N-CSR 1 interequity_final.htm interequity_final.htm - Generated by SEC Publisher for SEC Filing

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT
OF
REGISTERED MANAGEMENT INVESTMENT COMPANIES

 

Investment Company Act file number:  811-05972

 

Name of Registrant:

Vanguard International Equity Index Funds

 

Address of Registrant:

P.O. Box 2600
  Valley Forge, PA 19482

 

Name and address of agent for service:

Anne E. Robinson, Esquire
  P.O. Box 876
  Valley Forge, PA 19482

 

Registrant’s telephone number, including area code: (610) 669-1000

 

Date of fiscal year end: October 31

 

 

Date of reporting period: November 1, 2016 – October 31, 2017

 

Item 1: Reports to Shareholders

 

 



Annual Report | October 31, 2017

Vanguard International Stock Index Funds

Vanguard European Stock Index Fund

Vanguard Pacific Stock Index Fund


 

Vanguard’s Principles for Investing Success

We want to give you the best chance of investment success. These principles, grounded in Vanguard’s research and experience, can put you on the right path.

Goals. Create clear, appropriate investment goals.

Balance. Develop a suitable asset allocation using broadly diversified funds. Cost. Minimize cost.

Discipline. Maintain perspective and long-term discipline.

A single theme unites these principles: Focus on the things you can control.

We believe there is no wiser course for any investor.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 4
European Stock Index Fund. 7
Pacific Stock Index Fund. 32
Your Fund’s After-Tax Returns. 57
About Your Fund’s Expenses. 58
Glossary. 60

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises
or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this
report. Of course, the risks of investing in your fund are spelled out in the prospectus.
See the Glossary for definitions of investment terms used in this report.
About the cover: Nautical images have been part of Vanguard’s rich heritage since its start in 1975. For an
incoming ship, a lighthouse offers a beacon and safe path to shore. You can similarly depend on Vanguard to put
you first––and light the way––as you strive to meet your financial goals. Our client focus and low costs,
stemming from our unique ownership structure, assure that your interests are paramount.


 

Your Fund’s Performance at a Glance

• Global stocks rallied over the 12 months ended October 31, 2017, amid steady economic growth, accommodative monetary policies, and benign inflation.

• For the fiscal year, Vanguard European Stock Index Fund returned 27.77% and Vanguard Pacific Stock Index Fund returned 21.71%. (All returns are for Investor Shares.) Both funds’ returns tracked those of their benchmark indexes. The European fund modestly bested the average return of its peer group, while the Pacific fund slightly trailed its peer average.

• Nearly all European markets returned 22% or more. The rising value of the euro and British pound against the U.S. dollar boosted returns for U.S. investors. Among sectors, financials and industrials had the biggest impact on results.

• In the Pacific region, South Korean stocks soared about 37%, Japan’s market rose nearly 20%, and Australian stocks returned nearly 18%. Companies in the financial and consumer goods arenas contributed most.

Total Returns: Fiscal Year Ended October 31, 2017  
  Total
  Returns
Vanguard European Stock Index Fund  
Investor Shares 27.77%
FTSE Europe ETF Shares  
Market Price 28.17
Net Asset Value 27.98
Admiral™ Shares 27.99
Institutional Shares 28.00
Institutional Plus Shares 28.03
FTSE Developed Europe All Cap Index 27.96
European Region Funds Average 26.23
European Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

1


 

  Total
  Returns
Vanguard Pacific Stock Index Fund  
Investor Shares 21.71%
FTSE Pacific ETF Shares  
Market Price 21.63
Net Asset Value 21.89
Admiral Shares 21.90
Institutional Shares 21.91
FTSE Developed Asia Pacific All Cap Index 21.11
Japan/Pacific Region Funds Average 22.38

Japan/Pacific Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.
Admiral Shares carry lower expenses and are available to investors who meet certain account-balance requirements. Institutional Shares
and Institutional Plus Shares are available to certain institutional investors who meet specific administrative, service, and account-size
criteria. The Vanguard ETF® Shares shown are traded on the NYSE Arca exchange and are available only through brokers. The table
provides ETF returns based on both the NYSE Arca market price and the net asset value for a share. U.S. Pat. Nos. 6,879,964; 7,337,138;
7,720,749; 7,925,573; 8,090,646; and 8,417,623.
For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock
Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about
how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the
Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market
price was above or below the NAV.

 

Total Returns: Ten Years Ended October 31, 2017  
  Average
  Annual Return
European Stock Index Fund Investor Shares 0.86%
Spliced European Stock Index 0.88
European Region Funds Average 1.08
For a benchmark description, see the Glossary.  
European Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.  
Pacific Stock Index Fund Investor Shares 2.27%
Spliced Pacific Stock Index 2.42
Japan/Pacific Region Funds Average 1.82
For a benchmark description, see the Glossary.
Japan/Pacific Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

The figures shown represent past performance, which is not a guarantee of future results. (Current
performance may be lower or higher than the performance data cited. For performance data current to the
most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment
returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more
or less than their original cost.

2


 

Expense Ratios            
Your Fund Compared With Its Peer Group          
  Investor ETF Admiral Institutional Institutional Peer Group
  Shares Shares Shares Shares Plus Shares Average
European Stock Index            
Fund 0.26% 0.10% 0.10% 0.08% 0.07% 1.48%
Pacific Stock Index Fund 0.26 0.10 0.10 0.08 1.05

 

The fund expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year.
For the fiscal year ended October 31, 2017, the funds’ expense ratios were: for the European Stock Index Fund, 0.26% for Investor Shares,
0.10% for FTSE Europe ETF Shares, 0.10% for Admiral Shares, 0.08% for Institutional Shares, and 0.07% for Institutional Plus Shares; and
for the Pacific Stock Index Fund, 0.26% for Investor Shares, 0.10% for FTSE Pacific ETF Shares, 0.10% for Admiral Shares, and 0.08% for
Institutional Shares. The peer-group expense ratio is derived from data provided by Lipper, a Thomson Reuters Company, and captures
information through year-end 2016.

Peer groups: For the European Stock Index Fund, European Region Funds; and for the Pacific Stock Index Fund, Japan/Pacific Region
Funds.

3


 

Chairman’s Perspective


Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

When I find outstanding products or services, I’m likely to be loyal to them. And my loyalty usually gets rewarded as I experience consistently high quality––whether it’s from a favorite restaurant or a favorite author. What’s past, in most cases, is prologue.

As tempting as it is to apply this rationale to investing—for example, if technology stocks have done well this year, they’re bound to do well the next—it’s not all that helpful and can actually be counterproductive. You’ve heard it many times: Past performance cannot be used to predict future returns.

Taking a new approach

The caution about past performance is so familiar that investors are apt to treat it as mere background noise. That’s why past-performance bias merited a fresh look from Vanguard’s Investment Strategy Group, which tackled the issue last year in a research paper. (I encourage you to read the full paper, Reframing Investor Choices: Right Mindset, Wrong Market, at vanguard.com/research.)

Our strategists were hardly the first to delve into the topic, but they approached it in a new way. They started with the premise that it’s perfectly understandable for investors to lean heavily on past performance, because that works well in many areas of life. After all, as the paper describes, in lots of other industries and realms, performance from one time period

4


 

to another is extremely consistent. The researchers looked at everything from cars to fine restaurants to heart surgeons, and in all these examples, past performance was a good predictor of later outcomes.

It’s different with investing

In a nutshell, our brains typically are rewarded and our satisfaction is boosted when we use past performance as a guide for navigating decisions, big and small. But when applied to investing, this method breaks down.

Why? Among other reasons, top-performing asset classes one year tend not to repeat as leaders the next. Strong past performance leads to higher valuations, making an investment, all else being equal, less attractive in the future. The data are quite overwhelming in this regard.

By allowing past performance to inform their decisions, individual and institutional investors inadvertently end up as momentum investors, putting them on a treadmill of buying high and selling low.

A path to better decision-making

Of course, many investors are already aware of the pitfalls of projecting past performance into the future. The real question is, what can we all do about it? What does it take to go from having a general awareness to actually changing our behavior?

Market Barometer      
  Average Annual Total Returns
  Periods Ended October 31, 2017
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) 23.67% 10.58% 15.18%
Russell 2000 Index (Small-caps) 27.85 10.12 14.49
Russell 3000 Index (Broad U.S. market) 23.98 10.53 15.12
FTSE All-World ex US Index (International) 23.48 6.12 7.67
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 0.90% 2.40% 2.04%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 2.19 3.04 3.00
Citigroup Three-Month U.S. Treasury Bill Index 0.71 0.31 0.20
 
CPI      
Consumer Price Index 2.04% 1.28% 1.29%

 

5


 

Acknowledging that such change isn’t easy, our strategists offered a few ideas for reframing how investors approach their decisions. These recommendations were targeted at advisors working with clients, but they apply equally to individuals and institutions:

• Educate yourself. The more investors understand why a method that works so well in other areas of life—relying on past performance to drive decisions—doesn’t carry over to investing, the better off they’ll be.

• Be disciplined. The bias toward past performance is ingrained in everybody, professionals included, and shifting away from it can be difficult. But the long-term benefits make the effort worthwhile.

• Focus on what you can control. It’s always most constructive for investors to concentrate on what’s actually within their control, such as setting goals, following long-term portfolio construction principles, selecting low-cost investments, and rebalancing periodically.

Here’s to keeping the past in the rearview mirror. And, as always, thank you for investing with Vanguard.

Sincerely,

 

 

F. William McNabb III
Chairman and Chief Executive Officer
November 14, 2017

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European Stock Index Fund

Fund Profile
As of October 31, 2017

Share-Class Characteristics          
  Investor FTSE Europe Admiral Institutional Institutional
  Shares ETF Shares Shares Shares Plus Shares
Ticker Symbol VEURX VGK VEUSX VESIX VEUPX
Expense Ratio1 0.26% 0.10% 0.10% 0.08% 0.07%

 

Portfolio Characteristics    
    FTSE FTSE
    Developed Global
    Europe All All Cap ex
    Cap US
  Fund Index Index
Number of Stocks 1,282 1,258 5,902
Median Market Cap $42.1B $42.2B $26.5B
Price/Earnings Ratio 17.9x 17.9x 16.1x
Price/Book Ratio 1.9x 1.9x 1.7x
Return on Equity 12.0% 12.0% 12.0%
Earnings Growth Rate 1.8% 1.8% 7.2%
Dividend Yield 3.0% 3.0% 2.7%
Turnover Rate 4%
Short-Term Reserves -0.3%

 

Sector Diversification (% of equity exposure)
    FTSE FTSE
    Developed Global
    Europe All All Cap ex
    Cap US
  Fund Index Index
Basic Materials 7.8% 7.8% 7.9%
Consumer Goods 18.2 18.2 16.2
Consumer Services 6.7 6.7 8.1
Financials 22.6 22.7 25.6
Health Care 11.1 11.0 7.1
Industrials 15.5 15.5 15.4
Oil & Gas 6.7 6.7 6.2
Technology 4.2 4.2 6.5
Telecommunications 3.5 3.5 3.8
Utilities 3.7 3.7 3.2

Sector categories are based on the Industry Classification
Benchmark (“ICB”), except for the “Other” category (if applicable),
which includes securities that have not been provided an ICB
classification as of the effective reporting period.

 

Volatility Measures    
  Spliced  
  European FTSE Global
  Stock All Cap ex US
  Index Index
R-Squared 0.99 0.87
Beta 0.95 0.97
These measures show the degree and timing of the fund’s
fluctuations compared with the indexes over 36 months.

 

Ten Largest Holdings (% of total net assets)
Royal Dutch Shell plc Integrated Oil & Gas 2.5%
Nestle SA Food Products 2.5
HSBC Holdings plc Banks 1.9
Novartis AG Pharmaceuticals 1.8
Roche Holding AG Pharmaceuticals 1.5
British American    
Tobacco plc Tobacco 1.5
Unilever Personal Products 1.4
BP plc Integrated Oil & Gas 1.2
TOTAL SA Integrated Oil & Gas 1.2
Siemens AG Diversified Industrials 1.0
Top Ten   16.5%
The holdings listed exclude any temporary cash investments and equity index products.

 

1 The expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year. For the
fiscal year ended October 31, 2017, the expense ratios were 0.26% for Investor Shares, 0.10% for FTSE Europe ETF Shares, 0.10% for Admiral
Shares, 0.08% for Institutional Shares, and 0.07% for Institutional Plus Shares.

