Schwab Fundamental International Small Equity Index Fund (SFILX)

All holdings as of date 11/30/25
Displaying 1101 - 1200 of 1710
  • EQUITAL LTD

  • POLA ORBIS HOLDINGS INC

  • SERICA ENERGY PLC

  • MEIKO ELECTRONICS LTD

  • SEVEN BANK LTD

  • SIXT PREF

  • KDX REALTY INVESTMENT CORP

  • HDC OP

  • BAKKAVOR GROUP

  • OSTERREICHISCHE POST AG

  • FASTIGHETS BALDER CLASS B

  • CROMBIE REAL ESTATE INVESTMENT TRU

  • JAFCO GROUP LTD

  • ALKERMES

  • AKER SOLUTIONS

  • INDUSTRIAL & INFRASTRUCTURE FUND I

  • EVN AG

  • BARCO NV

  • FAES FARMA SA

  • PERPETUAL LTD

  • HOKUETSU CORP

  • SALVATORE FERRAGAMO

  • MUTARES

  • ALLIED PROPERTIES REAL ESTATE INVT

  • CHEMRING GROUP PLC

  • MARUZEN SHOWA UNYU LTD

  • ENAV SPA

  • AISAN INDUSTRY LTD

  • TERVEYSTALO

  • INTERROLL HOLDING AG

  • NATURGY ENERGY GROUP SA

  • DTS CORP

  • HYAKUGO BANK LTD

  • NS SOLUTIONS CORP

  • GMO INTERNET GROUP INC

  • WAREHOUSES DE PAUW NV

  • VICTREX PLC

  • BUCHER INDUSTRIES AG

  • KUSURI NO AOKI HOLDINGS LTD

  • FUJI (EHIME) LTD

  • AEON REIT INVESTMENT REIT CORP

  • 4IMPRINT GROUP PLC

  • VIRBAC SA

  • INTERNATIONAL WORKPLACE GROUP PLC

  • RIGHTMOVE PLC

  • ACTIVIA PROPERTIES REIT INC

  • HENSOLDT AG

  • KYOKUTO KAIHATSU KOGYO LTD

  • STEADFAST GROUP LTD

  • WACOM LTD

  • NOMURA LTD

  • REPLY

  • ZOZO INC

  • LX SEMICON LTD

  • JUROKU FINANCIAL GROUP INC

  • SHO-BOND HOLDINGS LTD

  • TOYOTA BOSHOKU CORP

  • FP CORP

  • THE NAVIGATOR COMPANY SA

  • NINETY ONE PLC

  • GERRESHEIMER AG

  • KBC ANCORA NV

  • NICHIHA CORP

  • AMPLIFON

  • CAPITALAND ASCOTT STAPLED UNIT TRU

  • SATS LTD

  • SAMHALLSBYGGNADSBOLAGET I NORDEN C

  • TRITAX BIG BOX REIT PLC

  • HILTON FOOD GROUP PLC

  • TESSENDERLO GROUP NV

  • YAMABIKO CORP

  • AEDIFICA NV

  • SHENG SIONG GROUP LTD

  • SUBSEA SA

  • SAFESTORE HOLDINGS PLC

  • EARTH CORP

  • CEMENTIR HOLDING NV

  • SD BIOSENSOR INC

  • TITAN SA

  • BANK MILLENNIUM SA

  • REMY COINTREAU SA

  • PALFINGER AG

  • RENISHAW PLC

  • ASHMORE GROUP PLC

  • CAIRN HOMES PLC

  • BIG YELLOW GROUP PLC

  • CARMILA SA

  • CANACCORD GENUITY GROUP INC

  • TOSHIBA TEC CORP

  • COLONIAL SFL SOCIMI SA

  • F&F LTD

  • DAESANG CORP

  • TAKASAGO INTERNATIONAL CORP

  • DAIICHIKOSHO LTD

  • OTOKI CORP

  • TECHNOGYM

  • HYUNDAI GREEN FOOD LTD

  • MOBIMO HOLDING AG

  • CORPORACION ACCIONA ENERGIAS RENOV

  • VIVENDI

Fund Name CUSIP Symbol Quantity % of Assets Market Value
EQUITAL LTD EQTL 0.04% $246.7K
POLA ORBIS HOLDINGS INC 4927 0.04% $246.2K
SERICA ENERGY PLC SQZ 0.04% $245.6K
MEIKO ELECTRONICS LTD 6787 0.04% $245.2K
SEVEN BANK LTD 8410 0.04% $245.0K
SIXT PREF SIX3 0.04% $244.2K
KDX REALTY INVESTMENT CORP 8972 0.04% $244.0K
HDC OP 294870 0.04% $243.3K
BAKKAVOR GROUP BAKK 0.04% $243.1K
OSTERREICHISCHE POST AG POST 0.04% $242.6K
FASTIGHETS BALDER CLASS B BALD B 0.04% $242.0K
CROMBIE REAL ESTATE INVESTMENT TRU CRR.UN 0.04% $241.9K
JAFCO GROUP LTD 8595 0.04% $241.3K
ALKERMES ALKS 0.04% $241.0K
AKER SOLUTIONS AKSO 0.04% $240.7K
INDUSTRIAL & INFRASTRUCTURE FUND I 3249 0.04% $240.6K
