Schwab Fundamental International Small Equity Index Fund (SFILX)

All holdings as of date 09/30/25
Displaying 701 - 800 of 1714
  • ICADE REIT SA

  • SALMAR

  • LEROY SEAFOOD GROUP

  • CJ LOGISTICS CORP

  • SERIA LTD

  • NKT

  • MORINAGA LTD

  • FIT HON TENG LTD

  • TAG IMMOBILIEN AG

  • TOKAI HOLDINGS CORP

  • JET2 PLC

  • TOKEN CORP

  • FRAPORT FRANKFURT AIRPORT SERVICES

  • CEMBRA MONEY BANK LTD

  • SOTETSU HOLDINGS INC

  • YAMAZEN CORP

  • CHAMPION IRON LTD

  • VENTIA SERVICES GROUP LTD

  • HOPSON DEVELOPMENT HOLDINGS LTD

  • OKUMA CORP

  • KRONES AG

  • ALLIED PROPERTIES REAL ESTATE INVT

  • HOEGH AUTOLINERS

  • CHORUS LTD

  • FORTUNA MINING CORP

  • KYOTO FINANCIAL GROUP INC

  • USHIO INC

  • SSP GROUP PLC

  • TRUSCO NAKAYAMA CORP

  • YOUNGONE HOLDINGS LTD

  • HENSOLDT AG

  • MONADELPHOUS GROUP LTD

  • KOBE BUSSAN LTD

  • AMANO CORP

  • OKUMURA CORP

  • LG ENERGY SOLUTION LTD

  • UNIQA INSURANCE GROUP AG

  • HANG LUNG PROPERTIES LTD

  • SCHOUW AND CO

  • DERICHEBOURG SA

  • NH INVESTMENT & SECURITIES LTD

  • KEPPEL INFRA UNIT TRUST

  • PEYTO EXPLORATION & DEVELOPMENT CO

  • TORM PLC CLASS A

  • IYOGIN HOLDINGS INC

  • MUSASHI SEIMITSU INDUSTRY LTD

  • CAPCOM LTD

  • NISHIMATSU CONSTRUCTION LTD

  • KITZ CORP

  • ARYZTA AG

  • SUMITOMO WAREHOUSE LTD

  • ALLEIMA

  • DEUTSCHE PFANDBRIEFBANK AG

  • STARTS CORP INC

  • BEFESA SA

  • KOREA PETRO CHEMICAL IND LTD

  • ABC MART INC

  • DFDS

  • CAPSTONE COPPER CORP

  • DASSAULT AVIATION SA

  • OCI HOLDINGS COMPANY LTD

  • JM

  • SUEDZUCKER AG

  • NOS SGPS SA

  • GRANITE REAL ESTATE INVESTMENT STA

  • DINO POLSKA SA

  • ARTIENCE LTD

  • ALLREAL HOLDING AG

  • KALMAR CORPORATION CLASS B

  • TOKYO STEEL MANUFACTURING LTD

  • TADANO LTD

  • ORION CORP

  • PRECISION DRILLING CORP

  • LOGISTA INTEGRAL SA

  • FIBI BANK HOLDING LTD

  • TEMENOS AG

  • BGF RETAIL LTD

  • FCC LTD

  • SEIKO GROUP CORP

  • BANCA GENERALI

  • MAGELLAN FINANCIAL GROUP LTD

  • CRITEO ADR REPRESENTING SA

  • REECE LTD

  • YAMATO KOGYO LTD

  • MULLEN GROUP LTD

  • STOLT-NIELSEN LTD

  • SIG GROUP N AG

  • ACCELLERON N AG

  • RATOS CLASS B

  • SPAREBANKEN NORGE

  • COATS GROUP PLC

  • KADOKAWA CORP

  • JVCKENWOOD CORP

  • GRANGES

  • HIROGIN HOLDINGS INC

  • DORMAKABA HOLDING AG

  • CATHAY PACIFIC AIRWAYS LTD

  • PSP SWISS PROPERTY AG

  • CIE AUTOMOTIVE SA

  • CHEIL WORLDWIDE INC

Fund Name CUSIP Symbol Quantity % of Assets Market Value
ICADE REIT SA ICAD 0.06% $394.3K
SALMAR SALM 0.06% $393.9K
LEROY SEAFOOD GROUP LSG 0.06% $392.6K
CJ LOGISTICS CORP 000120 0.06% $391.0K
SERIA LTD 2782 0.06% $391.0K
NKT NKT 0.06% $389.9K
MORINAGA LTD 2201 0.06% $389.9K
FIT HON TENG LTD 6088 0.06% $389.3K
TAG IMMOBILIEN AG TEG 0.06% $389.2K
TOKAI HOLDINGS CORP 3167 0.06% $389.1K
JET2 PLC JET2 0.06% $388.5K
TOKEN CORP 1766 0.06% $387.4K
FRAPORT FRANKFURT AIRPORT SERVICES FRA 0.06% $387.0K
CEMBRA MONEY BANK LTD CMBN 0.06% $386.7K
SOTETSU HOLDINGS INC 9003 0.06% $384.9K
YAMAZEN CORP 8051 0.06% $384.7K
CHAMPION IRON LTD CIA 0.06% $384.5K