7


 

European Stock Index Fund

Market Diversification (% of equity exposure)
    FTSE FTSE
    Developed Global
    Europe All All Cap ex
    Cap US
  Fund Index Index
Europe      
United Kingdom 28.5% 28.6% 12.4%
France 15.1 15.1 6.6
Germany 15.0 14.9 6.5
Switzerland 12.3 12.2 5.3
Netherlands 5.4 5.4 2.3
Spain 5.1 5.2 2.2
Sweden 5.1 5.1 2.2
Italy 4.3 4.3 1.9
Denmark 2.9 2.9 1.3
Belgium 2.0 2.0 0.9
Finland 1.7 1.7 0.7
Norway 1.3 1.3 0.6
Other 1.3 1.3 0.7
Subtotal 100.0% 100.0% 43.6%
Pacific 0.0% 0.0% 29.6%
Emerging Markets 0.0% 0.0% 19.8%
North America 0.0% 0.0% 6.6%
Middle East 0.0% 0.0% 0.4%

 

8


 

European Stock Index Fund

Performance Summary

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

Cumulative Performance: October 31, 2007, Through October 31, 2017
Initial Investment of $10,000

 

    Average Annual Total Returns  
    Periods Ended October 31, 2017  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
  European Stock Index Fund Investor        
  Shares 27.77% 8.42% 0.86% $10,896
• • • • • • • • Spliced European Stock Index 27.96 8.62 0.88 10,918
 
 
– – – – European Region Funds Average 26.23 8.90 1.08 11,130
  FTSE Global All Cap ex US Index 23.52 7.79 1.40 11,490
For a benchmark description, see the Glossary.
European Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
FTSE Europe ETF Shares Net Asset Value 27.98% 8.59% 1.01% $11,052
Spliced European Stock Index 27.96 8.62 0.88 10,918
FTSE Global All Cap ex US Index 23.52 7.79 1.40 11,490

 

See Financial Highlights for dividend and capital gains information.

9


 

European Stock Index Fund

  Average Annual Total Returns  
  Periods Ended October 31, 2017  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
European Stock Index Fund Admiral Shares 27.99% 8.58% 1.00% $11,043
Spliced European Stock Index 27.96 8.62 0.88 10,918
FTSE Global All Cap ex US Index 23.52 7.79 1.40 11,490

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
European Stock Index Fund Institutional        
Shares 28.00% 8.61% 1.03% $5,540,558
 
Spliced European Stock Index 27.96 8.62 0.88 5,458,888
 
FTSE Global All Cap ex US Index 23.52 7.79 1.40 5,744,800

 

    Since Final Value
  One Inception of a $100,000,000
  Year (12/5/2014) Investment
European Stock Index Fund Institutional Plus      
Shares 28.03% 5.45% $116,662,818
Spliced European Stock Index 27.96 5.38 116,436,543
FTSE Global All Cap ex US Index 23.52 6.60 120,401,306
"Since Inception" performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: October 31, 2007, Through October 31, 2017  
  One Five Ten
  Year Years Years
FTSE Europe ETF Shares Market Price 28.17% 50.90% 10.25%
FTSE Europe ETF Shares Net Asset Value 27.98 51.02 10.52
Spliced European Stock Index 27.96 51.19 9.18

 

10


 

European Stock Index Fund

Fiscal-Year Total Returns (%): October 31, 2007, Through October 31, 2017

 

For a benchmark description, see the Glossary.

Average Annual Total Returns: Periods Ended September 30, 2017
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Ten
  Date Year Years Years
Investor Shares 6/18/1990 22.91% 8.67% 1.30%
FTSE Europe ETF Shares 3/4/2005      
Market Price   23.19 8.87 1.43
Net Asset Value   23.14 8.85 1.44
Admiral Shares 8/13/2001 23.14 8.84 1.43
Institutional Shares 5/15/2000 23.16 8.86 1.47
Institutional Plus Shares 12/5/2014 23.18 5.451
1 Return since inception.

 

11


 

European Stock Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2017

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website. Forms N-Q may also be reviewed and copied at the SEC’s Public Reference Room (see the back cover of this report for further information).

    Market Percentage
    Value of Net
  Shares ($000) Assets
Common Stocks      
Austria †   140,223 0.6%
 
Belgium      
Anheuser-Busch InBev SA/NV 1,731,354 212,303 0.9%
Belgium—Other †   267,832 1.1%
    480,135 2.0%
Denmark      
Novo Nordisk A/S Class B 4,009,848 199,646 0.8%
1 Denmark—Other †   494,818 2.0%
    694,464 2.8%
 
Finland †   411,281 1.7%
 
France      
TOTAL SA 5,033,245 280,547 1.2%
Sanofi 2,489,382 235,714 1.0%
BNP Paribas SA 2,461,481 192,120 0.8%
LVMH Moet Hennessy Louis Vuitton SE 567,196 169,176 0.7%
AXA SA 4,312,538 130,190 0.5%
Airbus SE 1,244,448 127,701 0.5%
Danone SA 1,333,614 108,999 0.5%
Schneider Electric SE 1,205,013 105,875 0.4%
^ Vinci SA 1,057,609 103,623 0.4%
Euler Hermes Group 35,536 4,123 0.0%
1 France—Other †   2,168,865 9.0%
    3,626,933 15.0%
Germany      
Siemens AG 1,733,696 249,018 1.0%
Bayer AG 1,887,159 245,482 1.0%

 

12


 

European Stock Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
Allianz SE 1,017,871 237,634 1.0%
SAP SE 2,072,303 236,789 1.0%
BASF SE 2,087,152 228,240 0.9%
Daimler AG 2,196,284 183,361 0.8%
Deutsche Telekom AG 7,362,321 133,314 0.6%
adidas AG 450,359 100,244 0.4%
1 Germany—Other †   1,973,081 8.1%
    3,587,163 14.8%
 
2Ireland †   102,560 0.4%
 
Italy      
Enel SPA 17,731,580 109,967 0.5%
1 Italy—Other †   932,017 3.8%
    1,041,984 4.3%
Netherlands      
Unilever NV 3,489,346 202,698 0.8%
ING Groep NV 8,863,265 163,790 0.7%
ASML Holding NV 716,656 129,307 0.5%
1 Netherlands—Other †   789,255 3.3%
    1,285,050 5.3%
 
1Norway †   307,088 1.3%
 
Portugal †   76,574 0.3%
 
Spain      
Banco Santander SA 36,007,342 244,108 1.0%
Banco Bilbao Vizcaya Argentaria SA 15,191,223 132,841 0.6%
Telefonica SA 10,012,347 104,985 0.4%
Iberdrola SA 12,699,882 102,629 0.4%
Siemens Gamesa Renewable Energy SA 517,285 7,501 0.0%
* Banco Santander Rights Temporary Line 253,572 1,720 0.0%
1 Spain—Other †   641,000 2.7%
    1,234,784 5.1%
 
1Sweden †   1,213,475 5.0%
 
Switzerland      
Nestle SA 7,069,923 594,853 2.5%
Novartis AG 5,363,006 442,337 1.8%
Roche Holding AG 1,601,781 370,221 1.5%
UBS Group AG 7,912,764 134,621 0.6%
ABB Ltd. 4,393,310 114,731 0.5%
Cie Financiere Richemont SA 1,159,347 106,876 0.5%
Zurich Insurance Group AG 342,107 104,399 0.4%
Roche Holding AG (Bearer) 40,966 9,520 0.0%
1 Switzerland—Other †   1,070,992 4.4%
    2,948,550 12.2%
 
United Kingdom      
HSBC Holdings plc 45,744,964 446,709 1.9%
British American Tobacco plc 5,052,272 326,429 1.4%

 

13


 

European Stock Index Fund        
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
BP plc   43,930,643 297,969 1.2%
Royal Dutch Shell plc Class A   8,756,455 275,654 1.2%
Royal Dutch Shell plc Class B   8,546,723 275,184 1.1%
GlaxoSmithKline plc   11,018,091 197,747 0.8%
AstraZeneca plc   2,887,736 195,389 0.8%
Diageo plc   5,634,071 192,399 0.8%
Vodafone Group plc   60,750,078 173,767 0.7%
Unilever plc   2,688,686 152,380 0.6%
Lloyds Banking Group plc   162,673,933 147,454 0.6%
Prudential plc   5,894,760 144,690 0.6%
Rio Tinto plc   2,710,485 128,100 0.5%
Glencore plc   26,549,560 128,055 0.5%
Reckitt Benckiser Group plc   1,419,174 126,970 0.5%
Shire plc   2,029,726 99,976 0.4%
Royal Dutch Shell plc Class A (Amsterdam Shares)   1,458,521 45,926 0.2%
British American Tobacco plc ADR   161,443 10,397 0.1%
1, 2 United Kingdom—Other †     3,482,545 14.4%
      6,847,740 28.3%
Total Common Stocks (Cost $25,749,890)     23,998,004 99.1%3
 
  Coupon      
Temporary Cash Investments        
Money Market Fund        
4,5 Vanguard Market Liquidity Fund 1.246% 4,819,471 481,995 2.0%
 
6U.S. Government and Agency Obligations†     25,945 0.1%
Total Temporary Cash Investments (Cost $508,004)     507,940 2.1%3
Total Investments (Cost $26,257,894)     24,505,944 101.2%
 
      Amount  
      ($000)  
Other Assets and Liabilities        
Other Assets        
Investment in Vanguard     1,481  
Receivables for Investment Securities Sold     4  
Receivables for Accrued Income     87,299  
Receivables for Capital Shares Issued     5,686  
Variation Margin Receivable—Futures Contracts     1,030  
Unrealized Appreciation—Forward Currency Contracts     1,799  
Other Assets7     14,252  
Total Other Assets     111,551 0.5%
Liabilities        
Payables for Investment Securities Purchased     (288)  
Collateral for Securities on Loan     (382,738)  
Payables for Capital Shares Redeemed     (3,678)  
Payables to Vanguard     (13,932)  
Unrealized Depreciation—Forward Currency Contracts     (4,884)  
Other Liabilities     (94)  
Total Liabilities     (405,614) (1.7%)
Net Assets     24,211,881 100.0%

 

14


 

European Stock Index Fund  
 
 
 
At October 31, 2017, net assets consisted of:  
  Amount
  ($000)
Paid-in Capital 26,480,194
Undistributed Net Investment Income 28,810
Accumulated Net Realized Losses (547,157)
Unrealized Appreciation (Depreciation)  
Investment Securities (1,751,950)
Futures Contracts 7,092
Forward Currency Contracts (3,085)
Foreign Currencies (2,023)
Net Assets 24,211,881
 
 
Investor Shares—Net Assets  
Applicable to 22,279,546 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 700,545
Net Asset Value Per Share—Investor Shares $31.44
 
 
ETF Shares—Net Assets  
Applicable to 305,410,051 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 17,879,584
Net Asset Value Per Share—ETF Shares $58.54
 
 
Admiral Shares—Net Assets  
Applicable to 64,915,959 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 4,753,681
Net Asset Value Per Share—Admiral Shares $73.23

 

15


 

European Stock Index Fund  
 
 
 
  Amount
  ($000)
Institutional Shares—Net Assets  
Applicable to 24,197,457 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 755,649
Net Asset Value Per Share—Institutional Shares $31.23
 
Institutional Plus Shares—Net Assets  
Applicable to 877,727 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 122,422
Net Asset Value Per Share—Institutional Plus Shares $139.48

 

See Note A in Notes to Financial Statements.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $362,832,000.
* Non-income-producing security.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer,
represent 1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may
be sold in transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate
value of these securities was $388,105,000, representing 1.6% of net assets.
2 Security value determined using significant unobservable inputs.
3 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect
to futures investments, the fund’s effective common stock and temporary cash investment positions represent 99.9% and 1.3%,
respectively, of net assets.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown
is the 7-day yield.
5 Includes $382,738,000 of collateral received for securities on loan.
6 Securities with a value of $12,427,000 have been segregated as initial margin for open futures contracts.
7 Cash of $6,190,000 has been segregated as collateral for open forward currency contracts.
ADR—American Depositary Receipt.

16


 

European Stock Index Fund            
 
 
Derivative Financial Instruments Outstanding as of Period End      
 
Futures Contracts            
          ($000)
            Value and
      Number of   Unrealized
      Long (Short) Notional Appreciation
    Expiration Contracts Amount (Depreciation)
Long Futures Contracts            
Dow Jones EURO STOXX 50 Index December 2017   3,061 131,155 6,232
FTSE 100 Index December 2017   618 61,284 860
            7,092
 
Unrealized appreciation (depreciation) on open futures contracts is required to be treated as realized
gain (loss) for tax purposes.            
 
