Vanguard Pacific Stock Index Fund

as of:
Stock Holdings

2276 Holdings
1-50 of 2276 |   Next>

Holding Shares Market Value
Samsung Electronics Co. Ltd.109,467$257,626,515
Toyota Motor Corp.2,994,870$189,112,722
Commonwealth Bank of Australia1,980,722$120,096,083
AIA Group Ltd.13,847,912$112,829,614
Mitsubishi UFJ Financial Group Inc.14,716,072$104,897,992
Westpac Banking Corp.3,884,301$93,202,465
SoftBank Group Corp.975,685$82,825,295
BHP Billiton Ltd.3,681,820$76,803,533
Australia & New Zealand Banking Group Ltd.3,365,761$73,086,531
National Australia Bank Ltd.3,060,665$68,762,161
Honda Motor Co. Ltd.2,042,486$68,189,835
Sony Corp.1,443,539$67,564,506
Sumitomo Mitsui Financial Group Inc.1,529,788$62,371,544
Keyence Corp.103,233$60,070,065
KDDI Corp.2,085,866$59,522,206
CSL, Ltd.519,773$56,528,258
FANUC Corp.222,468$55,640,123
Mizuho Financial Group, Inc. Private Placement Restricted From Trade 29,081,370$52,900,018
Nintendo Co. Ltd.123,095$50,196,098
Shin-Etsu Chemical Co. Ltd.465,550$49,055,200
Takeda Pharmaceutical Co. Ltd.874,924$48,266,129
Japan Tobacco Inc.1,369,369$45,351,132
Canon Inc.1,177,011$45,144,991
SK Hynix Inc.611,850$43,608,677
Wesfarmers Ltd.1,297,336$43,275,890
Hong Kong Exchanges & Clearing Ltd.1,397,664$42,262,003
East Japan Railway Co.424,345$41,116,686
Nippon Telegraph & Telephone Corp.764,743$39,922,659
Hitachi Ltd.5,290,644$39,641,130
CK Hutchison Holdings Ltd.3,068,559$38,720,993
Central Japan Railway Co.207,652$38,491,225
NTT DOCOMO Inc.1,486,329$38,380,045
Mitsubishi Electric Corp.2,263,614$37,608,684
Samsung Electronics Co. Ltd. Preference Shares19,309$37,447,816
DBS Group Holdings Ltd.2,048,513$37,309,248
Mitsubishi Corp.1,472,221$37,027,347
Nidec Corp.267,933$36,602,686
Kao Corp.551,925$36,592,739
Seven & i Holdings Co. Ltd.883,349$36,566,401
Panasonic Corp.2,441,235$36,534,957
Tokio Marine Holdings Inc.800,324$35,498,607
Daikin Industries Ltd.301,773$34,863,058
Oversea-Chinese Banking Corp. Ltd.3,744,097$34,654,428
Tokyo Electron Ltd.177,184$32,964,893
Komatsu Ltd.1,046,437$32,800,241
Bridgestone Corp.715,628$32,704,230
Recruit Holdings Co. Ltd.1,370,112$32,283,374
Denso Corp.558,803$31,547,650
Woolworths Group Ltd.1,483,784$30,370,341
Astellas Pharma Inc.2,367,901$30,101,651
2276 Holdings
1-50 of 2276 |   Next>