gas Ltd.                    52     0.02
     6 Yamazen Corp.                                          23     0.01             34 Nuplex Industries Ltd.                        69     0.03
     5 Yellow Hat Ltd.                                        31     0.01             42 PGG Wrightson Ltd.                            16     0.01
    14 Yodogawa Steel Works Ltd.                              53     0.02             19 Port of Tauranga Ltd.                         88     0.03
     3 Yokogawa Bridge Holdings Corp.                         18     0.01             53 Pyne Gould Corp. Ltd.                         16     0.01
     3 Yokohama Reito Co. Ltd.                                21     0.01              4 Sanford Ltd.                                  12        –
     5 Yomeishu Seizo Co. Ltd.                                46     0.02             23 Sky Network Television Ltd.                   71     0.03
     3 Yondenko Corp.                                         13         –             5 Steel & Tube Holdings Ltd.                     7        –
     5 Yonekyu Corp.                                          45     0.02              4 The New Zealand Refining Co. Ltd.              9        –
     1 Yorozu Corp.                                           13         –            15 Tower Ltd.                                    19     0.01
                                         The accompanying notes are an integral part of the Financial Statements
                                                                          59
                                              DIMENSIONAL FUNDS II PLC
                                                                      % of                                                              % of
                                                            Value      Net                                                    Value      Net
                                                           (000's)   Asset                                                   (000's)   Asset
Shares (000's)                                               USD     Value        Shares (000's)                               USD     Value
Common Stock - 99.22% (continued)                                                 Common Stock - 99.22% (continued)
New Zealand - 0.31% (continued)                                                   Singapore - 0.93% (continued)
                                                               804     0.31          38 Guocoland Ltd.                           55     0.02
Norway - 0.63%                                                                       23 Haw Par Corp. Ltd.                       95     0.04
    1 Aker ASA, Class A                                         25     0.01          61 Hi-P International Ltd.                  23     0.01
    1 Aktiv Kapital ASA                                          6        –          37 Ho Bee Investment Ltd.                   37     0.01
    5 Atea ASA                                                  34     0.01          85 Hong Fok Corp. Ltd.                      30     0.01
    7 Austevoll Seafood ASA                                     43     0.02          35 Hong Leong Asia Ltd.                     80     0.03
    2 Bonheur ASA                                               38     0.01          45 Hong Leong Finance Ltd.                  92     0.04
   16 BW Offshore Ltd.                                          22     0.01          10 Hotel Grand Central Ltd.                  5        –
    3 Camillo Eitzen & Co. ASA                                   5        –          27 Hotel Properties Ltd.                    39     0.02
    4 Cermaq ASA                                                36     0.01          63 HTL International Holdings Ltd.          27     0.01
    9 Copeinca ASA                                              56     0.02          33 Hwa Hong Corp. Ltd.                      12        –
    2 Dockwise Ltd.                                             50     0.02         107 Jaya Holdings Ltd.                       46     0.02
    3 DOF ASA                                                   21     0.01         119 K1 Ventures Ltd.                         12        –
    5 EDB Business Partner ASA                                  11        –          51 Keppel Land Ltd.                        126     0.05
   48 Eitzen Chemical ASA                                       14     0.01          28 Kim Eng Holdings Ltd.                    30     0.01
    2 Ekornes ASA                                               31     0.01          50 KS Energy Services Ltd.                  40     0.02
    1 Farstad Shipping ASA                                      27     0.01          53 Low Keng Huat Singapore Ltd.             17     0.01
    1 Ganger Rolf ASA                                           32     0.01          15 MCL Land Ltd.                            19     0.01
   29 Golden Ocean Group Ltd                                    45     0.02          45 Metro Holdings Ltd.                      24     0.01
   58 Kongsberg Automotive ASA                                  34     0.01          44 Neptune Orient Lines Ltd.                59     0.02
  351 Marine Harvest ASA                                       283     0.11          33 Orchard Parade Holdings Ltd.             23     0.01
   38 Norske Skogindustrier ASA                                 42     0.02            3 Pan Pacific Hotels Group Ltd.            3        –
   12 Norwegian Energy Co. ASA                                  25     0.01          38 QAF Ltd.                                 17     0.01
    5 Petroleum Geo-Services ASA                                46     0.02          51 SC Global Developments Ltd.              57     0.02
   24 Prosafe Production Public Ltd.                            53     0.02          22 Singapore Land Ltd.                     100     0.04
    7 Scorpion Offshore Ltd.                                    44     0.02          92 Sinomem Technology Ltd.                  32     0.01
   54 Sevan Marine ASA                                          59     0.02          28 Soilbuild Group Holdings Ltd.            12        –
    2 Siem Offshore A/S                                          3        –         152 Stamford Land Corp. Ltd.                 48     0.02
    – Solstad Offshore ASA                                       6        –          49 Super Group Ltd.                         30     0.01
   15 Songa Offshore SE                                         53     0.02          38 Swiber Holdings Ltd.                     26     0.01
    6 SpareBank 1 SMN                                           38     0.01          64 Tat Hong Holdings Ltd.                   41     0.02
   49 Storebrand ASA                                           264     0.10          46 United Engineers Ltd.                    73     0.03
   12 TGS Nopec Geophysical Co. ASA                            168     0.07          90 United Industrial Corp. Ltd.            134     0.05
    4 Tomra Systems ASA                                         16     0.01          35 UOB-Kay Hian Holdings Ltd.               37     0.01
    1 Wilh Wilhelmsen ASA, Class A                              26     0.01          70 UOL Group Ltd.                          193     0.07
                                                             1,656     0.63          35 Venture Corp. Ltd.                      210     0.08
                                                                                     11 WBL Corp. Ltd.                           37     0.01
Portugal - 0.22%                                                                     45 Wheelock Properties Singapore Ltd.       57     0.02
    56 Banco BPI S.A.                                          109     0.04          75 Wing Tai Holdings Ltd.                   81     0.03
  224 Banco Comercial Portugues S.A., Class R                  176     0.07         250 Yongnam Holdings Ltd.                    41     0.02
    23 Banco Espirito Santo S.A.                                90     0.03                                                   2,430     0.93
    13 BANIF SGPS S.A.                                          13        –
    29 Portucel Empresa Produtora de Pasta e Papel S.A.         71     0.03       Spain - 1.01%
     6 Semapa-Sociedade de Investimento e Gestao SGPS                                  4 Abengoa S.A.                            65     0.02
         S.A.                                                   52     0.02            3 Acciona S.A.                           256     0.10
    19 Sonae Industria SGPS S.A.                                50     0.02            2 Acerinox S.A.                           38     0.01
    11 Sonaecom - SGPS S.A.                                     18     0.01            5 Almirall S.A.                           44     0.02
     1 Teixeira Duarte - Engenharia Construcoes S.A.             1        –            2 Amper S.A.                               9        –
                                                               580     0.22            2 Avanzit S.A.                             1        –
                                                                                       3 Azkoyen S.A.                             9        –
Singapore - 0.93%                                                                   106 Banco de Sabadell S.A.                  452     0.17
  113 Abterra Ltd.                                               4        –          15 Banco De Valencia S.A.                   67     0.03
  120 Allgreen Properties Ltd.                                  87     0.03            – Banco De Valencia-RFD                    1        –
  206 Asia Food & Properties Ltd.                               81     0.03            9 Banco Espanol de Credito S.A.           71     0.03
   90 Banyan Tree Holdings Ltd.                                 50     0.02          10 Banco Guipuzcoano S.A., Class R          61     0.02
   10 Bukit Sembawang Estates Ltd.                              34     0.01          19 Banco Pastor S.A.                        84     0.03
   50 CH Offshore Ltd.                                          18     0.01          15 Bankinter S.A.                           85     0.03
   45 China Merchants Holdings Pacific Ltd.                     20     0.01            – Baron de Ley S.A.                       19     0.01
     6 Creative Technology Ltd.                                 16     0.01            2 Caja de Ahorros del Mediterraneo        15     0.01
                                         The accompanying notes are an integral part of the Financial Statements
                                                                          60
                                                DIMENSIONAL FUNDS II PLC
                                                                        % of                                                                      % of
                                                              Value      Net                                                            Value      Net
                                                             (000's)   Asset                                                           (000's)   Asset
Shares (000's)                                                 USD     Value        Shares (000's)                                       USD     Value
Common Stock - 99.22% (continued)                                                   Common Stock - 99.22% (continued)
Spain - 1.01% (continued)                                                           Sweden - 1.40% (continued)
     2 Campofrio Food Group S.A.                                  20     0.01           6 Haldex AB                                        52     0.02
     1 Cementos Portland Valderrivas S.A.                         21     0.01          14 Hexagon AB, Class B                             172     0.07
     1 Cia Espanola de Petroleos S.A.                             30     0.01           1 Hexpol AB                                        13        –
     – Construcciones y Auxiliar de Ferrocarriles S.A.            83     0.03           2 Hoganas AB, Class B                              58     0.02
   11 Ebro Puleva S.A.                                           186     0.07           7 Holmen AB, Class B                              160     0.06
     1 Ercros S.A.                                                 1        –           3 Industrial & Financial Systems AB, Class B       32     0.01
     9 Ferrovial SA                                               63     0.02          12 JM AB                                           168     0.06
     4 Fluidra S.A.                                               10        –           8 Lindab International AB                          83     0.03
     2 Fomento de Construcciones y Contratas S.A.                 38     0.01           9 Loomis AB, Class B                               84     0.03
   14 Gamesa Corp. Tecnologica S.A.                              132     0.05          13 Lundin Petroleum AB                              60     0.02
     2 General de Alquiler de Maquinaria S.A.                      5        –          30 Meda AB, Class A                                230     0.09
     4 Grupo Catalana Occidente S.A.                              65     0.03          15 Micronic Mydata AB                               24     0.01
   16 Grupo Empresarial Ence S.A.                                 47     0.02          11 NCC AB, Class B                                 168     0.06
   29 Iberia Lineas Aereas de Espana S.A.                         81     0.03           5 New Wave Group AB, Class B                       23     0.01
   58 La Seda de Barcelona S.A., Class B                          24     0.01           5 Niscayah Group AB                                 9        –
     2 Mecalux S.A.                                               40     0.01          16 Nobia AB                                         71     0.03
     1 Natra S.A.                                                  2        –           5 Nolato AB, Class B                               50     0.02
     9 Natraceutical S.A.                                          4        –          30 PA Resources AB                                  26     0.01
   11 NH Hoteles S.A.                                             37     0.01          14 Peab AB                                          69     0.03
     3 Obrascon Huarte Lain S.A.                                  86     0.03           4 Proffice AB, Class B                             13        –
     4 Papeles y Cartones de Europa S.A.                          14     0.01           7 Rezidor Hotel Group AB                           31     0.01
     1 Pescanova S.A.                                             19     0.01          28 RNB Retail and Brands AB                         28     0.01
     8 Promotora de Informaciones S.A.                            21     0.01           3 Rottneros AB                                      3        –
   21 Realia Business S.A.                                        39     0.02           5 Saab AB, Class B                                 66     0.02
     7 Sacyr Vallehermoso S.A.                                    39     0.01         443 SAS AB                                           47     0.02
   11 Service Point Solutions S.A.                                 8        –          10 SSAB AB, Class B                                124     0.05
     8 Sociedad Nacional de Industrias Apicaciones                                     21 SSAB Svenskt Stal AB, Class A                   306     0.12
         Celulosa Espanola S.A.                                   12        –           – Studsvik AB                                       3        –
     8 Sol Melia S.A.                                             52     0.02          33 Trelleborg AB, Class B                          197     0.08
     2 SOS Corporacion Alimentaria S.A.                            5        –                                                           3,730     1.40
     5 Telecomunicaciones y Energia S.A.                          15     0.01       Switzerland - 2.48%
   10 Tubacex S.A.                                                29     0.01            – Acino Holding AG                                24     0.01
   12 Tubos Reunidos S.A.                                         26     0.01            – Affichage Holding S.A.                           9        –
     2 Vidrala S.A.                                               38     0.01            2 AFG Arbonia-Forster-Holding AG                  45     0.02
     5 Viscofan S.A.                                             128     0.05            1 Allreal Holding AG                             132     0.05
     4 Vocento S.A.                                               18     0.01            9 Aryzta AG                                      304     0.12
                                                               2,715     1.01            3 Ascom Holding AG                                24     0.01
Sweden - 1.40%                                                                           – Bachem Holding AG, Class B                       3        –
    3 AarhusKarlshamn AB                                          59     0.02            7 Baloise Holding AG                             461     0.18
    5 Acando AB, Class B                                           8        –            1 Bank Coop AG                                    51     0.02
    2 AF AB, Class B                                              43     0.02            3 Bank Sarasin & Cie AG, Class B                 113     0.04
    3 B&B Tools AB, Class B                                       41     0.02            – Banque Cantonale de Geneve                       8        –
    – Beijer AB G&L, Class B                                       7        –            – Banque Cantonale Vaudoise                      176     0.07
    1 Beijer Alma AB, Class B                                      7        –            1 Basler Kantonalbank                            107     0.04
    4 Bilia AB, Class A                                           43     0.02            – Bell Holding AG                                  9        –
    8 Billerud AB                                                 50     0.02            1 Bellevue Group AG                               17     0.01
    5 Biovitrum AB                                                25     0.01            1 Berner Kantonalbank AG                         146     0.06
   35 Boliden AB                                                 419     0.16            1 Bobst Group AG                                  41     0.02
    7 Bure Equity AB                                              25     0.01            1 Bucher Industries AG                            95     0.04
    2 Cardo AB                                                    42     0.02            – Cham Paper Holding AG                           12        –
    2 Cloetta AB, Class B                                         12        –            1 Charles Voegele Holding AG                      42     0.02
    8 D Carnegie AB                                                –        –          31 Clariant AG                                     359     0.14
    3 Duni AB                                                     23     0.01            – Conzzeta AG                                     87     0.03
    3 East Capital Explorer AB                                    31     0.01            1 Daetwyler Holding AG                            46     0.02
   16 Electrolux AB, Class B                                     352     0.13            1 Dufry Group                                     54     0.02
   27 Eniro AB                                                    57     0.02            6 EFG International AG                            83     0.03
    8 Gunnebo AB                                                  33     0.01            – EGL AG                                          42     0.01
    6 Hakon Invest AB                                             83     0.03            1 Emmi AG                                        113     0.04
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            61
                                                DIMENSIONAL FUNDS II PLC
                                                                    % of                                                          % of
                                                          Value      Net                                                Value      Net
                                                         (000's)   Asset                                               (000's)   Asset
Shares (000's)                                             USD     Value        Shares (000's)                           USD     Value
Common Stock - 99.22% (continued)                                               Common Stock - 99.22% (continued)
Switzerland - 2.48% (continued)                                                 United Kingdom - 9.02% (continued)
     2 Energiedienst Holding AG                             108     0.04             31 Ark Therapeutics Group PLC          4        –
     1 Flughafen Zuerich AG                                 146     0.06             27 Arriva PLC                        303     0.12
     – Forbo Holding AG                                      59     0.02             65 Ashtead Group PLC                 100     0.04
   10 GAM Holding Ltd.                                      104     0.04             27 Assura Group Ltd.                  16     0.01
     1 Georg Fischer AG                                     169     0.07             80 Balfour Beatty PLC                294     0.11
     – Gurit Holding AG                                      18     0.01           137 Barratt Developments PLC           214     0.08
     1 Helvetia Holding AG                                  166     0.06             83 BBA Aviation PLC                  224     0.09
     1 Implenia AG                                           27     0.01             61 Beazley PLC                       100     0.04
     1 Kardex AG                                             19     0.01             13 Bellway PLC                       135     0.05
     – Komax Holding AG                                      16     0.01             14 Berkeley Group Holdings PLC       160     0.06
     1 Kudelski S.A.                                         30     0.01              3 Bloomsbury Publishing PLC           5        –
     – Kuoni Reisen Holding AG                               99     0.04             20 Bodycote PLC                       57     0.02