Forward Currency Contracts            
            Unrealized
  Contract         Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
Barclays Bank plc 12/20/17 EUR 145,409 USD 174,699 (4,815)
Toronto-Dominion Bank 12/20/17 GBP 60,092 USD 80,011 (69)
BNP Paribas 12/20/17 USD 46,439 EUR 38,524 1,431
BNP Paribas 12/20/17 USD 19,369 GBP 14,283 368
            (3,085)
EUR—Euro.
GBP—British pound.
USD—U.S. dollar.

 

Unrealized appreciation (depreciation) on open forward currency contracts is treated as realized gain (loss) for tax purposes.

At October 31, 2017, a counterparty had deposited in a segregated account securities with a value of $2,302,000 in connection with open forward currency contracts.

See accompanying Notes, which are an integral part of the Financial Statements.

17


 

European Stock Index Fund

Statement of Operations

  Year Ended
  October 31, 2017
  ($000)
Investment Income  
Income  
Dividends1 572,844
Interest 2 848
Securities Lending—Net 13,683
Total Income 587,375
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 2,661
Management and Administrative—Investor Shares 1,343
Management and Administrative—ETF Shares 8,145
Management and Administrative—Admiral Shares 2,527
Management and Administrative—Institutional Shares 322
Management and Administrative—Institutional Plus Shares 46
Marketing and Distribution—Investor Shares 115
Marketing and Distribution—ETF Shares 729
Marketing and Distribution—Admiral Shares 259
Marketing and Distribution—Institutional Shares 15
Marketing and Distribution—Institutional Plus Shares 2
Custodian Fees 2,397
Auditing Fees 49
Shareholders’ Reports and Proxy—Investor Shares 98
Shareholders’ Reports and Proxy—ETF Shares 1,063
Shareholders’ Reports and Proxy—Admiral Shares 187
Shareholders’ Reports and Proxy—Institutional Shares 6
Shareholders’ Reports and Proxy—Institutional Plus Shares
Trustees’ Fees and Expenses 15
Total Expenses 19,979
Net Investment Income 567,396
Realized Net Gain (Loss)  
Investment Securities Sold 2 (28,493)
Futures Contracts 19,699
Foreign Currencies and Forward Currency Contracts 9,072
Realized Net Gain (Loss) 278
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 2 3,957,765
Futures Contracts 7,159
Foreign Currencies and Forward Currency Contracts 3,523
Change in Unrealized Appreciation (Depreciation) 3,968,447
Net Increase (Decrease) in Net Assets Resulting from Operations 4,536,121
1 Dividends are net of foreign withholding taxes of $38,308,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund
were $679,000, $45,000, and ($64,000), respectively.
See accompanying Notes, which are an integral part of the Financial Statements.

 

18


 

European Stock Index Fund

Statement of Changes in Net Assets

  Year Ended October 31,
  2017 2016
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 567,396 648,072
Realized Net Gain (Loss) 278 (249,917)
Change in Unrealized Appreciation (Depreciation) 3,968,447 (1,807,591)
Net Increase (Decrease) in Net Assets Resulting from Operations 4,536,121 (1,409,436)
Distributions    
Net Investment Income    
Investor Shares (17,979) (21,135)
ETF Shares (409,188) (453,005)
Admiral Shares (116,545) (129,984)
Institutional Shares (18,620) (24,805)
Institutional Plus Shares (3,247) (3,926)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Institutional Plus Shares
Total Distributions (565,579) (632,855)
Capital Share Transactions    
Investor Shares (52,062) (53,855)
ETF Shares 4,559,972 (3,566,616)
Admiral Shares 270,199 (133,939)
Institutional Shares 40,847 (213,685)
Institutional Plus Shares (710) (121,144)
Net Increase (Decrease) from Capital Share Transactions 4,818,246 (4,089,239)
Total Increase (Decrease) 8,788,788 (6,131,530)
Net Assets    
Beginning of Period 15,423,093 21,554,623
End of Period1 24,211,881 15,423,093
1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $28,810,000 and $19,219,000.

 

See accompanying Notes, which are an integral part of the Financial Statements.

19


 

European Stock Index Fund

Financial Highlights

Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $25.27 $27.98 $29.05 $30.42 $24.69
Investment Operations          
Net Investment Income . 8271 .881 .866 1.2352 .830
Net Realized and Unrealized Gain (Loss)          
on Investments 6.109 (2.738) (1.058) (1.380) 5.800
Total from Investment Operations 6.936 (1.857) (.192) (.145) 6.630
Distributions          
Dividends from Net Investment Income (.766) (. 853) (. 878) (1.225) (. 900)
Distributions from Realized Capital Gains
Total Distributions (.766) (. 853) (. 878) (1.225) (. 900)
Net Asset Value, End of Period $31.44 $25.27 $27.98 $29.05 $30.42
 
Total Return3 27.77% -6.63% -0.77% -0.73% 27.47%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $701 $608 $730 $782 $868
Ratio of Total Expenses to Average Net Assets 0.26% 0.26% 0.26% 0.26% 0.26%
Ratio of Net Investment Income to          
Average Net Assets 2.81% 3.35% 3.05% 4.12%2 3.02%
Portfolio Turnover Rate 4 4% 6% 13% 7% 10%

 

1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.299 and 0.97%,
respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc.
in February 2014.
3 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information
about any applicable account service fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

20


 

European Stock Index Fund

Financial Highlights

FTSE Europe ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $47.05 $52.09 $54.08 $56.64 $46.01
Investment Operations          
Net Investment Income 1.5671 1.717 1.691 2.3842 1.626
Net Realized and Unrealized Gain (Loss)          
on Investments 11.434 (5.094) (1.970) (2.577) 10.787
Total from Investment Operations 13.001 (3.377) (.279) (.193) 12.413
Distributions          
Dividends from Net Investment Income (1.511) (1.663) (1.711) (2.367) (1.783)
Distributions from Realized Capital Gains
Total Distributions (1.511) (1.663) (1.711) (2.367) (1.783)
Net Asset Value, End of Period $58.54 $47.05 $52.09 $54.08 $56.64
 
Total Return 27.98% -6.43% -0.62% -0.60% 27.67%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $17,880 $10,533 $15,578 $11,676 $12,061
Ratio of Total Expenses to Average Net Assets 0.10% 0.10% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 2.97% 3.51% 3.19% 4.26%2 3.16%
Portfolio Turnover Rate 3 4% 6% 13% 7% 10%

 

1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.556 and 0.97%,
respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc.
in February 2014.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

21


 

European Stock Index Fund

Financial Highlights

Admiral Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $58.85 $65.16 $67.64 $70.85 $57.54
Investment Operations          
Net Investment Income 2.0161 2.151 2.113 2.983 2 2.026
Net Realized and Unrealized Gain (Loss)          
on Investments 14.251 (6.379) (2.454) (3.233) 13.503
Total from Investment Operations 16.267 (4.228) (.341) (.250) 15.529
Distributions          
Dividends from Net Investment Income (1.887) (2.082) (2.139) (2.960) (2.219)
Distributions from Realized Capital Gains
Total Distributions (1.887) (2.082) (2.139) (2.960) (2.219)
Net Asset Value, End of Period $73.23 $58.85 $65.16 $67.64 $70.85
 
Total Return3 27.99% -6.48% -0.61% -0.61% 27.64%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $4,754 $3,609 $4,137 $3,949 $3,340
Ratio of Total Expenses to Average Net Assets 0.10% 0.10% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 2.97% 3.51% 3.19% 4.26%2 3.16%
Portfolio Turnover Rate 4 4% 6% 13% 7% 10%

 

1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.695 and 0.97%,
respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc.
in February 2014.
3 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information
about any applicable account service fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

22


 

European Stock Index Fund

Financial Highlights

Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $25.10 $27.79 $28.85 $30.21 $24.54
Investment Operations          
Net Investment Income . 8731 .921 .910 1.2822 .871
Net Realized and Unrealized Gain (Loss)          
on Investments 6.068 (2.719) (1.048) (1.371) 5.755
Total from Investment Operations 6.941 (1.798) (.138) (.089) 6.626
Distributions          
Dividends from Net Investment Income (. 811) (. 892) (. 922) (1.271) (. 956)
Distributions from Realized Capital Gains
Total Distributions (. 811) (. 892) (. 922) (1.271) (. 956)
Net Asset Value, End of Period $31.23 $25.10 $27.79 $28.85 $30.21
 
Total Return 28.00% -6.46% -0.58% -0.55% 27.66%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $756 $574 $867 $1,006 $901
Ratio of Total Expenses to Average Net Assets 0.08% 0.08% 0.09% 0.09% 0.09%
Ratio of Net Investment Income to          
Average Net Assets 2.99% 3.53% 3.22% 4.29%2 3.19%
Portfolio Turnover Rate 3 4% 6% 13% 7% 10%

 

1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.297 and 0.97%,
respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc.
in February 2014.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

23

 


 

European Stock Index Fund

Financial Highlights

Institutional Plus Shares          
  Year Year Dec. 5, Nov. 1, May 17,
  Ended Ended 2014 3 to 2013 to 20131 to
  Oct. 31, Oct. 31, Oct. 31, Mar. 17, Oct. 31,
For a Share Outstanding Throughout Each Period 2017 2016 2015 20142 2013
Net Asset Value, Beginning of Period $112.09 $124.09 $131.51 $126.52 $116.90
Investment Operations          
Net Investment Income 3.910 4 4.121 3.878 2.2535 2.257
Net Realized and Unrealized Gain (Loss)          
on Investments 27.110 (12.133) (7.151) 2.866 9.966
Total from Investment Operations 31.020 (8.012) (3.273) 5.119 12.223
Distributions          
Dividends from Net Investment Income (3.630) (3.988) (4.147) (.539) (2.603)
Distributions from Realized Capital Gains
Total Distributions (3.630) (3.988) (4.147) (.539) (2.603)
Net Asset Value, End of Period $139.48 $112.09 $124.09 $131.102 $126.52
 
Total Return 28.03% -6.45% -2.59% 4.06% 10.81%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $122 $99 $242 $110
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.08%6 0.08%6 0.08%6
Ratio of Net Investment Income to          
Average Net Assets 3.00% 3.54% 3.11%6 4.80%5,6 3.20%6
Portfolio Turnover Rate7 4% 6% 13% 7% 10%

 

1 Inception.
2 Net asset value as of March 17, 2014, on which date all shares were redeemed.
3 Recommencement of operations.
4 Calculated based on average shares outstanding.
5 Net investment income per share and the ratio of net investment income to average net assets include $1.242 and 0.97%,
respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc.
in February 2014.
6 Annualized.
7 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

24


 

European Stock Index Fund

Notes to Financial Statements

Vanguard European Stock Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. The fund offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, and Institutional Plus Shares. Investor Shares are available to any investor who meets the fund’s minimum purchase requirements. ETF Shares, known as Vanguard FTSE Europe ETF Shares, are listed for trading on NYSE Arca; they can be purchased and sold through a broker. Admiral Shares, Institutional Shares, and Institutional Plus Shares are designed for investors who meet certain administrative, service, and account-size criteria. Institutional Plus Shares were first issued May 17, 2013, and on March 17, 2014, all outstanding shares were redeemed. Institutional Plus Shares recommenced operations on December 5, 2014.

A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market-or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.

2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).

3. Futures and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the

25


 

European Stock Index Fund

underlying securities when futures are believed to be priced more attractively than the underlying securities. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract.

The fund also enters into forward currency contracts to provide the appropriate currency exposure related to any open futures contracts. The fund’s risks in using these contracts include movement in the values of the foreign currencies relative to the U.S. dollar and the ability of the counterparties to fulfill their obligations under the contracts. The fund mitigates its counterparty risk by entering into forward currency contracts only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. The master netting arrangements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate the forward currency contracts, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The forward currency contracts contain provisions whereby a counterparty may terminate open contracts if the fund’s net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any assets pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the forward currency contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

Futures contracts are valued at their quoted daily settlement prices. Forward currency contracts are valued at their quoted daily prices obtained from an independent third party, adjusted for currency risk based on the expiration date of each contract. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures or forward currency contracts.

During the year ended October 31, 2017, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period. The fund’s average investment in forward currency contracts represented 2% of net assets, based on the average of the notional amounts at each quarter-end during the period.

26


 

European Stock Index Fund

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2014–2017), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date.

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

The fund had no borrowings outstanding at October 31, 2017, or at any time during the period then ended.

