Schwab Fundamental International Small Equity Index Fund (SFILX)

As of 04/30/26
Displaying 1001 - 1100 of 1591
  • DORMAKABA HOLDING AG

  • SURUGA BANK LTD

  • STELLA INTERNATIONAL LTD

  • ACEA

  • TAKUMA LTD

  • EQB INC

  • FORBO HOLDING AG

  • TAIHEI DENGYO LTD

  • AUCKLAND INTERNATIONAL AIRPORT LTD

  • MELCO RESORTS ENTERTAINMENT ADR LT

  • GLENVEAGH PROPERTIES PLC

  • DOMINOS PIZZA GROUP PLC

  • BOLLORE

  • VICTREX PLC

  • POLA ORBIS HOLDINGS INC

  • BEGA CHEESE LTD

  • COCHLEAR LTD

  • LANCASHIRE HOLDINGS LTD

  • TRANSCOSMOS INC

  • KURABO INDUSTRIES LTD

  • GENESIS ENERGY LTD

  • OXFORD INSTRUMENTS PLC

  • INFICON HOLDING AG

  • HK ELECTRIC INVESTMENTS UNITS LTD

  • SAKATA INX CORP

  • SIEGFRIED HOLDING AG

  • STROEER

  • TRUSCO NAKAYAMA CORP

  • DEME GROUP NV

  • ADVANTAGE ENERGY LTD

  • INPOST SA

  • NS SOLUTIONS CORP

  • ALLIED PROPERTIES REAL ESTATE INVT

  • NORDIC SEMICONDUCTOR

  • HIAB CORPORATION CLASS B

  • SEEGENE INC

  • ERG

  • FORMULA SYSTEMS LTD

  • SHO-BOND HOLDINGS LTD

  • COCA-COLA BOTTLERS JAPAN HOLDINGS

  • MYCRONIC

  • COLONIAL SFL SOCIMI SA

  • AEDIFICA NV

  • YODOKO LTD

  • KOREAN WON

  • COMET HOLDING AG

  • HISCOX LTD

  • BETSSON CLASS B

  • MONY GROUP PLC

  • ADVANCE RESIDENCE INVESTMENT REIT

  • STARTS CORP INC

  • CELLCOM LTD

  • SANGETSU CORP

  • ALONY-HETZ PROPERTIES AND INVESTME

  • CCI GROUP INC

  • AZRIELI GROUP LTD

  • ZOZO INC

  • YOKOGAWA BRIDGE HOLDINGS CORP

  • DREAM INDUSTRIAL REAL ESTATE INVES

  • KDX REALTY INVESTMENT REIT CORP

  • CHUDENKO CORP

  • HELIA GROUP LTD

  • TOA (TOKYO) CORP

  • SIXT

  • ARCLANDS CORP

  • EVN AG

  • CARL ZEISS MEDITEC AG

  • PAGEGROUP PLC

  • NETCOMPANY GROUP

  • RATIONAL AG

  • GERRESHEIMER AG

  • ENAV SPA

  • SEIREN LTD

  • RIGHTMOVE PLC

  • TOTETSU KOGYO LTD

  • REMY COINTREAU SA

  • TOMRA SYSTEMS

  • NITTO KOGYO CORP

  • PRIMARY HEALTH PROPERTIES REIT PLC

  • SOFTWAREONE HOLDING AG

  • AOYAMA TRADING LTD

  • ODFJELL DRILLING LTD

  • MAPLETREE PAN ASIA COMMERCIAL TRUS

  • TITAN SA

  • ALIBABA HEALTH INFORMATION TECH LT

  • FURUKAWA LTD

  • TAIYO HOLDINGS LTD

  • NHN CORP

  • JAPAN PRIME REALTY INVESTMENT REIT

  • MAN WAH HOLDINGS LTD

  • VIRBAC SA

  • RATOS CLASS B

  • KAKAKU.COM INC

  • SATS LTD

  • HOPSON DEVELOPMENT HOLDINGS LTD

  • THE UNITED LABORATORIES INTERNATIO

  • CAIRN HOMES PLC

  • CANCOM

  • GENUS PLC

  • AMPLIFON

Fund Name CUSIP Symbol Quantity % of Assets Market Value
DORMAKABA HOLDING AG DOKA 0.04% $285.0K
SURUGA BANK LTD 8358 0.04% $284.7K
STELLA INTERNATIONAL LTD 1836 0.04% $284.6K
ACEA ACE 0.04% $284.0K
TAKUMA LTD 6013 0.04% $283.8K
EQB INC EQB 0.04% $282.7K
FORBO HOLDING AG FORN 0.04% $282.6K
TAIHEI DENGYO LTD 1968 0.04% $282.0K
AUCKLAND INTERNATIONAL AIRPORT LTD AIA 0.04% $281.4K
MELCO RESORTS ENTERTAINMENT ADR LT MLCO 0.04% $280.6K
GLENVEAGH PROPERTIES PLC GVR 0.04% $280.0K
DOMINOS PIZZA GROUP PLC DOM 0.04% $279.7K
BOLLORE BOL 0.04% $279.6K
VICTREX PLC VCT 0.04% $279.3K
POLA ORBIS HOLDINGS INC 4927 0.04% $279.2K
BEGA CHEESE LTD BGA 0.04% $279.1K
