Schwab International Small-Cap Equity ETF (SCHC)

All holdings as of date 04/30/25
Displaying 1401 - 1500 of 2169
  • ADESSO K

  • JUPITER FUND MANAGEMENT PLC

  • PARADISE LTD

  • OILES CORP

  • KOLON INDUSTRY INC

  • TOSHIBA TEC CORP

  • IDEC CORP

  • NORMA GROUP

  • DOUGLAS AG

  • GROWTHPOINT PROPERTIES AUSTRALIA R

  • DEUTSCHE EUROSHOP AG

  • IDOM INC

  • NORITZ CORP

  • SHIKOKU KASEI HOLDINGS CORP

  • DEUTSCHE BETEILIGUNGS AG

  • TOYO TANSO LTD

  • SUMITOMO RIKO LTD

  • TENMA CORP

  • NEXITY SA

  • TOA ROAD CORP

  • PILLAR CORP

  • NICHIDEN CORP

  • PRESTIGE INTERNATIONAL INC

  • ACCENT GROUP LTD

  • SCHOELLER-BLECKMANN OILFIELD EQUIP

  • SHIBAURA MECHATRONICS CORP

  • WEM ADE LTD

  • ASKUL CORP

  • BAKKAVOR GROUP

  • BROADLEAF LTD

  • TOKYU CONSTRUCTION LTD

  • HLB THERAPEUTICS LTD

  • RINGER HUT LTD

  • BYSTRONIC AG

  • S&B FOODS INC

  • MYSTATE LTD

  • STANMORE RESOURCES LTD

  • SLIGRO FOOD GROUP NV

  • ITALMOBILIARE

  • NIPPON SIGNAL LTD

  • AUSTRALIAN ETHICAL INVESTMENT LTD

  • STAR MICRONICS LTD

  • PHARMICELL LTD

  • SHIFT UP CORP

  • PACIFIC INDUSTRIAL LTD

  • PIOLAX INC

  • YAMANASHI CHUO BANK LTD

  • HS HYOSUNG ADVANCED MATERIALS CORP

  • G CITY LTD

  • SHIN ETSU POLYMER LTD

  • YAMAE GROUP HOLDINGS LTD

  • TRANSACTION LTD

  • CLARITY PHARMACEUTICALS LTD

  • MITSUI DM SUGAR LTD

  • TORII PHARMACEUTICAL LTD

  • RIDLEY CORPORATION LTD

  • ABACUS GROUP UNIT

  • SEBANG GLOBAL BATTERY LTD

  • NPR-RIKEN CORP

  • S&S TECH CORP

  • SHOFU INC

  • RAKSUL INC

  • SENSHU ELECTRIC LTD

  • JAPAN INVESTMENT ADVISER LTD

  • KOMORI CORP

  • QOL HOLDINGS LTD

  • KAMEDA SEIKA LTD

  • VIRIDIEN SA

  • TEIKOKU SEN-I LTD

  • TPR LTD

  • PROSEGUR COMPANIA DE SEGURIDAD SA

  • HANA TOUR SERVICE INC

  • SUN FRONTIER FUDOUSAN LTD

  • KYORIN PHARMACEUTICAL LTD

  • SECUNET SECURITY AG

  • CHANGE HOLDINGS INC

  • SILEX SYSTEMS LTD

  • INVESTMENT ORESUND

  • IDI INSURANCE COMPANY LTD

  • SYNOPEX INC

  • COMPUTER ENGINEERING & CONSULTING

  • TOMTOM NV

  • NIPPON YAKIN KOGYO LTD

  • RIVERSTONE HOLDINGS LTD

  • TV ASAHI HOLDINGS CORP

  • GWA GROUP LTD

  • TOKYO ELECTRON DEVICE LTD

  • CHIYODA CORPORATION CORP

  • ENERGIEKONTOR AG

  • GLOBAL DOMINION ACCESS SA

  • IGG INC

  • RYOBI LTD

  • GENKY DRUGSTORES LTD

  • HIOKI EE CORP

  • KISOJI LTD

  • DYDO GROUP HOLDINGS INC

  • SHOEI FOODS CORP

  • TOHOKUSHINSHA FILM CORP

  • MEISEI INDUSTRIAL LTD

  • VITAL KSK HOLDINGS INC

Fund Name CUSIP Symbol Quantity % of Assets Market Value
ADESSO K 599062908 ADN1 6,484 0.02% $730.0K
JUPITER FUND MANAGEMENT PLC B53P20908 JUP 757,117 0.02% $729.9K
PARADISE LTD 656093903 034230 84,905 0.02% $728.4K