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

27


 

European Stock Index Fund

Withholding taxes on foreign dividends and capital gains have been provided for in accordance with the fund’s understanding of the applicable countries’ tax rules and rates. The fund has filed tax reclaims for previously withheld taxes on dividends earned in certain European Union countries. These filings are subject to various administrative and judicial proceedings within these countries. Such tax reclaims received during the year, if any, are included in dividend income. No other amounts for additional tax reclaims are reflected in the financial statements due to the uncertainty as to the ultimate resolution of proceedings, the likelihood of receipt of these reclaims, and the potential timing of payment.

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), shareholder reporting, and the proxy. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

B. In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2017, the fund had contributed to Vanguard capital in the amount of $1,481,000, representing 0.01% of the fund’s net assets and 0.59% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

C. Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

Level 1Quoted prices in active markets for identical securities.
Level 2Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are
noted on the Statement of Net Assets.

28


 

European Stock Index Fund

The following table summarizes the market value of the fund’s investments as of October 31, 2017, based on the inputs used to value them.

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks 21,035 23,976,969
Temporary Cash Investments 481,995 25,945
Futures Contracts—Assets1 1,030
Forward Currency Contracts—Assets 1,799
Forward Currency Contracts—Liabilities (4,884)
Total 504,060 23,999,829
1 Represents variation margin on the last day of the reporting period.

 

D. At October 31, 2017, the fair values of derivatives were reflected in the Statement of Net Assets as follows:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Statement of Net Assets Caption ($000) ($000) ($000)
Variation Margin Receivable—Futures Contracts 1,030   1,030
Unrealized Appreciation—Forward Currency Contracts 1,799 1,799
Unrealized Depreciation—Forward Currency Contracts (4,884) (4,884)

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2017, were:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts 19,699 19,699
Forward Currency Contracts 4,038 4,038
Realized Net Gain (Loss) on Derivatives 19,699 4,038 23,737
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts 7,159 7,159
Forward Currency Contracts 1,692 1,692
Change in Unrealized Appreciation (Depreciation) on Derivatives 7,159 1,692 8,851

 

E. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes. Differences may be permanent or temporary. Permanent differences are reclassified among capital accounts in the financial statements to reflect their tax character. Temporary differences arise when certain items of income, expense, gain, or

29


 

European Stock Index Fund

loss are recognized in different periods for financial statement and tax purposes. These differences will reverse at some time in the future. Differences in classification may also result from the treatment of short-term gains as ordinary income for tax purposes.

During the year ended October 31, 2017, the fund realized $21,450,000 of net capital losses resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such losses are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

For tax purposes, at October 31, 2017, the fund had $77,478,000 of ordinary income available for distribution. At October 31, 2017, the fund had available capital losses totaling $542,064,000 to offset future net capital gains. Of this amount, $449,638,000 is subject to expiration dates; $282,885,000 may be used to offset future net capital gains through October 31, 2018, and $166,753,000 through October 31, 2019. Capital losses of $92,426,000 realized beginning in fiscal 2012 may be carried forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards. Capital loss carryforwards of $1,500,333,000 expired on October 31, 2017; accordingly, such losses have been reclassified from accumulated net realized losses to paid-in capital.

At October 31, 2017, the cost of investment securities for tax purposes was $26,295,021,000. Net unrealized depreciation of investment securities for tax purposes was $1,789,077,000, consisting of unrealized gains of $2,433,459,000 on securities that had risen in value since their purchase and $4,222,536,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2017, the fund purchased $6,059,104,000 of investment securities and sold $1,380,249,000 of investment securities, other than temporary cash investments. Purchases and sales include $4,660,198,000 and $579,652,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

30


 

European Stock Index Fund

G. Capital share transactions for each class of shares were:

  Year Ended October 31,
  2017 2016
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 159,694 5,562 100,437 3,906
Issued in Lieu of Cash Distributions 14,995 523 17,789 697
Redeemed (226,751) (7,858) (172,081) (6,639)
Net Increase (Decrease)—Investor Shares (52,062) (1,773) (53,855) (2,036)
ETF Shares        
Issued 5,081,845 92,347 340,229 7,004
Issued in Lieu of Cash Distributions
Redeemed (521,873) (10,800) (3,906,845) (82,200)
Net Increase (Decrease)—ETF Shares 4,559,972 81,547 (3,566,616) (75,196)
Admiral Shares        
Issued 901,375 13,382 454,762 7,584
Issued in Lieu of Cash Distributions 97,636 1,462 108,578 1,827
Redeemed (728,812) (11,258) (697,279) (11,579)
Net Increase (Decrease)—Admiral Shares 270,199 3,586 (133,939) (2,168)
Institutional Shares        
Issued 256,341 8,907 129,495 5,017
Issued in Lieu of Cash Distributions 12,203 429 19,570 772
Redeemed (227,697) (8,002) (362,750) (14,133)
Net Increase (Decrease)—Institutional Shares 40,847 1,334 (213,685) (8,344)
Institutional Plus Shares        
Issued 15,118 114 35,730 311
Issued in Lieu of Cash Distributions 3,247 26 3,926 34
Redeemed (19,075) (144) (160,800) (1,413)
Net Increase (Decrease)—Institutional Plus Shares (710) (4) (121,144) (1,068)

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2017, that would require recognition or disclosure in these financial statements.

31


 

Pacific Stock Index Fund

Fund Profile
As of October 31, 2017

Share-Class Characteristics        
  Investor FTSE Pacific ETF Admiral Institutional
  Shares Shares Shares Shares
Ticker Symbol VPACX VPL VPADX VPKIX
Expense Ratio1 0.26% 0.10% 0.10% 0.08%

 

Portfolio Characteristics    
    FTSE FTSE
    Developed Global
    APAC All All Cap ex
    Cap US
  Fund Index Index
Number of Stocks 2,288 2,256 5,902
Median Market Cap $18.5B $18.5B $26.5B
Price/Earnings Ratio 14.7x 14.7x 16.1x
Price/Book Ratio 1.4x 1.4x 1.7x
Return on Equity 10.1% 10.1% 12.0%
Earnings Growth Rate 12.5% 12.5% 7.2%
Dividend Yield 2.3% 2.3% 2.7%
Turnover Rate 3%
Short-Term Reserves -0.3%

 

Sector Diversification (% of equity exposure)
    FTSE FTSE
    Developed Global
    APAC All  All Cap ex
    Cap US
  Fund Index Index
Basic Materials 7.6% 7.7% 7.9%
Consumer Goods 21.2 21.1 16.2
Consumer Services 9.7 9.7 8.1
Financials 24.3 24.3 25.6
Health Care 5.8 5.8 7.1
Industrials 18.9 18.9 15.4
Oil & Gas 1.7 1.7 6.2
Technology 5.0 5.0 6.5
Telecommunications 3.4 3.4 3.8
Utilities 2.4 2.4 3.2

Sector categories are based on the Industry Classification
Benchmark (“ICB”), except for the “Other” category (if applicable),
which includes securities that have not been provided an ICB
classification as of the effective reporting period.

 

Volatility Measures    
  Spliced  
  Pacific FTSE Global
  Stock All Cap ex US
  Index Index
R-Squared 0.93 0.83
Beta 0.91 0.89
These measures show the degree and timing of the fund’s
fluctuations compared with the indexes over 36 months.

 

Ten Largest Holdings (% of total net assets)
Samsung Electronics Consumer  
Co. Ltd. Electronics 3.7%
Toyota Motor Corp. Automobiles 2.2
Commonwealth Bank of    
Australia Banks 1.4
AIA Group Ltd. Life Insurance 1.2
Mitsubishi UFJ Financial    
Group Inc. Banks 1.2
Westpac Banking Corp. Banks 1.2
SoftBank Group Corp. Mobile  
  Telecommunications 1.0
Australia & New Zealand    
Banking Group Ltd. Banks 1.0
National Australia Bank    
Ltd. Banks 0.9
BHP Billiton Ltd. General Mining 0.9
Top Ten   14.7%
The holdings listed exclude any temporary cash investments and equity index products.

 

1 The expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year. For the
fiscal year ended October 31, 2017, the expense ratios were 0.26% for Investor Shares, 0.10% for FTSE Pacific ETF Shares, 0.10% for Admiral
Shares, and 0.08% for Institutional Shares.

32


 

Pacific Stock Index Fund

Market Diversification (% of equity exposure)
    FTSE FTSE
    Developed Global
    APAC All All Cap ex
    Cap US
  Fund Index Index
Europe 0.0% 0.0% 43.6%
Pacific      
Japan 58.9% 58.8% 17.4%
Australia 16.1 16.2 4.8
South Korea 12.7 12.7 3.8
Hong Kong 8.5 8.5 2.5
Singapore 3.1 3.1 0.9
Other 0.7 0.7 0.2
Subtotal 100.0% 100.0% 29.6%
Emerging Markets 0.0% 0.0% 19.8%
North America 0.0% 0.0% 6.6%
Middle East 0.0% 0.0% 0.4%

 

33


 

Pacific Stock Index Fund

Performance Summary

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

Cumulative Performance: October 31, 2007, Through October 31, 2017
Initial Investment of $10,000


    Average Annual Total Returns  
    Periods Ended October 31, 2017  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
  Pacific Stock Index Fund Investor        
  Shares 21.71% 9.82% 2.27% $12,515
• • • • • • • • Spliced Pacific Stock Index 21.11 9.90 2.42 12,707
 
 
– – – – Japan/Pacific Region Funds Average 22.38 10.64 1.82 11,976
  FTSE Global All Cap ex US Index 23.52 7.79 1.40 11,490
For a benchmark description, see the Glossary.
Japan/Pacific Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.  

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
FTSE Pacific ETF Shares Net Asset Value 21.89% 9.97% 2.40% $12,679
Spliced Pacific Stock Index 21.11 9.90 2.42 12,707
FTSE Global All Cap ex US Index 23.52 7.79 1.40 11,490

 

See Financial Highlights for dividend and capital gains information.

34


 

Pacific Stock Index Fund

  Average Annual Total Returns  
  Periods Ended October 31, 2017  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Pacific Stock Index Fund Admiral Shares 21.90% 9.97% 2.40% $12,683
Spliced Pacific Stock Index 21.11 9.90 2.42 12,707
FTSE Global All Cap ex US Index 23.52 7.79 1.40 11,490

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Pacific Stock Index Fund Institutional Shares 21.91% 10.00% 2.44% $6,361,058
Spliced Pacific Stock Index 21.11 9.90 2.42 6,353,613
FTSE Global All Cap ex US Index 23.52 7.79 1.40 5,744,800

 

Cumulative Returns of ETF Shares: October 31, 2007, Through October 31, 2017  
  One Five Ten
  Year Years Years
FTSE Pacific ETF Shares Market Price 21.63% 60.88% 26.77%
FTSE Pacific ETF Shares Net Asset Value 21.89 60.83 26.79
Spliced Pacific Stock Index 21.11 60.34 27.07

 

Fiscal-Year Total Returns (%): October 31, 2007, Through October 31, 2017


For a benchmark description, see the Glossary.

35


 

Pacific Stock Index Fund

Average Annual Total Returns: Periods Ended September 30, 2017
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Ten
  Date Year Years Years
Investor Shares 6/18/1990 15.30% 8.88% 2.18%
FTSE Pacific ETF Shares 3/4/2005      
Market Price   15.54 9.12 2.31
Net Asset Value   15.49 9.04 2.31
Admiral Shares 8/13/2001 15.49 9.05 2.31
Institutional Shares 5/15/2000 15.54 9.06 2.34

 

36


 

Pacific Stock Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2017

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website. Forms N-Q may also be reviewed and copied at the SEC’s Public Reference Room (see the back cover of this report for further information).