     1 Liechtensteinische Landesbank AG                      55     0.02             14 Bovis Homes Group PLC              81     0.03
     1 Luzerner Kantonalbank AG                             164     0.06             41 Brewin Dolphin Holdings PLC        76     0.03
     – Metall Zug AG, Class B                                93     0.04              9 Brit Insurance Holdings NV         96     0.04
     2 Micronas Semiconductor Holding AG                     10         –            76 British Airways PLC               222     0.09
     – Mikron Holding AG, Class B                             2         –            11 BSS Group PLC, Class A             68     0.03
     1 Mobimo Holding AG                                    109     0.04             21 BTG PLC                            53     0.02
     1 OC Oerlikon Corp. AG                                   4         –            51 Carillion PLC                     235     0.09
     – Orascom Development Holding AG                        11         –            25 Carphone Warehouse Group PLC       69     0.03
     1 Panalpina Welttransport Holding AG                    79     0.03             40 Catlin Group Ltd.                 190     0.07
     9 Petroplus Holdings AG                                136     0.05             19 Charter International PLC         189     0.07
     – Phoenix Mecano AG                                     26     0.01             69 Chaucer Holdings PLC               43     0.02
     – PubliGroupe AG                                        18     0.01             15 Chesnara PLC                       43     0.02
     1 Rieter Holding AG                                    143     0.06             15 Cineworld Group PLC                41     0.02
     – Romande Energie Holding S.A., Class B                134     0.05              2 Clarkson PLC                       24     0.01
     – Schweiter Technologies AG                             42     0.02             20 Close Brothers Group PLC          211     0.08
     1 Schweizerische National-Versicherungs-                                        24 Collins Stewart PLC                27     0.01
        Gesellschaft AG                                      31     0.01             50 Colt Group S.A.                    92     0.04
     – Siegfried Holding AG                                   7         –             8 Computacenter PLC                  36     0.01
     – Sika AG                                              366     0.14             14 Connaught PLC                      65     0.03
     – St. Galler Kantonalbank AG                           142     0.05              2 Consort Medical PLC                12        –
     3 Sulzer AG                                            277     0.11             38 Cookson Group PLC                 263     0.10
     4 Swiss Life Holding AG                                432     0.17              4 Cranswick PLC                      46     0.02
     1 Swiss Steel AG                                        24     0.01             27 CSR PLC                           152     0.06
   18 Swisslog Holding AG                                    13         –            28 Dairy Crest Group PLC             150     0.06
     – Tamedia AG                                            36     0.01              8 Dana Petroleum PLC                129     0.05
     1 Valiant Holding AG                                   225     0.09             29 Davis Service Group PLC           163     0.06
     1 Valora Holding AG                                    128     0.05           150 Debenhams PLC                      128     0.05
     – Verwalt & Privat-Bank AG                              40     0.02              8 Development Securities PLC         28     0.01
     3 Vontobel Holding AG                                   71     0.03             21 Devro PLC                          52     0.02
     – Winterthur Technologie AG, Class A                     8         –          222 Dimension Data Holdings PLC        326     0.13
     – Ypsomed Holding AG                                    13         –            14 Diploma PLC                        47     0.02
     – Zehnder Group AG, Class B                             30     0.01              9 Domino Printing Sciences PLC       53     0.02
     – Zuger Kantonalbank AG                                 28     0.01             33 Drax Group PLC                    158     0.06
                                                          6,461     2.48             54 DS Smith PLC                       91     0.03
United Kingdom - 9.02%                                                             416    DSG International PLC           159     0.06
  143 3i Group PLC                                          590     0.23              5 E2V Technologies PLC                4        –
     2 A.G.Barr PLC                                          22     0.01             24 EasyJet PLC                       138     0.05
   98 Aberdeen Asset Management PLC                         199     0.08             32 Electrocomponents PLC             100     0.04
   75 Afren PLC                                             102     0.04             53 Elementis PLC                      51     0.02
     6 Aga Foodservice Group PLC                              8         –            18 EnQuest PLC                        25     0.01
     7 Air Berlin PLC                                        27     0.01             71 Enterprise Inns PLC               117     0.04
     5 Allied World Assurance Co. Holdings Ltd.             234     0.09             20 Evolution Group PLC                28     0.01
   50 Amlin PLC                                             271     0.10             71 F&C Asset Management PLC           59     0.02
     8 Anglo Pacific Group PLC                               27     0.01             22 Fenner PLC                         63     0.03
   42 Anite PLC                                              19     0.01             16 Filtrona PLC                       45     0.02
   38 Antisoma PLC                                            3         –             8 Findel PLC                          3        –
                                                                                      3 Forth Ports PLC                    44     0.02
                                        The accompanying notes are an integral part of the Financial Statements
                                                                         62
                                              DIMENSIONAL FUNDS II PLC
                                                                      % of                                                               % of
                                                            Value      Net                                                     Value      Net
                                                           (000's)   Asset                                                    (000's)   Asset
Shares (000's)                                               USD     Value       Shares (000's)                                 USD     Value
Common Stock - 99.22% (continued)                                                Common Stock - 99.22% (continued)
United Kingdom - 9.02% (continued)                                               United Kingdom - 9.02% (continued)
     2 Fuller Smith & Turner, Class A                         13     0.01              9 Mothercare PLC                           68     0.03
     7 Galliford Try PLC                                      35     0.01             16 N Brown Group PLC                        57     0.02
   56 Game Group PLC                                          74     0.03             50 National Express Group PLC              169     0.07
   13 Gem Diamonds Ltd.                                       43     0.02             10 Northgate PLC                            26     0.01
     5 Genus PLC                                              48     0.02             11 Novae Group PLC                          47     0.02
  187 GKN PLC                                               335      0.13           426 Old Mutual PLC                           702     0.27
   30 Greene King PLC                                       170      0.07             30 Paragon Group of Cos PLC                 58     0.02
   10 Greggs PLC                                              65     0.02             59 Pendragon PLC                            23     0.01
     – Halfords Group PLC                                      2         –            39 Persimmon PLC                           230     0.09
   38 Hampson Industries PLC                                  29     0.01              5 Petropavlovsk PLC                        85     0.03
     4 Hardy Underwriting Bermuda Ltd.                        12         –             5 Phoenix IT Group Ltd.                    15     0.01
     7 Headlam Group PLC                                      22     0.01             44 Photo-Me International PLC               22     0.01
   20 Helical Bar PLC                                         82     0.03           353 Premier Foods PLC                        116     0.04
   28 Helphire PLC                                            18     0.01              8 Premier Oil PLC                         127     0.05
   10 Hikma Pharmaceuticals PLC                               98     0.04             24 Psion PLC, Class B                       27     0.01
     6 Hill & Smith Holdings PLC                              28     0.01             77 Punch Taverns PLC                        79     0.03
   44 Hiscox Ltd.                                           214      0.08             37 PZ Cussons PLC                          156     0.06
   24 Hochschild Mining PLC                                  101     0.04             63 QinetiQ Group PLC                       118     0.05
     8 Hunting PLC                                            60     0.02             21 Quintain Estates & Development PLC       14     0.01
   15 Huntsworth PLC                                          16         –             4 Rathbone Brothers PLC                    51     0.02
   55 Inchcape PLC                                          231      0.09             49 Redrow PLC                               90     0.03
   25 Innovation Group PLC                                     4         –            77 Regus PLC                                98     0.04
   13 Intec Telecom Systems PLC                               11         –          257 Resolution Ltd.                          231     0.09
   51 Intermediate Capital Group PLC                         192     0.07           113 Rexam PLC                                512     0.20
   20 International Personal Finance PLC                      62     0.02              5 Ricardo PLC                              17     0.01
  199 International Power PLC                                834     0.32              3 Robert Walters PLC                        7        –
   13 Interserve PLC                                          39     0.02              7 RPC Group PLC                            22     0.01
   47 Investec PLC                                          336      0.13             29 RPS Group PLC                            80     0.03
   29 IP Group PLC                                            15     0.01           339 RSA Insurance Group PLC                  574     0.22
     2 James Fisher & Sons PLC                                12         –             8 Salamander Energy PLC                    27     0.01
   24 JJB Sports PLC                                           6         –            23 Savills PLC                             101     0.04
     8 JKX Oil & Gas PLC                                      29     0.01              2 Schroders PLC                            27     0.01
   45 John Wood Group PLC                                   219      0.08              3 Scott Wilson Group PLC                    3        –
   35 Johnston Press PLC                                      10         –            12 SDL PLC                                  74     0.03
   15 Kazakhmys PLC                                         256      0.10             41 Senior PLC                               70     0.03
     5 Keller Group PLC                                       46     0.02              7 Severfield-Rowen PLC                     23     0.01
  279 Kingfisher PLC                                         903     0.35             35 Shanks Group PLC                         50     0.02
     3 Kofax PLC                                              12     0.01             90 SIG PLC                                 154     0.06
   16 Laird PLC                                               27     0.01              2 Soco International PLC                   56     0.02
   18 Lancashire Holdings Ltd.                               125     0.05             17 Southern Cross Healthcare Ltd.           11        –
  633 Legal & General Group PLC                              723     0.28              9 Spectris PLC                            105     0.04
     9 London Stock Exchange Group PLC                        85     0.03             34 Speedy Hire PLC                          14     0.01
   14 Lookers PLC                                             11         –            39 Spice PLC                                22     0.01
   21 Low & Bonar PLC                                          9         –             7 St. Ives Group PLC                        6        –
     9 Luminar Group Holdings PLC                              2         –            23 St. James's Place PLC                    82     0.03
   12 Marshalls PLC                                           17     0.01             10 St. Modwen Properties PLC                26     0.01
   86 Marston's PLC, Class B                                 118     0.05           108 Standard Life PLC                        284     0.11
   24 Mcbride PLC                                             64     0.02              6 Synergy Health PLC                       50     0.02
     2 Mears Group PLC                                         8         –            51 TalkTalk Telecom Group PLC               89     0.03
   16 Mecom Group PLC                                         45     0.02             54 Tate & Lyle PLC                         327     0.13
   84 Meggitt PLC                                           363      0.14           406 Taylor Wimpey PLC                        201     0.08
   64 Melrose PLC                                           205      0.08              2 Ted Baker PLC                            16     0.01
     5 Melrose Resources PLC                                  18     0.01              3 The Vitec Group PLC                      16     0.01
   23 Millennium & Copthorne Hotels PLC                      137     0.05             18 The Weir Group PLC                      242     0.09
   34 Mitchells & Butlers PLC                                156     0.06           113 Thomas Cook Group PLC                    338     0.13
   42 Mitie Group PLC                                       138      0.05           107 Tomkins PLC                              379     0.15
   50 Mondi PLC                                              300     0.12             26 Travis Perkins PLC                      298     0.11
   46 Moneysupermarket.com Group PLC                          41     0.02             42 Trinity Mirror PLC                       60     0.02
     7 Morgan Sindall PLC                                     53     0.02             13 TT electronics PLC                       19     0.01
                                         The accompanying notes are an integral part of the Financial Statements
                                                                          63
                                               DIMENSIONAL FUNDS II PLC
                                                                       % of                                                                         % of
                                                             Value      Net                                                               Value      Net
                                                            (000's)   Asset                                                              (000's)   Asset
Shares (000's)                                                USD     Value        Shares (000's)                                          USD     Value
Common Stock - 99.22% (continued)                                                  Common Stock - 99.22% (continued)
United Kingdom - 9.02% (continued)                                                 United States - 46.94% (continued)
   18 UK Coal PLC                                               12         –             3 American Dental Partners, Inc.                    30     0.01
     5 Umeco PLC                                                25     0.01             10 American Equity Investment Life Holding Co.       94     0.04
     1 Whitbread PLC                                            28     0.01             13 American Financial Group, Inc.                   362     0.14
   93 William Hill PLC                                         238     0.09              2 American Italian Pasta Co., Class A               90     0.03
     6 Wolfson Microelectronics PLC                             15     0.01              3 American Medical Systems Holdings, Inc.           77     0.03
   37 Wolseley PLC                                             879     0.34              3 American National Insurance Co.                  352     0.14
     6 WSP Group PLC                                            30     0.01              1 American Physicians Capital, Inc.                 33     0.01
   21 Xchanging PLC                                             54     0.02              3 American Railcar Industries, Inc.                 49     0.02
  286 Yell Group PLC                                           139     0.05              6 American Reprographics Co.                        53     0.02
                                                            23,347     9.02              2 American Safety Insurance Holdings Ltd.           39     0.01
United States - 46.94%                                                                   6 American Vanguard Corp.                           44     0.02
     3 1st Source Corp.                                         50     0.02              1 American Woodmark Corp.                           29     0.01
     9 99 Cents Only Stores                                    137     0.05              2 America's Car-Mart, Inc.                          58     0.02
     4 AAR Corp.                                                83     0.03             14 AmeriCredit Corp.                                307     0.12
     7 Aaron's, Inc.                                           130     0.05              3 Amerigroup Corp.                                  97     0.04
     2 Abington Bancorp., Inc.                                  14     0.01              2 Ameris Bancorp.                                   23     0.01
     5 ABM Industries, Inc.                                    112     0.04              1 Amerisafe, Inc.                                   24     0.01
     3 AboveNet, Inc.                                          118     0.05              1 Ameron International Corp.                        78     0.03
     4 Abraxis Bioscience, Inc.                                191     0.07              3 AMN Healthcare Services, Inc.                     22     0.01
     7 Accuray, Inc.                                            42     0.02              1 Ampco-Pittsburgh Corp.                            19     0.01
     4 Aceto Corp.                                              23     0.01              3 Amsurg Corp., Class A                             67     0.03
     2 ACI Worldwide, Inc.                                      38     0.02              8 Amtrust Financial Services, Inc.                 100     0.04
     2 Actel Corp.                                              26     0.01             10 Anadigics, Inc.                                   42     0.02
     – ActivIdentity Corp.                                       1         –             2 Analogic Corp.                                    65     0.03
     7 Actuant Corp., Class A                                  131     0.05              3 Anaren, Inc.                                      40     0.02
     2 Acuity Brands, Inc.                                      99     0.04              4 Angiodynamics, Inc.                               60     0.02
     7 Acxiom Corp.                                            129     0.05              4 Anixter International, Inc.                      204     0.08
   16 Adaptec, Inc.                                             48     0.02              3 AnnTaylor Stores Corp.                            71     0.03
     7 ADC Telecommunications, Inc.                             59     0.02              3 AO Smith Corp.                                   131     0.05
     4 Advance America Cash Advance Centers, Inc.               18     0.01             10 AOL, Inc.                                        213     0.08
     3 Advanced Analogic Technologies, Inc.                     10         –             2 Apogee Enterprises, Inc.                          31     0.01
     4 Advanced Energy Industries, Inc.                         44     0.02              4 Applied Industrial Technologies, Inc.            118     0.05
     8 Affymetrix, Inc.                                         54     0.02              – Applied Micro Circuits Corp.                       5        –
   10 AGCO, Inc.                                               285     0.11              2 Applied Signal Technology, Inc.                   30     0.01
     4 Agilysys, Inc.                                           27     0.01              4 Approach Resources, Inc.                          28     0.01
     – Air Methods Corp.                                        13     0.01              7 Arch Capital Group Ltd.                          477     0.18
   13 Air Tran Holdings, Inc.                                   73     0.03              3 Arch Chemicals, Inc.                              90     0.04
     2 Air Transport Services Group, Inc.                        8         –             2 Arctic Cat, Inc.                                  22     0.01
     8 Aircastle Ltd.                                           76     0.03              – Arena Resources, Inc.                             13     0.01
     2 Alamo Group, Inc.                                        39     0.01              3 Argo Group International Holdings Ltd.           103     0.04
