Schwab International Small-Cap Equity ETF (SCHC)

All holdings as of date 06/13/25
Displaying 1401 - 1500 of 2165
  • ADTRAN NETWORKS

  • TAEKWANG INDUSTRIAL LTD

  • DISTRIBUIDORA INTERNACIONAL DE ALI

  • FAR EAST HOSPITALITY TRUST REIT

  • HLB LIFE SCIENCE LTD

  • NOEVIR HOLDINGS LTD

  • HIBIYA ENGINEERING LTD

  • NORITZ CORP

  • DOUGLAS AG

  • NEINOR HOMES SA

  • MOTA-ENGIL SGPS SA

  • SKY CITY ENTERTAINMENT GROUP LTD

  • GLOBAL DOMINION ACCESS SA

  • AZ-COM MARUWA HOLDINGS INC

  • JOHNS LYNG GROUP LTD

  • KURA SUSHI INC

  • SHINHAN ALPHA REIT LTD

  • S&B FOODS INC

  • T HASEGAWA LTD

  • ALTRI SGPS SA

  • TOYO TANSO LTD

  • KYORIN PHARMACEUTICAL LTD

  • JAC RECRUITMENT LTD

  • DEUTSCHE EUROSHOP AG

  • BROADLEAF LTD

  • DAIICHI JITSUGYO LTD

  • ITALMOBILIARE

  • NISHIO HOLDINGS LTD

  • IGG INC

  • CLARITY PHARMACEUTICALS LTD

  • CAREGEN LTD

  • SHIN ETSU POLYMER LTD

  • MONGOLIAN MINING CORP

  • KURIMOTO LTD

  • AXIAL RETAILING INC

  • NIPPON SIGNAL LTD

  • SELECT HARVESTS LTD

  • KLOECKNER & CO

  • JINCHUAN GROUP INTERNATIONAL RESOU

  • ABACUS GROUP UNIT

  • GUBRA

  • AO WORLD

  • ESSO SOCIETE ANONYME FRANCAISE SA

  • SINANEN HOLDINGS LTD

  • RAKSUL INC

  • PURETECH HEALTH PLC

  • CMC MARKETS PLC

  • POSTNL NV

  • DOOSAN FUEL CELL LTD

  • SUMITOMO RIKO LTD

  • SEBANG GLOBAL BATTERY LTD

  • HANA TOUR SERVICE INC

  • JAPAN INVESTMENT ADVISER LTD

  • SMARTGROUP CORPORATION LTD

  • PILLAR CORP

  • SECUNET SECURITY AG

  • LOTTE FINE CHEMICALS LTD

  • TRE HOLDINGS CORP

  • DOUBLEU GAMES LTD

  • SYNOPEX INC

  • PACIFIC INDUSTRIAL LTD

  • FNAC DARTY SA

  • HANA MICRON INC

  • SK OCEANPLANT COLTD LTD

  • IDI INSURANCE COMPANY LTD

  • IDOM INC

  • VASTNED BELGIUM NV

  • SALVATORE FERRAGAMO

  • AOKI HOLDINGS INC

  • US DOLLAR

  • CTI ENGINEERING LTD

  • KAMEI CORP

  • SHIFT UP CORP

  • STANMORE RESOURCES LTD

  • SK GAS LTD

  • SCHOELLER-BLECKMANN OILFIELD EQUIP

  • ACCENT GROUP LTD

  • TEIKOKU SEN-I LTD

  • EUTELSAT COMMUNICATIONS SA

  • SUNG KWANG BEND LTD

  • ANICOM HOLDINGS INC

  • STAR MICRONICS LTD

  • ESR KENDALL SQUARE REIT LTD

  • IDEC CORP

  • DEUTSCHE BETEILIGUNGS AG

  • ITOCHU SHOKUHIN LTD

  • PKSHA TECHNOLOGY INC

  • DEXUS INDUSTRIA REIT STAPLED UNIT

  • OKINAWA FINANCIAL GROUP INC

  • LOTTE REIT LTD

  • DAEWOONG LTD

  • AISAN INDUSTRY LTD

  • GL EVENTS SA

  • ASKUL CORP

  • PRIORTECH LTD

  • HUABAO INTERNATIONAL HOLDINGS LTD

  • DAEDUCKELECTRONICS LTD

  • ITHACA ENERGY PLC

  • DANIELI

  • COMPUTER ENGINEERING & CONSULTING

Fund Name CUSIP Symbol Quantity % of Assets Market Value
ADTRAN NETWORKS 565348901 ADV 32,243 0.02% $773.1K
TAEKWANG INDUSTRIAL LTD 687079004 003240 1,008 0.02% $773.0K
