Schwab International Small-Cap Equity ETF (SCHC)

All holdings as of date 12/29/25
Displaying 1901 - 2000 of 2183
  • CHOFU SEISAKUSHO LTD

  • GS P&L LTD

  • PZ CUSSONS PLC

  • SKY NETWORK TELEVISION LTD

  • OISIX RA DAICHI INC

  • SLIGRO FOOD GROUP NV

  • BPOST SA

  • KYOKUTO SECURITIES LTD

  • LX HOLDINGS CORP

  • BRONCO BILLY LTD

  • PARAMOUNT BED HOLDINGS LTD

  • MAXVALU TOKAI LTD

  • GRUPA AZOTY SA

  • ASKA PHARMACEUTICAL HOLDINGS LTD

  • MARS GROUP HOLDINGS CORP

  • TAKARA BIO INC

  • TDC SOFT INC

  • AVEX INC

  • DAIWA INDUSTRIES LTD

  • NIHON NOHYAKU LTD

  • THYSSENKRUPP NUCERA AG

  • SHIN NIPPON BIOMEDICAL LABORATORIE

  • KOATSU GAS KOGYO LTD

  • KANRO INC

  • POSCO M-TECH LTD

  • IONEER LTD

  • TORISHIMA PUMP MFG LTD

  • GREEN CROSS HOLDINGS

  • AICHI CORP

  • PRAEMIUM LTD

  • CHUBU STEEL PLATE LTD

  • WEST HOLDINGS CORP

  • EN INC

  • YONDOSHI HOLDINGS INC

  • ESCON JAPAN REIT INVESTMENT REIT C

  • HOOSIERS LTD

  • BINGGRAE LTD

  • AIRMAN CORP

  • HAKUTO LTD

  • KC TECH LTD

  • REMIXPOINT INC

  • LK TECHNOLOGY HOLDINGS LTD

  • TOYO KANETSU

  • NIPPON DENKO LTD

  • ISEKI LTD

  • OSAKA STEEL LTD

  • GAKKEN HOLDINGS LTD

  • HYUNDAI G F HOLDINGS LTD

  • HEALTHCARE & MEDICAL INVESTMENT RE

  • INNOCEAN WORLDWIDE INC

  • NEC CAPITAL SOLUTIONS LTD

  • GIKEN SEISAKUSHO LTD

  • ASAHI DIAMOND INDUSTRIAL LTD

  • CMK CORP

  • NHN KCP CORP

  • ISTYLE INC

  • SANSHIN ELECTRONICS LTD

  • BRAINCHIP HOLDINGS LTD

  • AEON HOKKAIDO CORP

  • SEBANG GLOBAL BATTERY LTD

  • KEY COFFEE INC

  • EMECO HOLDINGS LTD

  • CAFE DE CORAL HOLDINGS LTD

  • NIPPON BEET SUGAR MANUFACTURING LT

  • COMTURE CORP

  • BUKWANG PHARMACEUTICAL IND LTD

  • HAN KOOK SHELL OIL LTD

  • KOSAIDO HOLDINGS LTD

  • GIFT HOLDINGS INC

  • TOWA BANK LTD

  • T. K. CORP

  • KEPPEL PACIFIC OAK US REIT UNIT

  • NETUREN LTD

  • CHANGE HOLDINGS INC

  • AUDINATE GROUP LTD

  • SGL CARBON

  • CURVES HOLDINGS LTD

  • NITTOKU LTD

  • JW PHARMACEUTICAL CORP

  • MCNEX LTD

  • WELLNEO SUGAR LTD

  • DEUTSCHE EUROSHOP AG

  • CREATIVE & INNOVATIVE SYSTEM CORP

  • OBARA GROUP INC

  • SUNGEEL HITECH LTD

  • SEIKITOKYU KOGYO LTD

  • NICHIDEN CORP

  • CANADIAN DOLLAR

  • PHC HOLDINGS CORP

  • AIZAWA SECURITIES GROUP LTD

  • VECTOR INC

  • NIHON TOKUSHU LTD

  • ICHIYOSHI SECURITIES LTD

  • KPP GROUP HOLDINGS LTD

  • OKABE LTD

  • YOUL CHON CHEM LTD

  • KOGAN.COM LTD

  • LAGARDERE SA

  • STELLA CHEMIFA CORP

  • PROSEGUR CASH SA

Fund Name CUSIP Symbol Quantity % of Assets Market Value
CHOFU SEISAKUSHO LTD 619277007 5946 40,804 0.01% $533.4K
GS P&L LTD BR4ZLQ909 499790 18,216 0.01% $533.3K
PZ CUSSONS PLC B19Z14902 PZC 528,052 0.01% $530.7K
