Schwab International Small-Cap Equity ETF (SCHC)

All holdings as of date 12/20/24
Displaying 1401 - 1500 of 2183
  • HALFORDS GROUP PLC

  • ZUKEN INC

  • ESR KENDALL SQUARE REIT LTD

  • PIAGGIO & C

  • MONTANA N AG

  • SEKISUI JUSHI CORP

  • KOSAIDO HOLDINGS LTD

  • MEZZION PHARMA LTD

  • POSTNL NV

  • IGG INC

  • FAGERHULT GROUP

  • GUOTAI JUNAN INTERNATIONAL HOLDING

  • TORII PHARMACEUTICAL LTD

  • AICHI STEEL CORP

  • CENTRAL AUTOMOTIVE PRODUCTS LTD

  • RYOBI LTD

  • DEUTSCHE EUROSHOP AG

  • DELEK AUTOMOTIVE SYSTEMS LTD

  • LIONTRUST ASSET MANAGEMENT PLC

  • UT GROUP LTD

  • PIOLAX INC

  • MATSUYA FOODS HOLDINGS LTD

  • YG ENTERTAINMENT INC

  • OPTEX GROUP LTD

  • WACKER NEUSON N

  • VIRIDIEN SA

  • SHOFU INC

  • PERION NETWORK LTD

  • MITSUI DM SUGAR HOLDINGS LTD

  • ADVANCED NANO PRODUCT LTD

  • NORITZ CORP

  • KAMEDA SEIKA LTD

  • RINGER HUT LTD

  • YURTEC CORP

  • MITANI SEKISAN LTD

  • TOMTOM NV

  • CHANGE HOLDINGS INC

  • HYUNDAI BIOSCIENCE LTD

  • FUJITA KANKO INC

  • SK GAS LTD

  • ONE REIT INC

  • MARUSAN SECURITIES LTD

  • GREEN CROSS HOLDINGS

  • DAEDUCKELECTRONICS LTD

  • TCC STEEL CORP

  • AZ-COM MARUWA HOLDINGS INC

  • CTI ENGINEERING LTD

  • FDM GROUP HOLDINGS PLC

  • WUESTENROT & WUERTTEMBERGISCHE AG

  • NITTETSU MINING LTD

  • NACHI-FUJIKOSHI CORP

  • JINCHUAN GROUP INTERNATIONAL RESOU

  • BML INC

  • CORONADO GLOBAL RESOURCES CDI INC

  • ALPHAWAVE IP GROUP PLC

  • HYOSUNG CORP

  • AMREST HOLDINGS

  • EGUARANTEE INC

  • EAGLE INDUSTRY LTD

  • PATRIZIA

  • DEXUS INDUSTRIA REIT STAPLED UNIT

  • KEEPER TECHNICAL LABORATORY LTD

  • ECOPRO HN LTD

  • SHIN ETSU POLYMER LTD

  • STRIKE LTD

  • JAPAN PULP AND PAPER LTD

  • DOOSAN FUEL CELL LTD

  • ANICOM HOLDINGS INC

  • VETROPACK HOLDING SA

  • TSUGAMI CORP

  • STILLFRONT GROUP

  • NIKKISO LTD

  • KEIHANSHIN BUILDING LTD

  • A&D HOLON HOLDINGS LIMITED LTD

  • DIGITAL ARTS INC

  • COM2US

  • CYBOZU INC

  • OKINAWA FINANCIAL GROUP INC

  • KYORIN PHARMACEUTICAL LTD

  • STRIKE ENERGY LTD

  • NIPPON SEIKI LTD

  • NAGAILEBEN LTD

  • GENKY DRUGSTORES LTD

  • SCHOELLER-BLECKMANN OILFIELD EQUIP

  • CENTURIA OFFICE REIT UNITS

  • KOMORI CORP

  • CAFE24 CORP

  • CLINUVEL PHARMACEUTICALS LTD

  • INFOMEDIA LTD

  • HANKOOK & COMPANY LTD

  • MEISEI INDUSTRIAL LTD

  • NIPPON SIGNAL LTD

  • DEUTSCHE BETEILIGUNGS AG

  • COMTURE CORP

  • AMPLITUDE ENERGY LTD

  • ASAHI YUKIZAI CORP

  • CMC MARKETS PLC

  • ENERGIEKONTOR AG

  • GEMVAX & KAEL LTD

  • SELECT HARVESTS LTD

Fund Name CUSIP Symbol Quantity % of Assets Market Value
HALFORDS GROUP PLC B012TP908 HFD 405,539 0.02% $679.8K
ZUKEN INC 698997004 6947 24,459 0.02% $678.6K
