Vanguard Pacific Stock Index Fund

as of:
Stock Holdings

2243 Holdings
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Holding Shares Market Value
Toyota Motor Corp.2,584,471$137,068,468
Samsung Electronics Co. Ltd.97,782$112,215,314
Commonwealth Bank of Australia1,593,569$91,358,297
Westpac Banking Corp.3,117,351$72,407,321
AIA Group Ltd.11,300,845$64,234,270
Mitsubishi UFJ Financial Group Inc.13,049,424$60,465,885
National Australia Bank Ltd.2,453,468$49,263,334
Australia & New Zealand Banking Group Ltd.2,726,870$48,883,357
KDDI Corp.1,762,800$47,032,879
Honda Motor Co. Ltd.1,682,627$46,004,871
SoftBank Group Corp.869,970$41,610,707
Japan Tobacco Inc.974,459$40,559,571
BHP Billiton Ltd.3,011,176$38,910,030
Sumitomo Mitsui Financial Group Inc.1,218,734$36,997,934
Mizuho Financial Group, Inc. Private Placement Restricted From Trade 23,230,541$34,620,079
CK Hutchison Holdings Ltd.2,643,591$34,345,647
CSL, Ltd.434,262$33,747,289
Wesfarmers Ltd.1,049,775$33,320,830
Takeda Pharmaceutical Co. Ltd.726,091$33,102,900
Seven & i Holdings Co. Ltd.731,954$31,186,863
East Japan Railway Co.356,185$30,724,346
Sony Corp.1,178,744$30,306,857
Central Japan Railway Co.169,900$30,047,058
Canon Inc.983,617$29,334,366
NTT DOCOMO Inc.1,274,700$28,975,742
FANUC Corp.183,776$28,461,126
Hong Kong Exchanges and Clearing Ltd.1,123,597$27,074,380
Astellas Pharma Inc.1,995,770$26,522,803
Kao Corp.469,577$25,038,763
Keyence Corp.42,777$23,329,386
Bridgestone Corp.602,650$22,492,629
Tokio Marine Holdings Inc.658,590$22,252,396
Mitsui Fudosan Co. Ltd.891,580$22,207,174
Mitsubishi Estate Co. Ltd.1,186,982$22,030,348
Mitsubishi Corp.1,292,534$21,871,581
Nissan Motor Co. Ltd.2,359,652$21,815,563
Murata Manufacturing Co. Ltd.177,034$21,362,130
Fuji Heavy Industries Ltd.587,612$20,750,484
Hitachi Ltd.4,351,258$20,393,693
Woolworths Ltd.1,188,465$20,114,616
Oversea-Chinese Banking Corp. Ltd.3,049,291$19,984,092
Shin-Etsu Chemical Co. Ltd.386,055$19,938,959
Singapore Telecommunications Ltd.6,863,709$19,428,786
Mitsubishi Electric Corp.1,849,954$19,383,684
Sun Hung Kai Properties Ltd.1,564,118$19,139,361
DBS Group Holdings Ltd.1,669,379$19,017,522
Denso Corp.471,386$18,921,696
Nippon Telegraph & Telephone Corp.434,375$18,763,918
Daikin Industries Ltd.250,312$18,694,445
Mitsui & Co. Ltd.1,597,800$18,372,250
2243 Holdings
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