SKY NETWORK TELEVISION LTD B0C5VF908 SKT 272,019 0.01% $530.0K
OISIX RA DAICHI INC B7KT0D901 3182 55,454 0.01% $528.9K
SLIGRO FOOD GROUP NV B1VV9V908 SLIGR 44,967 0.01% $528.5K
BPOST SA BBH7K6907 BPOST 222,609 0.01% $528.3K
KYOKUTO SECURITIES LTD B06MW5909 8706 48,632 0.01% $527.9K
LX HOLDINGS CORP ACI1XDYK7 383800 93,806 0.01% $527.8K
BRONCO BILLY LTD B285LQ906 3091 20,868 0.01% $527.6K
PARAMOUNT BED HOLDINGS LTD B5W8JJ905 7817 23,409 0.01% $526.0K
MAXVALU TOKAI LTD B01R69904 8198 22,342 0.01% $525.6K
GRUPA AZOTY SA B3B61Y903 ATT 107,483 0.01% $525.0K
ASKA PHARMACEUTICAL HOLDINGS LTD ACI1W6L35 4886 40,075 0.01% $524.9K
MARS GROUP HOLDINGS CORP 659255905 6419 25,606 0.01% $523.8K
TAKARA BIO INC B03ML2901 4974 103,114 0.01% $521.4K
TDC SOFT INC 607981909 4687 58,792 0.01% $521.3K
AVEX INC 612907907 7860 64,137 0.01% $521.1K
DAIWA INDUSTRIES LTD 625177001 6459 50,095 0.01% $518.8K
NIHON NOHYAKU LTD 647036003 4997 80,628 0.01% $518.5K
THYSSENKRUPP NUCERA AG BMHFYH906 NCH2 50,175 0.01% $518.3K
SHIN NIPPON BIOMEDICAL LABORATORIE 673890901 2395 46,836 0.01% $517.7K
KOATSU GAS KOGYO LTD 649596004 4097 76,750 0.01% $517.1K
KANRO INC 648344901 2216 49,540 0.01% $516.2K
POSCO M-TECH LTD 610300907 009520 46,847 0.01% $516.1K
IONEER LTD ACI166KW1 INR 4,128,227 0.01% $512.9K
TORISHIMA PUMP MFG LTD 689692002 6363 39,578 0.01% $511.9K
GREEN CROSS HOLDINGS 649713906 005250 45,190 0.01% $511.7K
AICHI CORP 601009004 6345 58,592 0.01% $510.9K
PRAEMIUM LTD B13YTQ902 PPS 950,717 0.01% $510.8K
CHUBU STEEL PLATE LTD 619573009 5461 36,702 0.01% $508.9K
WEST HOLDINGS CORP B0YQ5X908 1407 51,740 0.01% $508.7K
EN INC 635275902 4849 51,300 0.01% $507.0K
YONDOSHI HOLDINGS INC 689755908 8008 44,904 0.01% $506.4K
ESCON JAPAN REIT INVESTMENT REIT C BHPBWR907 2971 612 0.01% $505.9K
HOOSIERS LTD ACI055KQ9 3284 60,234 0.01% $505.6K
BINGGRAE LTD 609823901 005180 9,379 0.01% $503.6K
AIRMAN CORP 643314008 6364 43,430 0.01% $502.8K
HAKUTO LTD 641725908 7433 20,089 0.01% $502.8K
KC TECH LTD BD3S0S906 281820 18,505 0.01% $502.0K
REMIXPOINT INC B1GD70905 3825 303,606 0.01% $500.8K
LK TECHNOLOGY HOLDINGS LTD B1FQ7Y903 558 1,161,590 0.01% $499.2K
TOYO KANETSU 689980001 6369 32,404 0.01% $997.4K
NIPPON DENKO LTD 664036001 5563 221,133 0.01% $494.8K
ISEKI LTD 646682005 6310 40,686 0.01% $492.6K
OSAKA STEEL LTD 666209903 5449 27,344 0.01% $491.9K
GAKKEN HOLDINGS LTD 635973001 9470 68,872 0.01% $491.8K
HYUNDAI G F HOLDINGS LTD 648930907 005440 84,357 0.01% $491.0K
HEALTHCARE & MEDICAL INVESTMENT RE BVVFD0900 3455 654 0.01% $490.4K
INNOCEAN WORLDWIDE INC BYX20P900 214320 37,960 0.01% $489.1K
NEC CAPITAL SOLUTIONS LTD B05KJP905 8793 18,904 0.01% $488.8K