     4 Alaska Air Group, Inc.                                  163     0.06              2 Argon ST, Inc.                                    43     0.02
     3 Albany International Corp., Class A                      56     0.02              4 Ariba, Inc.                                       61     0.02
     5 Alexander & Baldwin, Inc.                               155     0.06              3 Arkansas Best Corp.                               67     0.03
     2 Alkermes, Inc.                                           25     0.01              7 Armstrong World Industries, Inc.                 272     0.10
     1 Alleghany Corp.                                         316     0.12             12 Arris Group, Inc.                                130     0.05
   15 Alliance One International, Inc.                          61     0.02             13 Arrow Electronics, Inc.                          358     0.14
   11 Allis-Chalmers Energy, Inc.                               32     0.01              – Arrow Financial Corp.                             10        –
     1 Almost Family, Inc.                                      29     0.01              2 Arthrocare Corp.                                  59     0.02
     4 Alon USA Energy, Inc.                                    30     0.01              4 Asbury Automotive Group, Inc.                     53     0.02
     6 Alterra Capital Holdings Ltd.                           102     0.04              1 Ascent Media Corp., Class A                       34     0.01
     6 Altra Holdings, Inc.                                     69     0.03              9 Ashland, Inc.                                    470     0.18
     2 AM Castle & Co.                                          33     0.01              2 Asset Acceptance Capital Corp.                    11        –
     2 AMCOL International Corp.                                43     0.02              2 Assisted Living Concepts, Inc., Class A           64     0.02
     3 Amedisys, Inc.                                          149     0.06             12   Associated Banc-Corp.                          157     0.06
     2 Amerco, Inc.                                            124     0.05             14 Assurant, Inc.                                   475     0.18
   10 American Apparel, Inc.                                    17     0.01              8 Assured Guaranty Ltd.                            138     0.05
   22 American Capital Ltd.                                    119     0.05              3 Astec Industries, Inc.                            80     0.03
     1 American Commercial Lines, Inc.                          16     0.01             12 Astoria Financial Corp.                          177     0.07
                                                                                         2 ATC Technology Corp.                              46     0.02
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            64
                                               DIMENSIONAL FUNDS II PLC
                                                                       % of                                                                     % of
                                                             Value      Net                                                           Value      Net
                                                            (000's)   Asset                                                          (000's)   Asset
Shares (000's)                                                USD     Value        Shares (000's)                                      USD     Value
Common Stock - 99.22% (continued)                                                  Common Stock - 99.22% (continued)
United States - 46.94% (continued)                                                 United States - 46.94% (continued)
     3 Atlas Air Worldwide Holdings, Inc.                      162     0.06              8 Boyd Gaming Corp.                            101     0.04
     5 Atlas Energy, Inc.                                     139      0.05              6 Brady Corp., Class A                         176     0.07
   14 Atmel Corp.                                               71     0.03              7 Briggs & Stratton Corp.                      138     0.05
     4 ATMI, Inc.                                               68     0.03             11 Brightpoint, Inc.                             78     0.03
     4 ATP Oil & Gas Corp.                                      46     0.02              4 Bristow Group, Inc.                          135     0.05
     4 Atwood Oceanics, Inc.                                    99     0.04             17 Broadpoint Gleacher Securities, Inc.          68     0.03
   17 AutoNation, Inc.                                         337     0.13             13 Brookdale Senior Living, Inc.                220     0.08
     1 Avatar Holdings, Inc.                                    17     0.01              1 Brookfield Homes Corp.                        13     0.01
     6 Aviat Networks, Inc.                                     24     0.01              8 Brookline Bancorp., Inc.                      82     0.03
     6 Avid Technology, Inc.                                    86     0.03              8 Brooks Automation, Inc.                       68     0.03
   14 Avis Budget Group, Inc.                                 167      0.06              6 Brown Shoe Co., Inc.                          93     0.04
   12 Avnet, Inc.                                             354      0.14              3 Brush Engineered Materials, Inc.              86     0.03
   20 AVX Corp.                                               277      0.11              3 Buckeye Technologies, Inc.                    35     0.02
   15 Axis Capital Holdings Ltd.                               461     0.18              1 Build-A-Bear Workshop, Inc.                   10        –
     1 AZZ, Inc.                                                39     0.01              2 Bway Holding Co.                              30     0.01
     4 B&G Foods, Inc., Class A                                 38     0.01              8 Cabela's, Inc.                               145     0.06
     5 Baldor Electric Co.                                    169      0.06              8 Cabot Corp.                                  218     0.08
     1 Baldwin & Lyons, Inc., Class B                           22     0.01              3 Cabot Microelectronics Corp.                 103     0.04
     2 Bancfirst Corp.                                          70     0.03              3 CACI International, Inc., Class A            162     0.06
     2 Bancorp, Inc.                                            13     0.01              3 CAI International, Inc.                       45     0.02
     8 BancorpSouth, Inc.                                     147      0.06             13 Cal Dive International, Inc.                  73     0.03
     – BancTrust Financial Group, Inc.                           2         –             1 Calamos Asset Management, Inc., Class A       13        –
     5 Bank Mutual Corp.                                        31     0.01              1 Calgon Carbon Corp.                           12        –
     1 Bank of Hawaii Corp.                                     48     0.02              2 California Pizza Kitchen, Inc.                29     0.01
     3 Bank of the Ozarks, Inc.                                 95     0.04              4 Caliper Life Sciences, Inc.                   15     0.01
     1 BankFinancial Corp.                                      10         –             6 Callaway Golf Co.                             54     0.02
     1 Banner Corp.                                              6         –             3 Cal-Maine Foods, Inc.                        100     0.04
     7 Barnes & Noble, Inc.                                   134      0.05             39 Calpine Corp.                                534     0.20
     6 Barnes Group, Inc.                                     118      0.05              7 Cambrex Corp.                                 30     0.01
     1 Barrett Business Services, Inc.                          14     0.01              1 Camden National Corp.                         22     0.01
     7 Basic Energy Services, Inc.                              55     0.02              2 Cantel Medical Corp.                          33     0.01
     7 BE Aerospace, Inc.                                     187      0.07              2 Capital City Bank Group, Inc.                 22     0.01
     5 Beacon Roofing Supply, Inc.                            103      0.04              1 Capital Senior Living Corp.                    7        –
   11 Beazer Homes USA, Inc.                                    52     0.02              – Capital Southwest Corp.                       30     0.01
   10 Bebe Stores, Inc.                                         71     0.03             36 CapitalSource, Inc.                          162     0.06
     1 Bel Fuse, Inc., Class B                                  15     0.01              3 Capitol Bancorp Ltd.                           6        –
     2 Belden, Inc.                                             41     0.02              1 Capitol Federal Financial                     16     0.01
     8 Benchmark Electronics, Inc.                             151     0.06              7 Caraco Pharmaceutical Laboratories Ltd.       36     0.01
     6 Beneficial Mutual Bancorp., Inc.                         65     0.03              2 CARBO Ceramics, Inc.                         136     0.05
     2 Berkshire Hills Bancorp., Inc.                           40     0.02              – Cardiac Science Corp.                          –        –
     5 Berry Petroleum Co., Class A                           157      0.06              6 Cardinal Financial Corp.                      64     0.02
     3 Big 5 Sporting Goods Corp.                               43     0.02              1 CardioNet, Inc.                                5        –
     5 Big Lots, Inc.                                         180      0.07              1 Career Education Corp.                        17     0.01
   10 BigBand Networks, Inc.                                    29     0.01              6 Carlisle Cos., Inc.                          246     0.09
     – Biglari Holdings, Inc.                                   50     0.02              6 Carpenter Technology Corp.                   214     0.08
     5 Bill Barrett Corp.                                     159      0.06              1 Carrizo Oil & Gas, Inc.                       23     0.01
     2 BioScrip, Inc.                                           10         –             3 Carter's, Inc.                               101     0.04
     2 BJ's Restaurants, Inc.                                   49     0.02              1 Cascade Corp.                                 21     0.01
     5 BJ's Wholesale Club, Inc.                              180      0.07              5 Casey's General Stores, Inc.                 173     0.07
     3 Black Box Corp.                                          89     0.03              3 Cash America International, Inc.             118     0.05
     1 Blyth, Inc.                                              25     0.01              2 Casual Male Retail Group, Inc.                 6        –
     9 BMP Sunstone Corp.                                       45     0.02              6 Cathay General Bancorp.                       61     0.02
     4 Bob Evans Farms, Inc.                                  128      0.05              1 Cavco Industries, Inc.                        18     0.01
     7 Boise, Inc.                                              42     0.02              5 CBIZ, Inc.                                    34     0.01
     4 Books-A-Million, Inc.                                    26     0.01              2 CDI Corp.                                     26     0.01
   15 Borders Group, Inc.                                       29     0.01              3 Celadon Group, Inc.                           42     0.02
     7 Boston Private Financial Holdings, Inc.                  49     0.02              8 Celera Corp.                                  56     0.02
     2 Bottomline Technologies, Inc.                            29     0.01              4 Centene Corp.                                 80     0.03
     3 Bowne & Co., Inc.                                        38     0.01              2 Center Financial Corp.                         9        –
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            65
                                                DIMENSIONAL FUNDS II PLC
                                                                        % of                                                                  % of
                                                              Value      Net                                                        Value      Net
                                                             (000's)   Asset                                                       (000's)   Asset
Shares (000's)                                                 USD     Value       Shares (000's)                                    USD     Value
Common Stock - 99.22% (continued)                                                  Common Stock - 99.22% (continued)
United States - 46.94% (continued)                                                 United States - 46.94% (continued)
     2 Centerstate Banks, Inc.                                  23     0.01              5 Comstock Resources, Inc.                   152     0.06
     5 Central European Distribution Corp.                     138     0.05              2 Comtech Telecommunications Corp.            58     0.02
     4 Central Garden & Pet Co.                                 42     0.02              3 Conmed Corp.                                66     0.03
     6 Central Garden & Pet Co., Class A                        56     0.02              2 Conn's, Inc.                                12        –
     3 Central Pacific Financial Corp.                           7         –             1 Consolidated Graphics, Inc.                 33     0.01
   10 Century Aluminum Co.                                     101     0.04              1 Consolidated-Tomoka Land Co.                23     0.01
     2 Ceradyne, Inc.                                           47     0.02             21 Constellation Brands, Inc., Class A        343     0.13
     2 Ceva, Inc.                                               21     0.01              – Constellation Brands, Inc., Class B          3        –
     – Charles River Laboratories International, Inc.            7         –             2 Contango Oil & Gas Co.                     121     0.05
   19 Charming Shoppes, Inc.                                    84     0.03             15 Continucare Corp.                           56     0.02
     5 Chart Industries, Inc.                                   92     0.04             16 Convergys Corp.                            180     0.07
     6 Checkpoint Systems, Inc.                               127      0.05              1 Con-Way, Inc.                               20     0.01
     1 Chemed Corp.                                             63     0.02              1 Core-Mark Holding Co., Inc.                 22     0.01
     3 Chemical Financial Corp.                                 61     0.02              6 Corn Products International, Inc.          189     0.07
   24 Chico's FAS, Inc.                                       291      0.11              3 Cornell Cos., Inc.                          81     0.03
     4 Chiquita Brands International, Inc.                      52     0.02             11 Corrections Corp. of America               227     0.09
     2 Christopher & Banks Corp.                                17     0.01              – CoStar Group, Inc.                          16     0.01
     2 Churchill Downs, Inc.                                    71     0.03              1 Courier Corp.                                9        –
   12 Ciber, Inc.                                               35     0.01              2 Covanta Holding Corp.                       32     0.01
     6 Cimarex Energy Co.                                     434      0.17             17 Coventry Health Care, Inc.                 360     0.14
   19 Cincinnati Financial Corp.                               504     0.19              9 Cowen Group, Inc., Class A                  44     0.02
   11 Cinemark Holdings, Inc.                                 182      0.07              1 CPI International, Inc.                     19     0.01
     2 CIRCOR International, Inc.                               54     0.02              2 CRA International, Inc.                     40     0.02
     4 Cirrus Logic, Inc.                                       61     0.02              6 Crane Co.                                  198     0.08
     2 Citi Trends, Inc.                                        60     0.02              4 Cray, Inc.                                  19     0.01
     4 Citizens Republic Bancorp., Inc.                          5         –             2 Credit Acceptance Corp.                     72     0.03
     3 Citizens, Inc.                                           20     0.01              1 Crimson Exploration, Inc.                    2        –
     1 City Holding Co.                                         45     0.02             14 CROCS, Inc.                                149     0.06
     6 City National Corp.                                    351      0.14              2 Cross Country Healthcare, Inc.              18     0.01
     2 Clarcor, Inc.                                            76     0.03              5 Crosstex Energy, Inc.                       35     0.01
     1 Clayton Williams Energy, Inc.                            64     0.03              2 Cubic Corp.                                 72     0.03
     – Clean Harbors, Inc.                                      19     0.01              5 Curtiss-Wright Corp.                       174     0.07
     7 Clear Channel Outdoor Holdings, Inc., Class A            61     0.02              2 Cutera, Inc.                                16     0.01
     1 Clearwater Paper Corp.                                   86     0.03             11 CVB Financial Corp.                        111     0.04
     1 Clifton Savings Bancorp., Inc.                           13         –            10 CVR Energy, Inc.                            79     0.03
     4 CNA Surety Corp.                                         67     0.03              1 Cybersource Corp.                           28     0.01
   20 CNO Financial Group, Inc.                               110      0.04              3 Cymer, Inc.                                103     0.04
     3 CoBiz Financial, Inc.                                    17     0.01              2 Cypress Bioscience, Inc.                     9        –
     1 Coca-Cola Bottling Co. Consolidated                      45     0.02             13 Cypress Semiconductor Corp.                150     0.06
     8 Coeur d'Alene Mines Corp.                              123      0.05              6 Cytec Industries, Inc.                     244     0.09
     9 Cogent, Inc.                                             81     0.03              6 Daktronics, Inc.                            48     0.02
     5 Cognex Corp.                                             90     0.03             21 Dana Holding Corp.                         226     0.09
     3 Coherent, Inc.                                         105      0.04              1 Danvers Bancorp., Inc.                      21     0.01
     2 Cohu, Inc.                                               22     0.01              6 Darling International, Inc.                 44     0.02
     8 Coldwater Creek, Inc.                                    50     0.02              1 Dawson Geophysical Co.                      22     0.01
     2 Colfax Corp.                                             27     0.01              1 DDi Corp.                                   11        –
     6 Collective Brands, Inc.                                137      0.05              4 DealerTrack Holdings, Inc.                  64     0.02
     4 Columbia Banking System, Inc.                            91     0.04             24 Del Monte Foods Co.                        346     0.13
     4 Columbia Sportswear Co.                                 208     0.08              5 Delek U.S. Holdings, Inc.                   31     0.01
     2 Columbus McKinnon Corp.                                  24     0.01              7 Delphi Financial Group, Inc., Class A      171     0.07
   16 Comerica, Inc.                                          612      0.24              7 Denbury Resources, Inc.                    111     0.04
     5 Comfort Systems USA, Inc.                                54     0.02              2 DG FastChannel, Inc.                        85     0.03
   10 Commercial Metals Co.                                   154      0.06              7 Diebold,inc.                               213     0.08
     5 Community Bank System, Inc.                            121      0.05              2 Digi International, Inc.                    18     0.01
     2 Community Health Systems, Inc.                           87     0.03              4 Digital River, Inc.                         96     0.04
     1 Community Trust Bancorp., Inc.                           25     0.01              8 Dillard's, Inc., Class A                   226     0.09
     9 Complete Production Services, Inc.                     113      0.04              5 Dime Community Bancshares, Inc.             60     0.02
     2 CompuCredit Holdings Corp.                                9         –             3 DineEquity, Inc.                           105     0.04
   20 Compuware Corp.                                         167      0.07              4 Diodes, Inc.                                87     0.03
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            66
                                                DIMENSIONAL FUNDS II PLC
                                                                         % of                                                                       % of
                                                               Value      Net                                                             Value      Net
                                                              (000's)   Asset                                                            (000's)   Asset
