Schwab International Index Fund (SWISX)

All holdings as of date 12/31/25
Displaying 401 - 500 of 711
  • SYMRISE AG

  • EBARA CORP

  • UNITED UTILITIES GROUP PLC

  • FRESENIUS MEDICAL CARE AG

  • ACCOR SA

  • FUJI ELECTRIC LTD

  • CENTRICA PLC

  • T&D HOLDINGS INC

  • BEIERSDORF AG

  • MIZRAHI TEFAHOT BANK LTD

  • JAPAN EXCHANGE GROUP INC

  • NORSK HYDRO

  • BUREAU VERITAS SA

  • KUEHNE UND NAGEL INTERNATIONAL AG

  • SOUTH32 LTD

  • CHUBU ELECTRIC POWER INC

  • AEGON LTD

  • SINGAPORE TECHNOLOGIES ENGINEERING

  • ORSTED

  • MITSUI OSK LINES LTD

  • AGEAS SA

  • OBIC LTD

  • DAIFUKU LTD

  • ENDEAVOUR MINING

  • ALSTOM SA

  • SIGMA HEALTHCARE LTD

  • SMITHS GROUP PLC

  • CARREFOUR SA

  • BOUYGUES SA

  • SEVERN TRENT PLC

  • TELIA COMPANY

  • NOVA LTD

  • MELROSE INDUSTRIES PLC

  • RAKUTEN GROUP INC

  • SUMITOMO METAL MINING LTD

  • HONG KONG AND CHINA GAS LTD

  • KAWASAKI HEAVY INDUSTRIES LTD

  • HENNES & MAURITZ CLASS B

  • GEA GROUP AG

  • POWER ASSETS HOLDINGS LTD

  • FRESNILLO PLC

  • GALAXY ENTERTAINMENT GROUP LTD

  • QIAGEN NV

  • EIFFAGE SA

  • CK ASSET HOLDINGS LTD

  • A P MOLLER MAERSK CLASS B

  • INTERTEK GROUP PLC

  • NESTE

  • FORTUM

  • BELIMO N AG

  • PHOENIX FINANCIAL LTD

  • WISETECH GLOBAL LTD

  • WH GROUP LTD

  • MARKS AND SPENCER GROUP PLC

  • HEINEKEN HOLDING NV

  • FUTU HOLDINGS ADR LTD

  • SKANSKA CLASS B

  • BUNZL

  • AISIN CORP

  • RYOHIN KEIKAKU LTD

  • ASSOCIATED BRITISH FOODS PLC

  • STOCKLAND STAPLED UNITS LTD

  • ADDTECH CLASS B

  • NEXON LTD

  • EVOLUTION

  • TORAY INDUSTRIES INC

  • TRYG

  • TELE2 CLASS B

  • CONTINENTAL AG

  • TELENOR

  • SKF CLASS B

  • M&G PLC

  • MEDIBANK PRIVATE LTD

  • EUROFINS SCIENTIFIC

  • UNIPOL ASSICURAZIONI SPA

  • LIFCO CLASS B

  • YOKOHAMA FINANCIAL GROUP INC

  • PRO MEDICUS LTD

  • PANDORA

  • REXEL SA

  • TRELLEBORG CLASS B

  • KLEPIERRE REIT SA

  • TALANX AG

  • CAPITALAND ASCENDAS REIT

  • ISUZU MOTORS LTD

  • SCHINDLER HOLDING AG

  • WASHINGTON H SOUL PATTINSON & COMP

  • OMV AG

  • CAPCOM LTD

  • KNORR BREMSE AG

  • AUCKLAND INTERNATIONAL AIRPORT LTD

  • AKER BP

  • PEARSON PLC

  • ORION CLASS B

  • SCREEN HOLDINGS LTD

  • SVENSKA CELLULOSA AKTIEBOLAGET SCA

  • EPIROC CLASS B

  • WEST JAPAN RAILWAY

  • HENKEL AG

  • RENAULT SA

Fund Name CUSIP Symbol Quantity % of Assets Market Value
SYMRISE AG SY1 0.05% $6.8M
EBARA CORP 6361 0.05% $6.8M
UNITED UTILITIES GROUP PLC UU. 0.05% $6.8M
FRESENIUS MEDICAL CARE AG FME 0.05% $6.7M
ACCOR SA AC 0.05% $6.7M
FUJI ELECTRIC LTD 6504 0.05% $6.7M
CENTRICA PLC CNA 0.05% $6.7M
T&D HOLDINGS INC 8795 0.05% $6.7M
BEIERSDORF AG BEI 0.05% $6.7M
MIZRAHI TEFAHOT BANK LTD MZTF 0.05% $6.7M
JAPAN EXCHANGE GROUP INC 8697 0.05% $6.6M
NORSK HYDRO NHY 0.05% $6.6M
BUREAU VERITAS SA BVI 0.05% $6.6M
KUEHNE UND NAGEL INTERNATIONAL AG KNIN 0.05% $6.6M
SOUTH32 LTD S32 0.05% $6.6M
