Schwab Fundamental International Small Equity Index Fund (SFILX)

All holdings as of date 11/30/24
Displaying 701 - 800 of 2019
  • PILOT CORP

  • MITIE GROUP PLC

  • NINE ENTERTAINMENT CO HOLDINGS LTD

  • PLAYTECH PLC

  • VITASOY INTERNATIONAL HOLDINGS LTD

  • ALLIED PROPERTIES REAL ESTATE INVT

  • NOS SGPS SA

  • AUSTAL LTD

  • BUNKA SHUTTER LTD

  • KCC CORP

  • ASM INTERNATIONAL NV

  • SAN-A LTD

  • COLLIERS INTERNATIONAL GROUP SUBOR

  • FIRST INTERNATIONAL BANK LTD

  • SHIZUOKA FINANCIAL GROUP INC

  • DEUTSCHE PFANDBRIEFBANK AG

  • BETSSON CLASS B

  • COLRUYT GROUP NV

  • DAMPSKIBSSELSKABET NORDEN

  • HAPPINET CORP

  • CATHAY PACIFIC AIRWAYS LTD

  • SOTETSU HOLDINGS INC

  • CIA DE DISTRIBUCION INTEGRAL SA

  • VONTOBEL HOLDING AG

  • JAPAN AVIATION ELECTRONICS INDUSTR

  • OKUMURA CORP

  • UNITED URBAN INVESTMENT REIT CORP

  • GRUPA KETY SA

  • HUTCHISON PORT HOLDINGS UNITS TRUS

  • SHINKO ELECTRIC INDUSTRIES LTD

  • ONTEX GROUP NV

  • TADANO LTD

  • NFI GROUP INC

  • PARAGON BANKING GROUP PLC

  • YOUNGONE CORP

  • NUFARM LTD

  • KOBE BUSSAN LTD

  • KOLON INDUSTRY INC

  • ACEA

  • QUADIENT SA

  • TOPCON CORP

  • DEMANT

  • DERICHEBOURG SA

  • GREENCORE GROUP PLC

  • SIXT

  • MIXI INC

  • STARTS CORP INC

  • DEXERIALS CORP

  • INDRA SISTEMAS SA

  • FLUIDRA SA

  • ACOM LTD

  • SWIRE PROPERTIES LTD

  • ALLEIMA

  • DWS GROUP & GMBH CO KGAA

  • TECHNOPRO HOLDINGS INC

  • SAMSUNG CARD LTD

  • AEON DELIGHT LTD

  • LOTTE SHOPPING LTD

  • OSG CORP

  • SCHIBSTED CLASS A

  • JASTRZEBSKA SPOLKA WEGLOWA SA

  • GUNZE LTD

  • CHAMPION IRON LTD

  • PRECISION DRILLING CORP

  • HUBER & SUHNER AG

  • HD HYUNDAI MIPO LTD

  • GRAND CITY PROPERTIES SA

  • CHEIL WORLDWIDE INC

  • SANGETSU CORP

  • DAIWA HOUSE REIT CORP

  • JCDECAUX

  • TOMRA SYSTEMS

  • CLAL INSURANCE ENTERPRISES LTD

  • TAKARA STANDARD LTD

  • ARE HOLDINGS INC

  • DELONGHI

  • ASIANA AIRLINES INC

  • METROPOLE TELEVISION SA

  • LIFCO CLASS B

  • NKT

  • HYUNDAI MARINE & FIRE INSURANCE LT

  • GESTAMP AUTOMOCION SA

  • YAMAGUCHI FINANCIAL GROUP INC

  • SSP GROUP PLC

  • FNAC DARTY SA

  • RATOS CLASS B

  • SEB SA

  • NIPPON GAS LTD

  • UNITED INTERNET AG

  • CHALLENGER LTD

  • HUSQVARNA CLASS B

  • REPLY

  • FUGRO NV CLASS C

  • RYOBI LTD

  • TOSHIBA TEC CORP

  • NIB HOLDINGS LTD

  • JUPITER FUND MANAGEMENT PLC

  • XINYI GLASS HOLDINGS LTD

  • SK DISCOVERY LTD

  • CORBION NV CLASS C

Fund Name CUSIP Symbol Quantity % of Assets Market Value
PILOT CORP 7846 0.06% $333.5K
MITIE GROUP PLC MTO 0.06% $333.4K
NINE ENTERTAINMENT CO HOLDINGS LTD NEC 0.06% $332.7K
PLAYTECH PLC PTEC 0.06% $331.6K
VITASOY INTERNATIONAL HOLDINGS LTD 345 0.06% $331.4K
ALLIED PROPERTIES REAL ESTATE INVT AP.UN 0.06% $330.8K
NOS SGPS SA NOS 0.06% $330.8K
AUSTAL LTD ASB 0.06% $330.7K
BUNKA SHUTTER LTD 5930 0.06% $330.6K
KCC CORP 002380 0.06% $329.5K
ASM INTERNATIONAL NV ASM 0.06% $329.4K
SAN-A LTD 2659 0.06% $328.9K
COLLIERS INTERNATIONAL GROUP SUBOR CIGI 0.06% $328.7K
FIRST INTERNATIONAL BANK LTD FIBI 0.06% $328.2K
SHIZUOKA FINANCIAL GROUP INC 5831 0.06% $327.9K