Shares (000's)                                                  USD     Value      Shares (000's)                                          USD     Value
Common Stock - 99.22% (continued)                                                  Common Stock - 99.22% (continued)
United States - 46.94% (continued)                                                 United States - 46.94% (continued)
     4 DivX, Inc.                                               27     0.01              4 Everest Re Group Ltd.                            272     0.10
     4 Dolan Media Co.                                          52     0.02              7 EW Scripps Co., Class A                           61     0.02
     2 Dollar Financial Corp.                                   32     0.01              2 Exactech, Inc.                                    33     0.01
     2 Dollar Thrifty Automotive Group, Inc.                   103     0.04              3 Exar Corp.                                        20     0.01
     5 Domtar Corp.                                           324      0.12              6 Exide Technologies                                26     0.01
     2 Donegal Group, Inc., Class A                             32     0.01              8 Exterran Holdings, Inc.                          197     0.08
   16 Doral Financial Corp.                                     49     0.02              5 Extreme Networks, Inc.                            16     0.01
     4 Dorman Products, Inc.                                    88     0.03              7 Ezcorp, Inc., Class A                            124     0.05
   30 DR Horton, Inc.                                         362      0.14              5 Fair Isaac Corp.                                 108     0.04
     7 Dress Barn, Inc.                                       179      0.07             15 Fairchild Semiconductor International, Inc.      149     0.06
     2 Drew Industries, Inc.                                    51     0.02              2 Farmer Bros Co.                                   31     0.01
     2 DSP Group, Inc.                                          14         –             1 Farmers Capital Bank Corp.                         3        –
     5 DST Systems, Inc.                                      188      0.07              1 FARO Technologies, Inc., Class B                  31     0.01
     1 DSW, Inc., Class A                                       38     0.01              5 FBL Financial Group, Inc., Class A               118     0.05
     1 Ducommun, Inc.                                           12         –            13 Federal Mogul Corp.                              229     0.09
     7 Dycom Industries, Inc.                                   65     0.02              6 Federal Signal Corp.                              38     0.01
     1 Dynamex, Inc.                                            12         –             4 FEI Co.                                           79     0.03
     1 Dynamic Materials Corp.                                  18     0.01              9 Ferro Corp.                                       80     0.03
     1 DynCorp International, Inc., Class A                     19     0.01              9 FiberTower Corp.                                  32     0.01
   13 Dynegy, Inc.                                              70     0.03             25 Fidelity National Financial, Inc., Class A       365     0.14
   38 E*Trade Financial Corp.                                   57     0.02              – Financial Institutions, Inc.                       9        –
     8 Eagle Bulk Shipping, Inc.                                39     0.01              2 First Acceptance Corp.                             4        –
     3 Eagle Materials, Inc.                                    95     0.04             11 First American Corp.                             385     0.15
   12 Earthlink, Inc.                                          102     0.04              – First Bancorp, Inc.                                6        –
   14 East West Bancorp, Inc.                                  231     0.09              3 First Bancorp. NC                                 42     0.02
     – Eastern Insurance Holdings, Inc.                          3         –             7 First Bancorp. Puerto Rico                         9        –
     5 EchoStar Corp., Class A                                  95     0.04              9 First Busey Corp.                                 43     0.02
     2 Eclipsys Corp.                                           46     0.02              1 First Citizens BancShares, Inc., Class A         121     0.05
     4 Electro Rent Corp.                                       56     0.02              4 First Commonwealth Financial Corp.                21     0.01
     6 Electronics for Imaging, Inc.                            67     0.03              4 First Community Bancshares, Inc.                  59     0.02
     3 Elizabeth Arden, Inc.                                    55     0.02              8 First Financial Bancorp.                         127     0.05
     1 EMC Insurance Group, Inc.                                28     0.01              – First Financial Bankshares, Inc.                   5        –
     7 EMCOR Group, Inc.                                      169      0.06              2 First Financial Corp.                             52     0.02
     2 Emergent Biosolutions, Inc.                              28     0.01              3 First Financial Holdings, Inc.                    38     0.02
     4 Emeritus Corp.                                           72     0.03              – First Financial Northwest, Inc.                    1        –
     7 Employers Holdings, Inc.                                110     0.04             26 First Horizon National Corp.                     325     0.13
     1 EMS Technologies, Inc.                                   19     0.01              6 First Merchants Corp.                             50     0.02
     9 Emulex Corp.                                             90     0.03              4 First Mercury Financial Corp.                     50     0.02
     2 Encore Capital Group, Inc.                               31     0.01              9 First Midwest Bancorp., Inc.                     118     0.05
     4 Encore Wire Corp.                                        71     0.03             20 First Niagara Financial Group, Inc.              268     0.10
     6 Endurance Specialty Holdings Ltd.                       237     0.09              – First Security Group, Inc.                         1        –
     3 Energy Conversion Devices, Inc.                          19     0.01              1 First South Bancorp., Inc.                        16     0.01
     3 Energy Partners Ltd.                                     33     0.01              5 FirstMerit Corp.                                  99     0.04
   12 EnergySolutions, Inc.                                     72     0.03              1 Fisher Communications, Inc.                       13     0.01
     5 EnerSys                                                115      0.04             10 Flagstone Reinsurance Holdings S.A.              120     0.04
     4 Ennis, Inc.                                              65     0.02             10 Flow International Corp.                          26     0.01
     2 EnPro Industries, Inc.                                   60     0.02              5 Flushing Financial Corp.                          66     0.03
     2 Enstar Group Ltd.                                       113     0.04              6 FNB Corp.                                         46     0.02
   22 Entegris, Inc.                                          118      0.05             19 Foot Locker, Inc.                                276     0.11
     1 Enterprise Financial Services Corp.                      12         –            15 Forest City Enterprises, Inc., Class A           204     0.08
     3 Enzo Biochem, Inc.                                       17     0.01              4 Forestar Group, Inc.                              77     0.03
     6 Epicor Software Corp.                                    58     0.02              5 FormFactor, Inc.                                  66     0.02
     3 EPIQ Systems, Inc.                                       36     0.01              4 Forrester Research, Inc.                         138     0.05
     3 eResearchTechnology, Inc.                                24     0.01              1 Fossil, Inc.                                      23     0.01
     2 ESSA Bancorp., Inc.                                      27     0.01              – Fox Chase Bancorp., Inc.                           2        –
     3 Esterline Technologies Corp.                            182     0.07              1 FPIC Insurance Group, Inc.                        21     0.01
     3 Ethan Allen Interiors, Inc.                              53     0.02              1 Franklin Covey Co.                                 3        –
     3 Euronet Worldwide, Inc.                                  36     0.01              3 Franklin Electric Co., Inc.                       97     0.04
     9 ev3, Inc.                                              174      0.07              6 Fred's, Inc., Class A                             87     0.03
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            67
                                                DIMENSIONAL FUNDS II PLC
                                                                         % of                                                                     % of
                                                               Value      Net                                                           Value      Net
                                                              (000's)   Asset                                                          (000's)   Asset
Shares (000's)                                                  USD     Value       Shares (000's)                                       USD     Value
Common Stock - 99.22% (continued)                                                   Common Stock - 99.22% (continued)
United States - 46.94% (continued)                                                  United States - 46.94% (continued)
     1 FreightCar America, Inc.                                  27     0.01              3 Harris & Harris Group, Inc.                    13     0.01
     7 Fresh Del Monte Produce, Inc.                           144      0.06              6 Harte-Hanks, Inc.                              82     0.03
   11 Frontier Oil Corp.                                        146     0.06              5 Harvest Natural Resources, Inc.                34     0.01
     5 FTI Consulting, Inc.                                     199     0.08              2 Haverty Furniture Cos., Inc.                   28     0.01
   18 Fulton Financial Corp.                                   178      0.07              6 Hawaiian Holdings, Inc.                        39     0.01
     6 Furmanite Corp.                                           27     0.01              1 Haynes International, Inc.                     41     0.02
     4 Furniture Brands International, Inc.                      30     0.01              6 HB Fuller Co.                                 124     0.05
     3 G&K Services, Inc., Class A                               68     0.03             12 HCC Insurance Holdings, Inc.                  300     0.12
   22 Gannett Co. Inc.                                         335      0.13              5 Headwaters, Inc.                               21     0.01
     5 Gardner Denver, Inc.                                    228      0.09             11 Health Net, Inc.                              276     0.11
     6 GATX Corp.                                              170      0.06              9 Healthspring, Inc.                            153     0.06
     5 Gaylord Entertainment Co., Class A                       144     0.06              7 Healthways, Inc.                              105     0.04
     3 Genco Shipping & Trading Ltd.                             65     0.02              1 Heartland Financial USA, Inc.                  18     0.01
     3 General Cable Corp.                                       87     0.03             23 Hecla Mining Co.                              124     0.05
     6 General Communication, Inc., Class A                      35     0.01              2 HEICO Corp.                                    75     0.03
     8 General Maritime Corp.                                    52     0.02              2 HEICO Corp., Class A                           56     0.02
     3 Genesco, Inc.                                             87     0.03              2 Heidrick & Struggles International, Inc.       49     0.02
     4 Genesee & Wyoming, Inc., Class A                        155      0.06              5 Helen of Troy Ltd.                            124     0.05
     4 Gentiva Health Services, Inc.                            117     0.05             12 Helix Energy Solutions Group, Inc.            134     0.05
     2 GeoEye, Inc.                                              70     0.03              7 Helmerich & Payne, Inc.                       266     0.10
     2 Geokinetics, Inc.                                         12         –            16 Hercules Offshore, Inc.                        50     0.02
     2 Georesources, Inc.                                        32     0.01              1 Heritage Commerce Corp.                         6        –
     2 Gerber Scientific, Inc.                                   10         –             2 Herley Industries, Inc.                        24     0.01
     – German American Bancorp., Inc.                             3         –            20 Hertz Global Holdings, Inc.                   231     0.09
     4 Geron Corp.                                               21     0.01              5 Hexcel Corp.                                   75     0.03
   11 GFI Group, Inc.                                            65     0.03              1 Hill International, Inc.                        7        –
     5 Gibraltar Industries, Inc.                                61     0.02              4 Hill-Rom Holdings, Inc.                       109     0.04
     1 G-III Apparel Group Ltd.                                  37     0.01              7 Hilltop Holdings, Inc.                         70     0.03
     9 Glacier Bancorp., Inc.                                  140      0.05              4 HNI Corp.                                     132     0.05
   12 Global Industries Ltd.                                     64     0.02              3 Holly Corp.                                    72     0.03
     8 Globe Specialty Metals, Inc.                              90     0.03             28 Hologic, Inc.                                 414     0.16
     2 Globecomm Systems, Inc.                                   16     0.01              4 Home Bancshares, Inc.                         101     0.04
     2 GMX Resources, Inc.                                       14     0.01              4 Home Federal Bancorp., Inc.                    64     0.02
     5 Goodrich Petroleum Corp.                                  56     0.02              1 Hooker Furniture Corp.                         17     0.01
     1 GP Strategies Corp.                                        7         –             8 Horace Mann Educators Corp.                   126     0.05
     4 Granite Construction, Inc.                              108      0.04              8 Horizon Lines, Inc., Class A                   33     0.01
   34 Graphic Packaging Holding Co.                             108     0.04              4 Hornbeck Offshore Services, Inc.               53     0.02
     5 Great Lakes Dredge & Dock Corp.                           29     0.01              5 Horsehead Holding Corp.                        47     0.02
     1 Great Southern Bancorp., Inc.                             20     0.01              4 HOT Topic, Inc.                                23     0.01
     3 Greatbatch, Inc.                                          72     0.03              2 HUB Group, Inc., Class A                       58     0.02
     1 Green Bankshares, Inc.                                    16     0.01              3 Hughes Communications, Inc.                    73     0.03
     2 Green Plains Renewable Energy, Inc.                       19     0.01             76 Huntington Bancshares, Inc.                   467     0.18
     1 Greenbrier Cos., Inc.                                     18     0.01             30 Huntsman Corp.                                295     0.11
     3 Greenlight Capital Re Ltd., Class A                       65     0.03              – Huron Consulting Group, Inc.                    5        –
     8 Griffon Corp.                                             97     0.04              4 Hypercom Corp.                                 20     0.01
     3 Group 1 Automotive, Inc.                                  94     0.04             14 IAC/InterActiveCorp.                          331     0.13
     8 GSI Technology, Inc.                                      45     0.02              3 Iberiabank Corp.                              188     0.07
     2 Guaranty Bancorp.                                          4         –             3 ICF International, Inc.                        58     0.02
     2 Gulf Island Fabrication, Inc.                             34     0.01              8 Iconix Brand Group, Inc.                      136     0.05
     4 Gulfmark Offshore, Inc.                                 103      0.04              1 ICU Medical, Inc.                              22     0.01
     3 H&E Equipment Services, Inc.                              33     0.01              3 ICx Technologies, Inc.                         20     0.01
     – Haemonetics Corp.                                         22     0.01              1 II-VI, Inc.                                    30     0.01
     4 Hain Celestial Group, Inc.                                91     0.03             13 Ikanos Communications, Inc.                    27     0.01
     2 Hallmark Financial Services, Inc.                         16     0.01              4 Imation Corp.                                  45     0.02
     4 Hancock Holding Co.                                      161     0.06              3 Immersion Corp.                                13        –
     5 Hanger Orthopedic Group, Inc.                             90     0.03              1 Imperial Sugar Co.                              9        –
     2 Hanmi Financial Corp.                                      5         –             1 Independence Holding Co.                        8        –
     2 Harleysville Group, Inc.                                  52     0.02              3 Independent Bank Corp. - Rockland MA           82     0.03
   15 Harmonic, Inc.                                             88     0.03             10 Infinera Corp.                                 69     0.03
                                            The accompanying notes are an integral part of the Financial Statements
                                                                             68
                                                DIMENSIONAL FUNDS II PLC
                                                                        % of                                                                      % of
                                                              Value      Net                                                            Value      Net
                                                             (000's)   Asset                                                           (000's)   Asset
Shares (000's)                                                 USD     Value       Shares (000's)                                        USD     Value
Common Stock - 99.22% (continued)                                                  Common Stock - 99.22% (continued)
United States - 46.94% (continued)                                                 United States - 46.94% (continued)
   10 infoGROUP, Inc.                                           78     0.03              7 Kearny Financial Corp.                          61     0.02
     7 Infospace, Inc.                                          55     0.02              4 Kelly Services, Inc., Class A                   64     0.02
     1 Ingles Markets, Inc., Class A                            17     0.01              1 Kendle International, Inc.                      13     0.01
   19 Ingram Micro, Inc., Class A                             326      0.13              2 Kenexa Corp.                                    24     0.01
     5 Innerworkings, Inc.                                      33     0.01              8 Kennametal, Inc.                               217     0.08
     3 Innophos Holdings, Inc.                                  77     0.03              1 Kenneth Cole Productions, Inc., Class A         12        –
     4 Innospec, Inc.                                           52     0.02             14 Key Energy Services, Inc.                      131     0.05
     4 Insight Enterprises, Inc.                                61     0.02              3 Kforce, Inc.                                    46     0.02
     5 Insituform Technologies, Inc., Class A                   92     0.04              2 Kimball International, Inc., Class B            13        –
     3 Insteel Industries, Inc.                                 37     0.01              2 Kindred Healthcare, Inc.                        25     0.01
     2 Integral Systems, Inc.                                   14         –            32 King Pharmaceuticals, Inc.                     273     0.10
   17 Integrated Device Technology, Inc.                        99     0.04              6 Kirby Corp.                                    224     0.09
     4 Integrated Silicon Solution, Inc.                        34     0.01              5 Knight Capital Group, Inc., Class A             75     0.03
     2 Inter Parfums, Inc.                                      35     0.02              2 Knight Transportation, Inc.                     40     0.02
     3 Interface, Inc., Class A                                 40     0.02             12 Kopin Corp.                                     42     0.02
     5 Interline Brands, Inc.                                   97     0.04              6 Korn/Ferry International                        78     0.03
     7 Intermec, Inc.                                           77     0.03              2 Kratos Defense & Security Solutions, Inc.       31     0.01