CHUBU ELECTRIC POWER INC 9502 0.05% $6.6M
AEGON LTD AGN 0.05% $6.5M
SINGAPORE TECHNOLOGIES ENGINEERING S63 0.05% $6.5M
ORSTED ORSTED 0.05% $6.5M
MITSUI OSK LINES LTD 9104 0.05% $6.4M
AGEAS SA AGS 0.05% $6.4M
OBIC LTD 4684 0.05% $6.4M
DAIFUKU LTD 6383 0.05% $6.3M
ENDEAVOUR MINING EDV 0.05% $6.3M
ALSTOM SA ALO 0.05% $6.3M
SIGMA HEALTHCARE LTD SIG 0.05% $6.3M
SMITHS GROUP PLC SMIN 0.05% $6.3M
CARREFOUR SA CA 0.05% $6.3M
BOUYGUES SA EN 0.05% $6.2M
SEVERN TRENT PLC SVT 0.05% $6.2M
TELIA COMPANY TELIA 0.05% $6.2M
NOVA LTD NVMI 0.05% $6.2M
MELROSE INDUSTRIES PLC MRO 0.05% $6.2M
RAKUTEN GROUP INC 4755 0.05% $6.2M
SUMITOMO METAL MINING LTD 5713 0.05% $6.2M
HONG KONG AND CHINA GAS LTD 3 0.05% $6.2M
KAWASAKI HEAVY INDUSTRIES LTD 7012 0.05% $6.2M
HENNES & MAURITZ CLASS B HM B 0.05% $6.2M
GEA GROUP AG G1A 0.05% $6.1M
POWER ASSETS HOLDINGS LTD 6 0.05% $6.1M
FRESNILLO PLC FRES 0.05% $6.1M
GALAXY ENTERTAINMENT GROUP LTD 27 0.05% $6.1M
QIAGEN NV QIA 0.05% $6.1M
EIFFAGE SA FGR 0.05% $6.1M
CK ASSET HOLDINGS LTD 1113 0.05% $6.0M
A P MOLLER MAERSK CLASS B MAERSK B 0.05% $6.0M
INTERTEK GROUP PLC ITRK 0.05% $6.0M
NESTE NESTE 0.05% $6.0M
FORTUM FORTUM 0.05% $5.9M
BELIMO N AG BEAN 0.05% $5.9M
PHOENIX FINANCIAL LTD PHOE 0.05% $5.9M
WISETECH GLOBAL LTD WTC 0.05% $5.9M
WH GROUP LTD 288 0.05% $5.9M
MARKS AND SPENCER GROUP PLC MKS 0.05% $5.8M
HEINEKEN HOLDING NV HEIO 0.05% $5.8M
FUTU HOLDINGS ADR LTD FUTU 0.05% $5.8M
SKANSKA CLASS B SKA B 0.04% $5.7M
BUNZL BNZL 0.04% $5.7M
AISIN CORP 7259 0.04% $5.7M
RYOHIN KEIKAKU LTD 7453 0.04% $5.7M
ASSOCIATED BRITISH FOODS PLC ABF 0.04% $5.7M
STOCKLAND STAPLED UNITS LTD SGP 0.04% $5.7M
ADDTECH CLASS B ADDT B 0.04% $5.7M
NEXON LTD 3659 0.04% $5.7M
EVOLUTION EVO 0.04% $5.6M
TORAY INDUSTRIES INC 3402 0.04% $5.6M
TRYG TRYG 0.04% $5.6M
TELE2 CLASS B TEL2 B 0.04% $5.6M
CONTINENTAL AG CON 0.04% $5.6M
TELENOR TEL 0.04% $5.6M
SKF CLASS B SKF B 0.04% $5.6M
M&G PLC MNG 0.04% $5.5M
MEDIBANK PRIVATE LTD MPL 0.04% $5.5M
EUROFINS SCIENTIFIC ERF 0.04% $5.4M
UNIPOL ASSICURAZIONI SPA UNI 0.04% $5.4M
LIFCO CLASS B LIFCO B 0.04% $5.4M
YOKOHAMA FINANCIAL GROUP INC 7186 0.04% $5.4M
PRO MEDICUS LTD PME 0.04% $5.4M
PANDORA PNDORA 0.04% $5.4M
REXEL SA RXL 0.04% $5.4M
TRELLEBORG CLASS B TREL B 0.04% $5.4M
KLEPIERRE REIT SA LI 0.04% $5.3M
TALANX AG TLX 0.04% $5.3M
CAPITALAND ASCENDAS REIT A17U 0.04% $5.3M
ISUZU MOTORS LTD 7202 0.04% $5.3M
SCHINDLER HOLDING AG SCHN 0.04% $5.3M
WASHINGTON H SOUL PATTINSON & COMP SOL 0.04% $5.3M
OMV AG OMV 0.04% $5.2M
CAPCOM LTD 9697 0.04% $5.2M
KNORR BREMSE AG KBX 0.04% $5.1M
AUCKLAND INTERNATIONAL AIRPORT LTD AIA 0.04% $5.1M
AKER BP AKRBP 0.04% $5.1M
PEARSON PLC PSON 0.04% $5.1M
ORION CLASS B ORNBV 0.04% $5.0M
SCREEN HOLDINGS LTD 7735 0.04% $5.0M
SVENSKA CELLULOSA AKTIEBOLAGET SCA SCA B 0.04% $5.0M
EPIROC CLASS B EPI B 0.04% $5.0M
WEST JAPAN RAILWAY 9021 0.04% $5.0M
HENKEL AG HEN 0.04% $5.0M
RENAULT SA RNO 0.04% $5.0M