Vanguard Pacific Stock Index Fund

as of:
Stock Holdings

2263 Holdings
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Holding Shares Market Value
Toyota Motor Corp.2,594,407$152,105,966
Samsung Electronics Co. Ltd.96,027$142,918,242
Commonwealth Bank of Australia1,635,293$97,012,504
Mitsubishi UFJ Financial Group Inc.12,912,424$79,635,109
Westpac Banking Corp.3,154,208$74,041,737
AIA Group Ltd.11,429,645$64,027,053
Australia & New Zealand Banking Group Ltd.2,759,112$60,400,333
National Australia Bank Ltd.2,511,351$55,472,076
BHP Billiton Ltd.3,046,778$54,582,626
SoftBank Group Corp.816,570$54,035,750
Honda Motor Co. Ltd.1,702,327$49,699,973
Sumitomo Mitsui Financial Group Inc.1,232,534$46,938,560
KDDI Corp.1,761,200$44,475,546
Mizuho Financial Group, Inc. Private Placement Restricted From Trade 23,793,341$42,697,980
Japan Tobacco Inc.1,138,559$37,371,649
Sony Corp.1,194,744$33,383,460
Wesfarmers Ltd.1,062,188$32,239,521
CSL, Ltd.434,555$31,427,010
FANUC Corp.185,776$31,079,303
East Japan Railway Co.355,285$30,632,220
Takeda Pharmaceutical Co. Ltd.735,991$30,533,350
Shin-Etsu Chemical Co. Ltd.391,355$30,286,563
CK Hutchison Holdings Ltd.2,674,091$30,186,367
Keyence Corp.43,377$29,680,694
NTT DOCOMO Inc.1,248,800$28,404,301
Central Japan Railway Co.172,300$28,289,873
Seven & i Holdings Co. Ltd.741,954$28,215,897
Astellas Pharma Inc.2,022,870$28,063,991
Canon Inc.995,317$28,030,295
Mitsubishi Corp.1,310,134$27,825,484
Hong Kong Exchanges & Clearing Ltd.1,162,397$27,337,694
Tokio Marine Holdings Inc.666,490$27,288,156
Mitsubishi Electric Corp.1,878,654$26,130,506
Murata Manufacturing Co. Ltd.180,179$24,060,511
Hitachi Ltd.4,411,258$23,786,136
Fuji Heavy Industries Ltd.583,412$23,770,776
Daikin Industries Ltd.253,212$23,196,471
Mitsubishi Estate Co. Ltd.1,123,982$22,327,534
Mitsui & Co. Ltd.1,615,600$22,137,463
Kao Corp.467,677$22,137,439
Bridgestone Corp.610,950$21,982,461
Nintendo Co. Ltd.102,898$21,389,965
Woolworths Ltd.1,222,464$21,219,137
Mitsui Fudosan Co. Ltd.901,580$20,872,038
Panasonic Corp.2,025,590$20,543,856
Denso Corp.470,886$20,368,876
Komatsu Ltd.894,709$20,265,295
DBS Group Holdings Ltd.1,698,479$20,264,283
Nidec Corp.230,728$19,863,530
Samsung Electronics Co. Ltd. Preference Shares16,427$19,450,159
2263 Holdings
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