      Market Percentage
      Value of Net
    Shares ($000) Assets
Common Stocks      
Australia      
  Commonwealth Bank of Australia 1,934,572 115,079 1.4%
  Westpac Banking Corp. 3,794,325 96,108 1.2%
  Australia & New Zealand Banking Group Ltd. 3,276,345 75,187 1.0%
  National Australia Bank Ltd. 2,989,772 74,912 0.9%
  BHP Billiton Ltd. 3,585,431 73,820 0.9%
  CSL Ltd. 506,878 53,963 0.7%
^ Wesfarmers Ltd. 1,262,948 40,453 0.5%
1,2 Australia—Other †   764,099 9.4%
      1,293,621 16.0%
Hong Kong      
  AIA Group Ltd. 13,495,712 101,697 1.2%
  Hong Kong Exchanges & Clearing Ltd. 1,367,664 38,109 0.5%
^ CK Hutchison Holdings Ltd. 2,993,059 38,017 0.5%
1,2 Hong Kong—Other †   503,570 6.2%
      681,393 8.4%
Japan      
  Toyota Motor Corp. 2,922,870 181,294 2.2%
  Mitsubishi UFJ Financial Group Inc. 14,369,872 97,473 1.2%
  SoftBank Group Corp. 950,085 84,199 1.0%
  Honda Motor Co. Ltd. 1,989,386 62,342 0.8%
  Sumitomo Mitsui Financial Group Inc. 1,489,588 59,677 0.7%
  Sony Corp. 1,410,439 59,005 0.7%
  Keyence Corp. 100,733 55,929 0.7%
  KDDI Corp. 2,036,966 54,270 0.7%
  Mizuho Financial Group Inc. 28,315,370 51,446 0.6%
  FANUC Corp. 217,468 50,849 0.6%
  Takeda Pharmaceutical Co. Ltd. 854,924 48,205 0.6%
  Shin-Etsu Chemical Co. Ltd. 454,650 47,948 0.6%

 

37


 

Pacific Stock Index Fund        
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
Nintendo Co. Ltd.   120,095 46,592 0.6%
Japan Tobacco Inc.   1,335,869 44,218 0.6%
Canon Inc.   1,148,011 43,127 0.5%
Hitachi Ltd.   5,165,644 41,136 0.5%
East Japan Railway Co.   415,345 40,280 0.5%
Mitsubishi Electric Corp.   2,207,314 37,775 0.5%
Central Japan Railway Co.   202,652 36,811 0.5%
Nippon Telegraph & Telephone Corp.   747,743 36,152 0.5%
Panasonic Corp.   2,378,835 35,919 0.4%
NTT DOCOMO Inc.   1,447,329 35,053 0.4%
Seven & i Holdings Co. Ltd.   863,349 34,797 0.4%
Nidec Corp.   260,933 34,700 0.4%
Tokio Marine Holdings Inc.   780,424 33,642 0.4%
Mitsubishi Corp.   1,432,121 33,537 0.4%
Murata Manufacturing Co. Ltd.   212,493 33,396 0.4%
Bridgestone Corp.   698,028 33,345 0.4%
Komatsu Ltd.   1,019,637 33,317 0.4%
Recruit Holdings Co. Ltd.   1,335,712 32,749 0.4%
Daikin Industries Ltd.   295,573 32,664 0.4%
Kao Corp.   539,425 32,600 0.4%
Astellas Pharma Inc.   2,306,801 30,701 0.4%
Tokyo Electron Ltd.   173,784 30,600 0.4%
Denso Corp.   546,303 30,087 0.4%
Hino Motors Ltd.   308,656 3,973 0.1%
kabu.com Securities Co. Ltd.   162,629 518 0.0%
Misawa Homes Co. Ltd.   23,905 212 0.0%
Japan—Other †     3,046,696 37.6%
      4,727,234 58.3%
 
New Zealand †     58,338 0.7%
 
Singapore        
DBS Group Holdings Ltd.   1,992,913 33,279 0.4%
Oversea-Chinese Banking Corp. Ltd.   3,649,097 31,870 0.4%
2 Singapore—Other †     186,075 2.3%
      251,224 3.1%
South Korea        
Samsung Electronics Co. Ltd.   106,921 263,572 3.3%
SK Hynix Inc.   594,536 43,837 0.5%
Samsung Electronics Co. Ltd. Preference Shares   18,772 37,597 0.4%
1, 2 South Korea—Other †     673,872 8.4%
      1,018,878 12.6%
Total Common Stocks (Cost $7,847,777)     8,030,688 99.1%3
 
  Coupon      
Temporary Cash Investments        
Money Market Fund        
4,5 Vanguard Market Liquidity Fund 1.246% 2,032,086 203,229 2.5%
 
6U.S. Government and Agency Obligations †     3,489 0.0%
Total Temporary Cash Investments (Cost $206,738)     206,718 2.5%3
Total Investments (Cost $8,054,515)     8,237,406 101.6%

 

38


 

Pacific Stock Index Fund    
 
 
 
    Percentage
  Amount of Net
  ($000) Assets
Other Assets and Liabilities    
Other Assets    
Investment in Vanguard 476  
Receivables for Investment Securities Sold 141  
Receivables for Accrued Income 33,878  
Receivables for Capital Shares Issued 1,804  
Variation Margin Receivable—Futures Contracts 75  
Unrealized Appreciation—Forward Currency Contracts 688  
Other Assets7 11,666  
Total Other Assets 48,728 0.6%
Liabilities    
Payables for Investment Securities Purchased (443)  
Collateral for Securities on Loan (166,488)  
Payables for Capital Shares Redeemed (381)  
Payables to Vanguard (6,012)  
Variation Margin Payable—Futures Contracts (230)  
Unrealized Depreciation—Forward Currency Contracts (2,615)  
Other Liabilities (2,222)  
Total Liabilities (178,391) (2.2%)
Net Assets 8,107,743 100.0%
 
 
At October 31, 2017, net assets consisted of:    
    Amount
    ($000)
Paid-in Capital   7,973,084
Undistributed Net Investment Income   31,170
Accumulated Net Realized Losses   (82,200)
Unrealized Appreciation (Depreciation)    
Investment Securities   182,891
Futures Contracts   5,045
Forward Currency Contracts   (1,927)
Foreign Currencies   (320)
Net Assets   8,107,743

 

39


 

Pacific Stock Index Fund  
 
 
 
  Amount
  ($000)
Investor Shares—Net Assets  
Applicable to 21,842,721 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 296,098
Net Asset Value Per Share—Investor Shares $13.56
 
ETF Shares—Net Assets  
Applicable to 70,511,310 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 5,015,402
Net Asset Value Per Share—ETF Shares $71.13
 
Admiral Shares—Net Assets  
Applicable to 27,148,151 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 2,388,158
Net Asset Value Per Share—Admiral Shares $87.97
 
Institutional Shares—Net Assets  
Applicable to 30,320,648 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 408,085
Net Asset Value Per Share—Institutional Shares $13.46

 

See Note A in Notes to Financial Statements.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $154,882,000.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer,
represent 1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may
be sold in transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate
value of these securities was $20,875,000, representing 0.3% of net assets.
2 Certain of the fund’s securities are valued using significant unobservable inputs.
3 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect
to futures investments, the fund’s effective common stock and temporary cash investment positions represent 99.9% and 1.7%,
respectively, of net assets.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown
is the 7-day yield.
5 Includes $166,488,000 of collateral received for securities on loan.
6 Securities with a value of $2,891,000 have been segregated as initial margin for open futures contracts.
7 Cash of $1,159,000 has been segregated as collateral for open forward currency contracts.

40


 

Pacific Stock Index Fund            
 
 
Derivative Financial Instruments Outstanding as of Period End      
Futures Contracts            
          ($000)
            Value and
      Number of    Unrealized
      Long (Short)  Notional Appreciation
    Expiration Contracts  Amount (Depreciation)
Long Futures Contracts            
Topix Index December 2017 267 41,426 3,141
S&P ASX 200 Index December 2017 176 19,864 634
KOSPI 200 Index December 2017 89 6,641 1,270
            5,045
 
 
 
Forward Currency Contracts            
            Unrealized
  Contract         Appreciation
       
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date Receive Deliver ($000)
BNP Paribas 12/12/17 JPY 3,352,222 USD 30,833 (1,290)
Toronto-Dominion Bank 12/28/17 AUD 15,326 USD 12,258 (534)
Credit Suisse International 12/12/17 JPY 1,007,891 USD 9,113 (230)
BNP Paribas 12/28/17 AUD 9,301 USD 7,312 (197)
Citibank, N.A. 12/12/17 JPY 473,100 USD 4,356 (187)
Toronto-Dominion Bank 12/19/17 KRW 4,204,138 USD 3,727 27
JPMorgan Chase Bank, N.A. 12/12/17 JPY 396,925 USD 3,559 (60)
Citibank, N.A. 12/19/17 KRW 2,865,188 USD 2,538 20
Citibank, N.A. 12/28/17 AUD 2,300 USD 1,808 (48)
Goldman Sachs International 12/28/17 AUD 2,017 USD 1,605 (62)
Goldman Sachs International 12/12/17 JPY 72,765 USD 648 (7)
BNP Paribas 12/12/17 USD 30,400 JPY 3,405,000 391
JPMorgan Chase Bank, N.A. 12/12/17 USD 11,859 JPY 1,322,570 203
Goldman Sachs International 12/28/17 USD 2,999 AUD 3,860 47
            (1,927)
AUD—Australian dollar.
JPY—Japanese yen.
KRW—Korean won.
USD—U.S. dollar.

 

See accompanying Notes, which are an integral part of the Financial Statements.

41


 

Pacific Stock Index Fund  
 
 
Statement of Operations  
 
 
  Year Ended
  October 31, 2017
  ($000)
Investment Income  
Income  
Dividends1 174,576
Interest 2 238
Securities Lending—Net 5,406
Total Income 180,220
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,503
Management and Administrative—Investor Shares 545
Management and Administrative—ETF Shares 1,971
Management and Administrative—Admiral Shares 1,109
Management and Administrative—Institutional Shares 83
Marketing and Distribution—Investor Shares 47
Marketing and Distribution—ETF Shares 197
Marketing and Distribution—Admiral Shares 116
Marketing and Distribution—Institutional Shares 7
Custodian Fees 1,059
Auditing Fees 52
Shareholders’ Reports and Proxy—Investor Shares 51
Shareholders’ Reports and Proxy—ETF Shares 232
Shareholders’ Reports and Proxy—Admiral Shares 73
Shareholders’ Reports and Proxy—Institutional Shares 42
Trustees’ Fees and Expenses 5
Total Expenses 7,092
Net Investment Income 173,128
Realized Net Gain (Loss)  
Investment Securities Sold 2 39,762
Futures Contracts 5,596
Foreign Currencies and Forward Currency Contracts 1,491
Realized Net Gain (Loss) 46,849
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 2 1,137,389
Futures Contracts 3,253
Foreign Currencies and Forward Currency Contracts (2,041)
Change in Unrealized Appreciation (Depreciation) 1,138,601
Net Increase (Decrease) in Net Assets Resulting from Operations 1,358,578

 

1 Dividends are net of foreign withholding taxes of $11,736,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund
were $208,000, $26,000, and ($22,000), respectively.
See accompanying Notes, which are an integral part of the Financial Statements.

42


 

Pacific Stock Index Fund    
 
 
Statement of Changes in Net Assets    
 
  Year Ended October 31,
  2017 2016
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 173,128 137,768
Realized Net Gain (Loss) 46,849 34,253
Change in Unrealized Appreciation (Depreciation) 1,138,601 158,117
Net Increase (Decrease) in Net Assets Resulting from Operations 1,358,578 330,138
Distributions    
Net Investment Income    
Investor Shares (7,088) (6,699)
ETF Shares (100,428) (72,522)
Admiral Shares (55,521) (47,540)
Institutional Shares (8,276) (8,137)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Total Distributions (171,313) (134,898)
Capital Share Transactions    
Investor Shares (35,133) (37,259)
ETF Shares 1,094,986 184,797
Admiral Shares 28,881 (71,298)
Institutional Shares 60,096 (50,031)
Net Increase (Decrease) from Capital Share Transactions 1,148,830 26,209
Total Increase (Decrease) 2,336,095 221,449
Net Assets    
Beginning of Period 5,771,648 5,550,199
End of Period1 8,107,743 5,771,648

 

1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $31,170,000 and $29,225,000.

See accompanying Notes, which are an integral part of the Financial Statements.