DISTRIBUIDORA INTERNACIONAL DE ALI BTG0DY901 DIA 24,300 0.02% $772.6K
FAR EAST HOSPITALITY TRUST REIT B8GM57907 Q5T 1,748,888 0.02% $772.5K
HLB LIFE SCIENCE LTD B3FQK1906 067630 176,692 0.02% $772.4K
NOEVIR HOLDINGS LTD B45889902 4928 25,610 0.02% $771.4K
HIBIYA ENGINEERING LTD 643797905 1982 32,085 0.02% $771.1K
NORITZ CORP 664389004 5943 58,391 0.02% $770.5K
DOUGLAS AG BPCTQ5909 DOU 60,505 0.02% $769.5K
NEINOR HOMES SA BD9BPN901 HOME 47,618 0.02% $768.8K
MOTA-ENGIL SGPS SA 702547902 EGL 158,845 0.02% $768.7K
SKY CITY ENTERTAINMENT GROUP LTD 682319900 SKC 1,361,386 0.02% $767.7K
GLOBAL DOMINION ACCESS SA BD6SZ7901 DOM 199,307 0.02% $767.6K
AZ-COM MARUWA HOLDINGS INC BKRC09901 9090 97,362 0.02% $765.3K
JOHNS LYNG GROUP LTD BYPHBX907 JLG 399,778 0.02% $764.6K
KURA SUSHI INC 634596902 2695 34,502 0.02% $763.2K
SHINHAN ALPHA REIT LTD BG0WBV904 293940 186,593 0.02% $762.1K
S&B FOODS INC 676450000 2805 35,092 0.02% $761.6K
T HASEGAWA LTD 689926905 4958 36,836 0.02% $760.5K
ALTRI SGPS SA B13ZSL901 ALTR 126,500 0.02% $760.4K
TOYO TANSO LTD B0ZV9X902 5310 25,209 0.02% $760.2K
KYORIN PHARMACEUTICAL LTD B0YZFP904 4569 72,599 0.02% $758.5K
JAC RECRUITMENT LTD B1CC1X905 2124 110,782 0.02% $758.3K
DEUTSCHE EUROSHOP AG 475497905 DEQ 33,197 0.02% $755.9K
BROADLEAF LTD B7VB4G907 3673 149,040 0.02% $754.8K
DAIICHI JITSUGYO LTD 625018007 8059 47,258 0.02% $754.5K
ITALMOBILIARE BZ05RT909 ITM 24,748 0.02% $752.4K
NISHIO HOLDINGS LTD 663832004 9699 27,624 0.02% $752.3K
IGG INC BFRB2W901 799 1,428,908 0.02% $748.2K
CLARITY PHARMACEUTICALS LTD BMCHJF908 CU6 489,712 0.02% $748.0K
CAREGEN LTD BYSRH7903 214370 29,752 0.02% $747.7K
SHIN ETSU POLYMER LTD 680570009 7970 66,114 0.02% $746.9K
MONGOLIAN MINING CORP BJP0B0909 975 918,419 0.02% $746.5K
KURIMOTO LTD 649794005 5602 18,522 0.02% $746.0K
AXIAL RETAILING INC 640897005 8255 96,884 0.02% $744.7K
NIPPON SIGNAL LTD 664252004 6741 101,145 0.02% $743.0K
SELECT HARVESTS LTD 626072904 SHV 251,730 0.02% $741.1K
KLOECKNER & CO B170DQ909 KCO 101,941 0.02% $740.3K
JINCHUAN GROUP INTERNATIONAL RESOU 637398900 2362 9,053,338 0.02% $738.2K
ABACUS GROUP UNIT BQV4PB909 ABG 931,958 0.02% $736.1K
GUBRA BMZQSP901 GUBRA 8,548 0.02% $734.7K
AO WORLD BJTNFH904 AO. 563,192 0.02% $733.5K
ESSO SOCIETE ANONYME FRANCAISE SA 432098002 ES 4,384 0.02% $732.7K
SINANEN HOLDINGS LTD 680452000 8132 16,980 0.02% $731.1K
RAKSUL INC BFM1K6905 4384 84,419 0.02% $731.1K
PURETECH HEALTH PLC BY2Z0H909 PRTC 375,580 0.02% $730.1K
CMC MARKETS PLC B14SKR901 CMCX 206,258 0.02% $729.0K
POSTNL NV 548155902 PNL 698,989 0.02% $728.6K
DOOSAN FUEL CELL LTD BH4G7R907 336260 51,314 0.02% $728.1K
SUMITOMO RIKO LTD 689391001 5191 62,406 0.02% $727.6K
SEBANG GLOBAL BATTERY LTD 621256908 004490 13,990 0.02% $724.8K
