Vanguard Emerging Markets Stock Index Fund

as of:
Stock Holdings

4340 Holdings
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Holding Shares Market Value
VTB Bank PJSC60,709,531,072$71,428,406
TGC-1 PJSC8,801,055,345$2,323,391
Federal Grid Co. Unified Energy System JSC4,093,494,717 $13,031,845
Itau CorpBanca2,915,446,977$26,354,448
U City PCL2,339,863,000$2,042,805
RusHydro PJSC1,579,839,418$26,177,750
China Construction Bank Corp.1,434,777,003$1,156,010,899
Bank of China Ltd.1,211,053,694$602,234,649
Industrial & Commercial Bank of China Ltd.1,160,098,862 $759,108,740
Telekomunikasi Indonesia Persero Tbk PT806,949,605$250,836,117
Banco Santander Chile550,204,304$34,494,339
America Movil SAB de CV467,991,203$331,953,861
Rosseti PJSC457,705,984$7,640,317
Banco de Chile452,276,187$54,564,436
Agricultural Bank of China Ltd.443,861,645$204,699,217
China Petroleum & Chemical Corp.414,288,367$337,216,812
TMB Bank PCL404,788,900$28,740,394
Inter RAO UES PJSC352,318,670$25,117,496
Pakuwon Jati Tbk PT332,712,300$15,349,274
PetroChina Co. Ltd.328,341,980$240,536,724
Kalbe Farma Tbk PT322,383,555$37,256,392
Astra International Tbk PT321,526,900$208,110,582
CTBC Financial Holding Co. Ltd.298,581,635$184,477,213
Renhe Commercial Holdings Co. Ltd.293,446,999$7,368,044
HengTen Networks Group Ltd.292,916,734$5,398,064
Lippo Karawaci Tbk PT276,394,411$15,030,399
Hybrid Kinetic Group Ltd.263,624,000$6,613,678
China Telecom Corp. Ltd.255,316,446$124,716,433
CNOOC Ltd.253,746,705$303,309,118
China Development Financial Holding Corp.249,116,649$68,384,455
Enel Americas SA248,403,891$51,602,509
Hon Hai Precision Industry Co. Ltd.238,270,779$714,594,958
Taiwan Semiconductor Manufacturing Co. Ltd.237,443,845 $1,488,923,180
E.ON Russia JSC230,721,198$10,949,207
Alibaba Pictures Group Ltd.214,820,000$38,972,009
Adaro Energy Tbk PT212,072,952$27,856,276
Megaworld Corp.210,892,713$14,201,331
Superblock PCL210,210,900$8,318,186
Hanergy Thin Film Power Group Ltd.206,154,000$5,384,329
GCL-Poly Energy Holdings Ltd.204,864,800$27,166,039
Cemex SAB de CV204,363,446$185,018,382
China Steel Corp.202,705,074$169,021,193
Metro Pacific Investments Corp.201,268,500$24,140,056
Bangkok Land PCL199,659,900$10,576,071
Bank Central Asia Tbk PT199,315,724$247,480,204
GOME Electrical Appliances Holding Ltd.195,304,805$26,646,742
Enel Chile SA194,825,490$21,564,772
Ciputra Development Tbk PT189,190,586$17,462,534
Yuanta Financial Holding Co. Ltd.186,503,634$78,671,513
Mega Financial Holding Co. Ltd.179,049,004$144,480,302
4340 Holdings
1-50 of 4340 |   Next>