     4 Internap Network Services Corp.                          20     0.01              2 Kronos Worldwide, Inc.                          32     0.01
     2 International Assets Holding Corp.                       37     0.01              1 K-Swiss, Inc., Class A                          18     0.01
     9 International Bancshares Corp.                         187      0.07             12 L-1 Identity Solutions, Inc.                    92     0.04
   16 International Coal Group, Inc., Class A                   67     0.03              2 LaBarge, Inc.                                   18     0.01
     7 International Rectifier Corp.                           149     0.06              2 Ladish Co., Inc.                                40     0.01
   27 International Service Corp.                              229     0.09              4 Lakeland Bancorp., Inc.                         37     0.01
     1 International Shipholding Corp.                          19     0.01              2 Lakeland Financial Corp.                        35     0.01
     3 International Speedway Corp., Class A                    84     0.03              3 Lakes Entertainment, Inc.                        5        –
     7 Internet Brands, Inc., Class A                           71     0.03              4 Lance, Inc.                                     79     0.03
     7 Internet Capital Group, Inc.                             60     0.02              3 Landec Corp.                                    20     0.01
   12 Intersil Corp., Class A                                 164      0.06             22 Lattice Semiconductor Corp.                    108     0.04
     3 Intevac, Inc.                                            29     0.01              1 Lawson Products, Inc.                            7        –
     4 Invacare Corp., Class A                                  88     0.03             15 Lawson Software, Inc.                          123     0.05
     3 inVentiv Health, Inc.                                    70     0.03              2 Layne Christensen Co.                           56     0.02
     8 Inverness Medical Innovations, Inc.                    292      0.11              6 La-Z-Boy, Inc.                                  74     0.03
     4 Investment Technology Group, Inc.                        73     0.03              1 LB Foster Co., Class A                          36     0.01
   12 Investors Bancorp., Inc.                                165      0.06              8 Leap Wireless International, Inc.              136     0.05
     5 iPass, Inc.                                               6         –             3 Leapfrog Enterprises, Inc.                      14     0.01
     2 Isle of Capri Casinos, Inc.                              17     0.01              4 LECG Corp.                                      13        –
     4 Ixia                                                     38     0.01             17 Legg Mason, Inc.                               499     0.19
     2 IXYS Corp.                                               21     0.01              8 Leggett & Platt, Inc.                          189     0.07
     1 J&J Snack Foods Corp.                                    45     0.02             17 Lennar Corp., Class A                          286     0.11
   23 Jabil Circuit, Inc.                                      312     0.12              6 Lennar Corp., Class B                           81     0.03
     – Jakks Pacific, Inc.                                       6         –             1 Lexmark International, Inc., Class A            38     0.01
     9 Janus Capital Group, Inc.                                95     0.04             11 Liberty Media Corp. - Capital                  449     0.17
     7 Jarden Corp.                                           198      0.08              6 Liberty Media Corp. - Starz                    304     0.12
     4 JDA Software Group, Inc.                                112     0.04              4 Life Time Fitness, Inc.                        141     0.06
   17 JDS Uniphase Corp.                                      200      0.08              5 LifePoint Hospitals, Inc.                      192     0.07
   32 JetBlue Airways Corp.                                   200      0.08             11 Limelight Networks, Inc.                        48     0.02
     4 JMP Group, Inc.                                          32     0.01              2 Lincoln Electric Holdings, Inc.                118     0.05
     3 Jo-Ann Stores, Inc., Class B                            137     0.05              – Lindsay Corp.                                   14     0.01
     9 Jones Apparel Group, Inc.                              177      0.07              2 Lithia Motors, Inc., Class A                    16     0.01
     4 Jones Lang LaSalle, Inc.                               298      0.11              2 Littelfuse, Inc.                                69     0.03
     1 JOS. A. Bank Clothiers, Inc.                             85     0.03              7 Live Nation, Inc.                               90     0.03
   11 Journal Communications, Inc., Class A                     54     0.02              7 Liz Claiborne, Inc.                             41     0.02
     3 Kaiser Aluminum Corp.                                    98     0.04              2 LMI Aerospace, Inc.                             30     0.01
     4 Kaman Corp.                                              96     0.04              2 LoJack Corp.                                     8        –
   10 Kansas City Southern Industries, Inc.                    370     0.14              1 Loral Space & Communications, Inc.              57     0.02
     6 KapStone Paper and Packaging Corp.                       69     0.03             13 Louisiana-Pacific Corp.                        111     0.04
     3 Kaydon Corp.                                           120      0.05              2 LSI Industries, Inc.                            10        –
     7 KB Home Corp.                                            94     0.04              2 Luby's, Inc.                                     8        –
     4 KBW, Inc.                                                89     0.03              2 Lufkin Industries, Inc.                        152     0.06
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            69
                                               DIMENSIONAL FUNDS II PLC
                                                                       % of                                                                         % of
                                                             Value      Net                                                               Value      Net
                                                            (000's)   Asset                                                              (000's)   Asset
Shares (000's)                                                USD     Value       Shares (000's)                                           USD     Value
Common Stock - 99.22% (continued)                                                 Common Stock - 99.22% (continued)
United States - 46.94% (continued)                                                United States - 46.94% (continued)
     1 M&F Worldwide Corp.                                     28     0.01              6 Modine Manufacturing Co.                           67     0.03
     2 M/I Homes, Inc.                                         28     0.01              5 ModusLink Global Solutions, Inc.                   39     0.01
     1 Macatawa Bank Corp.                                      2         –             8 Mohawk Industries, Inc.                           432     0.17
     3 Magellan Health Services, Inc.                         130     0.05              3 Molina Healthcare, Inc.                            74     0.03
     3 Maidenform Brands, Inc.                                 69     0.03              2 Monarch Casino & Resort, Inc.                      27     0.01
     3 MainSource Financial Group, Inc.                        22     0.01              5 Monotype Imaging Holdings, Inc.                    52     0.02
     2 Mannatech, Inc.                                          6         –             1 Monro Muffler Brake, Inc.                          40     0.02
     5 Manpower, Inc.                                        224      0.09             10 Monster Worldwide, Inc.                           140     0.05
     3 Mantech International Corp., Class A                  146      0.06             10 Montpelier Re Holdings Ltd.                       159     0.06
     2 Marcus Corp.                                            22     0.01              6 Moog, Inc., Class A                               198     0.08
   10 Mariner Energy, Inc.                                   212      0.08              1 Movado Group, Inc.                                 14        –
     1 MarketAxess Holdings, Inc.                              17     0.01              4 Mueller Industries, Inc.                          100     0.04
     2 Marlin Business Services Corp.                          19     0.01             20 Mueller Water Products, Inc., Class A              88     0.03
   60 Marshall & Ilsley Corp.                                489      0.19              3 Multi-Fineline Electronix, Inc.                    79     0.03
     4 Martek Biosciences Corp.                                74     0.03              2 Multimedia Games, Inc.                              7        –
     3 Marten Transport Ltd.                                   69     0.03              1 MWI Veterinary Supply, Inc.                        28     0.01
     7 MasTec, Inc.                                            86     0.03              3 Myers Industries, Inc.                             25     0.01
     4 Matrix Service Co.                                      42     0.02              2 MYR Group, Inc.                                    27     0.01
     8 Mattson Technology, Inc.                                34     0.01              9 Nabi Biopharmaceuticals                            47     0.02
     2 Maxygen, Inc.                                           13     0.01              1 NACCO Industries, Inc., Class A                    51     0.02
     5 MB Financial, Inc.                                     100     0.04              5 Nanometrics, Inc.                                  52     0.02
   24 MBIA, Inc.                                             179      0.07              3 Nara Bancorp., Inc.                                22     0.01
   11 MCG Capital Corp.                                        58     0.02              2 Nash Finch Co.                                     64     0.02
     3 McGrath Rentcorp.                                       65     0.03              7 National Financial Partners Corp.                  97     0.04
     4 MDC Holdings, Inc.                                    138      0.05              1 National Healthcare Corp.                          31     0.01
     9 Meadowbrook Insurance Group, Inc.                       76     0.03              2 National Interstate Corp.                          43     0.02
   20 MeadWestvaco Corp.                                     473      0.18              5 National Penn Bancshares, Inc.                     33     0.01
     3 Measurement Specialties, Inc.                           40     0.02              1 National Presto Industries, Inc.                   68     0.02
     1 Medallion Financial Corp.                                9         –             – National Western Life Insurance Co., Class A       50     0.02
     1 Medcath Corp.                                           10         –             1 Natural Gas Services Group, Inc.                   13     0.01
     1 Media General, Inc., Class A                            17     0.01              4 Natus Medical, Inc.                                58     0.02
     1 Medical Action Industries, Inc.                         16     0.01              8 Navigant Consulting, Inc.                          93     0.04
     8 Medicis Pharmaceutical Corp., Class A                  176     0.07              2 Navigators Group, Inc.                             63     0.02
   10 Mentor Graphics Corp.                                    91     0.03              4 NBT Bancorp., Inc.                                 93     0.04
     4 Mercer International, Inc.                              21     0.01              1 Neenah Paper, Inc.                                 14        –
     1 Merchants Bancshares, Inc.                              14     0.01              5 Nelnet, Inc., Class A                             103     0.04
     2 Mercury Computer Systems, Inc.                          20     0.01              5 Netgear, Inc.                                     107     0.04
     6 Mercury General Corp.                                 249      0.10              5 Netscout Systems, Inc.                             71     0.03
     3 Meredith Corp.                                          99     0.04              2 Network Equipment Technologies, Inc.               11        –
     1 Meridian Interstate Bancorp., Inc.                      12         –             4 Neutral Tandem, Inc.                               52     0.02
     3 Merit Medical Systems, Inc.                             41     0.02              4 New York & Co., Inc.                               14        –
     4 Meritage Homes Corp.                                    75     0.03             22 New York Community Bancorp, Inc.                  355     0.14
   11 Metalico, Inc.                                           52     0.02              7 NewAlliance Bancshares, Inc.                       87     0.03
     5 Methode Electronics, Inc., Class A                      53     0.02              9 Newpark Resources, Inc.                            57     0.02
   38 MetroPCS Communications, Inc.                           339     0.13              4 NewStar Financial, Inc.                            25     0.01
   14 MF Global Holdings Ltd.                                 104     0.04              – Nighthawk Radiology Holdings, Inc.                  1        –
   12 MGIC Investment Corp.                                  112      0.04              5 NL Industries, Inc.                                31     0.01
   34 MGM Mirage                                              421     0.16              6 Northfield Bancorp., Inc.                          82     0.03
     – Michael Baker Corp.                                     18     0.01              6 Northwest Bancshares, Inc.                         71     0.03
   43 Micron Technology, Inc.                                 390     0.15              1 Northwest Pipe Co.                                 16     0.01
   10 Microsemi Corp.                                        150      0.06              4 Novatel Wireless, Inc.                             24     0.01
     1 Middleby Corp.                                          34     0.01             29 Novell, Inc.                                      166     0.06
     1 Middlesex Water Co.                                     16     0.01              9 Novellus Systems, Inc.                            232     0.09
     – MidWestOne Financial Group, Inc.                         3         –             1 NYMAGIC, Inc.                                      12        –
     4 Mine Safety Appliances Co.                             104     0.04              1 OceanFirst Financial Corp.                         12     0.01
     2 Minerals Technologies, Inc.                             96     0.04              3 O'Charleys, Inc.                                   22     0.01
   16 Mirant Corp.                                            201     0.08             13 Ocwen Financial Corp.                             161     0.06
     5 MKS Instruments, Inc.                                  108     0.04              3 Odyssey HealthCare, Inc.                           66     0.03
     6 Mobile Mini, Inc.                                       92     0.04             26 Office Depot, Inc.                                152     0.06
                                          The accompanying notes are an integral part of the Financial Statements
                                                                           70
                                                DIMENSIONAL FUNDS II PLC
                                                                        % of                                                                 % of
                                                              Value      Net                                                       Value      Net
                                                             (000's)   Asset                                                      (000's)   Asset
Shares (000's)                                                 USD     Value        Shares (000's)                                  USD     Value
Common Stock - 99.22% (continued)                                                   Common Stock - 99.22% (continued)
United States - 46.94% (continued)                                                  United States - 46.94% (continued)
     6 Oil States International, Inc.                          247      0.10              3 Petroleum Development Corp.               58     0.02
     4 Old Dominion Freight Line, Inc.                          135     0.05              3 Petroquest Energy, Inc.                   16     0.01
     7 Old National Bancorp.                                     75     0.03              2 PF Chang's China Bistro, Inc.             96     0.04
   27 Old Republic International Corp.                          372     0.14              6 Ph Glatfelter Co.                         71     0.03
     9 Olin Corp.                                              171      0.07              3 PharMerica Corp.                          56     0.02
     1 Olympic Steel, Inc.                                       25     0.01              2 Phase Forward, Inc.                       34     0.01
     4 OM Group, Inc.                                          107      0.04              6 PHH Corp.                                132     0.05
     2 Omega Protein Corp.                                       10         –             1 PHI, Inc.                                 18     0.01
   13 Omnicare, Inc.                                           334      0.13              3 Phillips-Van Heusen Corp.                142     0.05
     2 Omnicell, Inc.                                            29     0.01             10 Photronics, Inc.                          49     0.02
     7 Omnivision Technologies, Inc.                           125      0.05              3 Pico Holdings, Inc.                       93     0.04
     3 On Assignment, Inc.                                       17     0.01              6 Pier 1 Imports, Inc.                      50     0.02
     2 OneBeacon Insurance Group Ltd., Class A                   30     0.01              2 Pike Electric Corp.                       17     0.01
     6 Onyx Pharmaceuticals, Inc.                               122     0.05             10 Pinnacle Entertainment, Inc.             119     0.05
     2 Oplink Communications, Inc.                               26     0.01              2 Pinnacle Financial Partners, Inc.         27     0.01
     1 OPNET Technologies, Inc.                                  19     0.01              6 Pioneer Drilling Co.                      33     0.01
   17 Opnext, Inc.                                               33     0.01             12 Pioneer Natural Resources Co.            783     0.30
     6 OraSure Technologies, Inc.                                28     0.01              2 Piper Jaffray Cos.                        69     0.03
     6 Orbital Sciences Corp.                                    95     0.04             17 Plains Exploration & Production Co.      366     0.14
     4 Oriental Financial Group, Inc.                            48     0.02              4 Plantronics, Inc.                        130     0.05
   10 Orient-Express Hotels Ltd., Class A                       102     0.04              5 Platinum Underwriters Holdings Ltd.      184     0.07
     2 Orion Marine Group, Inc.                                  35     0.01              3 Plexus Corp.                              89     0.03
     2 Ormat Technologies, Inc.                                  68     0.03              2 PLX Technology, Inc.                       7        –
     1 OSI Systems, Inc.                                         37     0.01              3 PMA Capital Corp., Class A                19     0.01
     1 Outdoor Channel Holdings, Inc.                             7         –            11 PMC - Sierra, Inc.                        87     0.03
     3 Overseas Shipholding Group, Inc.                         120     0.05              2 Polycom, Inc.                             69     0.03
     2 Owens & Minor, Inc.                                       49     0.02              4 PolyOne Corp.                             39     0.02
   15 Owens Corning, Inc.                                      488      0.19              6 Polypore International, Inc.             118     0.05
     1 Oxford Industries, Inc.                                   29     0.01              1 Portfolio Recovery Associates, Inc.       89     0.03
     1 OYO Geospace Corp.                                        50     0.02              1 Powell Industries, Inc.                   15     0.01
     2 Pacer International, Inc.                                 12         –             – Preformed Line Products Co.                5        –
     5 Pacific Capital Bancorp. N.A.                              8         –             6 Premiere Global Services, Inc.            50     0.02
     3 Pacific Continental Corp.                                 29     0.01              3 Presidential Life Corp.                   29     0.01
     5 Pacific Sunwear of California, Inc.                       19     0.01              7 Prestige Brands Holdings, Inc.            51     0.02
     3 Packaging Corp. of America                                62     0.02              1 Pricesmart, Inc.                          29     0.01
     4 PacWest Bancorp.                                          75     0.03              9 Pride International, Inc.                233     0.09
     4 Palm Harbor Homes, Inc.                                    8         –             6 PrivateBancorp., Inc.                     75     0.03
     2 Palomar Medical Technologies, Inc.                        18     0.01              3 ProAssurance Corp.                       147     0.06