COCHLEAR LTD COH 0.04% $278.8K
LANCASHIRE HOLDINGS LTD LRE 0.04% $278.5K
TRANSCOSMOS INC 9715 0.04% $278.3K
KURABO INDUSTRIES LTD 3106 0.04% $278.1K
GENESIS ENERGY LTD GNE 0.04% $278.1K
OXFORD INSTRUMENTS PLC OXIG 0.04% $278.1K
INFICON HOLDING AG IFCN 0.04% $277.8K
HK ELECTRIC INVESTMENTS UNITS LTD 2638 0.04% $277.8K
SAKATA INX CORP 4633 0.04% $277.6K
SIEGFRIED HOLDING AG SFZN 0.04% $277.3K
STROEER SAX 0.04% $277.2K
TRUSCO NAKAYAMA CORP 9830 0.04% $276.1K
DEME GROUP NV DEME 0.04% $276.1K
ADVANTAGE ENERGY LTD AAV 0.04% $276.0K
INPOST SA INPST 0.04% $276.0K
NS SOLUTIONS CORP 2327 0.04% $275.7K
ALLIED PROPERTIES REAL ESTATE INVT AP.UN 0.04% $274.5K
NORDIC SEMICONDUCTOR NOD 0.04% $274.2K
HIAB CORPORATION CLASS B HIAB 0.04% $274.2K
SEEGENE INC 096530 0.04% $274.0K
ERG ERG 0.04% $273.9K
FORMULA SYSTEMS LTD FORTY 0.04% $273.4K
SHO-BOND HOLDINGS LTD 1414 0.04% $273.2K
COCA-COLA BOTTLERS JAPAN HOLDINGS 2579 0.04% $272.8K
MYCRONIC MYCR 0.04% $272.7K
COLONIAL SFL SOCIMI SA COL 0.04% $272.5K
AEDIFICA NV AED 0.04% $272.0K
YODOKO LTD 5451 0.04% $271.3K
KOREAN WON KRW 0.04% $270.9K
COMET HOLDING AG COTN 0.04% $270.4K
HISCOX LTD HSX 0.04% $270.3K
BETSSON CLASS B BETS B 0.04% $269.5K
MONY GROUP PLC MONY 0.04% $269.3K
ADVANCE RESIDENCE INVESTMENT REIT 3269 0.04% $269.1K
STARTS CORP INC 8850 0.04% $268.7K
CELLCOM LTD CEL 0.04% $268.6K
SANGETSU CORP 8130 0.04% $268.4K
ALONY-HETZ PROPERTIES AND INVESTME ALHE 0.04% $268.1K
CCI GROUP INC 7381 0.04% $268.1K
AZRIELI GROUP LTD AZRG 0.04% $268.0K
ZOZO INC 3092 0.04% $268.0K
YOKOGAWA BRIDGE HOLDINGS CORP 5911 0.04% $267.9K
DREAM INDUSTRIAL REAL ESTATE INVES DIR.UN 0.04% $267.7K
KDX REALTY INVESTMENT REIT CORP 8972 0.04% $267.4K
CHUDENKO CORP 1941 0.04% $267.4K
HELIA GROUP LTD HLI 0.04% $267.2K
TOA (TOKYO) CORP 1885 0.04% $266.2K
SIXT SIX2 0.04% $266.1K
ARCLANDS CORP 9842 0.04% $265.3K
EVN AG EVN 0.04% $265.1K
CARL ZEISS MEDITEC AG AFX 0.04% $264.9K
PAGEGROUP PLC PAGE 0.04% $264.5K
NETCOMPANY GROUP NETC 0.04% $263.7K
RATIONAL AG RAA 0.04% $263.2K
GERRESHEIMER AG GXI 0.04% $263.0K
ENAV SPA ENAV 0.04% $261.9K
SEIREN LTD 3569 0.04% $261.8K
RIGHTMOVE PLC RMV 0.04% $261.7K
TOTETSU KOGYO LTD 1835 0.04% $261.2K
REMY COINTREAU SA RCO 0.04% $261.1K
TOMRA SYSTEMS TOM 0.04% $260.5K
NITTO KOGYO CORP 6651 0.04% $260.3K
PRIMARY HEALTH PROPERTIES REIT PLC PHP 0.04% $259.8K
SOFTWAREONE HOLDING AG SWON 0.04% $259.7K
AOYAMA TRADING LTD 8219 0.04% $259.6K
ODFJELL DRILLING LTD ODL 0.04% $259.5K
MAPLETREE PAN ASIA COMMERCIAL TRUS N2IU 0.04% $259.1K
TITAN SA TITC 0.04% $259.0K
ALIBABA HEALTH INFORMATION TECH LT 241 0.04% $258.8K
FURUKAWA LTD 5715 0.04% $258.8K
TAIYO HOLDINGS LTD 4626 0.04% $258.8K
NHN CORP 181710 0.04% $258.2K
JAPAN PRIME REALTY INVESTMENT REIT 8955 0.04% $257.0K
MAN WAH HOLDINGS LTD 1999 0.04% $257.0K
VIRBAC SA VIRP 0.04% $256.4K
RATOS CLASS B RATO B 0.04% $256.2K
KAKAKU.COM INC 2371 0.04% $256.1K
SATS LTD S58 0.04% $255.5K
HOPSON DEVELOPMENT HOLDINGS LTD 754 0.04% $255.4K
THE UNITED LABORATORIES INTERNATIO 3933 0.04% $254.9K
CAIRN HOMES PLC CRN 0.04% $254.9K
CANCOM COK 0.04% $254.4K
GENUS PLC GNS 0.03% $253.1K
AMPLIFON AMP 0.03% $252.8K