ESR KENDALL SQUARE REIT LTD ACI1T5109 365550 228,417 0.02% $678.1K
PIAGGIO & C B15CPD901 PIA 316,311 0.02% $675.6K
MONTANA N AG BMGGZL905 AERO 42,438 0.02% $675.0K
SEKISUI JUSHI CORP 679384008 4212 48,612 0.02% $674.5K
KOSAIDO HOLDINGS LTD 603649906 7868 209,158 0.02% $673.8K
MEZZION PHARMA LTD B55W72902 140410 29,928 0.02% $672.0K
POSTNL NV 548155902 PNL 633,028 0.02% $671.5K
IGG INC BFRB2W901 799 1,357,568 0.02% $669.0K
FAGERHULT GROUP ACI0VPJ39 FAG 135,728 0.02% $668.9K
GUOTAI JUNAN INTERNATIONAL HOLDING B3W133907 1788 4,476,308 0.02% $668.1K
TORII PHARMACEUTICAL LTD 689689008 4551 23,692 0.02% $667.8K
AICHI STEEL CORP 601020001 5482 21,128 0.02% $667.2K
CENTRAL AUTOMOTIVE PRODUCTS LTD 618392906 8117 24,206 0.02% $667.0K
RYOBI LTD 676290000 5851 48,060 0.02% $665.9K
DEUTSCHE EUROSHOP AG 475497905 DEQ 34,997 0.02% $665.4K
DELEK AUTOMOTIVE SYSTEMS LTD 626630909 DLEA 87,584 0.02% $664.9K
LIONTRUST ASSET MANAGEMENT PLC 073884900 LIO 116,105 0.02% $664.3K
UT GROUP LTD B1V04K905 2146 48,296 0.02% $663.7K
PIOLAX INC 648596906 5988 40,505 0.02% $663.5K
MATSUYA FOODS HOLDINGS LTD 657298907 9887 15,116 0.02% $662.4K
YG ENTERTAINMENT INC ACI00W6R9 122870 20,518 0.02% $661.4K
OPTEX GROUP LTD 666091905 6914 61,482 0.02% $660.5K
WACKER NEUSON N B17R24901 WAC 45,249 0.02% $660.3K
VIRIDIEN SA BR3YYH909 VIRI 13,399 0.02% $658.3K
SHOFU INC 680533908 7979 46,868 0.02% $658.0K
PERION NETWORK LTD B29NPD901 PERI 89,902 0.02% $657.9K
MITSUI DM SUGAR HOLDINGS LTD 659756001 2109 29,795 0.02% $655.6K
ADVANCED NANO PRODUCT LTD B40442905 121600 15,153 0.02% $655.4K
NORITZ CORP 664389004 5943 61,631 0.02% $653.8K
KAMEDA SEIKA LTD 648237006 2220 25,600 0.02% $653.4K
RINGER HUT LTD 674063904 8200 46,715 0.02% $652.0K
YURTEC CORP 689467009 1934 71,564 0.02% $651.7K
MITANI SEKISAN LTD 659629000 5273 18,937 0.02% $649.7K
TOMTOM NV BFY1TC900 TOM2 115,476 0.02% $647.2K
CHANGE HOLDINGS INC BD41Y7903 3962 74,182 0.02% $646.8K
HYUNDAI BIOSCIENCE LTD B00LSJ902 048410 67,164 0.02% $645.3K
FUJITA KANKO INC 635692007 9722 13,053 0.02% $644.8K
SK GAS LTD 603602905 018670 4,696 0.02% $644.6K
ONE REIT INC BDGTL3902 3290 459 0.02% $644.4K
MARUSAN SECURITIES LTD 656965001 8613 103,551 0.02% $644.2K
GREEN CROSS HOLDINGS 649713906 005250 53,619 0.02% $644.1K
DAEDUCKELECTRONICS LTD ACI1LQQS3 353200 61,355 0.02% $644.0K
TCC STEEL CORP 627637903 002710 31,609 0.02% $643.3K
AZ-COM MARUWA HOLDINGS INC BKRC09901 9090 91,752 0.02% $641.8K
CTI ENGINEERING LTD 622237907 9621 19,906 0.02% $641.3K
FDM GROUP HOLDINGS PLC ACI08P274 FDM 165,144 0.02% $640.3K
WUESTENROT & WUERTTEMBERGISCHE AG 577091903 WUW 53,317 0.02% $639.7K
NITTETSU MINING LTD 664102001 1515 23,897 0.02% $639.5K
NACHI-FUJIKOSHI CORP 661990002 6474 32,204 0.02% $639.2K
