ETF:VSGX | ETF Holdings Page 20 | VANGUARD ESG INTERNATIONAL STOCK ETF

Companies included in VSGX Page 20

This is VSGX's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 1,901–2,000 of 6,613.

TickerIssuerShares ownedUnitReported weight
Oracle Corp JapanOracle Corp Japan6,400NS0.00608%
Cia de Saneamento de Minas Gerais Copasa MGCia de Saneamento de Minas Gerais Copasa MG36,200NS0.006079%
Eternal Materials Co LtdEternal Materials Co Ltd176,495NS0.006077%
Emmi AGEmmi AG366NS0.006071%
Kaneka CorpKaneka Corp11,400NS0.006064%
Electrolux ABElectrolux AB45,840NS0.006056%
Morinaga Milk Industry Co LtdMorinaga Milk Industry Co Ltd12,100NS0.006054%
Ezaki Glico Co LtdEzaki Glico Co Ltd9,900NS0.006053%
Wesdome Gold Mines LtdWesdome Gold Mines Ltd19,549NS0.006049%
CIE Automotive SACIE Automotive SA10,250NS0.006045%
Bank Al-JaziraBank Al-Jazira124,902NS0.006042%
GIDHFGigaDevice Semiconductor Inc8,800NS0.006039%
Greggs PLCGreggs PLC17,934NS0.006039%
Aker ASAAker ASA3,942NS0.006023%
Grainger PLCGrainger PLC147,992NS0.00601%
Sonae SGPS SASonae SGPS SA160,212NS0.006004%
Rail Vikas Nigam LtdRail Vikas Nigam Ltd109,587NS0.006002%
Micro-Star International Co LtdMicro-Star International Co Ltd127,521NS0.005996%
Porto Seguro SAPorto Seguro SA37,200NS0.005976%
Keihan Holdings Co LtdKeihan Holdings Co Ltd17,100NS0.005971%
JB Chemicals & Pharmaceuticals LtdJB Chemicals & Pharmaceuticals Ltd16,805NS0.005966%
Boardwalk Real Estate Investment TrustBoardwalk Real Estate Investment Trust7,880NS0.005946%
Nippon Life India Asset Management LtdNippon Life India Asset Management Ltd36,874NS0.005944%
Greencore Group PLCGreencore Group PLC103,491NS0.005943%
Nippon Kayaku Co LtdNippon Kayaku Co Ltd29,400NS0.005938%
DGB Financial Group IncDGB Financial Group Inc29,440NS0.005921%
Juroku Financial Group IncJuroku Financial Group Inc5,700NS0.005904%
Rorze CorpRorze Corp17,700NS0.005903%
Taikisha LtdTaikisha Ltd14,900NS0.005891%
ZhongAn Online P&C Insurance Co LtdZhongAn Online P&C Insurance Co Ltd191,400NS0.005882%
Danieli & C Officine Meccaniche SpADanieli & C Officine Meccaniche SpA6,714NS0.005878%
Amber Enterprises India LtdAmber Enterprises India Ltd4,248NS0.005865%
Co-Tech Development CorpCo-Tech Development Corp41,000NS0.005857%
NCSoft CorpNCSoft Corp2,319NS0.005854%
Simplo Technology Co LtdSimplo Technology Co Ltd35,000NS0.005845%
Redington LtdRedington Ltd119,912NS0.005827%
Denka Co LtdDenka Co Ltd15,700NS0.005817%
DO & CO AGDO & CO AG1,446NS0.005817%
Gland Pharma LtdGland Pharma Ltd18,398NS0.005816%
MBUMFMabuchi Motor Co Ltd31,400NS0.005816%
CRRC Corp LtdCRRC Corp Ltd403,115NS0.005814%
Karur Vysya Bank Ltd/TheKarur Vysya Bank Ltd/The102,711NS0.005799%
Voltronic Power Technology CorpVoltronic Power Technology Corp12,505NS0.005788%
GN Store Nord ASGN Store Nord AS24,931NS0.005782%
Jollibee Foods CorpJollibee Foods Corp98,820NS0.005776%
Billerud AktiebolagBillerud Aktiebolag40,232NS0.005774%
DB HiTek Co LtdDB HiTek Co Ltd5,497NS0.005773%
Basic-Fit NVBasic-Fit NV9,870NS0.005772%
Miura Co LtdMiura Co Ltd17,800NS0.005772%
ARE Holdings IncARE Holdings Inc12,600NS0.005771%
Mizuho Leasing Co LtdMizuho Leasing Co Ltd37,400NS0.005759%
Jenoptik AGJenoptik AG11,071NS0.005755%