HANA TOUR SERVICE INC 631163904 039130 18,607 0.02% $724.4K
JAPAN INVESTMENT ADVISER LTD BQ25C2902 7172 58,738 0.02% $724.0K
SMARTGROUP CORPORATION LTD BNB5WS900 SIQ 152,039 0.02% $723.5K
PILLAR CORP 664113008 6490 28,064 0.02% $721.3K
SECUNET SECURITY AG 580884906 YSN 2,934 0.02% $720.4K
LOTTE FINE CHEMICALS LTD 649643905 004000 25,079 0.02% $719.8K
TRE HOLDINGS CORP ACI207SL9 9247 72,554 0.02% $719.2K
DOUBLEU GAMES LTD BYQ1MZ904 192080 18,826 0.02% $719.0K
SYNOPEX INC 617866900 025320 146,009 0.02% $718.8K
PACIFIC INDUSTRIAL LTD 666620000 7250 78,839 0.02% $718.4K
FNAC DARTY SA B7VQL4902 FNAC 18,778 0.02% $717.7K
HANA MICRON INC B0M2M6904 067310 83,232 0.02% $716.6K
SK OCEANPLANT COLTD LTD B3CBLB909 100090 48,149 0.02% $715.8K
IDI INSURANCE COMPANY LTD BD04HH908 IDIN 14,136 0.02% $714.8K
IDOM INC 613637909 7599 94,611 0.02% $714.1K
VASTNED BELGIUM NV 584708903 VASTB 19,481 0.02% $713.0K
SALVATORE FERRAGAMO B5VZ05906 SFER 115,387 0.02% $713.0K
AOKI HOLDINGS INC 604575001 8214 65,643 0.02% $711.4K
US DOLLAR 999USDZ92 USD -411,702 0.02% $711.0K
CTI ENGINEERING LTD 622237907 9621 37,712 0.02% $710.7K
KAMEI CORP 648255008 8037 43,668 0.02% $710.5K
SHIFT UP CORP ACI2PW5T5 462870 18,295 0.02% $709.5K
STANMORE RESOURCES LTD B4KDPZ907 SMR 572,647 0.02% $708.3K
SK GAS LTD 603602905 018670 4,456 0.02% $708.3K
SCHOELLER-BLECKMANN OILFIELD EQUIP 757130901 SBO 19,783 0.02% $708.0K
ACCENT GROUP LTD BD20RS909 AX1 600,892 0.02% $708.0K
TEIKOKU SEN-I LTD 688098003 3302 38,708 0.02% $706.3K
EUTELSAT COMMUNICATIONS SA B0M7KJ907 ETL 254,757 0.02% $705.2K
SUNG KWANG BEND LTD 632105904 014620 28,198 0.02% $704.5K
ANICOM HOLDINGS INC B3PQXL907 8715 143,240 0.02% $704.5K
STAR MICRONICS LTD 684152002 7718 60,000 0.02% $703.3K
ESR KENDALL SQUARE REIT LTD ACI1T5109 365550 216,233 0.02% $702.6K
IDEC CORP 645673005 6652 44,600 0.02% $701.8K
DEUTSCHE BETEILIGUNGS AG ACI068BL3 DBAN 25,130 0.02% $701.5K
ITOCHU SHOKUHIN LTD 632785903 2692 10,020 0.02% $700.5K
PKSHA TECHNOLOGY INC BF1CV1903 3993 28,328 0.02% $699.6K
DEXUS INDUSTRIA REIT STAPLED UNIT BP2RQ9906 DXI 361,160 0.02% $697.8K
OKINAWA FINANCIAL GROUP INC ACI207QJ6 7350 35,179 0.02% $697.2K
LOTTE REIT LTD BKTPM6902 330590 250,778 0.02% $696.7K
DAEWOONG LTD 616442901 003090 35,439 0.02% $696.3K
AISAN INDUSTRY LTD 601064900 7283 58,473 0.02% $696.0K
GL EVENTS SA 715410908 GLO 23,194 0.02% $695.8K
ASKUL CORP 629449901 2678 65,870 0.02% $695.6K
PRIORTECH LTD 667777908 PRTC 15,142 0.02% $694.1K
HUABAO INTERNATIONAL HOLDINGS LTD B00HLY905 336 1,707,420 0.02% $693.9K
DAEDUCKELECTRONICS LTD ACI1LQQS3 353200 58,115 0.02% $693.7K
ITHACA ENERGY PLC BPJHV5902 ITH 329,073 0.02% $693.4K
DANIELI 425335007 DAN 17,652 0.02% $693.1K
COMPUTER ENGINEERING & CONSULTING 621531904 9692 44,118 0.02% $692.7K