JINCHUAN GROUP INTERNATIONAL RESOU 637398900 2362 9,366,648 0.02% $638.7K
BML INC 619787906 4694 34,131 0.02% $636.3K
CORONADO GLOBAL RESOURCES CDI INC ACI15VL30 CRN 1,365,824 0.02% $636.3K
ALPHAWAVE IP GROUP PLC BNDRMJ901 AWE 575,989 0.02% $636.0K
HYOSUNG CORP 689683001 004800 17,651 0.02% $635.8K
AMREST HOLDINGS ACI15JDH5 EAT 136,118 0.02% $635.6K
EGUARANTEE INC B1QGV4902 8771 57,235 0.02% $635.2K
EAGLE INDUSTRY LTD 629670902 6486 50,145 0.02% $635.0K
PATRIZIA B11Y3K905 PAT 80,115 0.02% $634.4K
DEXUS INDUSTRIA REIT STAPLED UNIT BP2RQ9906 DXI 381,260 0.02% $634.2K
KEEPER TECHNICAL LABORATORY LTD BVFNJ6902 6036 21,253 0.02% $632.8K
ECOPRO HN LTD 935JAE909 383310 26,431 0.02% $632.6K
SHIN ETSU POLYMER LTD 680570009 7970 61,473 0.02% $631.1K
STRIKE LTD BD6C2P902 6196 27,222 0.02% $629.2K
JAPAN PULP AND PAPER LTD 647030006 8032 146,786 0.02% $628.3K
DOOSAN FUEL CELL LTD BH4G7R907 336260 54,134 0.02% $628.3K
ANICOM HOLDINGS INC B3PQXL907 8715 151,220 0.02% $628.1K
VETROPACK HOLDING SA BLD1K1903 VETN 22,908 0.02% $627.7K
TSUGAMI CORP 690676002 6101 70,095 0.02% $627.2K
STILLFRONT GROUP ACI1TN910 SF 834,049 0.02% $626.8K
NIKKISO LTD 663994002 6376 102,904 0.02% $624.5K
KEIHANSHIN BUILDING LTD 648720001 8818 62,051 0.02% $621.7K
A&D HOLON HOLDINGS LIMITED LTD 660138900 7745 50,044 0.02% $621.4K
DIGITAL ARTS INC 654358902 2326 16,227 0.02% $620.5K
COM2US B232R2905 078340 17,846 0.02% $619.5K
CYBOZU INC 627792906 4776 45,474 0.02% $618.3K
OKINAWA FINANCIAL GROUP INC ACI207QJ6 7350 37,099 0.02% $618.3K
KYORIN PHARMACEUTICAL LTD B0YZFP904 4569 67,771 0.02% $618.0K
STRIKE ENERGY LTD B01NQF907 STX 5,067,407 0.02% $617.9K
NIPPON SEIKI LTD 664253002 7287 88,421 0.02% $617.9K
NAGAILEBEN LTD 662332907 7447 45,660 0.02% $617.9K
GENKY DRUGSTORES LTD ACI0Z1SH7 9267 30,716 0.02% $617.5K
SCHOELLER-BLECKMANN OILFIELD EQUIP 757130901 SBO 20,863 0.02% $617.1K
CENTURIA OFFICE REIT UNITS BKTW44951 COF 861,481 0.02% $616.8K
KOMORI CORP 649665007 6349 81,310 0.02% $616.7K
CAFE24 CORP ACI1089R7 042000 24,323 0.02% $616.5K
CLINUVEL PHARMACEUTICALS LTD 632840906 CUV 82,489 0.02% $615.9K
INFOMEDIA LTD 626809909 IFM 710,922 0.02% $615.7K
HANKOOK & COMPANY LTD 610742900 000240 49,513 0.02% $614.9K
MEISEI INDUSTRIAL LTD 657632006 1976 69,633 0.02% $614.7K
NIPPON SIGNAL LTD 664252004 6741 106,755 0.02% $612.7K
DEUTSCHE BETEILIGUNGS AG ACI068BL3 DBAN 26,510 0.02% $612.2K
COMTURE CORP B1RMMB902 3844 42,082 0.02% $612.2K
AMPLITUDE ENERGY LTD BLGTZK950 AEL 4,892,961 0.02% $612.0K
ASAHI YUKIZAI CORP 605536002 4216 21,527 0.02% $611.6K
CMC MARKETS PLC B14SKR901 CMCX 191,859 0.02% $611.5K
ENERGIEKONTOR AG 597098904 EKT 12,498 0.02% $611.0K
GEMVAX & KAEL LTD B09CF3902 082270 63,673 0.02% $610.9K
SELECT HARVESTS LTD 626072904 SHV 235,964 0.02% $610.9K