Vanguard Pacific Stock Index Fund

as of:
Stock Holdings

2262 Holdings
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Holding Shares Market Value
Samsung Electronics Co. Ltd.103,577$222,740,268
Toyota Motor Corp.2,826,007$159,273,330
Commonwealth Bank of Australia1,868,708$125,193,827
AIA Group Ltd.13,048,245$102,631,077
Westpac Banking Corp.3,623,980$92,375,819
Mitsubishi UFJ Financial Group Inc.14,039,024$89,065,147
Australia & New Zealand Banking Group Ltd.3,170,514$75,170,217
SoftBank Group Corp.920,470$74,187,635
BHP Billiton Ltd.3,469,382$72,254,802
National Australia Bank Ltd.2,886,895$69,206,955
Sony Corp.1,361,644$55,942,208
Sumitomo Mitsui Financial Group Inc.1,441,234$55,611,178
Honda Motor Co. Ltd.1,921,127$53,775,893
KDDI Corp.1,969,900$52,196,395
CSL, Ltd.490,184$49,387,136
Mizuho Financial Group, Inc. Private Placement Restricted From Trade 27,398,541$48,724,904
Keyence Corp.97,554$45,061,595
Japan Tobacco Inc.1,291,059$44,863,182
Takeda Pharmaceutical Co. Ltd.824,891$43,576,396
FANUC Corp.209,976$42,930,610
Shin-Etsu Chemical Co. Ltd.439,755$40,222,168
CK Hutchison Holdings Ltd.3,034,591$39,932,561
Wesfarmers Ltd.1,222,087$39,822,450
Nintendo Co. Ltd.115,898$39,360,656
Canon Inc.1,123,317$39,081,139
Hong Kong Exchanges & Clearing Ltd.1,322,997$37,689,831
East Japan Railway Co.399,585$37,474,009
Nippon Telegraph & Telephone Corp.729,675$35,708,987
Hitachi Ltd.5,003,258$34,421,494
SK Hynix Inc.573,390$33,710,945
Seven & i Holdings Co. Ltd.833,354$33,588,067
Mitsubishi Electric Corp.2,132,554$33,013,424
NTT DOCOMO Inc.1,398,800$32,482,928
Samsung Electronics Co. Ltd. Preference Shares18,793$32,402,596
Murata Manufacturing Co. Ltd.204,979$31,888,458
Tokio Marine Holdings Inc.754,290$31,720,368
Kao Corp.520,677$31,701,180
Panasonic Corp.2,300,602$31,686,855
Central Japan Railway Co.196,400$31,606,059
DBS Group Holdings Ltd.1,922,879$30,676,896
Daikin Industries Ltd.287,712$30,461,037
Mitsubishi Corp.1,387,734$30,130,787
Woolworths Ltd.1,397,588$29,829,323
Oversea-Chinese Banking Corp. Ltd.3,525,091$29,523,918
Bridgestone Corp.681,750$28,682,261
Astellas Pharma Inc.2,232,470$28,431,693
Nidec Corp.251,828$27,748,756
Komatsu Ltd.986,109$26,445,028
Mitsui & Co. Ltd.1,803,300$26,221,389
Denso Corp.527,586$25,337,547
2262 Holdings
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