Schwab International Small-Cap Equity ETF (SCHC)

As of 05/21/26
Displaying 1501 - 1600 of 2251
  • ESR KENDALL SQUARE REIT LTD

  • STEF SA

  • ALCONIX CORP

  • ST BARBARA LTD

  • VITASOY INTERNATIONAL HOLDINGS LTD

  • DIGITAL CORE REIT UNITS

  • GOODWIN PLC

  • SK SECURITIES LTD

  • MA FINANCIAL GROUP LTD

  • WAKITA & COMPANY LTD

  • TAKAMATSU CONSTRUCTION GROUP LTD

  • BW OFFSHORE LTD

  • TOKYO ELECTRON DEVICE LTD

  • X-FAB SILICON FOUNDRIES

  • KOHNAN SHOJI LTD

  • MARSHALLS PLC

  • KEIHANSHIN BUILDING LTD

  • SBO AG

  • MIRARTH REAL EST REIT CORP

  • UT GROUP LTD

  • MELCO INTERNATIONAL DEVELOPMENT LT

  • PNE AG

  • NISSAN SHATAI LTD

  • APPIER GROUP INC

  • RESTAR CORP

  • FUJI (EHIME) LTD

  • HK INNO.N CORP

  • ARISAWA MFG LTD

  • SFA SEMICON LTD

  • MILBON LTD

  • NICHIHA CORP

  • PREMIUM GROUP LTD

  • VIRGIN AUSTRALIA HOLDINGS LTD

  • FAR EAST HOSPITALITY TRUST STAPLED

  • TV ASAHI HOLDINGS CORP

  • A&D HOLON HOLDINGS LIMITED LTD

  • DOUBLEU GAMES LTD

  • G2GBIO INC (PROPOSED)