OILES CORP 665753901 6282 48,453 0.02% $726.9K
KOLON INDUSTRY INC 939USE901 120110 34,089 0.02% $726.9K
TOSHIBA TEC CORP 689488005 6588 38,949 0.02% $725.8K
IDEC CORP 645673005 6652 44,764 0.02% $724.7K
NORMA GROUP B4RLNR902 NOEJ 57,139 0.02% $724.6K
DOUGLAS AG BPCTQ5909 DOU 60,729 0.02% $723.1K
GROWTHPOINT PROPERTIES AUSTRALIA R B1Y9BC903 GOZ 489,236 0.02% $721.0K
DEUTSCHE EUROSHOP AG 475497905 DEQ 33,317 0.02% $720.6K
IDOM INC 613637909 7599 94,959 0.02% $719.7K
NORITZ CORP 664389004 5943 58,607 0.02% $717.9K
SHIKOKU KASEI HOLDINGS CORP 680430006 4099 54,142 0.02% $717.2K
DEUTSCHE BETEILIGUNGS AG ACI068BL3 DBAN 25,222 0.02% $716.4K
TOYO TANSO LTD B0ZV9X902 5310 25,301 0.02% $716.2K
SUMITOMO RIKO LTD 689391001 5191 62,634 0.02% $715.8K
TENMA CORP 688423003 7958 28,529 0.02% $714.4K
NEXITY SA B037JC905 NXI 69,117 0.02% $713.2K
TOA ROAD CORP 689458008 1882 66,448 0.02% $711.3K
PILLAR CORP 664113008 6490 28,168 0.02% $711.3K
NICHIDEN CORP 663797900 9902 35,088 0.02% $710.3K
PRESTIGE INTERNATIONAL INC 637363904 4290 148,129 0.02% $708.5K
ACCENT GROUP LTD BD20RS909 AX1 603,124 0.02% $708.0K
SCHOELLER-BLECKMANN OILFIELD EQUIP 757130901 SBO 19,855 0.02% $707.4K
SHIBAURA MECHATRONICS CORP 680418001 6590 15,144 0.02% $707.4K
WEM ADE LTD B4Y8TB902 112040 35,965 0.02% $706.9K
ASKUL CORP 629449901 2678 66,114 0.02% $706.3K
BAKKAVOR GROUP BF8J3Z907 BAKK 304,563 0.02% $705.5K
BROADLEAF LTD B7VB4G907 3673 149,592 0.02% $702.9K
TOKYU CONSTRUCTION LTD 668935901 1720 121,046 0.02% $702.3K
HLB THERAPEUTICS LTD B636JW900 115450 132,314 0.02% $701.5K
RINGER HUT LTD 674063904 8200 44,419 0.02% $701.4K
BYSTRONIC AG ACI08V5B9 BYS 2,300 0.02% $700.4K
S&B FOODS INC 676450000 2805 35,220 0.02% $699.1K
MYSTATE LTD B41XHK906 MYS 280,810 0.02% $698.7K
STANMORE RESOURCES LTD B4KDPZ907 SMR 574,775 0.02% $698.5K
SLIGRO FOOD GROUP NV B1VV9V908 SLIGR 51,734 0.02% $698.5K
ITALMOBILIARE BZ05RT909 ITM 24,840 0.02% $697.0K
NIPPON SIGNAL LTD 664252004 6741 101,521 0.02% $695.3K
AUSTRALIAN ETHICAL INVESTMENT LTD 656821907 AEF 206,337 0.02% $695.0K
STAR MICRONICS LTD 684152002 7718 60,220 0.02% $694.5K
PHARMICELL LTD 698839008 005690 96,178 0.02% $693.9K
SHIFT UP CORP ACI2PW5T5 462870 18,363 0.02% $693.7K
PACIFIC INDUSTRIAL LTD 666620000 7250 79,131 0.02% $693.7K
PIOLAX INC 648596906 5988 44,889 0.02% $692.4K
YAMANASHI CHUO BANK LTD 698536000 8360 49,337 0.02% $692.4K
HS HYOSUNG ADVANCED MATERIALS CORP BD8318909 298050 5,489 0.02% $692.0K
G CITY LTD 658539903 GCT 199,371 0.02% $691.6K
SHIN ETSU POLYMER LTD 680570009 7970 66,358 0.02% $690.8K
YAMAE GROUP HOLDINGS LTD ACI2081M4 7130 37,223 0.02% $690.0K
TRANSACTION LTD B667QF904 7818 37,866 0.02% $689.9K
