Vanguard Pacific Stock Index Fund

as of:
Stock Holdings

2235 Holdings
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Holding Shares Market Value
Toyota Motor Corp.2,583,207$144,749,603
Samsung Electronics Co. Ltd.92,356$127,079,771
Commonwealth Bank of Australia1,568,598$92,338,459
Westpac Banking Corp.3,068,518$72,608,672
AIA Group Ltd.11,124,845$69,298,791
Mitsubishi UFJ Financial Group Inc.12,681,024$64,109,242
KDDI Corp.1,731,600$53,137,819
Australia & New Zealand Banking Group Ltd.2,684,244$52,811,309
National Australia Bank Ltd.2,443,054$49,389,343
SoftBank Group Corp.835,070$45,965,954
Honda Motor Co. Ltd.1,652,927$44,774,194
BHP Billiton Ltd.2,964,062$43,934,098
Japan Tobacco Inc.1,105,859$43,128,195
Sony Corp.1,157,744$38,005,161
Sumitomo Mitsui Financial Group Inc.1,196,634$37,932,494
CSL, Ltd.422,486$37,886,487
Mizuho Financial Group, Inc. Private Placement Restricted From Trade 23,040,741$36,964,880
Wesfarmers Ltd.1,033,300$33,795,427
NTT DOCOMO Inc.1,209,200$32,847,124
Astellas Pharma Inc.1,957,570$32,616,515
East Japan Railway Co.349,885$32,094,845
Takeda Pharmaceutical Co. Ltd.712,791$31,760,733
Central Japan Railway Co.167,000$31,040,852
CK Hutchison Holdings Ltd.2,604,091$30,522,378
FANUC Corp.180,376$30,160,333
Seven & i Holdings Co. Ltd.718,454$29,832,428
Keyence Corp.42,277$29,821,087
Canon Inc.967,817$27,466,169
Hong Kong Exchanges and Clearing Ltd.1,105,797$27,377,540
Shin-Etsu Chemical Co. Ltd.380,355$25,955,074
Tokio Marine Holdings Inc.647,690$25,070,291
Kao Corp.461,577$24,857,406
Nissan Motor Co. Ltd.2,320,552$22,482,618
Fuji Heavy Industries Ltd.577,912$22,079,013
Mitsubishi Corp.1,271,234$21,871,175
Mitsubishi Estate Co. Ltd.1,166,982$21,703,051
Murata Manufacturing Co. Ltd.174,879$21,353,017
Daikin Industries Ltd.245,712$21,308,970
Mitsubishi Electric Corp.1,824,954$21,276,154
Singapore Telecommunications Ltd.6,747,009$21,157,862
Woolworths Ltd.1,167,549$20,807,141
Nintendo Co. Ltd.99,698$20,694,075
Bridgestone Corp.592,350$20,513,646
Nidec Corp.223,428$20,274,095
Hitachi Ltd.4,278,258$19,547,889
Oversea-Chinese Banking Corp. Ltd.2,997,391$19,334,645
DBS Group Holdings Ltd.1,642,679$18,990,764
Scentre Group4,709,038$18,979,734
Mitsui Fudosan Co. Ltd.873,580$18,909,269
Panasonic Corp.1,960,490$18,853,417
2235 Holdings
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