  • EARTH CORP

  • BETTER COLLECTIVE

  • KUMIAI CHEMICAL INDUSTRY LTD

  • ZUKEN INC

  • PARADISE LTD

  • US DOLLAR

  • HUABAO INTERNATIONAL HOLDINGS LTD

  • ZERIA PHARMACEUTICAL LTD

  • OKAMOTO INDUSTRIES INC

  • MEDARTIS HOLDING AG

  • SAKURA INTERNET INC

  • TECHMATRIX CORP

  • WEST HOLDINGS CORP

  • INVESTMENT ORESUND

  • NISHIMATSUYA CHAIN LTD

  • FNAC DARTY SA

  • ADVANCED NANO PRODUCT LTD

  • WILH. WILHELMSEN HOLDING CLASS B

  • ORUM THERAPEUTIC INC

  • REGAL PARTNERS LTD

  • KYOKUTO KAIHATSU KOGYO LTD

  • ALTRI SGPS SA

  • JAC RECRUITMENT LTD

  • SAMHALLSBYGGNADSBOLAGET I NORDEN C

  • TAMURA CORP

  • TRUECALLER CLASS B

  • KURA SUSHI INC

  • GFT TECHNOLOGIES

  • ENERGIEKONTOR AG

  • TOKYOTOKEIBA LTD

  • LIFEDRINK COMPANY INC

  • GROWTHPOINT PROPERTIES AUSTRALIA R

  • EAGLE INDUSTRY LTD

  • ABACUS STORAGE KING UNITS

  • KAMEI CORP

  • RENOVA INC

  • TSUKISHIMA HOLDINGS LTD

  • AXIAL RETAILING INC

  • HDC HOLDINGS LTD

  • ALPHA HPA LTD

  • TPR LTD

  • JAPAN LIFELINE LTD

  • ROKIT HEALTHCARE INC

  • DAEWOONG PHARMACEUTICAL

  • SK OCEANPLANT COLTD LTD

  • TEIKOKU SEN-I LTD

  • UNITED SUPER MARKETS HOLDINGS INC

  • SK GAS LTD

  • MARUSAN SECURITIES LTD

  • SAIBU GAS HOLDINGS LTD

  • SUN FRONTIER FUDOUSAN LTD

  • FUTURE PLC

  • HIDAY HIDAKA CORP

  • DUK SAN NEOLUX LTD

  • TOKMANNI GROUP CORPORATION

  • EHIME BANK LTD

  • LX SEMICON LTD

  • JOSHIN CORP

  • SEMAPA SGPS SA

  • TACHI-S LTD

  • AIR NEW ZEALAND LTD

  • NAVIGATOR GLOBAL INVESTMENTS LTD

Fund Name CUSIP Symbol Quantity % of Assets Market Value
ESR KENDALL SQUARE REIT LTD ACI1T5109 365550 340,366 0.02% $932.4K
STEF SA B0VY3M900 STF 6,845 0.02% $931.7K
ALCONIX CORP B121L6907 3036 60,396 0.02% $930.4K
ST BARBARA LTD 631707007 SBM 2,367,124 0.02% $929.1K
VITASOY INTERNATIONAL HOLDINGS LTD 692759905 345 1,182,285 0.02% $923.5K
DIGITAL CORE REIT UNITS ACI222P15 DCRU 1,839,540 0.02% $919.8K
GOODWIN PLC 037810009 GDWN 5,094 0.02% $919.6K
SK SECURITIES LTD 661634907 001510 352,704 0.02% $919.4K
MA FINANCIAL GROUP LTD ACI1YG8T9 MAF 204,126 0.02% $919.2K
WAKITA & COMPANY LTD 693373003 8125 84,458 0.02% $917.4K
TAKAMATSU CONSTRUCTION GROUP LTD 608313904 1762 40,600 0.02% $915.7K
BW OFFSHORE LTD ACI0R63P4 BWO 178,446 0.02% $914.8K
TOKYO ELECTRON DEVICE LTD 658840905 2760 34,454 0.02% $912.4K
X-FAB SILICON FOUNDRIES BD97P4902 XFAB 104,604 0.02% $910.8K
KOHNAN SHOJI LTD 650437908 7516 34,588 0.02% $909.4K
MARSHALLS PLC B012BV904 MSLH 500,155 0.02% $907.6K
KEIHANSHIN BUILDING LTD 648720001 8818 65,373 0.02% $905.6K
SBO AG 757130901 SBO 22,202 0.02% $904.8K
MIRARTH REAL EST REIT CORP BZ16GD903 3492 1,700 0.02% $903.5K
UT GROUP LTD B1V04K905 2146 816,397 0.02% $902.7K
MELCO INTERNATIONAL DEVELOPMENT LT B092QP903 200 1,900,835 0.02% $900.1K
PNE AG B0QCZ2903 PNE3 77,127 0.02% $899.5K
NISSAN SHATAI LTD 664290004 7222 139,635 0.02% $899.2K
APPIER GROUP INC BMH40Q908 4180 150,658 0.02% $899.2K
RESTAR CORP B3ZGHJ901 3156 40,184 0.02% $898.7K
FUJI (EHIME) LTD 635624000 8278 68,064 0.02% $896.7K
HK INNO.N CORP ACI1ZJJ45 195940 30,261 0.02% $895.3K
ARISAWA MFG LTD 604960005 5208 63,380 0.02% $891.5K
SFA SEMICON LTD 635173909 036540 149,906 0.02% $891.0K
MILBON LTD 658611900 4919 53,298 0.02% $890.3K
NICHIHA CORP 663833903 7943 48,523 0.02% $888.6K
PREMIUM GROUP LTD BFNH9M907 7199 68,363 0.02% $886.0K
VIRGIN AUSTRALIA HOLDINGS LTD ACI2XTVN7 VGN 503,662 0.02% $884.2K
FAR EAST HOSPITALITY TRUST STAPLED B8GM57907 Q5T 1,966,684 0.02% $883.7K
TV ASAHI HOLDINGS CORP 628741902 9409 44,827 0.02% $882.9K
A&D HOLON HOLDINGS LIMITED LTD 660138900 7745 54,113 0.02% $881.9K