CLARITY PHARMACEUTICALS LTD BMCHJF908 CU6 491,532 0.02% $689.9K
MITSUI DM SUGAR LTD 659756001 2109 28,339 0.02% $688.7K
TORII PHARMACEUTICAL LTD 689689008 4551 22,572 0.02% $688.1K
RIDLEY CORPORATION LTD 673892006 RIC 452,952 0.02% $687.7K
ABACUS GROUP UNIT BQV4PB909 ABG 935,422 0.02% $686.3K
SEBANG GLOBAL BATTERY LTD 621256908 004490 14,042 0.02% $683.9K
NPR-RIKEN CORP ACI2JKPB5 6209 41,568 0.02% $683.8K
S&S TECH CORP B3V9P0903 101490 28,000 0.02% $683.8K
SHOFU INC 680533908 7979 44,572 0.02% $683.7K
RAKSUL INC BFM1K6905 4384 84,731 0.02% $681.4K
SENSHU ELECTRIC LTD 679561902 9824 22,001 0.02% $679.2K
JAPAN INVESTMENT ADVISER LTD BQ25C2902 7172 58,954 0.02% $676.6K
KOMORI CORP 649665007 6349 77,334 0.02% $676.3K
QOL HOLDINGS LTD B11V89901 3034 43,151 0.02% $676.2K
KAMEDA SEIKA LTD 648237006 2220 24,368 0.02% $676.1K
VIRIDIEN SA BR3YYH909 VIRI 12,783 0.02% $674.8K
TEIKOKU SEN-I LTD 688098003 3302 38,848 0.02% $673.4K
TPR LTD 688092907 6463 45,185 0.02% $672.2K
PROSEGUR COMPANIA DE SEGURIDAD SA B8CLHY901 PSG 250,691 0.02% $672.1K
HANA TOUR SERVICE INC 631163904 039130 18,675 0.02% $671.7K
SUN FRONTIER FUDOUSAN LTD B03BJB908 8934 48,977 0.02% $671.2K
KYORIN PHARMACEUTICAL LTD B0YZFP904 4569 64,467 0.02% $671.1K
SECUNET SECURITY AG 580884906 YSN 2,942 0.02% $669.8K
CHANGE HOLDINGS INC BD41Y7903 3962 70,542 0.02% $668.9K
SILEX SYSTEMS LTD 611173907 SLX 349,148 0.02% $668.2K
INVESTMENT ORESUND BYQP7X903 ORES 54,012 0.02% $665.4K
IDI INSURANCE COMPANY LTD BD04HH908 IDIN 14,188 0.02% $665.3K
SYNOPEX INC 617866900 025320 146,549 0.02% $663.8K
COMPUTER ENGINEERING & CONSULTING 621531904 9692 44,282 0.02% $663.7K
TOMTOM NV BFY1TC900 TOM2 125,226 0.02% $662.6K
NIPPON YAKIN KOGYO LTD 664156007 5480 23,217 0.02% $662.1K
RIVERSTONE HOLDINGS LTD B1G16Z905 AP4 967,824 0.02% $661.9K
TV ASAHI HOLDINGS CORP 628741902 9409 35,911 0.02% $660.6K
GWA GROUP LTD 639294909 GWA 440,544 0.02% $660.5K
TOKYO ELECTRON DEVICE LTD 658840905 2760 30,691 0.02% $658.6K
CHIYODA CORPORATION CORP 619170004 6366 271,767 0.02% $658.6K
ENERGIEKONTOR AG 597098904 EKT 13,480 0.02% $658.3K
GLOBAL DOMINION ACCESS SA BD6SZ7901 DOM 200,047 0.02% $658.1K
IGG INC BFRB2W901 799 1,434,216 0.02% $658.1K
RYOBI LTD 676290000 5851 45,708 0.02% $657.8K
GENKY DRUGSTORES LTD ACI0Z1SH7 9267 29,204 0.02% $657.4K
HIOKI EE CORP 642844906 6866 16,211 0.02% $657.0K
KISOJI LTD 649749009 8160 40,124 0.02% $656.7K
DYDO GROUP HOLDINGS INC 637499906 2590 31,880 0.02% $652.5K
SHOEI FOODS CORP 680534906 8079 22,326 0.02% $652.4K
TOHOKUSHINSHA FILM CORP 654541903 2329 161,760 0.02% $651.0K
MEISEI INDUSTRIAL LTD 657632006 1976 66,217 0.02% $650.7K
VITAL KSK HOLDINGS INC B60DQY906 3151 69,902 0.02% $650.6K