Bachem Holding AGBachem Holding AG4,735NS0.00575%
Laboratorios Farmaceuticos Rovi SALaboratorios Farmaceuticos Rovi SA3,652NS0.005748%
Nine Dragons Paper Holdings LtdNine Dragons Paper Holdings Ltd324,000NS0.005736%
Fabege ABFabege AB39,115NS0.005734%
Grupo Comercial Chedraui SA de CVGrupo Comercial Chedraui SA de CV56,800NS0.005732%
Investec LtdInvestec Ltd42,266NS0.005719%
Hansol Chemical Co LtdHansol Chemical Co Ltd1,548NS0.005717%
China Cinda Asset Management Co LtdChina Cinda Asset Management Co Ltd2,261,000NS0.005714%
Bank of East Asia Ltd/TheBank of East Asia Ltd/The186,800NS0.005713%
Canon Marketing Japan IncCanon Marketing Japan Inc8,100NS0.00571%
Cloud Music IncCloud Music Inc18,400NS0.00571%
Amplifon SpAAmplifon SpA23,388NS0.005709%
Taiwan High Speed Rail CorpTaiwan High Speed Rail Corp419,000NS0.005707%
New Issuer: BB Company ID:71235362New Issuer: BB Company ID:7123536211,448NS0.005703%
Sino-American Silicon Products IncSino-American Silicon Products Inc97,000NS0.005701%
Shenzhen Inovance Technology Co LtdShenzhen Inovance Technology Co Ltd34,095NS0.005698%
Reliance Worldwide Corp LtdReliance Worldwide Corp Ltd152,041NS0.005672%
Magyar Telekom Telecommunications PLCMagyar Telekom Telecommunications PLC53,080NS0.005665%
Taiwan Glass Industry CorpTaiwan Glass Industry Corp187,000NS0.005664%
Nippon Shinyaku Co LtdNippon Shinyaku Co Ltd10,900NS0.005663%
Volvo Car ABVolvo Car AB131,549NS0.005655%
Inner Mongolia Yili Industrial Group Co LtdInner Mongolia Yili Industrial Group Co Ltd94,500NS0.005654%
United Laboratories International Holdings Ltd/TheUnited Laboratories International Holdings Ltd/The216,000NS0.005652%
Haitian International Holdings LtdHaitian International Holdings Ltd111,000NS0.005645%
Kobayashi Pharmaceutical Co LtdKobayashi Pharmaceutical Co Ltd9,600NS0.005636%
Solaria Energia y Medio Ambiente SASolaria Energia y Medio Ambiente SA13,810NS0.005634%
Dai-Dan Co LtdDai-Dan Co Ltd15,300NS0.005634%
DSRNYDiaSorin SpA4,262NS0.005629%
XTB SAXTB SA14,344NS0.005622%
Hanwa Co LtdHanwa Co Ltd6,200NS0.005597%
Aster DM Healthcare LtdAster DM Healthcare Ltd49,335NS0.005594%
Crompton Greaves Consumer Electricals LtdCrompton Greaves Consumer Electricals Ltd125,006NS0.005585%
Travis Perkins PLCTravis Perkins PLC37,857NS0.005585%
China Construction Bank CorpChina Construction Bank Corp282,500NS0.005569%
Cementos Argos SACementos Argos SA111,378NS0.005559%
Zeon CorpZeon Corp25,800NS0.005559%
LG Chem LtdLG Chem Ltd2,525NS0.005558%
Veidekke ASAVeidekke ASA17,092NS0.005553%
Bank of IndiaBank of India182,056NS0.005552%
D&D PharmaTech IncD&D PharmaTech Inc5,512NS0.005541%
Manappuram Finance LtdManappuram Finance Ltd112,945NS0.00553%
Harmonic Drive Systems IncHarmonic Drive Systems Inc12,100NS0.00553%
Resorttrust IncResorttrust Inc28,300NS0.005526%
Alm Brand A/SAlm Brand A/S135,109NS0.005525%
InnoCare Pharma LtdInnoCare Pharma Ltd227,000NS0.005519%
SF Holding Co LtdSF Holding Co Ltd63,400NS0.005508%
Oracle Financial Services Software LtdOracle Financial Services Software Ltd4,570NS0.005504%
Ocado Group PLCOcado Group PLC122,950NS0.005501%

SEC N-PORT snapshot as of .

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.