     4 Par Pharmaceutical Cos., Inc.                            119     0.05              4 Progress Software Corp.                  118     0.05
     3 Parametric Technology Corp.                               53     0.02              5 Prosperity Bancshares, Inc.              166     0.06
     5 Parexel International Corp.                              100     0.04             11 Protective Life Corp.                    230     0.09
     3 Park Electrochemical Corp.                                65     0.02              6 Provident Financial Services, Inc.        79     0.03
     2 Park National Corp.                                     116      0.04              5 Provident New York Bancorp.               49     0.02
   19 Parker Drilling Co.                                        89     0.03              8 Psychiatric Solutions, Inc.              247     0.10
     5 PartnerRe Ltd.                                           328     0.13             39 Pulte Homes, Inc.                        438     0.17
   11 Patriot Coal Corp.                                        181     0.07              1 QC Holdings, Inc.                          3        –
     1 Patriot Transportation Holding, Inc.                      50     0.02              1 Quaker Chemical Corp.                     23     0.01
   18 Patterson-UTI Energy, Inc.                                247     0.10              4 Quanex Building Products Corp.            74     0.03
     1 PC Connection, Inc.                                        3         –            12 Quanta Services, Inc.                    254     0.10
     8 Penn National Gaming, Inc.                              192      0.07              9 Quest Software, Inc.                     180     0.07
     5 Penn Virginia Corp.                                      116     0.04             12 Quiksilver, Inc.                          54     0.02
   10 Penske Auto Group, Inc.                                  130      0.05              9 Radian Group, Inc.                        87     0.03
     3 Penson Worldwide, Inc.                                    18     0.01              3 RadiSys Corp.                             28     0.01
     1 Peoples Bancorp., Inc.                                    13     0.01              7 Ralcorp Holdings, Inc.                   401     0.15
     3 People's United Financial, Inc.                           42     0.02              1 RBC Bearings, Inc.                        22     0.01
     8 PEP Boys-Manny Moe & Jack                                 93     0.04              1 RC2 Corp.                                 22     0.01
     4 Perficient, Inc.                                          44     0.02             13 RealNetworks, Inc.                        48     0.02
     2 Pericom Semiconductor Corp.                               20     0.01              3 Red Robin Gourmet Burgers, Inc.           70     0.03
     1 Perry Ellis International, Inc.                           35     0.01              4 Regal-Beloit Corp.                       248     0.10
                                            The accompanying notes are an integral part of the Financial Statements
                                                                             71
                                                DIMENSIONAL FUNDS II PLC
                                                                         % of                                                                        % of
                                                               Value      Net                                                              Value      Net
                                                              (000's)   Asset                                                             (000's)   Asset
Shares (000's)                                                  USD     Value        Shares (000's)                                         USD     Value
Common Stock - 99.22% (continued)                                                    Common Stock - 99.22% (continued)
United States - 46.94% (continued)                                                   United States - 46.94% (continued)
     7 Regis Corp.                                              134      0.05              6 Scientific Games Corp., Class A                  58     0.02
     4 RehabCare Group, Inc.                                    108      0.04              – Seaboard Corp.                                  161     0.06
     8 Reinsurance Group of America, Inc.                       396      0.15              3 SeaBright Insurance Holdings, Inc.               28     0.01
     9 Reliance Steel & Aluminum Co.                             390     0.15              3 Seachange International, Inc.                    21     0.01
     5 RenaissanceRe Holdings Ltd.                               278     0.11              3 Seacoast Banking Corp. of Florida, Class A        5        –
     2 Renasant Corp.                                             24     0.01              3 SEACOR Holdings, Inc.                           197     0.08
     8 Rent-A-Center, Inc.                                      202      0.08              3 Semtech Corp.                                    60     0.02
     2 Republic Bancorp., Inc., Class A                           48     0.02              2 Seneca Foods Corp., Class A                      44     0.02
     2 Res-Care, Inc.                                             18     0.01              6 Sensient Technologies Corp.                     156     0.06
     1 Resource America, Inc., Class A                             5         –             6 SFN Group, Inc.                                  47     0.02
     1 Resources Connection, Inc.                                 23     0.01              2 Shenandoah Telecommunications Co.                29     0.01
     4 Retail Ventures, Inc.                                      36     0.01              1 Shoe Carnival, Inc.                              30     0.01
     4 Rex Energy Corp.                                           43     0.02              – Shore Bancshares, Inc.                            5        –
   11 RF Micro Devices, Inc.                                      51     0.02              1 Shutterfly, Inc.                                 22     0.01
     1 Rimage Corp.                                               20     0.01              2 Sierra Bancorp.                                  27     0.01
     2 RLI Corp.                                                105      0.04              2 Sigma Designs, Inc.                              20     0.01
     4 Robbins & Myers, Inc.                                      97     0.04              4 Signature Bank                                  166     0.06
     4 Rock-Tenn Co., Class A                                   223      0.09             10 Signet Jewelers Ltd.                            306     0.12
     1 Rockville Financial, Inc.                                  10         –             2 Silicon Graphics International Corp.             17     0.01
     8 Rockwood Holdings, Inc.                                  205      0.08              4 Silicon Image, Inc.                              14        –
     5 Rofin-Sinar Technologies, Inc.                            110     0.04              2 Simmons First National Corp., Class A            60     0.02
     2 Rogers Corp.                                               60     0.02              6 Simpson Manufacturing Co., Inc.                 178     0.07
     2 Roma Financial Corp.                                       25     0.01              4 Sirona Dental Systems, Inc.                     141     0.05
     5 Rosetta Resources, Inc.                                  110      0.04              3 SJW Corp.                                        62     0.02
     9 Rovi Corp.                                               332      0.13              5 Skechers U.S.A., Inc., Class A                  179     0.07
   13 Rowan Cos., Inc.                                          327      0.13              1 Skyline Corp.                                    16     0.01
     1 Royal Gold, Inc.                                           50     0.02              6 Skywest, Inc.                                    82     0.03
     2 Royal Gold, Inc.                                           85     0.03              9 Skyworks Solutions, Inc.                        138     0.05
     6 RPC, Inc.                                                  65     0.03              4 Smart Balance, Inc.                              24     0.01
   40 RRI Energy, Inc.                                          176      0.07              7 Smart Modular Technologies WWH, Inc.             44     0.02
     5 RSC Holdings, Inc.                                         37     0.01              6 Smith & Wesson Holding Corp.                     26     0.01
     5 RTI Biologics, Inc.                                        18     0.01              4 Smith Micro Software, Inc.                       40     0.02
     4 RTI International Metals, Inc.                             95     0.04             20 Smithfield Foods, Inc.                          343     0.13
     8 Ruby Tuesday, Inc.                                         82     0.03              2 Snap-On, Inc.                                    98     0.04
     6 Ruddick Corp.                                            201      0.08              2 Solutia, Inc.                                    26     0.01
     3 Rudolph Technologies, Inc.                                 27     0.01              4 Sonic Automotive, Inc., Class A                  38     0.01
     4 Rush Enterprises, Inc., Class A                            62     0.02              7 SonicWALL, Inc.                                  65     0.02
     – Rush Enterprises, Inc., Class B                             6         –             2 SonoSite, Inc.                                   70     0.03
     6 Ryder System, Inc.                                       288      0.11             40 Sonus Networks, Inc.                            104     0.04
     4 Ryland Group, Inc.                                         76     0.03              2 Sotheby's                                        65     0.03
     3 S&T Bancorp., Inc.                                         56     0.02              3 Southside Bancshares, Inc.                       57     0.02
     3 S1 Corp.                                                   17     0.01              1 Southwest Bancorp., Inc.                         22     0.01
     4 Safeguard Scientifics, Inc.                                49     0.02              1 Spartan Motors, Inc.                              4        –
     1 Safety Insurance Group, Inc.                               51     0.02              1 Spartan Stores, Inc.                             20     0.01
     3 Saia, Inc.                                                 37     0.01              5 Spartech Corp.                                   64     0.02
   14 Saks, Inc.                                                130      0.05              6 Speedway Motorsports, Inc.                       93     0.04
     4 Sanders Morris Harris Group, Inc.                          19     0.01              6 SRA International, Inc., Class A                125     0.05
     2 Sanderson Farms, Inc.                                      93     0.04              6 St Mary Land & Exploration Co.                  259     0.10
   11 SanDisk Corp.                                             527      0.20              5 Stage Stores, Inc.                               73     0.03
     2 Sandy Spring Bancorp., Inc.                                36     0.01              6 StanCorp Financial Group, Inc.                  248     0.10
     2 Sanmina-SCI Corp.                                          34     0.01              3 Standard Microsystems Corp.                      64     0.02
     3 Scansource, Inc.                                           65     0.03              4 Standard Motor Products, Inc.                    33     0.01
     1 SCBT Financial Corp.                                       36     0.01             10 Standard Pacific Corp.                           51     0.02
     2 Schawk, Inc.                                               26     0.01              1 Standex International Corp.                      32     0.01
     3 Schnitzer Steel Industries, Inc., Class A                 151     0.06              4 State Auto Financial Corp.                       63     0.02
     5 Scholastic Corp.                                         135      0.05              1 State Bancorp., Inc.                             10        –
     2 School Specialty, Inc.                                     49     0.02             12 Steelcase, Inc., Class A                        101     0.04
     4 Schulman A, Inc.                                           96     0.04              5 Stein Mart, Inc.                                 37     0.01
     1 Schweitzer-Mauduit International, Inc.                     47     0.02              1 Steinway Musical Instruments, Inc.               16     0.01
                                             The accompanying notes are an integral part of the Financial Statements
                                                                              72
                                                 DIMENSIONAL FUNDS II PLC
                                                                          % of                                                                    % of
                                                                Value      Net                                                          Value      Net
                                                               (000's)   Asset                                                         (000's)   Asset
Shares (000's)                                                   USD     Value       Shares (000's)                                      USD     Value
Common Stock - 99.22% (continued)                                                    Common Stock - 99.22% (continued)
United States - 46.94% (continued)                                                   United States - 46.94% (continued)
     2 StellarOne Corp.                                           22     0.01             14 Teradyne, Inc.                               150     0.06
     1 Stepan Co.                                                 36     0.01             13 Terex Corp.                                  285     0.11
     3 STERIS Corp.                                             103      0.04             14 Tesoro Corp.                                 168     0.07
     2 Sterling Bancorp.                                          20     0.01              6 Tessera Technologies, Inc.                   104     0.04
   10 Sterling Bancshares, Inc.                                   56     0.02              6 Tetra Tech, Inc.                             147     0.06
     2 Sterling Construction Co., Inc.                            26     0.01              9 Tetra Technologies, Inc.                      93     0.04
   10 Stewart Enterprises, Inc., Class A                          59     0.02              8 Texas Capital Bancshares, Inc.               140     0.05
     2 Stewart Information Services Corp.                         22     0.01              3 Texas Industries, Inc.                       101     0.04
     3 Stifel Financial Corp.                                    169     0.07              5 Texas Roadhouse, Inc., Class A                71     0.03
   20 Stillwater Mining Co.                                      263     0.10              6 Textainer Group Holdings Ltd.                152     0.06
     7 Stone Energy Corp.                                         89     0.03              3 The Andersons, Inc.                           92     0.03
     2 Stoneridge, Inc.                                           22     0.01              5 The Brink's Co.                              109     0.04
     – Stratus Properties, Inc.                                    3         –             2 The Cato Corp., Class A                       55     0.02
     4 Stream Global Services, Inc.                               23     0.01              5 The Cheesecake Factory, Inc.                 120     0.05
     1 Suffolk Bancorp.                                           35     0.01              3 The Childrens Place Retail Stores, Inc.      130     0.05
     1 Sun Bancorp., Inc.                                          7         –             6 The Cooper Cos., Inc.                        203     0.08
     4 Sun Healthcare Group, Inc.                                 34     0.01              1 The Ensign Group, Inc.                        25     0.01
     8 Sunoco, Inc.                                             250      0.10              5 The Finish Line, Inc., Class A                80     0.03
     3 SunPower Corp., Class B                                    32     0.01             17 The First Marblehead Corp.                    46     0.02
     4 Super Micro Computer, Inc.                                 61     0.02              8 The Geo Group, Inc.                          167     0.06
   10 Superior Energy Services, Inc.                             225     0.09              5 The Hanover Insurance Group, Inc.            229     0.09
     2 Superior Industries International, Inc.                    36     0.01              4 The Knot, Inc.                                32     0.01
     4 Superior Well Services, Inc.                               63     0.02             11 The Manitowoc Co., Inc.                      134     0.05
     2 Supertex, Inc.                                             43     0.02             15 The McClatchy Co., Class A                    71     0.03
   20 Supervalu, Inc.                                           273      0.11              5 The Medicines Co.                             39     0.02
   11 support.com, Inc.                                           46     0.02              6 The Men's Wearhouse, Inc.                    139     0.05
     – SureWest Communications                                     1         –            23 The NASDAQ OMX Group                         421     0.16
     8 Susquehanna Bancshares, Inc.                               69     0.03              2 The Pantry, Inc.                              29     0.01
     – Susser Holdings Corp.                                       1         –            17 The Phoenix Cos., Inc.                        48     0.02
     5 SVB Financial Group                                       202     0.08             15 The PMI Group, Inc.                           70     0.03
     5 Swift Energy Co.                                          138     0.05              4 The South Financial Group, Inc.                1        –
     4 SWS Group, Inc.                                            44     0.02              2 The Student Loan Corp.                        53     0.02
     3 Sycamore Networks, Inc.                                    60     0.02              2 The Warnaco Group, Inc.                      105     0.04
     5 SYKES Enterprises, Inc.                                    94     0.04              1 The Washington Post Co., Class B             465     0.18
     8 Symmetricom, Inc.                                          39     0.02              5 TheStreet.com, Inc.                           14     0.01
     7 Symmetry Medical, Inc.                                     74     0.03              6 Thomas & Betts Corp.                         241     0.09
     6 Symyx Technologies, Inc.                                   38     0.01              1 Thomas Weisel Partners Group, Inc.             8        –
     7 Syniverse Holdings, Inc.                                 129      0.05              2 Thor Industries, Inc.                         70     0.03
     4 SYNNEX Corp.                                             103      0.04              6 THQ, Inc.                                     34     0.01
   24 Synovus Financial Corp.                                     70     0.03             10 TIBCO Software, Inc.                         119     0.05
     5 Systemax, Inc.                                             95     0.04              6 Tidewater, Inc.                              258     0.10
     2 T-3 Energy Services, Inc.                                  59     0.02              4 Timberland Co., Class A                       82     0.03
     9 Take-Two Interactive Software, Inc.                       107     0.04              7 Timken Co.                                   205     0.08
     4 TAL International Group, Inc.                              87     0.03              5 Titan International, Inc.                     53     0.02
     1 Taylor Capital Group, Inc.                                 11         –             4 Titan Machinery, Inc.                         45     0.02
     5 TCF Financial Corp.                                        81     0.03             13 Titanium Metals Corp.                        233     0.09
     3 Team, Inc.                                                 38     0.01             17 Toll Brothers, Inc.                          362     0.14
     6 Tech Data Corp.                                          246      0.09              5 Tomotherapy, Inc.                             15     0.01
     2 TechTarget, Inc.                                           15     0.01              2 Tompkins Financial Corp.                      67     0.03
     1 Tecumseh Products Co., Class A                             12         –             2 Tootsie Roll Industries, Inc.                 49     0.02
     8 Teekay Corp.                                             210      0.08              2 Tower Bancorp, Inc.                           42     0.02
     7 Tekelec                                                    99     0.04              3 Tower Group, Inc.                             66     0.03
     4 Teledyne Technologies, Inc.                              149      0.06              2 TowneBank                                     30     0.01
     4 Teleflex, Inc.                                           236      0.09              – Tractor Supply Co.                             7        –
     6 Telephone & Data Systems, Inc.                           200      0.08              6 TradeStation Group, Inc.                      43     0.02
     6 Telephone & Data Systems, Inc. Special Shares             163     0.06              8 Transatlantic Holdings, Inc.                 357     0.14
