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Appendix A

Time-Series Construction

Average Annual Total Return One Year DFA 2-Year Global Fixed Income Portfolio 0.46% World Gov't Bond Index 1-3 Years* 0.76%

Three Years Five Years 0.76% 1.22% 1.18% 1.39%

Ten Years 2.24% 2.76%

Duration 1.36 Years Average Portfolio Maturity Range 1.38 Years Expense Ratio (as of 10/31/12) 0.18% *Citigroup Index, Hedged. All Data as of Dec. 31, 2013. Returns include the impact of reinvested dividends and capital gains distributions. For updates see ifaindexes.com.

Time-Series Construction

Average Annual Total Return DFA Short-Term Gov't Portfolio Capital US Gov't Bond Index Int.*

One Year -0.451% -0.17%

Three Years Five Years 1.50% 2.08% 1.33% 1.67%

Ten Years 3.15% 3.12%

Duration 2.62 Years Average Portfolio Maturity Range 2.73 Years Expense Ratio (as of 10/31/12) 0.20% *Barclays Index. All Data as of Dec. 31, 2013. Returns include the impact of reinvested dividends and capital gains distributions. For updates see ifaindexes.com.

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