43


 

Pacific Stock Index Fund          
 
 
Financial Highlights          
 
 
Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $11.42 $10.99 $11.59 $11.76 $9.63
Investment Operations          
Net Investment Income . 2951 .257 .258 .282 .246
Net Realized and Unrealized Gain (Loss)          
on Investments 2.141 .426 (.612) (.147) 2.187
Total from Investment Operations 2.436 .683 (.354) .135 2.433
Distributions          
Dividends from Net Investment Income (. 296) (. 253) (. 246) (. 305) (. 303)
Distributions from Realized Capital Gains
Total Distributions (. 296) (. 253) (. 246) (. 305) (. 303)
Net Asset Value, End of Period $13.56 $11.42 $10.99 $11.59 $11.76
 
Total Return2 21.71% 6.40% -3.07% 1.21% 25.72%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $296 $281 $309 $360 $398
Ratio of Total Expenses to Average Net Assets 0.26% 0.26% 0.26% 0.26% 0.26%
Ratio of Net Investment Income to          
Average Net Assets 2.44% 2.39% 2.26% 2.45% 2.27%
Portfolio Turnover Rate 3 3% 4% 14% 5% 22%

 

1 Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information
about any applicable account service fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

44


 

Pacific Stock Index Fund          
 
 
Financial Highlights          
 
 
FTSE Pacific ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $59.92 $57.65 $60.80 $61.71 $50.57
Investment Operations          
Net Investment Income 1.6771 1.440 1.443 1.568 1.372
Net Realized and Unrealized Gain (Loss)          
on Investments 11.195 2.240 (3.210) (.791) 11.475
Total from Investment Operations 12.872 3.680 (1.767) .777 12.847
Distributions          
Dividends from Net Investment Income (1.662) (1.410) (1.383) (1.687) (1.707)
Distributions from Realized Capital Gains
Total Distributions (1.662) (1.410) (1.383) (1.687) (1.707)
Net Asset Value, End of Period $71.13 $59.92 $57.65 $60.80 $61.71
 
Total Return 21.89% 6.59% -2.93% 1.31% 25.88%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $5,015 $3,217 $2,931 $2,760 $2,645
Ratio of Total Expenses to Average Net Assets 0.10% 0.10% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 2.60% 2.55% 2.40% 2.59% 2.41%
Portfolio Turnover Rate2 3% 4% 14% 5% 22%

 

1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

45


 

Pacific Stock Index Fund          
 
 
Financial Highlights          
 
 
Admiral Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $74.10 $71.30 $75.19 $76.32 $62.54
Investment Operations          
Net Investment Income 2.0491 1.781 1.783 1.937 1.695
Net Realized and Unrealized Gain (Loss)          
on Investments 13.876 2.763 (3.963) (.982) 14.194
Total from Investment Operations 15.925 4.544 (2.180) .955 15.889
Distributions          
Dividends from Net Investment Income (2.055) (1.744) (1.710) (2.085) (2.109)
Distributions from Realized Capital Gains
Total Distributions (2.055) (1.744) (1.710) (2.085) (2.109)
Net Asset Value, End of Period $87.97 $74.10 $71.30 $75.19 $76.32
 
Total Return2 21.90% 6.57% -2.92% 1.32% 25.89%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $2,388 $1,983 $1,981 $2,032 $1,832
Ratio of Total Expenses to Average Net Assets 0.10% 0.10% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 2.60% 2.55% 2.40% 2.59% 2.41%
Portfolio Turnover Rate 3 3% 4% 14% 5% 22%

 

1 Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information
about any applicable account service fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

46


 

Pacific Stock Index Fund          
 
 
Financial Highlights          
 
 
Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $11.34 $10.91 $11.50 $11.68 $9.57
Investment Operations          
Net Investment Income . 3201 .275 .276 .300 .263
Net Realized and Unrealized Gain (Loss)          
on Investments 2.118 .424 (.601) (.158) 2.174
Total from Investment Operations 2.438 .699 (.325) .142 2.437
Distributions          
Dividends from Net Investment Income (. 318) (. 269) (. 265) (. 322) (. 327)
Distributions from Realized Capital Gains
Total Distributions (. 318) (. 269) (. 265) (. 322) (. 327)
Net Asset Value, End of Period $13.46 $11.34 $10.91 $11.50 $11.68
 
Total Return 21.91% 6.61% -2.84% 1.28% 25.96%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $408 $291 $329 $336 $437
Ratio of Total Expenses to Average Net Assets 0.08% 0.08% 0.09% 0.09% 0.09%
Ratio of Net Investment Income to          
Average Net Assets 2.62% 2.57% 2.43% 2.62% 2.44%
Portfolio Turnover Rate2 3% 4% 14% 5% 22%

 

1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

47


 

Pacific Stock Index Fund

Notes to Financial Statements

Vanguard Pacific Stock Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. The fund offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, and Institutional Plus Shares. Investor Shares are available to any investor who meets the fund’s minimum purchase requirements. ETF Shares, known as Vanguard FTSE Pacific ETF Shares, are listed for trading on NYSE Arca; they can be purchased and sold through a broker. Admiral Shares, Institutional Shares, and Institutional Plus Shares are designed for investors who meet certain administrative, service, and account-size criteria. The fund has not issued any Institutional Plus Shares through October 31, 2017.

A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market-or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.

2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).

3. Futures and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the underlying securities when futures are believed to be priced more attractively than the underlying

48


 

Pacific Stock Index Fund

securities. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract.

The fund also enters into forward currency contracts to provide the appropriate currency exposure related to any open futures contracts. The fund’s risks in using these contracts include movement in the values of the foreign currencies relative to the U.S. dollar and the ability of the counterparties to fulfill their obligations under the contracts. The fund mitigates its counterparty risk by entering into forward currency contracts only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. The master netting arrangements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate the forward currency contracts, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The forward currency contracts contain provisions whereby a counterparty may terminate open contracts if the fund’s net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any assets pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the forward currency contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

Futures contracts are valued at their quoted daily settlement prices. Forward currency contracts are valued at their quoted daily prices obtained from an independent third party, adjusted for currency risk based on the expiration date of each contract. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures or forward currency contracts.

During the year ended October 31, 2017, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period. The fund’s average investment in forward currency contracts represented 2% of net assets, based on the average of the notional amounts at each quarter-end during the period.

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2014–2017), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

49


 

Pacific Stock Index Fund

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date.

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

The fund had no borrowings outstanding at October 31, 2017, or at any time during the period then ended.

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), shareholder reporting, and the proxy. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

50


 

Pacific Stock Index Fund

B. In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2017, the fund had contributed to Vanguard capital in the amount of $476,000, representing 0.01% of the fund’s net assets and 0.19% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

C. Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

Level 1Quoted prices in active markets for identical securities.
Level 2Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are
noted on the Statement of Net Assets.

The following table summarizes the market value of the fund’s investments as of October 31, 2017, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks 1,416 8,025,439 3,833
Temporary Cash Investments 203,229 3,489
Futures Contracts—Assets1 75
Futures Contracts—Liabilities1 (230)
Forward Currency Contracts—Assets 688
Forward Currency Contracts—Liabilities (2,615)
Total 204,490 8,027,001 3,833
1 Represents variation margin on the last day of the reporting period.

 

51


 

Pacific Stock Index Fund

D. At October 31, 2017, the fair values of derivatives were reflected in the Statement of Net Assets as follows:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Statement of Net Assets Caption ($000) ($000) ($000)
Variation Margin Receivable—Futures Contracts 75 75
Unrealized Appreciation—Forward Currency Contracts 688 688
Variation Margin Payable—Futures Contracts (230) (230)
Unrealized Depreciation—Forward Currency Contracts (2,615) (2,615)

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2017, were:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts 5,596 5,596
Forward Currency Contracts 3,825 3,825
Realized Net Gain (Loss) on Derivatives 5,596 3,825 9,421
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts 3,253 3,253
Forward Currency Contracts (2,775) (2,775)
Change in Unrealized Appreciation (Depreciation) on Derivatives 3,253 (2,775) 478

 

E. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes. Differences may be permanent or temporary. Permanent differences are reclassified among capital accounts in the financial statements to reflect their tax character. Temporary differences arise when certain items of income, expense, gain, or loss are recognized in different periods for financial statement and tax purpose; such differences are primarily attributed to the tax treatment of unrealized appreciation on passive foreign investment companies. These differences will reverse at some time in the future. Differences in classification may also result from the treatment of short-term gains as ordinary income for tax purposes.

Certain of the fund’s investments are in securities considered to be passive foreign investment companies, for which any unrealized appreciation and/or realized gains are required to be included in distributable net income for tax purposes. During the year ended October 31, 2017, the fund realized gains on the sale of passive foreign investment companies of $2,326,000, which have been included in current and prior periods’ taxable income; accordingly, such gains have been reclassified from accumulated net realized losses to undistributed net investment income. Passive foreign investment companies held at October 31, 2017, had unrealized appreciation of $34,877,000.

52


 

Pacific Stock Index Fund

During the year ended October 31, 2017, the fund realized $7,905,000 of net capital gains resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

For tax purposes, at October 31, 2017, the fund had $71,621,000 of ordinary income available for distribution. The fund used capital loss carryforwards of $36,039,000 to offset taxable capital gains realized during the year ended October 31, 2017. At October 31, 2017, the fund had available capital losses totaling $84,127,000 to offset future net capital gains of $29,743,000 through October 31, 2018, and $54,384,000 through October 31, 2019. Capital loss carryforwards of $571,304,000 expired on October 31, 2017; accordingly, such losses have been reclassified from accumulated net realized losses to paid-in capital.

At October 31, 2017, the cost of investment securities for tax purposes was $8,089,392,000. Net unrealized appreciation of investment securities for tax purposes was $148,014,000, consisting of unrealized gains of $1,369,516,000 on securities that had risen in value since their purchase and $1,221,502,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2017, the fund purchased $1,315,204,000 of investment securities and sold $209,200,000 of investment securities, other than temporary cash investments. Purchases and sales include $897,344,000 and $27,986,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

53


 

Pacific Stock Index Fund

G. Capital share transactions for each class of shares were:

  Year Ended October 31,
  2017 2016
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 45,509 3,754 31,068 2,889
Issued in Lieu of Cash Distributions 6,619 556 6,289 591
Redeemed (87,261) (7,078) (74,616) (6,949)
Net Increase (Decrease)—Investor Shares (35,133) (2,768) (37,259) (3,469)
ETF Shares        
Issued 1,094,987 16,828 611,197 10,738
Issued in Lieu of Cash Distributions
Redeemed (1) (426,400) (7,900)
Net Increase (Decrease)—ETF Shares 1,094,986 16,828 184,797 2,838
Admiral Shares        
Issued 293,910 3,691 178,591 2,564
Issued in Lieu of Cash Distributions 45,857 593 39,890 578
Redeemed (310,886) (3,895) (289,779) (4,172)
Net Increase (Decrease)—Admiral Shares 28,881 389 (71,298) (1,030)
Institutional Shares        
Issued 145,049 11,583 67,558 6,430
Issued in Lieu of Cash Distributions 5,339 450 5,752 545
Redeemed (90,292) (7,382) (123,341) (11,466)
Net Increase (Decrease)—Institutional Shares 60,096 4,651 (50,031) (4,491)

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2017, that would require recognition or disclosure in these financial statements.

54


 

Report of Independent Registered
Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard European Stock Index Fund and Vanguard Pacific Stock Index Fund

In our opinion, the accompanying statements of net assets—investments summary and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Vanguard European Stock Index Fund and Vanguard Pacific Stock Index Fund (constituting separate portfolios of Vanguard International Equity Index Funds, hereafter referred to as the “Funds”) as of October 31, 2017, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period then ended and the financial highlights for each of the periods indicated, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities as of October 31, 2017 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.

/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 19, 2017

55


 


Special 2017 tax information (unaudited) for Vanguard European Stock Index Fund

This information for the fiscal year ended October 31, 2017, is included pursuant to provisions of the Internal Revenue Code.

The fund distributed $465,172,000 of qualified dividend income to shareholders during the fiscal year.

The fund designates to shareholders foreign source income of $531,615,000 and foreign taxes paid of $37,910,000. Shareholders will receive more detailed information with their Form 1099-DIV in January 2018 to determine the calendar year amounts to be included on their 2017 tax returns.


Special 2017 tax information (unaudited) for Vanguard Pacific Stock Index Fund

This information for the fiscal year ended October 31, 2017, is included pursuant to provisions of the Internal Revenue Code.

The fund distributed $128,197,000 of qualified dividend income to shareholders during the fiscal year.

The fund designates to shareholders foreign source income $174,578,000 and foreign taxes paid of $10,821,000. Shareholders will receive more detailed information with their Form 1099-DIV in January 2018 to determine the calendar year amounts to be included on their 2017 tax returns.

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Your Fund’s After-Tax Returns

This table presents returns for your fund both before and after taxes. The after-tax returns are shown in two ways: (1) assuming that an investor owned the fund during the entire period and paid taxes on the fund’s distributions, and (2) assuming that an investor paid taxes on the fund’s distributions and sold all shares at the end of each period.

Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2017. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.)

The table shows returns for Investor Shares only; returns for other share classes will differ. Please note that your actual after-tax returns will depend on your tax situation and may differ from those shown. Also note that if you own the fund in a tax-deferred account, such as an individual retirement account or a 401(k) plan, this information does not apply to you. Such accounts are not subject to current taxes.

Finally, keep in mind that a fund’s performance—whether before or after taxes—does not guarantee future results.