EVN AG EVN 0.04% $240.5K
BARCO NV BAR 0.04% $239.7K
FAES FARMA SA FAE 0.04% $239.6K
PERPETUAL LTD PPT 0.04% $239.2K
HOKUETSU CORP 3865 0.04% $238.8K
SALVATORE FERRAGAMO SFER 0.04% $238.7K
MUTARES MUX 0.04% $238.7K
ALLIED PROPERTIES REAL ESTATE INVT AP.UN 0.04% $238.6K
CHEMRING GROUP PLC CHG 0.04% $238.2K
MARUZEN SHOWA UNYU LTD 9068 0.04% $238.1K
ENAV SPA ENAV 0.04% $237.4K
AISAN INDUSTRY LTD 7283 0.04% $237.4K
TERVEYSTALO TTALO 0.04% $237.2K
INTERROLL HOLDING AG INRN 0.04% $237.1K
NATURGY ENERGY GROUP SA NTGY 0.04% $236.4K
DTS CORP 9682 0.04% $235.8K
HYAKUGO BANK LTD 8368 0.04% $235.4K
NS SOLUTIONS CORP 2327 0.03% $235.1K
GMO INTERNET GROUP INC 9449 0.03% $234.0K
WAREHOUSES DE PAUW NV WDP 0.03% $233.6K
VICTREX PLC VCT 0.03% $233.3K
BUCHER INDUSTRIES AG BUCN 0.03% $233.1K
KUSURI NO AOKI HOLDINGS LTD 3549 0.03% $232.6K
FUJI (EHIME) LTD 8278 0.03% $232.5K
AEON REIT INVESTMENT REIT CORP 3292 0.03% $232.4K
4IMPRINT GROUP PLC FOUR 0.03% $232.4K
VIRBAC SA VIRP 0.03% $231.6K
INTERNATIONAL WORKPLACE GROUP PLC IWG 0.03% $231.4K
RIGHTMOVE PLC RMV 0.03% $231.0K
ACTIVIA PROPERTIES REIT INC 3279 0.03% $230.5K
HENSOLDT AG HAG 0.03% $230.5K
KYOKUTO KAIHATSU KOGYO LTD 7226 0.03% $230.0K
STEADFAST GROUP LTD SDF 0.03% $229.5K
WACOM LTD 6727 0.03% $229.3K
NOMURA LTD 9716 0.03% $229.0K
REPLY REY 0.03% $228.4K
ZOZO INC 3092 0.03% $228.3K
LX SEMICON LTD 108320 0.03% $227.7K
JUROKU FINANCIAL GROUP INC 7380 0.03% $227.2K
SHO-BOND HOLDINGS LTD 1414 0.03% $226.7K
TOYOTA BOSHOKU CORP 3116 0.03% $226.6K
FP CORP 7947 0.03% $226.5K
THE NAVIGATOR COMPANY SA NVG 0.03% $226.0K
NINETY ONE PLC N91 0.03% $225.7K
GERRESHEIMER AG GXI 0.03% $225.7K
KBC ANCORA NV KBCA 0.03% $225.1K
NICHIHA CORP 7943 0.03% $224.6K
AMPLIFON AMP 0.03% $224.2K
CAPITALAND ASCOTT STAPLED UNIT TRU HMN 0.03% $223.4K
SATS LTD S58 0.03% $223.2K
SAMHALLSBYGGNADSBOLAGET I NORDEN C SBB B 0.03% $223.1K
TRITAX BIG BOX REIT PLC BBOX 0.03% $223.0K
HILTON FOOD GROUP PLC HFG 0.03% $222.8K
TESSENDERLO GROUP NV TESB 0.03% $222.3K
YAMABIKO CORP 6250 0.03% $222.2K
AEDIFICA NV AED 0.03% $222.2K
SHENG SIONG GROUP LTD OV8 0.03% $221.9K
SUBSEA SA SUBC 0.03% $221.6K
SAFESTORE HOLDINGS PLC SAFE 0.03% $221.5K
EARTH CORP 4985 0.03% $221.4K
CEMENTIR HOLDING NV CEM 0.03% $221.0K
SD BIOSENSOR INC 137310 0.03% $220.5K
TITAN SA TITC 0.03% $220.4K
BANK MILLENNIUM SA MIL 0.03% $220.3K
REMY COINTREAU SA RCO 0.03% $220.2K
PALFINGER AG PAL 0.03% $219.8K
RENISHAW PLC RSW 0.03% $219.4K
ASHMORE GROUP PLC ASHM 0.03% $219.1K
CAIRN HOMES PLC CRN 0.03% $218.9K
BIG YELLOW GROUP PLC BYG 0.03% $218.8K
CARMILA SA CARM 0.03% $218.5K
CANACCORD GENUITY GROUP INC CF 0.03% $217.3K
TOSHIBA TEC CORP 6588 0.03% $217.0K
COLONIAL SFL SOCIMI SA COL 0.03% $216.8K
F&F LTD 383220 0.03% $216.6K
DAESANG CORP 001680 0.03% $216.6K
TAKASAGO INTERNATIONAL CORP 4914 0.03% $215.6K
DAIICHIKOSHO LTD 7458 0.03% $215.5K
OTOKI CORP 007310 0.03% $215.2K
TECHNOGYM TGYM 0.03% $214.9K
HYUNDAI GREEN FOOD LTD 453340 0.03% $214.7K
MOBIMO HOLDING AG MOBN 0.03% $214.6K
CORPORACION ACCIONA ENERGIAS RENOV ANE 0.03% $213.4K
VIVENDI VIV 0.03% $213.2K