     6 TeleTech Holdings, Inc.                                    78     0.03              3 TreeHouse Foods, Inc.                        157     0.06
   21 Tellabs, Inc.                                             187      0.07              3 Trex Co., Inc.                                61     0.02
   12 Temple-Inland, Inc.                                       245      0.09              1 Trico Bancshares                              21     0.01
                                             The accompanying notes are an integral part of the Financial Statements
                                                                              73
                                                DIMENSIONAL FUNDS II PLC
                                                                        % of                                                                    % of
                                                              Value      Net                                                          Value      Net
                                                             (000's)   Asset                                                         (000's)   Asset
Shares (000's)                                                 USD     Value       Shares (000's)                                      USD     Value
Common Stock - 99.22% (continued)                                                  Common Stock - 99.22% (continued)
United States - 46.94% (continued)                                                 United States - 46.94% (continued)
     1 Trico Marine Services, Inc.                               2         –             3 Viad Corp.                                    66     0.03
   14 Trident Microsystems, Inc.                                24     0.01              4 Viasat, Inc.                                 118     0.05
     9 Trinity Industries, Inc.                                188     0.07              2 ViewPoint Financial Group                     29     0.01
     3 Triple-S Management Corp., Class B                       59     0.02              2 Virginia Commerce Bancorp., Inc.              12        –
   15 TriQuint Semiconductor, Inc.                             106     0.04              7 Viropharma, Inc.                              91     0.03
     3 Triumph Group, Inc.                                    180      0.07              5 Virtusa Corp.                                 41     0.02
     2 TrueBlue, Inc.                                           25     0.01             22 Vishay Intertechnology, Inc.                 195     0.08
     8 Trustco Bank Corp.                                       52     0.02              1 Vital Images, Inc.                            14        –
     6 Trustmark Corp.                                        124      0.05              4 Volcom, Inc.                                  76     0.03
     9 TRW Automotive Holdings Corp.                           265     0.10              2 Volt Information Sciences, Inc.               19     0.01
     7 TTM Technologies, Inc.                                   77     0.03              5 W&T Offshore, Inc.                            48     0.02
     5 Tuesday Morning Corp.                                    31     0.01              3 Wabtec Corp.                                 108     0.04
     7 Tutor Perini Corp.                                      149     0.06             13 Warren Resources, Inc.                        38     0.01
     2 Twin Disc, Inc.                                          23     0.01              1 Washington Banking Co.                         7        –
   30 Tyson Foods, Inc., Class A                              524      0.20             10 Washington Federal, Inc.                     178     0.07
   17 U.S. Gold Corp.                                           68     0.03              1 Washington Trust Bancorp., Inc.               26     0.01
     2 Ultratech, Inc.                                          31     0.01              2 Watsco, Inc.                                 122     0.05
     5 UMB Financial Corp.                                    184      0.07              3 Watts Water Technologies, Inc., Class A       87     0.03
     6 Umpqua Holdings Corp.                                    77     0.03              7 Wausau Paper Corp.                            60     0.02
     4 Unifi, Inc.                                              17     0.01              2 Web.com Group, Inc.                            6        –
     2 Unifirst Corp.                                          108     0.04              7 Webster Financial Corp.                      140     0.05
     2 Union Drilling, Inc.                                     10         –             3 Weis Markets, Inc.                            94     0.04
     3 Union First Market Bankshares Corp.                      49     0.02              4 WellCare Health Plans, Inc.                  109     0.04
     5 Unit Corp.                                             225      0.09             56 Wendy's Arby's Group, Inc., Class A          251     0.10
     8 United America Indemnity Ltd., Class A                   60     0.02              9 Werner Enterprises, Inc.                     198     0.08
     4 United Bankshares, Inc.                                113      0.04              3 WesBanco, Inc.                                64     0.02
     6 United Community Banks, Inc.                             27     0.01              1 WESCO Financial Corp.                        246     0.09
     3 United Financial Bancorp., Inc.                          35     0.01              4 WESCO International, Inc.                    157     0.06
     3 United Fire & Casualty Co.                               62     0.02              2 West Bancorporation, Inc.                     14     0.01
     2 United Natural Foods, Inc.                               71     0.03              4 West Marine, Inc.                             42     0.02
   10 United Online, Inc.                                       70     0.03              2 West Pharmaceutical Services, Inc.            67     0.03
     5 United Rentals, Inc.                                     66     0.03             11 Western Alliance Bancorp.                     87     0.03
     7 United States Cellular Corp.                            278     0.11             15 Western Refining, Inc.                        80     0.03
     3 United Stationers, Inc.                                 164     0.06              2 Westfield Financial, Inc.                     14     0.01
     2 Unitil Corp.                                             42     0.02              7 Westlake Chemical Corp.                      155     0.06
     7 Unitrin, Inc.                                           175     0.07              1 Weyco Group, Inc.                             11        –
     8 Universal American Corp.                               118      0.05              2 Whirlpool Corp.                              184     0.07
     3 Universal Corp.                                        104      0.04              1 White Mountains Insurance Group Ltd.         360     0.14
     2 Universal Electronics, Inc.                              43     0.02              6 Whiting Petroleum Corp.                      539     0.21
     2 Universal Forest Products, Inc.                          63     0.02              9 Whitney Holding Corp.                        100     0.04
   10 Universal Insurance Holdings, Inc.                        47     0.02              4 Willbros Group, Inc.                          38     0.01
     1 Universal Stainless & Alloy Products, Inc.               23     0.01              6 WilliamsSonoma, Inc.                         182     0.07
     3 Universal Truckload Services, Inc., Class A              45     0.02              9 Wilmington Trust Corp.                       130     0.05
     2 Univest Corp. of Pennsylvania                            43     0.02              7 Wilshire Bancorp, Inc.                        72     0.03
   10 URS Corp.                                               436      0.17              6 Winn-Dixie Stores, Inc.                       63     0.02
     2 USA Mobility, Inc.                                       33     0.01              3 Wintrust Financial Corp.                     114     0.04
     1 USA Truck, Inc.                                           8         –             4 Woodward Governor Co.                        109     0.04
   13 USEC, Inc.                                                71     0.03              2 World Acceptance Corp.                        68     0.03
   11 USG Corp.                                               188      0.07              6 World Fuel Services Corp.                    154     0.06
   12 UTI Worldwide, Inc.                                      178     0.07             10 Worthington Industries, Inc.                 143     0.05
   14 Utstarcom, Inc.                                           28     0.01             17 WR Berkley Corp.                             466     0.18
     3 Vaalco Energy, Inc.                                      17     0.01              6 Wright Medical Group, Inc.                   105     0.04
     3 Vail Resorts, Inc.                                      129     0.05             21 Wyndham Worldwide Corp.                      489     0.19
   12 Validus Holdings Ltd.                                    287     0.11              5 X-Rite, Inc.                                  19     0.01
     6 Valley National Bancorp.                                 91     0.04              1 Yadkin Valley Financial Corp.                  4        –
     1 Valmont Industries, Inc.                                 95     0.04              1 Young Innovations, Inc.                       16     0.01
     6 Valspar Corp.                                           176     0.07              2 Zale Corp.                                     7        –
   11 ValueClick, Inc.                                         122     0.05              1 Zebra Technologies Corp., Class A             14     0.01
     4 VCA Antech, Inc.                                       106      0.04             17 Zions Bancorporation                         404     0.16
                                           The accompanying notes are an integral part of the Financial Statements
                                                                            74
                                                   DIMENSIONAL FUNDS II PLC
                                                                          % of
                                                                Value      Net
                                                               (000's)   Asset
Shares (000's)                                                   USD     Value
Common Stock - 99.22% (continued)
United States - 46.94% (continued)
     3 Zoll Medical Corp.                                          78      0.03
     5 Zoltek Cos., Inc.                                           44      0.02
     8 Zoran Corp.                                                 76      0.03
     4 Zumiez, Inc.                                                67      0.03
     1 Zygo Corp.                                                   9         –
                                                              121,540     46.94
Total Common Stock (Cost USD268,095)                          257,551     99.22
Preferred Stock - 0.02%
Australia - 0.02%
   37 Asciano Group                                                 50     0.02
                                                                    50     0.02
Total Preferred Stock (Cost USD39)                                  50     0.02
Rights - 0.03%
Germany - 0.00%
   15 PNE Wind AG                                                    –         –
   15 PNE Wind AG                                                    –         –
                                                                     –         –
Ireland - 0.01%
   167 The Governor & Co. of the Bank of Ireland                    35     0.01
                                                                    35     0.01
Sweden - 0.01%
  415 PA Resources AB                                               33     0.01
                                                                    33     0.01
Switzerland - 0.01%
   15 OC Oerlikon Corp. AG                                          16     0.01
                                                                    16     0.01
Total Rights (Cost USD173)                                          84     0.03
Warrant - 0.00%
Australia - 0.00%
     3 Buru Energy Ltd.                                              –         –
                                                                     –         –
France - 0.00%
   12 Etablissements Maurel et Prom S.A.                             3         –
                                                                     3         –
Hong Kong - 0.00%
   57 Pacific Andes International Holdings Ltd.                      1         –
                                                                     1         –
Total Warrant (Cost USD3)                                            4         –
- Amounts designated as "-" are either $0, less than $1,000 or less than
1,000 shares
                                                                    % of                                                                   % of
                                                          Value      Net                                                         Value      Net
                                                         (000's)   Asset                                                        (000's)   Asset
Shares (000's)                                             USD     Value       Shares (000's)                                     USD     Value
Common Stock - 100.26%                                                         Common Stock - 100.26% (continued)
Australia - 24.75%                                                             Japan - 63.16% (continued)
   57 Alumina Ltd.                                           81     0.35            5 Chuo Mitsui Trust Holdings, Inc.              18     0.08
   48 Amcor Ltd.                                            250     1.08            9 Citizen Holdings Co. Ltd.                     55     0.24
   21 APN News & Media Ltd.                                  37     0.16            1 Coca-Cola West Co. Ltd.                       11     0.05
   47 Australia & New Zealand Banking Group Ltd.            901     3.89            4 COMSYS Holdings Corp.                         34     0.15
   17 Bendigo and Adelaide Bank Ltd.                        119     0.51           21 Cosmo Oil Co. Ltd.                            60     0.26
   56 BlueScope Steel Ltd.                                  109     0.47            6 Credit Saison Co. Ltd.                        71     0.31
   25 Boral Ltd.                                            120     0.52           18 Dai Nippon Printing Co. Ltd.                 219     0.95
     7 Caltex Australia Ltd.                                 62     0.27            7 Daicel Chemical Industries Ltd.               48     0.21
   12 Crown Ltd.                                             76     0.33            7 Daido Steel Co. Ltd.                          28     0.12
   19 CSR Ltd.                                               27     0.12            2 Dainippon Sumitomo Pharma Co. Ltd.            13     0.06
   12 Downer EDI Ltd.                                        63     0.27           14 Daiwa House Industry Co. Ltd.                135     0.58
  156 Fairfax Media Ltd.                                    195     0.84           40 Daiwa Securities Group, Inc.                 181     0.78
   39 Goodman Fielder Ltd.                                   45     0.19           21 Fuji Heavy Industries Ltd.                   119     0.51
   64 Incitec Pivot Ltd.                                    162     0.70           16 FUJIFILM Holdings Corp.                      461     1.99
   34 Insurance Australia Group Ltd.                        103     0.44            7 Fujikura Ltd.                                 34     0.15
   13 Lend Lease Group                                       89     0.38           29 Fukuoka Financial Group, Inc.                121     0.52
     9 Macquarie Group Ltd.                                 321     1.39            6 Fukuyama Transporting Co. Ltd.                28     0.12
  115 Mirvac Group                                          125     0.54            2 Glory Ltd.                                    47     0.20
   35 National Australia Bank Ltd.                          731     3.16            1 Hakuhodo DY Holdings, Inc.                    34     0.14
   38 OneSteel Ltd.                                         104     0.45            1 Hankyu Hanshin Holdings, Inc.                  4     0.02
   18 Origin Energy Ltd.                                    226     0.98            6 Hino Motors Ltd.                              30     0.13
   62 OZ Minerals Ltd.                                       57     0.24            3 Hitachi Capital Corp.                         36     0.16
     5 Primary Health Care Ltd.                              15     0.07            2 Hitachi High-Technologies Corp.               33     0.14
   30 Qantas Airways Ltd.                                    62     0.27           12 Hitachi Ltd.                                  49     0.21
     3 Santos Ltd.                                           32     0.14            2 Hitachi Transport System Ltd.                 24     0.10
     7 Sims Metal Management Ltd.                           116     0.50            2 House Foods Corp.                             29     0.13
   45 Suncorp-Metway Ltd.                                   308     1.33            1 Idemitsu Kosan Co. Ltd.                       44     0.19
   12 TABcorp Holdings Ltd.                                  68     0.30            – INPEX Corp.                                   63     0.27
   20 Tatts Group Ltd.                                       40     0.17           10 Isetan Mitsukoshi Holdings Ltd.               97     0.42
     9 Toll Holdings Ltd.                                    46     0.20           12 ITOCHU Corp.                                 100     0.43
     8 Washington H Soul Pattinson & Co. Ltd.                91     0.39           18 J Front Retailing Co. Ltd.                    93     0.40
   39 Wesfarmers Ltd.                                       949     4.10            9 JS Group Corp.                               166     0.72
                                                          5,730    24.75           60 JX Holdings, Inc.                            322     1.39
Hong Kong - 7.56%                                                                   8 Kamigumi Co. Ltd.                             60     0.26
   36 Cheung Kong Holdings Ltd.                             409     1.77            3 Kandenko Co. Ltd.                             18     0.08
   21 Genting Hong Kong Ltd.                                  3     0.01            8 Kaneka Corp.                                  49     0.21
   30 Henderson Land Development Co. Ltd.                   180     0.78           23 Kawasaki Kisen Kaisha Ltd.                    93     0.40
   11 Hopewell Holdings Ltd.                                 28     0.12            6 Kinden Corp.                                  51     0.22
   54 Hutchison Whampoa Ltd.                                338     1.46            2 Kyocera Corp.                                175     0.76
   18 Kerry Properties Ltd.                                  73     0.32            2 Kyowa Hakko Kogyo Co. Ltd.                    19     0.08
   71 New World Development Ltd.                            115     0.50            3 Leopalace21 Corp.                             13     0.06
   28 Shun Tak Holdings Ltd.                                 15     0.06            – Mabuchi Motor Co. Ltd.                        10     0.04
    – Sun Hung Kai Properties Ltd.                            1        –            7 Marui Group Co. Ltd.                          51     0.22
   23 Swire Pacific Ltd., Class A                           249     1.08           26 Mazda Motor Corp.                             67     0.29
   24 The Hongkong & Shanghai Hotels Ltd.                    37     0.16            6 Medipal Holdings Corp.                        65     0.28
   33 Wharf Holdings Ltd.                                   162     0.70            1 MEIJI Holdings Co. Ltd.                       18     0.08
   25 Wheelock & Co. Ltd.                                    66     0.28           36 Mitsubishi Chemical Holdings Corp.           170     0.73
   45 Wheelock Properties Ltd.                               73     0.32           10 Mitsubishi Gas Chemical Co., Inc.             55     0.24
                                                          1,749     7.56           85 Mitsubishi Heavy Industries Ltd.             310     1.34
                                                                                   24 Mitsubishi Materials Corp.                    64     0.28
Japan - 63.16%                                                                      9 Mitsubishi Tanabe Pharma Corp.               116     0.50
     2 Acom Co. Ltd.                                         24     0.10         177 Mitsubishi UFJ Financial Group, Inc.          863     3.73
    18 Aeon Co. Ltd.                                        181     0.78            2 Mitsubishi UFJ Lease & Finance Co. Ltd.       84     0.36
    12 Ajinomoto Co., Inc.                                  102     0.44           22 Mitsui & Co. Ltd.                            315     1.36
    12 Amada Co. Ltd.                                        88     0.38           24 Mitsui Chemicals, Inc.                        73     0.32
    26 Aozora Bank Ltd.                                      33     0.14           15 Mitsui OSK Lines Ltd.                        107     0.46
    21 Asahi Kasei Corp.                                    109     0.47            – Mitsumi Electric Co. Ltd.                      7     0.03
     1 Autobacs Seven Co. Ltd.                               32     0.14           46 Mizuho Financial Group, Inc.                  84     0.36
     1 Bridgestone Corp.                                     18     0.08           18 Mizuho Securities Co. Ltd.                    45     0.19
     3 Canon Marketing Japan, Inc.                           37     0.16           14 MS&AD Insurance Group Holdings               345     1.49
                                      The accompanying notes are an integral part of the Financial Statements.