Average Annual Total Returns: International Stock Index Funds    
Periods Ended October 31, 2017      
  One Five Ten
  Year Years Years
European Stock Index Fund Investor Shares      
Returns Before Taxes 27.77% 8.42% 0.86%
Returns After Taxes on Distributions 26.85 7.58 0.12
Returns After Taxes on Distributions and Sale of      
Fund Shares 16.16 6.52 0.64
 
  One Five Ten
  Year Years Years
Pacific Stock Index Fund Investor Shares      
Returns Before Taxes 21.71% 9.82% 2.27%
Returns After Taxes on Distributions 20.88 9.11 1.70
Returns After Taxes on Distributions and Sale of      
Fund Shares 12.64 7.61 1.68

 

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About Your Fund’s Expenses

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

The accompanying table illustrates your fund’s costs in two ways:

Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The ”Ending Account Value“ shown is derived from the fund‘s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period.

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading ”Expenses Paid During Period.“

Based on hypothetical 5% yearly return. This section is intended to help you compare your fund‘s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

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Six Months Ended October 31, 2017      
  Beginning Ending Expenses
  Account Value Account Value Paid During
  4/30/2017 10/31/2017 Period
Based on Actual Fund Return      
European Stock Index Fund      
Investor Shares $1,000.00 $1,111.07 $1.38
FTSE Europe ETF Shares 1,000.00 1,112.05 0.53
Admiral Shares 1,000.00 1,112.04 0.53
Institutional Shares 1,000.00 1,112.31 0.43
Institutional Plus Shares 1,000.00 1,112.28 0.37
Pacific Stock Index Fund      
Investor Shares $1,000.00 $1,130.06 $1.40
FTSE Pacific ETF Shares 1,000.00 1,130.87 0.54
Admiral Shares 1,000.00 1,130.76 0.54
Institutional Shares 1,000.00 1,131.18 0.43
Based on Hypothetical 5% Yearly Return      
European Stock Index Fund      
Investor Shares $1,000.00 $1,023.89 $1.33
FTSE Europe ETF Shares 1,000.00 1,024.70 0.51
Admiral Shares 1,000.00 1,024.70 0.51
Institutional Shares 1,000.00 1,024.80 0.41
Institutional Plus Shares 1,000.00 1,024.85 0.36
Pacific Stock Index Fund      
Investor Shares $1,000.00 $1,023.89 $1.33
FTSE Pacific ETF Shares 1,000.00 1,024.70 0.51
Admiral Shares 1,000.00 1,024.70 0.51
Institutional Shares 1,000.00 1,024.60 0.41

 

The calculations are based on expenses incurred in the most recent six-month period. The funds’ annualized six-month expense ratios for
that period are: for the European Stock Index Fund, 0.26% for Investor Shares, 0.10% for FTSE Europe ETF Shares, 0.10% for Admiral
Shares, 0.08% for Institutional Shares, and 0.07% for Institutional Plus Shares; and for the Pacific Stock Index Fund, 0.26% for Investor
Shares, 0.10% for FTSE Pacific ETF Shares, 0.10% for Admiral Shares, and 0.08% for Institutional Shares. The dollar amounts shown as
“Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the
number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/365).

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Glossary

Beta. A measure of the magnitude of a fund’s past share-price fluctuations in relation to the ups and downs of a given market index. The index is assigned a beta of 1.00. Compared with a given index, a fund with a beta of 1.20 typically would have seen its share price rise or fall by 12% when the index rose or fell by 10%. For this report, beta is based on returns over the past 36 months for both the fund and the index. Note that a fund’s beta should be reviewed in conjunction with its R-squared (see definition). The lower the R-squared, the less correlation there is between the fund and the index, and the less reliable beta is as an indicator of volatility.

Dividend Yield. Dividend income earned by stocks, expressed as a percentage of the aggregate market value (or of net asset value, for a fund). The yield is determined by dividing the amount of the annual dividends by the aggregate value (or net asset value) at the end of the period. For a fund, the dividend yield is based solely on stock holdings and does not include any income produced by other investments.

Equity Exposure. A measure that reflects a fund’s investments in stocks and stock futures. Any holdings in short-term reserves are excluded.

Expense Ratio. A fund’s total annual operating expenses expressed as a percentage of the fund’s average net assets. The expense ratio includes management and administrative expenses, but does not include the transaction costs of buying and selling portfolio securities.

Fair-Value Pricing. Fair-value adjustments, which are required by the Securities and Exchange Commission, address pricing discrepancies that may arise because of time-zone differences among global stock markets. Foreign stocks may trade on exchanges that close many hours before a fund’s closing share price is calculated in the United States, generally at 4 p.m., Eastern time. In the hours between the foreign close and the U.S. close, the value of these foreign securities may change—because of company-specific announcements or market-wide developments, for example. Such price changes are not immediately reflected in international index values. Fair-value pricing takes such changes into account in calculating the fund’s daily net asset value, thus ensuring that the NAV doesn’t include “stale” prices. The result can be a temporary divergence between the return of the fund and that of its benchmark index—a difference that usually corrects itself when the foreign markets reopen.

Inception Date. The date on which the assets of a fund (or one of its share classes) are first invested in accordance with the fund’s investment objective. For funds with a subscription period, the inception date is the day after that period ends. Investment performance is measured from the inception date.

Median Market Cap. An indicator of the size of companies in which a fund invests; the midpoint of market capitalization (market price x shares outstanding) of a fund’s stocks, weighted by the proportion of the fund’s assets invested in each stock. Stocks representing half of the fund’s assets have market capitalizations above the median, and the rest are below it.

Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share.

For a fund, the weighted average price/book ratio of the stocks it holds.

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Price/Earnings Ratio. The ratio of a stock’s current price to its per-share earnings over the past year. For a fund, the weighted average P/E of the stocks it holds. P/E is an indicator of market expectations about corporate prospects; the higher the P/E, the greater the expectations for a company’s future growth.

R-Squared. A measure of how much of a fund’s past returns can be explained by the returns from the market in general, as measured by a given index. If a fund’s total returns were precisely synchronized with an index’s returns, its R-squared would be 1.00. If the fund’s returns bore no relationship to the index’s returns, its R-squared would be 0. For this report, R-squared is based on returns over the past 36 months for both the fund and the index.

Return on Equity. The annual average rate of return generated by a company during the past five years for each dollar of shareholder’s equity (net income divided by shareholder’s equity). For a fund, the weighted average return on equity for the companies whose stocks it holds.

Short-Term Reserves. The percentage of a fund invested in highly liquid, short-term securities that can be readily converted to cash.

Turnover Rate. An indication of the fund’s trading activity. Funds with high turnover rates incur higher transaction costs and may be more likely to distribute capital gains (which may be taxable to investors). The turnover rate excludes in-kind transactions, which have minimal impact on costs.

Benchmark Information

Spliced European Stock Index: MSCI Europe Index through March 26, 2013; FTSE Developed
Europe Index through September 30, 2015; FTSE Developed Europe All Cap Index thereafter.
Benchmark returns are adjusted for withholding taxes.

Spliced Pacific Stock Index: MSCI Pacific Index through March 26, 2013; FTSE Developed Asia
Pacific Index through September 30, 2015; FTSE Developed Asia Pacific All Cap Index thereafter.
Benchmark returns are adjusted for withholding taxes.

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The People Who Govern Your Fund

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them on an at-cost basis.

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 200 Vanguard funds.

Information for each trustee and executive officer of the fund appears below. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

Interested Trustee1

F. William McNabb III

Born 1957. Trustee Since July 2009. Chairman of the Board. Principal Occupation(s) During the Past Five Years and Other Experience: Chairman of the Board of The Vanguard Group, Inc., and of each of the investment companies served by The Vanguard Group, since January 2010; Chief Executive Officer and Director of The Vanguard Group and President and Chief Executive Officer of each of the investment companies served by The Vanguard Group, since 2008; Director of Vanguard Marketing Corporation; President of The Vanguard Group (2008–2017); Managing Director of The Vanguard Group (1995–2008).

Independent Trustees

Emerson U. Fullwood

Born 1948. Trustee Since January 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Executive Chief Staff and Marketing Officer for North America and Corporate Vice President (retired 2008) of Xerox Corporation (document management products and services); Executive in Residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology; Lead Director of SPX FLOW, Inc. (multi-industry manufacturing); Director of the United Way of Rochester, the University of Rochester Medical Center, Monroe Community College Foundation, North Carolina A&T University, and Roberts Wesleyan College; Trustee of the University of Rochester.

Rajiv L. Gupta

Born 1945. Trustee Since December 2001.2 Principal Occupation(s) During the Past Five Years and Other Experience: Chairman and Chief Executive Officer (retired 2009) and President (2006–2008) of Rohm and Haas Co. (chemicals); Director of Arconic Inc. (diversified manufacturer), HP Inc. (printer and personal computer manufacturing), and Delphi Automotive plc (automotive components); Senior Advisor at New Mountain Capital.

Amy Gutmann

Born 1949. Trustee Since June 2006. Principal Occupation(s) During the Past Five Years and Other Experience: President of the University of Pennsylvania; Christopher H. Browne

1 Mr. McNabb is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.
2 December 2002 for Vanguard Equity Income Fund, the Vanguard Municipal Bond Funds, and the Vanguard State Tax-Exempt Funds.


 

Distinguished Professor of Political Science, School of Arts and Sciences, and Professor of Communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania; Trustee of the National Constitution Center.

JoAnn Heffernan Heisen

Born 1950. Trustee Since July 1998. Principal Occupation(s) During the Past Five Years and Other Experience: Corporate Vice President and Member of the Executive Committee (1997–2008), Chief Global Diversity Officer (retired 2008), Vice President and Chief Information Officer (1997–2006), Controller (1995–1997), Treasurer (1991–1995), and Assistant Treasurer (1989–1991) of Johnson & Johnson (pharmaceuticals/medical devices/ consumer products); Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation; Member of the Advisory Board of the Institute for Women’s Leadership at Rutgers University.

F. Joseph Loughrey

Born 1949. Trustee Since October 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2009) of Cummins Inc. (industrial machinery); Chairman of the Board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education; Director of the V Foundation for Cancer Research; Member of the Advisory Council for the College of Arts and Letters and Chair of the Advisory Board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

Mark Loughridge

Born 1953. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Senior Vice President and Chief Financial Officer (retired 2013) at IBM (information technology services); Fiduciary Member of IBM’s Retirement Plan Committee (2004–2013); Member of the Council on Chicago Booth.

Scott C. Malpass

Born 1962. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Chief Investment Officer and Vice President at the University of Notre Dame; Assistant Professor of Finance at the Mendoza College of Business at Notre Dame; Member of the Notre Dame 403(b) Investment Committee, the Board of Advisors for Spruceview Capital Partners, the Board of Catholic Investment Services, Inc. (investment advisor), and the Board of Superintendence of the Institute for the Works of Religion; Chairman of the Board of TIFF Advisory Services, Inc. (investment advisor).

André F. Perold

Born 1952. Trustee Since December 2004. Principal Occupation(s) During the Past Five Years and Other Experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011); Chief Investment Officer and Co-Managing Partner of HighVista Strategies LLC (private investment firm); Overseer of the Museum of Fine Arts Boston.

Peter F. Volanakis

Born 1955. Trustee Since July 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2010) of Corning Incorporated (communications equipment); Chairman of the Board of Trustees of Colby-Sawyer College; Member of the Board of Hypertherm, Inc. (industrial cutting systems, software, and consumables).


 

Executive Officers

Glenn Booraem

Born 1967. Investment Stewardship Officer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Treasurer (2015–2017), Controller (2010–2015), and Assistant Controller (2001–2010) of each of the investment companies served by The Vanguard Group.

Thomas J. Higgins

Born 1957. Chief Financial Officer Since September 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Chief Financial Officer of each of the investment companies served by The Vanguard Group; Treasurer of each of the investment companies served by The Vanguard Group (1998–2008).

Peter Mahoney

Born 1974. Controller Since May 2015. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Controller of each of the investment companies served by The Vanguard Group; Head of International Fund Services at The Vanguard Group (2008–2014).

Anne E. Robinson

Born 1970. Secretary Since September 2016. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; General Counsel of The Vanguard Group; Secretary of The Vanguard Group and of each of the investment companies served by The Vanguard Group; Director and Senior Vice President of Vanguard Marketing Corporation; Managing Director and General Counsel of Global Cards and Consumer Services at Citigroup (2014–2016); Counsel at American Express (2003–2014).

Michael Rollings

Born 1963. Treasurer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; Treasurer of each of the investment companies served by The Vanguard Group; Director of Vanguard Marketing Corporation; Executive Vice President and Chief Financial Officer of MassMutual Financial Group (2006–2016).