DOUBLEU GAMES LTD BYQ1MZ904 192080 20,411 0.02% $881.1K
G2GBIO INC (PROPOSED) ACI2Z9Y48 456160 23,349 0.02% $880.8K
EARTH CORP B0NHMM905 4985 30,064 0.02% $877.3K
BETTER COLLECTIVE BFYR3S906 BETCO 65,975 0.02% $877.1K
KUMIAI CHEMICAL INDUSTRY LTD 649760006 4996 182,260 0.02% $877.1K
ZUKEN INC 698997004 6947 28,958 0.02% $876.9K
PARADISE LTD 656093903 034230 92,657 0.02% $876.9K
US DOLLAR 999USDZ92 USD 875,161 0.02% $875.2K
HUABAO INTERNATIONAL HOLDINGS LTD B00HLY905 336 1,894,683 0.02% $873.0K
ZERIA PHARMACEUTICAL LTD 613773902 4559 58,462 0.02% $872.7K
OKAMOTO INDUSTRIES INC 665776001 5122 24,930 0.02% $872.4K
MEDARTIS HOLDING AG BDTYGC903 MED 8,963 0.02% $870.4K
SAKURA INTERNET INC B0JZCW909 3778 48,764 0.02% $869.1K
TECHMATRIX CORP B05MTT902 3762 73,932 0.02% $867.2K
WEST HOLDINGS CORP B0YQ5X908 1407 47,154 0.02% $865.9K
INVESTMENT ORESUND BYQP7X903 ORES 53,275 0.02% $864.0K
NISHIMATSUYA CHAIN LTD 601692908 7545 68,978 0.02% $863.7K
FNAC DARTY SA B7VQL4902 FNAC 21,065 0.02% $863.3K
ADVANCED NANO PRODUCT LTD B40442905 121600 18,653 0.02% $861.0K
WILH. WILHELMSEN HOLDING CLASS B B0392R906 WWIB 12,059 0.02% $860.8K
ORUM THERAPEUTIC INC BQ6C1K905 475830 19,740 0.02% $858.7K
REGAL PARTNERS LTD BMFX89906 RPL 474,598 0.02% $856.9K
KYOKUTO KAIHATSU KOGYO LTD 649908001 7226 62,150 0.02% $856.6K
ALTRI SGPS SA B13ZSL901 ALTR 142,210 0.02% $854.0K
JAC RECRUITMENT LTD B1CC1X905 2124 157,641 0.02% $850.7K
SAMHALLSBYGGNADSBOLAGET I NORDEN C BD7Y73907 SBB B 1,958,009 0.02% $850.5K
TAMURA CORP 687104000 6768 144,757 0.02% $850.3K
TRUECALLER CLASS B BMCP7D908 TRUE B 577,615 0.02% $849.9K
KURA SUSHI INC 634596902 2695 82,991 0.02% $848.8K
GFT TECHNOLOGIES 570994905 GFT 33,861 0.02% $847.9K
ENERGIEKONTOR AG 597098904 EKT 14,848 0.02% $846.9K
TOKYOTOKEIBA LTD 689606002 9672 28,035 0.02% $845.4K
LIFEDRINK COMPANY INC ACI21XZ33 2585 91,752 0.02% $845.0K
GROWTHPOINT PROPERTIES AUSTRALIA R B1Y9BC903 GOZ 548,104 0.02% $844.9K
EAGLE INDUSTRY LTD 629670902 6486 48,056 0.02% $844.7K
ABACUS STORAGE KING UNITS BQYLGZ905 ASK 832,301 0.02% $843.4K
KAMEI CORP 648255008 8037 37,916 0.02% $843.2K
RENOVA INC BD71KT907 9519 102,761 0.02% $842.5K
TSUKISHIMA HOLDINGS LTD 690682000 6332 51,129 0.02% $841.6K
AXIAL RETAILING INC 640897005 8255 130,886 0.02% $841.2K
HDC HOLDINGS LTD 640242905 012630 55,551 0.02% $841.2K
ALPHA HPA LTD BH0K66909 A4N 1,855,947 0.02% $841.1K
TPR LTD 688092907 6463 104,941 0.02% $840.6K
JAPAN LIFELINE LTD 609349907 7575 103,930 0.02% $839.7K
ROKIT HEALTHCARE INC BTZH45906 376900 24,156 0.02% $835.8K
DAEWOONG PHARMACEUTICAL 656297900 069620 9,299 0.02% $834.3K
SK OCEANPLANT COLTD LTD B3CBLB909 100090 68,360 0.02% $833.1K
TEIKOKU SEN-I LTD 688098003 3302 42,635 0.02% $833.0K
UNITED SUPER MARKETS HOLDINGS INC ACI0BNTQ4 3222 159,283 0.02% $832.6K
SK GAS LTD 603602905 018670 4,984 0.02% $832.5K
MARUSAN SECURITIES LTD 656965001 8613 127,076 0.02% $829.5K
SAIBU GAS HOLDINGS LTD 676782006 9536 59,922 0.02% $828.6K
SUN FRONTIER FUDOUSAN LTD B03BJB908 8934 54,827 0.02% $828.0K
FUTURE PLC BYZN90908 FUTR 193,400 0.02% $827.9K
HIDAY HIDAKA CORP 617385901 7611 49,173 0.02% $827.9K
DUK SAN NEOLUX LTD ACI0BBX02 213420 27,998 0.02% $826.5K
TOKMANNI GROUP CORPORATION ACI0M4CS8 TOKMAN 100,881 0.02% $824.0K
EHIME BANK LTD 630702009 8541 65,626 0.02% $822.9K
LX SEMICON LTD B53YZC907 108320 22,082 0.02% $821.2K
JOSHIN CORP 647960004 8173 42,803 0.01% $818.8K
SEMAPA SGPS SA 596293902 SEM 30,404 0.01% $817.8K
TACHI-S LTD 686949009 7239 59,805 0.01% $817.2K
AIR NEW ZEALAND LTD 642648901 AIR 3,280,317 0.01% $817.2K
NAVIGATOR GLOBAL INVESTMENTS LTD ACI0YVHS0 NGI 469,252 0.01% $817.1K