                                                                       76
                                               DIMENSIONAL FUNDS II PLC
                                                                      % of                                                                  % of
                                                            Value      Net                                                        Value      Net
                                                           (000's)   Asset                                                       (000's)   Asset
Shares (000's)                                               USD     Value        Shares (000's)                                   USD     Value
Common Stock - 100.26% (continued)                                                Common Stock - 100.26% (continued)
Japan - 63.16% (continued)                                                        Japan - 63.16% (continued)
     3 Nagase & Co. Ltd.                                        32     0.14           11 The Hyakujushi Bank Ltd.                     39    0.17
     5 Namco Bandai Holdings, Inc.                              41     0.18           11 The Juroku Bank Ltd.                         39    0.17
     7 NEC Corp.                                                20     0.09            7 The Kagoshima Bank Ltd.                      43    0.19
    30 Nippon Express Co. Ltd.                                 132     0.57            6 The Keiyo Bank Ltd.                          29    0.13
     4 Nippon Meat Packers, Inc.                                49     0.21           28 The Nishi-Nippon City Bank Ltd.              77    0.33
     3 Nippon Paper Group, Inc.                                 96     0.41            9 The Ogaki Kyoritsu Bank Ltd.                 27    0.12
    24 Nippon Sheet Glass Co. Ltd.                              63     0.27            4 The San-In Godo Bank Ltd.                    28    0.12
     2 Nippon Shokubai Co. Ltd.                                 18     0.08           10 The Shiga Bank Ltd.                          54    0.23
    32 Nippon Yusen KK                                         116     0.50           15 The Shizuoka Bank Ltd.                      123    0.53
     1 Nisshin Seifun Group, Inc.                                5     0.02           59 The Sumitomo Trust & Banking Co. Ltd.       317    1.37
    21 Nisshin Steel Co. Ltd.                                   38     0.17            8 Toda Corp.                                   26    0.11
     3 Nisshinbo Holdings, Inc.                                 28     0.12           14 Tokio Marine Holdings, Inc.                 397    1.72
    23 NKSJ Holdings, Inc.                                     141     0.61            4 Tokyo Steel Manufacturing Co. Ltd.           42    0.18
     4 NOK Corp.                                                66     0.28            9 Tokyo Tatemono Co. Ltd.                      33    0.14
    17 NTN Corp.                                                72     0.31           20 Toppan Printing Co. Ltd.                    168    0.72
    23 Obayashi Corp.                                           91     0.39           15 Tosoh Corp.                                  40    0.17
    20 OJI Paper Co. Ltd.                                       95     0.41            5 Toyo Seikan Kaisha Ltd.                      73    0.32
     4 Onward Holdings Co. Ltd.                                 30     0.13            2 Toyota Auto Body Co. Ltd.                    22    0.10
     3 ORIX Corp.                                              236     1.02            6 Toyota Industries Corp.                     152    0.66
     8 Panasonic Corp.                                         108     0.47            6 Toyota Tsusho Corp.                          84    0.36
     3 Promise Co. Ltd.                                         22     0.10            – TV Asahi Corp.                                8    0.03
    16 Ricoh Co. Ltd.                                          231     1.00            5 UNY Co. Ltd.                                 38    0.16
     3 Rohm Co. Ltd.                                           160     0.69            7 Yamaguchi Financial Group, Inc.              66    0.29
     4 Sanwa Holdings Corp.                                     12     0.05            5 Yamaha Corp.                                 49    0.21
     8 Sapporo Hokuyo Holdings, Inc.                            30     0.13                                                       14,620   63.16
     – SBI Holdings, Inc.                                       85     0.37       New Zealand - 0.12%
     4 Seiko Epson Corp.                                        50     0.21           7 Contact Energy Ltd.                          27     0.12
     4 Seino Holdings Corp.                                     28     0.12                                                          27     0.12
    12 Sekisui Chemical Co. Ltd.                                75     0.32
    16 Sekisui House Ltd.                                      145     0.63       Singapore - 4.67%
     3 Seven & I Holdings Co. Ltd.                              65     0.28          94 CapitaLand Ltd.                              237   1.02
    14 Sharp Corp.                                             154     0.67          38 DBS Group Holdings Ltd.                      367   1.59
    36 Shinsei Bank Ltd.                                        36     0.16          27 Fraser and Neave Ltd.                         94   0.41
     2 Showa Shell Sekiyu KK                                    14     0.06         109 Golden Agri-Resources Ltd.                    39   0.17
     – SKY Perfect JSAT Holdings, Inc.                          15     0.07          12 Keppel Land Ltd.                              30   0.13
    47 Sojitz Corp.                                             78     0.34          15 Neptune Orient Lines Ltd.                     20   0.09
    31 Sony Corp.                                              966     4.17          15 Singapore Airlines Ltd.                      151   0.65
     8 Sumitomo Bakelite Co. Ltd.                               42     0.18            9 Singapore Land Ltd.                          41   0.18
    31 Sumitomo Corp.                                          337     1.46          52 United Industrial Corp. Ltd.                  78   0.34
    19 Sumitomo Electric Industries Ltd.                       223     0.96            8 UOL Group Ltd.                               22   0.09
     4 Sumitomo Forestry Co. Ltd.                               30     0.13                                                        1,079   4.67
    19 Sumitomo Mitsui Financial Group, Inc.                   554     2.39       Total Common Stock (Cost USD24,191)             23,205 100.26
     2 Suzuken Co. Ltd.                                         63     0.27       Preferred Stock - 0.16%
    25 Taiheiyo Cement Corp.                                    33     0.14       Australia - 0.16%
    27 Taisei Corp.                                             52     0.23          27 Asciano Group                                36     0.16
     1 Taisho Pharmaceutical Co. Ltd.                           19     0.08                                                          36     0.16
    11 Takashimaya Co. Ltd.                                     96     0.42       Total Preferred Stock (Cost USD46)                 36     0.16
    25 Teijin Ltd.                                              70     0.30       Warrant - 0.00%
    13 The 77 Bank Ltd.                                         67     0.29
                                                                                  Hong Kong - 0.00%
    12 The Bank of Kyoto Ltd.                                   96     0.41
                                                                                      6 Henderson Land Development Co. Ltd.           –        –
    24 The Bank of Yokohama Ltd.                               115     0.50
    18 The Chiba Bank Ltd.                                     110     0.48                                                           –        –
     3 The Chugoku Bank Ltd.                                    35     0.15       Total Warrant (Cost USD–)                           –        –
     3 The Daiei, Inc.                                          14     0.06
                                                                                  Total Investments (Cost USD24,237)              23,241 100.42
    12 The Daishi Bank Ltd.                                     37     0.16
    15 The Gunma Bank Ltd.                                      77     0.33       Liabilities in Excess of Other Assets             (97)   (0.42)
    16 The Hachijuni Bank Ltd.                                  86     0.37
     8 The Higo Bank Ltd.                                       40     0.17       Total Net Assets                               $23,144 100.00
     7 The Hokkoku Bank Ltd.                                    24     0.10
     6 The Hyakugo Bank Ltd.                                    25     0.11
                                         The accompanying notes are an integral part of the Financial Statements
                                                                          77
                                                   DIMENSIONAL FUNDS II PLC
- Amounts designated as "-" are either $0, less than $1,000 or less than
1,000 shares
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                                           DIMENSIONAL FUNDS II PLC
                                              Emerging
                                               Markets
                                         Targeted Value European Value        Global Core Global Targeted       Pacific Basin
                                                  Fund           Fund         Equity Fund     Value Fund         Value Fund
                                                   USD            EUR                USD             USD                 USD
Net realised gain/(loss) on financial
assets at fair value through profit or
loss                                          2,637,179       (1,185,313 )       617,686         1,845,564         (126,387 )
Net change in unrealised
(loss)/gain on financial assets at
fair value through profit or loss            (5,212,609 )       679,759        (5,752,291 )       (274,351 )        (32,907 )
                                             (2,575,430 )      (505,554 )      (5,134,605 )      1,571,213         (159,294 )
                                                Emerging
                                         Markets Targeted European Value       Global Core Global Targeted       Pacific Basin
                                              Value Fund           Fund        Equity Fund     Value Fund         Value Fund
                                                     USD            EUR               USD             USD                 USD
Net realised (loss)/gain on financial
assets at fair value through profit or
loss                                           (6,683,135 )   (12,579,396 )           1,252      (3,965,715 )     (20,640,193 )
Net change in unrealised gain on
financial assets at fair value
through profit or loss                       134,399,922       12,266,173        6,570,503       21,865,754        21,712,332
                                             127,716,787         (313,223 )      6,571,755       17,900,039         1,072,139
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                                     DIMENSIONAL FUNDS II PLC
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*Global Core Equity Fund and Global Targeted Value Fund launched during the period ended 31 May 2010, therefore for the
purposes FRS 29 the Investment Manger has assumed beta for these Funds.
The sensitivity analysis set out above, should not be used as an indication of future performance.
The sensitivity analysis is subject to limitations for example:
•     the sensitivities are based on historical data and cannot take account of the fact that future market price movements,
      correlations between markets and levels of market liquidity in conditions of market stress may bear no relation to
      historical patterns;
•     the market price risk information is a relative estimate of risk rather than a precise and accurate number;
•     the market price information represents a hypothetical outcome and is not intended to be predictive; and
•     future market conditions could vary significantly from those experienced.
ii)       Foreign currency risk
Since securities may be denominated in a foreign currency and may require settlement in foreign currencies and pay interest
and/or a dividend in foreign currencies, changes in the relationship of these foreign currencies to the functional currency in
respect of the Funds can significantly affect the value of the investments and earnings of the Funds. Monetary assets and
liabilities denominated in foreign currencies are translated to the functional currency of each Fund at the foreign currency
closing exchange rate ruling at the balance sheet date. Foreign currency exchange differences arising on translation and
realised gains and losses on disposals or settlements of monetary assets and liabilities are recognised in the Profit and Loss
Account. Non-monetary assets and liabilities denominated in foreign currencies that are measured at fair value are translated to
the functional currency of each Fund at the foreign currency exchange rates ruling at the dates that the values were determined.
Foreign investments may also subject the Funds to foreign government exchange restrictions, expropriation, taxation, or other
political, social or economic developments, all of which could affect the market and/or credit risk of the investments.
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                            Emerging
                             Markets
                       Targeted Value European Value         Global Core Global Targeted        Pacific Basin
Currency                        Fund            Fund         Equity Fund     Value Fund          Value Fund
                                 USD            EUR                  USD            USD                  USD
Australian Dollar                  –               –           1,513,755      3,325,050           3,312,404
Brazilian Real            39,685,020               –                   –              –                    –
British Pound             (1,453,937 )    11,562,981           5,593,159     12,540,211               22,038
Canadian Dollar                    –               –           2,260,518      6,817,570                    –
Chilean Peso               6,101,018               –                   –              –                    –
Danish Krone                       –         657,418             187,150      1,029,804                    –
Euro                         (33,097 )    24,802,372           6,692,468     20,342,107             (23,526 )
Hong Kong Dollar          48,440,019               –             544,492      1,371,794           2,287,303
Hungarian Forint           1,741,002               –                   –              –                    –
Indian Rupee              37,490,516               –                   –              –                    –
Indonesian Rupiah          6,554,114               –                   –              –                    –
Israeli Shekel             7,881,329               –                   –              –                    –
Japanese Yen                       –               –           5,701,500     19,285,543          11,810,037
Malaysian Ringgit         21,362,926               –                   –              –                    –
Mexican Peso              19,836,084               –                   –              –                    –
New Zealand Dollar                 –               –              17,533        365,441             112,747
Norwegian Krone                    –         624,974             209,827      1,191,043                    –
Philippine Peso            3,092,842               –                   –              –                    –
Polish Zloty               6,577,922               –                   –              –                    –
Singapore Dollar                   –               –             243,470        871,354           1,359,223
South African Rand        35,929,692               –                   –              –                    –
South Korean Won          36,291,196               –                   –              –                    –
Swedish Krona                      –       2,278,766             438,233      1,429,705                    –
Swiss Franc                        –       5,463,784           1,778,578      4,616,241                    –
Taiwan Dollar             44,085,424               –                   –              –                    –
Thai Baht                  6,805,512               –                   –              –                    –
Turkish Lira               9,081,482               –                   –              –                    –
United States Dollar       1,067,860          (8,742 )        29,683,304     45,642,947               38,408
                         330,536,924      45,381,553          54,863,987    118,828,810          18,918,634
Adjustment from bid
market value to fair
value                       2,876,018           407,704              191,983       754,998           178,379
Total                     333,412,942        45,789,257           55,055,970   119,583,808        19,097,013
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Emerging Targeted Value Fund         Brazilian Real                    0.00%        (0.00)%            1.20%            (1.20%)
                                     Hong Kong Dollar                  1.19%        (1.19)%            1.45%            (1.45%)
                                     Indian Rupee                      1.23%        (1.23)%            1.13%            (1.13%)
                                     South African Rand                0.00%        (0.00)%            1.09%            (1.09%)
                                     South Korean Won                  1.23%        (1.23)%            1.10%            (1.10%)
                                     Taiwan Dollar                     1.22%        (1.22)%            1.33%            (1.33%)
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                                      DIMENSIONAL FUNDS II PLC
31 May 2009:
                                      Emerging
                                       Markets
                                 Targeted Value European Value       Global Core Global Targeted        Pacific Basin
                                          Fund           Fund        Equity Fund     Value Fund          Value Fund
Liabilities                                USD            EUR               USD             USD                  USD
Less than 1 month
Management fee                          181,393           13,866            10,097            45,139               –
Payable for shares repurchased           11,638                –               838             2,452               –
Payable for securities
purchased                                 17,303               –             7,370             28,766        315,663
Distributions payable                  1,469,584           3,794           221,298            190,472            507
Accrued expenses                         112,343           9,667            14,862             23,095         14,636
Redeemable Shares                    333,412,942      45,789,257        55,055,970        119,583,808     19,097,013
3 months - 1year
Capital gains tax                              –               –                 –                  –              –
Accrued expenses                          34,305          16,895            20,020             24,269         28,605
Total Financial Liabilities          335,239,508      45,833,479        55,506,083        119,898,001     19,456,424
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At 31 May 2010 an exchange rate of 0.7325 (May 2009: 0.7544) was used to translate the Profit and Loss Account of
Emerging Markets Targeted Value Fund, Pacific Basin value Fund, Global Targeted Fund and Global Core Equity Fund from
USD to EUR.
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                                        DIMENSIONAL FUNDS II PLC
                                       Emerging
                                        Markets
                                  Targeted Value European Value          Global Core Global Targeted        Pacific Basin
                                           Fund           Fund           Equity Fund     Value Fund          Value Fund
                                            USD            EUR                  USD             USD                  USD
31 May Interim Distribution              973,586         22,042              395,896         382,373               10,525
                                         973,586         22,042              395,896         382,373               10,525
Add: Income deducted on
cancellation of shares                      1,811                   22          8,657           12,403                 77
Deduct: Income received on
issue of shares                          (71,296)            (1,156)         (45,038)         (103,285)             (751)
Net distribution for the period           904,101             20,908         359,515            291,491             9,851
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                                        DIMENSIONAL FUNDS II PLC
                                       Emerging
                                        Markets
                                  Targeted Value European Value       Global Core Global Targeted        Pacific Basin
                                           Fund           Fund        Equity Fund     Value Fund          Value Fund
                                            USD            EUR               USD             USD                  USD
31 May Interim Distribution            1,469,584          3,794           221,298         190,471                  507
                                       1,469,584          3,794           221,298         190,471                  507
Add: Income deducted on
cancellation of shares                      1,439                 –          4,119           3,540                   –
Deduct: Income received on
issue of shares                            (5,861)           (689)        (16,503)         (19,807)             (204)
Net distribution for the period         1,465,162            3,105        208,914          174,204                303
Distributions per Share Class for the period ended 31 May 2010 were as follows:
                                                                                                      Dividend per
                                                                                                       Redeemable
Fund                                          Fund Class              Ex Date           Pay Date             Share Amount
Emerging Markets Targeted Value Fund          Class C             28 May 2010        14 June 2010            £0.04   £104,012
Emerging Markets Targeted Value Fund          Class D             28 May 2010        28 May 2010             £0.04   £569,213
European Value Fund                           Class C             28 May 2010        14 June 2010            £0.14        £1,296
European Value Fund                           Class D             28 May 2010        28 May 2010             £0.07       £17,408
Global Core Equity Fund                       Class C             28 May 2010        14 June 2010            £0.04    £86,273
Global Core Equity Fund                       Class D             28 May 2010        28 May 2010             £0.04   £187,485
Global Targeted Value Fund                    Class C             28 May 2010        14 June 2010            £0.03   £121,060
Global Targeted Value Fund                    Class D             28 May 2010        28 May 2010             £0.03   £143,346
Pacific Basin Value Fund                      Class C             28 May 2010        14 June 2010            £0.07          £504
Pacific Basin Value Fund                      Class D             28 May 2010        28 May 2010             £0.07        £6,774
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European Value Fund                             Class C           29 May 2009        3 June 2009           £0.12        £221
European Value Fund                             Class D           29 May 2009        3 June 2009           £0.07      £3,097
Global Core Equity Fund                         Class C           29 May 2009        3 June 2009           £0.04     £14,865
Global Core Equity Fund                         Class D           29 May 2009        3 June 2009           £0.04    £122,052
Global Targeted Value Fund                      Class C           29 May 2009        3 June 2009           £0.03      £6,557
Global Targeted Value Fund                      Class D           29 May 2009        3 June 2009           £0.03    £111,288
Pacific Basin Value Fund                        Class C           29 May 2009        3 June 2009           £0.06        £96
Pacific Basin Value Fund                        Class D           29 May 2009        3 June 2009           £0.06       £217
* Equities include common stock, preferred stock, REITS rights and warrants.
** Collective Investments Schemes include UCIT Funds.
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The impact of the above cross-investment transaction has been eliminated from the total column of the Combined Balance
Sheet, Combined Profit and Loss Account and the Combined Statement of Changes in Net Assets Attributable to Holders of
Redeemable Shares.
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                                     DIMENSIONAL FUNDS II PLC
Statement of Portfolio Changes for the period ended 31 May 2010 (Unaudited)
In accordance with the European Communities (Undertakings for Collective Investment in Transferable Securities)
Regulations 2003, as amended, a statement of largest changes in the composition of the Schedule of Investments during the
reporting period is provided to ensure that Shareholders can identify changes in the investments held by each Fund. These
statements present the aggregate purchases and sales of an investment exceeding 1.00% of the total value of purchases and
sales for the period. At a minimum the largest 20 purchases and sales are listed. If a Fund entered into fewer than twenty
purchases or sales during the reporting period, then all transactions are presented.
Emerging Markets Targeted Value Fund
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                                      DIMENSIONAL FUNDS II PLC
Statement of Portfolio Changes for the period ended 31 May 2010 (Unaudited) (continued)
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                                    DIMENSIONAL FUNDS II PLC
Statement of Portfolio Changes for the period ended 31 May 2010 (Unaudited) (continued)
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                                        DIMENSIONAL FUNDS II PLC
Statement of Portfolio Changes for the period ended 31 May 2010 (Unaudited) (continued)
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                                    DIMENSIONAL FUNDS II PLC
Statement of Portfolio Changes for the period ended 31 May 2010 (Unaudited) (continued)
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Authorised and Regulated by the Financial Services Authority
             Firm Reference Number: 150100