DEUTSCHE PFANDBRIEFBANK AG PBB 0.06% $327.5K
BETSSON CLASS B BETS B 0.06% $327.5K
COLRUYT GROUP NV COLR 0.06% $326.7K
DAMPSKIBSSELSKABET NORDEN DNORD 0.06% $326.0K
HAPPINET CORP 7552 0.06% $325.8K
CATHAY PACIFIC AIRWAYS LTD 293 0.06% $325.7K
SOTETSU HOLDINGS INC 9003 0.06% $325.4K
CIA DE DISTRIBUCION INTEGRAL SA LOG 0.06% $325.4K
VONTOBEL HOLDING AG VONN 0.06% $324.9K
JAPAN AVIATION ELECTRONICS INDUSTR 6807 0.06% $324.9K
OKUMURA CORP 1833 0.06% $324.9K
UNITED URBAN INVESTMENT REIT CORP 8960 0.06% $323.9K
GRUPA KETY SA KTY 0.06% $323.7K
HUTCHISON PORT HOLDINGS UNITS TRUS NS8U 0.06% $323.2K
SHINKO ELECTRIC INDUSTRIES LTD 6967 0.06% $322.9K
ONTEX GROUP NV ONTEX 0.06% $322.9K
TADANO LTD 6395 0.06% $322.8K
NFI GROUP INC NFI 0.06% $322.6K
PARAGON BANKING GROUP PLC PAG 0.06% $322.6K
YOUNGONE CORP 111770 0.06% $321.2K
NUFARM LTD NUF 0.06% $321.0K
KOBE BUSSAN LTD 3038 0.06% $320.7K
KOLON INDUSTRY INC 120110 0.06% $320.7K
ACEA ACE 0.06% $319.8K
QUADIENT SA QDT 0.06% $319.0K
TOPCON CORP 7732 0.06% $318.7K
DEMANT DEMANT 0.06% $318.5K
DERICHEBOURG SA DBG 0.06% $318.3K
GREENCORE GROUP PLC GNC 0.06% $318.1K
SIXT SIX2 0.06% $317.8K
MIXI INC 2121 0.06% $317.6K
STARTS CORP INC 8850 0.06% $317.6K
DEXERIALS CORP 4980 0.06% $316.5K
INDRA SISTEMAS SA IDR 0.05% $316.2K
FLUIDRA SA FDR 0.05% $316.0K
ACOM LTD 8572 0.05% $315.8K
SWIRE PROPERTIES LTD 1972 0.05% $314.9K
ALLEIMA ALLEI 0.05% $314.7K
DWS GROUP & GMBH CO KGAA DWS 0.05% $314.2K
TECHNOPRO HOLDINGS INC 6028 0.05% $314.2K
SAMSUNG CARD LTD 029780 0.05% $313.5K
AEON DELIGHT LTD 9787 0.05% $313.5K
LOTTE SHOPPING LTD 023530 0.05% $313.3K
OSG CORP 6136 0.05% $313.2K
SCHIBSTED CLASS A SCHA 0.05% $313.1K
JASTRZEBSKA SPOLKA WEGLOWA SA JSW 0.05% $312.4K
GUNZE LTD 3002 0.05% $312.0K
CHAMPION IRON LTD CIA 0.05% $310.0K
PRECISION DRILLING CORP PD 0.05% $309.8K
HUBER & SUHNER AG HUBN 0.05% $309.7K
HD HYUNDAI MIPO LTD 010620 0.05% $309.2K
GRAND CITY PROPERTIES SA GYC 0.05% $309.0K
CHEIL WORLDWIDE INC 030000 0.05% $308.7K
SANGETSU CORP 8130 0.05% $308.7K
DAIWA HOUSE REIT CORP 8984 0.05% $308.2K
JCDECAUX DEC 0.05% $308.1K
TOMRA SYSTEMS TOM 0.05% $306.7K
CLAL INSURANCE ENTERPRISES LTD CLIS 0.05% $306.5K
TAKARA STANDARD LTD 7981 0.05% $306.2K
ARE HOLDINGS INC 5857 0.05% $305.9K
DELONGHI DLG 0.05% $305.8K
ASIANA AIRLINES INC 020560 0.05% $305.2K
METROPOLE TELEVISION SA MMT 0.05% $304.7K
LIFCO CLASS B LIFCO B 0.05% $304.6K
NKT NKT 0.05% $304.5K
HYUNDAI MARINE & FIRE INSURANCE LT 001450 0.05% $304.2K
GESTAMP AUTOMOCION SA GEST 0.05% $304.1K
YAMAGUCHI FINANCIAL GROUP INC 8418 0.05% $304.0K
SSP GROUP PLC SSPG 0.05% $303.9K
FNAC DARTY SA FNAC 0.05% $303.8K
RATOS CLASS B RATO B 0.05% $303.7K
SEB SA SK 0.05% $303.3K
NIPPON GAS LTD 8174 0.05% $303.0K
UNITED INTERNET AG UTDI 0.05% $302.8K
CHALLENGER LTD CGF 0.05% $302.8K
HUSQVARNA CLASS B HUSQ B 0.05% $302.7K
REPLY REY 0.05% $301.7K
FUGRO NV CLASS C FUR 0.05% $301.4K
RYOBI LTD 5851 0.05% $301.3K
TOSHIBA TEC CORP 6588 0.05% $301.3K
NIB HOLDINGS LTD NHF 0.05% $300.5K
JUPITER FUND MANAGEMENT PLC JUP 0.05% $300.4K
XINYI GLASS HOLDINGS LTD 868 0.05% $300.0K
SK DISCOVERY LTD 006120 0.05% $298.5K
CORBION NV CLASS C CRBN 0.05% $298.5K