VENTIA SERVICES GROUP LTD VNT 0.06% $383.4K
HOPSON DEVELOPMENT HOLDINGS LTD 754 0.06% $383.4K
OKUMA CORP 6103 0.06% $383.0K
KRONES AG KRN 0.06% $382.4K
ALLIED PROPERTIES REAL ESTATE INVT AP.UN 0.06% $382.2K
HOEGH AUTOLINERS HAUTO 0.06% $382.0K
CHORUS LTD CNU 0.06% $381.9K
FORTUNA MINING CORP FVI 0.06% $380.4K
KYOTO FINANCIAL GROUP INC 5844 0.06% $379.3K
USHIO INC 6925 0.06% $379.2K
SSP GROUP PLC SSPG 0.06% $379.1K
TRUSCO NAKAYAMA CORP 9830 0.06% $378.7K
YOUNGONE HOLDINGS LTD 009970 0.06% $378.5K
HENSOLDT AG HAG 0.06% $378.4K
MONADELPHOUS GROUP LTD MND 0.06% $378.3K
KOBE BUSSAN LTD 3038 0.06% $377.6K
AMANO CORP 6436 0.06% $376.9K
OKUMURA CORP 1833 0.06% $376.9K
LG ENERGY SOLUTION LTD 373220 0.06% $376.4K
UNIQA INSURANCE GROUP AG UQA 0.06% $376.1K
HANG LUNG PROPERTIES LTD 101 0.06% $375.9K
SCHOUW AND CO SCHO 0.06% $375.9K
DERICHEBOURG SA DBG 0.06% $375.7K
NH INVESTMENT & SECURITIES LTD 005940 0.06% $375.3K
KEPPEL INFRA UNIT TRUST A7RU 0.06% $374.9K
PEYTO EXPLORATION & DEVELOPMENT CO PEY 0.06% $373.6K
TORM PLC CLASS A TRMD A 0.06% $373.1K
IYOGIN HOLDINGS INC 5830 0.06% $373.0K
MUSASHI SEIMITSU INDUSTRY LTD 7220 0.06% $372.7K
CAPCOM LTD 9697 0.06% $372.0K
NISHIMATSU CONSTRUCTION LTD 1820 0.06% $371.8K
KITZ CORP 6498 0.06% $371.7K
ARYZTA AG ARYN 0.06% $370.8K
SUMITOMO WAREHOUSE LTD 9303 0.06% $370.3K
ALLEIMA ALLEI 0.06% $368.7K
DEUTSCHE PFANDBRIEFBANK AG PBB 0.05% $367.9K
STARTS CORP INC 8850 0.05% $367.2K
BEFESA SA BFSA 0.05% $365.3K
KOREA PETRO CHEMICAL IND LTD 006650 0.05% $365.3K
ABC MART INC 2670 0.05% $365.0K
DFDS DFDS 0.05% $364.7K
CAPSTONE COPPER CORP CS 0.05% $364.4K
DASSAULT AVIATION SA AM 0.05% $364.2K
OCI HOLDINGS COMPANY LTD 010060 0.05% $364.1K
JM JM 0.05% $363.5K
SUEDZUCKER AG SZU 0.05% $363.2K
NOS SGPS SA NOS 0.05% $363.0K
GRANITE REAL ESTATE INVESTMENT STA GRT.UN 0.05% $362.1K
DINO POLSKA SA DNP 0.05% $361.3K
ARTIENCE LTD 4634 0.05% $361.3K
ALLREAL HOLDING AG ALLN 0.05% $361.1K
KALMAR CORPORATION CLASS B KALMAR 0.05% $360.8K
TOKYO STEEL MANUFACTURING LTD 5423 0.05% $360.6K
TADANO LTD 6395 0.05% $359.9K
ORION CORP 271560 0.05% $359.7K
PRECISION DRILLING CORP PD 0.05% $359.3K
LOGISTA INTEGRAL SA LOG 0.05% $359.3K
FIBI BANK HOLDING LTD FIBIH 0.05% $359.0K
TEMENOS AG TEMN 0.05% $358.7K
BGF RETAIL LTD 282330 0.05% $358.4K
FCC LTD 7296 0.05% $358.1K
SEIKO GROUP CORP 8050 0.05% $357.9K
BANCA GENERALI BGN 0.05% $357.9K
MAGELLAN FINANCIAL GROUP LTD MFG 0.05% $357.3K
CRITEO ADR REPRESENTING SA CRTO 0.05% $357.2K
REECE LTD REH 0.05% $357.2K
YAMATO KOGYO LTD 5444 0.05% $356.3K
MULLEN GROUP LTD MTL 0.05% $355.7K
STOLT-NIELSEN LTD SNI 0.05% $355.5K
SIG GROUP N AG SIGN 0.05% $355.3K
ACCELLERON N AG ACLN 0.05% $355.3K
RATOS CLASS B RATO B 0.05% $354.8K
SPAREBANKEN NORGE SBNOR 0.05% $354.6K
COATS GROUP PLC COA 0.05% $354.4K
KADOKAWA CORP 9468 0.05% $353.5K
JVCKENWOOD CORP 6632 0.05% $353.3K
GRANGES GRNG 0.05% $352.8K
HIROGIN HOLDINGS INC 7337 0.05% $352.2K
DORMAKABA HOLDING AG DOKA 0.05% $352.0K
CATHAY PACIFIC AIRWAYS LTD 293 0.05% $351.6K
PSP SWISS PROPERTY AG PSPN 0.05% $351.5K
CIE AUTOMOTIVE SA CIE 0.05% $350.1K
CHEIL WORLDWIDE INC 030000 0.05% $349.5K