GIKEN SEISAKUSHO LTD 636861007 6289 40,234 0.01% $488.7K
ASAHI DIAMOND INDUSTRIAL LTD 605478007 6140 92,847 0.01% $486.7K
CMK CORP 616016002 6958 144,171 0.01% $485.7K
NHN KCP CORP 643456908 060250 46,553 0.01% $484.5K
ISTYLE INC B7JCJZ901 3660 154,203 0.01% $484.0K
SANSHIN ELECTRONICS LTD 677636003 8150 24,176 0.01% $483.8K
BRAINCHIP HOLDINGS LTD BYMJYD905 BRN 4,113,357 0.01% $483.4K
AEON HOKKAIDO CORP 654475904 7512 82,615 0.01% $483.3K
SEBANG GLOBAL BATTERY LTD 621256908 004490 10,759 0.01% $482.9K
KEY COFFEE INC 648057909 2594 37,757 0.01% $482.5K
EMECO HOLDINGS LTD B1978V907 EHL 568,514 0.01% $481.0K
CAFE DE CORAL HOLDINGS LTD 616095006 341 725,920 0.01% $476.4K
NIPPON BEET SUGAR MANUFACTURING LT 664066008 2108 19,576 0.01% $475.6K
COMTURE CORP B1RMMB902 3844 43,166 0.01% $474.9K
BUKWANG PHARMACEUTICAL IND LTD 612326900 003000 180,779 0.01% $474.1K
HAN KOOK SHELL OIL LTD 649541901 002960 1,479 0.01% $472.5K
KOSAIDO HOLDINGS LTD 603649906 7868 159,609 0.01% $472.4K
GIFT HOLDINGS INC BGRZG2907 9279 21,430 0.01% $471.3K
TOWA BANK LTD 689790004 8558 70,132 0.01% $470.8K
T. K. CORP 616712907 023160 30,548 0.01% $469.4K
KEPPEL PACIFIC OAK US REIT UNIT BF249P902 CMOU 1,996,506 0.01% $469.2K
NETUREN LTD 662954007 5976 58,561 0.01% $469.1K
CHANGE HOLDINGS INC BD41Y7903 3962 73,586 0.01% $468.5K
AUDINATE GROUP LTD BZ9N3B906 AD8 167,819 0.01% $467.7K
SGL CARBON 481835908 SGL 126,637 0.01% $466.1K
CURVES HOLDINGS LTD ACI1JF4S4 7085 90,522 0.01% $465.3K
NITTOKU LTD 664624004 6145 29,582 0.01% $463.7K
JW PHARMACEUTICAL CORP 619297005 001060 25,010 0.01% $463.3K
MCNEX LTD B7YLVZ900 097520 21,856 0.01% $460.2K
WELLNEO SUGAR LTD B44QDD908 2117 25,428 0.01% $459.9K
DEUTSCHE EUROSHOP AG 475497905 DEQ 20,791 0.01% $456.9K
CREATIVE & INNOVATIVE SYSTEM CORP BYZYM8902 222080 95,708 0.01% $456.8K
OBARA GROUP INC 611773904 6877 18,510 0.01% $456.8K
SUNGEEL HITECH LTD BP2SMJ906 365340 15,373 0.01% $455.9K
SEIKITOKYU KOGYO LTD 679335000 1898 43,546 0.01% $455.4K
NICHIDEN CORP 663797900 9902 27,966 0.01% $454.8K
CANADIAN DOLLAR 999CADZ91 CAD 621,213 0.01% $454.8K
PHC HOLDINGS CORP ACI20HQ13 6523 62,690 0.01% $452.1K
AIZAWA SECURITIES GROUP LTD B0X6W8908 8708 49,811 0.01% $451.5K
VECTOR INC B7MTYY906 6058 59,383 0.01% $449.9K
NIHON TOKUSHU LTD 664026002 4619 30,100 0.01% $449.7K
ICHIYOSHI SECURITIES LTD 645649005 8624 65,912 0.01% $449.6K
KPP GROUP HOLDINGS LTD ACI131213 9274 87,246 0.01% $449.5K
OKABE LTD 665774006 5959 71,587 0.01% $448.9K
YOUL CHON CHEM LTD 614699908 008730 24,207 0.01% $448.4K
KOGAN.COM LTD BYYY33905 KGN 190,952 0.01% $447.5K
LAGARDERE SA 454721002 MMB 20,436 0.01% $445.3K
STELLA CHEMIFA CORP 617558903 4109 16,256 0.01% $444.3K
PROSEGUR CASH SA BDH3Q7904 CASH 600,302 0.01% $443.3K