Vanguard Senior Management Team
 
Mortimer J. Buckley Chris D. McIsaac
Gregory Davis James M. Norris
John James Thomas M. Rampulla
Martha G. King Karin A. Risi
John T. Marcante  
 
 
Chairman Emeritus and Senior Advisor
 
John J. Brennan  
Chairman, 1996–2009  
Chief Executive Officer and President, 1996–2008
 
 
Founder  
 
John C. Bogle  
Chairman and Chief Executive Officer, 1974–1996

 


 

 

  P.O. Box 2600
  Valley Forge, PA 19482-2600
 
 
 
Connect with Vanguard® > vanguard.com
 
 
 
Fund Information > 800-662-7447  
 
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  (”Russell”), MTS Next Limited (”MTS”), and FTSE TMX
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This material may be used in conjunction TMX®” and ”FTSE Russell” and other service marks
  and trademarks related to the FTSE or Russell indexes
with the offering of shares of any Vanguard are trademarks of the London Stock Exchange Group
fund only if preceded or accompanied by companies and are used by FTSE, MTS, FTSE TMX and
the fund’s current prospectus. Russell under licence. All information is provided for
  information purposes only. No responsibility or liability
All comparative mutual fund data are from Lipper, a can be accepted by the London Stock Exchange Group
Thomson Reuters Company, or Morningstar, Inc., unless companies nor its licensors for any errors or for any
otherwise noted. loss from use of this publication. Neither the London
You can obtain a free copy of Vanguard’s proxy voting Stock Exchange Group companies nor any of its
guidelines by visiting vanguard.com/proxyreporting or by licensors make any claim, prediction, warranty or
calling Vanguard at 800-662-2739. The guidelines are representation whatsoever, expressly or impliedly,
also available from the SEC’s website, sec.gov. In either as to the results to be obtained from the use of
addition, you may obtain a free report on how your fund the FTSE Indexes or the fitness or suitability of the
voted the proxies for securities it owned during the 12 Indexes for any particular purpose to which they might
months ended June 30. To get the report, visit either be put.
vanguard.com/proxyreporting or sec.gov. The Industry Classification Benchmark (”ICB”) is owned
You can review and copy information about your fund at by FTSE. FTSE does not accept any liability to any
the SEC’s Public Reference Room in Washington, D.C. To person for any loss or damage arising out of any error
find out more about this public service, call the SEC at or omission in the ICB.
202-551-8090. Information about your fund is also  
available on the SEC’s website, and you can receive  
copies of this information, for a fee, by sending a  
request in either of two ways: via email addressed to  
publicinfo@sec.gov or via regular mail addressed to the  
Public Reference Section, Securities and Exchange  
Commission, Washington, DC 20549-1520.  
  © 2017 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
 
  Q720 122017

 



Annual Report | October 31, 2017

Vanguard Total World Stock Index Fund


 

Vanguard’s Principles for Investing Success

We want to give you the best chance of investment success. These principles, grounded in Vanguard’s research and experience, can put you on the right path.

Goals. Create clear, appropriate investment goals.

Balance. Develop a suitable asset allocation using broadly diversified funds. Cost. Minimize cost.

Discipline. Maintain perspective and long-term discipline.

A single theme unites these principles: Focus on the things you can control.

We believe there is no wiser course for any investor.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 3
Fund Profile. 6
Performance Summary. 8
Financial Statements. 11
Your Fund’s After-Tax Returns. 33
About Your Fund’s Expenses. 34
Glossary. 36

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises
or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this
report. Of course, the risks of investing in your fund are spelled out in the prospectus.
See the Glossary for definitions of investment terms used in this report.
About the cover: Nautical images have been part of Vanguard’s rich heritage since its start in 1975. For an
incoming ship, a lighthouse offers a beacon and safe path to shore. You can similarly depend on Vanguard to put
you first––and light the way––as you strive to meet your financial goals. Our client focus and low costs,
stemming from our unique ownership structure, assure that your interests are paramount.


 

Your Fund’s Performance at a Glance

• Global stocks rallied in the 12 months ended October 31, 2017, amid a broad-based expansion featuring economic growth, supportive monetary policy, and benign inflation.

• For the fiscal year, Vanguard Total World Stock Index Fund returned about 24%. That result was in line with the return of the fund’s benchmark index and exceeded the average return of peer funds.

• Returns for the European region, which represented about a fifth of the fund’s assets, were especially robust. Europe’s economy continued to show strength in employment and industrial production. U.S. stocks, which represent more than half of the world’s total stock market capitalization, also notched sizable returns.

• Reflecting the breadth of the global rally, all market sectors advanced. Technology, industrials, basic materials, and financials notched the biggest gains.

Total Returns: Fiscal Year Ended October 31, 2017  
  Total
  Returns
Vanguard Total World Stock Index Fund  
Investor Shares 23.71%
ETF Shares  
Market Price 23.89
Net Asset Value 23.82
Institutional Shares 23.86
FTSE Global All Cap Index 23.78
Global Funds Average 22.26
Global Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

Institutional Shares are available to certain institutional investors who meet specific administrative, service, and account-size criteria. The
Vanguard ETF® Shares shown are traded on the NYSE Arca exchange and are available only through brokers. The table provides ETF
returns based on both the NYSE Arca market price and the net asset value for a share. U.S. Pat. Nos. 6,879,964; 7,337,138; 7,720,749;
7,925,573; 8,090,646; and 8,417,623.
For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock
Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about
how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the
Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market
price was above or below the NAV.

1


 

Total Returns: Inception Through October 31, 2017  
  Average
  Annual Return
Total World Stock Index Fund Investor Shares (Returns since inception: 6/26/2008) 6.31%
Spliced Total World Stock Index 6.32
Global Funds Average 5.56
For a benchmark description, see the Glossary.
Global Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

The figures shown represent past performance, which is not a guarantee of future results. (Current
performance may be lower or higher than the performance data cited. For performance data current to the
most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment
returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more
or less than their original cost.

 

Expense Ratios        
Your Fund Compared With Its Peer Group        
  Investor ETF Institutional Peer Group
  Shares Shares Shares Average
Total World Stock Index Fund 0.21% 0.11% 0.10% 1.24%

The fund expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year.
For the fiscal year ended October 31, 2017, the fund’s expense ratios were 0.19% for Investor Shares, 0.10% for ETF Shares, and 0.09%
for Institutional Shares. The peer-group expense ratio is derived from data provided by Lipper, a Thomson Reuters Company, and captures
information through year-end 2016.

Peer group: Global Funds.

2


 

Chairman’s Perspective


Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

When I find outstanding products or services, I’m likely to be loyal to them. And my loyalty usually gets rewarded as I experience consistently high quality––whether it’s from a favorite restaurant or a favorite author. What’s past, in most cases, is prologue.

As tempting as it is to apply this rationale to investing—for example, if technology stocks have done well this year, they’re bound to do well the next—it’s not all that helpful and can actually be counterproductive. You’ve heard it many times: Past performance cannot be used to predict future returns.

Taking a new approach

The caution about past performance is so familiar that investors are apt to treat it as mere background noise. That’s why past-performance bias merited a fresh look from Vanguard’s Investment Strategy Group, which tackled the issue last year in a research paper. (I encourage you to read the full paper, Reframing Investor Choices: Right Mindset, Wrong Market, at vanguard.com/research.)

Our strategists were hardly the first to delve into the topic, but they approached it in a new way. They started with the premise that it’s perfectly understandable for investors to lean heavily on past performance, because that works well in many areas of life. After all, as the paper describes, in lots of other industries and realms, performance from one time period

3


 

to another is extremely consistent. The researchers looked at everything from cars to fine restaurants to heart surgeons, and in all these examples, past performance was a good predictor of later outcomes.

It’s different with investing

In a nutshell, our brains typically are rewarded and our satisfaction is boosted when we use past performance as a guide for navigating decisions, big and small. But when applied to investing, this method breaks down.

Why? Among other reasons, top-performing asset classes one year tend not to repeat as leaders the next. Strong past performance leads to higher valuations, making an investment, all else being equal, less attractive in the future. The data are quite overwhelming in this regard.

By allowing past performance to inform their decisions, individual and institutional investors inadvertently end up as momentum investors, putting them on a treadmill of buying high and selling low.

A path to better decision-making

Of course, many investors are already aware of the pitfalls of projecting past performance into the future. The real question is, what can we all do about it? What does it take to go from having a general awareness to actually changing our behavior?

Market Barometer      
  Average Annual Total Returns
  Periods Ended October 31, 2017
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) 23.67% 10.58% 15.18%
Russell 2000 Index (Small-caps) 27.85 10.12 14.49
Russell 3000 Index (Broad U.S. market) 23.98 10.53 15.12
FTSE All-World ex US Index (International) 23.48 6.12 7.67
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 0.90% 2.40% 2.04%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 2.19 3.04 3.00
Citigroup Three-Month U.S. Treasury Bill Index 0.71 0.31 0.20
 
CPI      
Consumer Price Index 2.04% 1.28% 1.29%

 

4

 


 

Acknowledging that such change isn’t easy, our strategists offered a few ideas for reframing how investors approach their decisions. These recommendations were targeted at advisors working with clients, but they apply equally to individuals and institutions:

• Educate yourself. The more investors understand why a method that works so well in other areas of life—relying on past performance to drive decisions—doesn’t carry over to investing, the better off they’ll be.

• Be disciplined. The bias toward past performance is ingrained in everybody, professionals included, and shifting away from it can be difficult. But the long-term benefits make the effort worthwhile.

• Focus on what you can control. It’s always most constructive for investors to concentrate on what’s actually within their control, such as setting goals, following long-term portfolio construction principles, selecting low-cost investments, and rebalancing periodically.

Here’s to keeping the past in the rearview mirror. And, as always, thank you for investing with Vanguard.

Sincerely,

 

 

F. William McNabb III
Chairman and Chief Executive Officer
November 14, 2017

5


 

Total World Stock Index Fund

Fund Profile
As of October 31, 2017

Share-Class Characteristics    
  Investor ETF Institutional
  Shares Shares Shares
Ticker Symbol VTWSX VT VTWIX
Expense Ratio1 0.21% 0.11% 0.10%

 

Portfolio Characteristics    
    FTSE
    Global
    All Cap
  Fund Index
Number of Stocks 7,955 7,781
Median Market Cap $41.4B $41.6B
Price/Earnings Ratio 18.9x 18.9x
Price/Book Ratio 2.2x 2.2x
Return on Equity 13.3% 13.3%
Earnings Growth    
Rate 8.4% 8.5%
Dividend Yield 2.2% 2.2%
Turnover Rate 10%
Short-Term Reserves -0.6%

 

Sector Diversification (% of equity exposure)
    FTSE
    Global
    All Cap
  Fund Index
Basic Materials 5.2% 5.2%
Consumer Goods 12.5 12.5
Consumer Services 10.2 10.2
Financials 22.8 22.8
Health Care 10.0 10.0
Industrials 14.2 14.2
Oil & Gas 5.9 5.9
Technology 13.3 13.3
Telecommunications 2.7 2.7
Utilities 3.2 3.2

Sector categories are based on the Industry Classification
Benchmark (“ICB”), except for the “Other” category (if applicable),
which includes securities that have not been provided an ICB
classification as of the effective reporting period.

 

Volatility Measures  
  FTSE
  Global
  All Cap
  Index
R-Squared 0.99
Beta 0.97

These measures show the degree and timing of the fund’s
fluctuations compared with the index over 36 months.\

 

Ten Largest Holdings (% of total net assets)
Apple Inc. Computer Hardware 1.7%
Microsoft Corp. Software 1.2
Alphabet Inc. Internet 1.2
Amazon.com Inc. Broadline Retailers 0.9
Facebook Inc. Internet 0.8
Johnson & Johnson Pharmaceuticals 0.7
JPMorgan Chase & Co. Banks 0.7
Berkshire Hathaway Inc. Reinsurance 0.7
Exxon Mobil Corp. Integrated Oil & Gas 0.7
Samsung Electronics Consumer  
Co. Ltd. Electronics 0.5
Top Ten   9.1%
The holdings listed exclude any temporary cash investments and
equity index products.

 

Allocation by Region (% of equity exposure)

1 The expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year. For the
fiscal year ended October 31, 2017, the expense ratios were 0.19% for Investor Shares, 0.10% for ETF Shares, and 0.09% for Institutional
Shares.

6


 

Total World Stock Index Fund

Market Diversification (% of equity exposure)
    FTSE
    Global
    All Cap
  Fund Index
Europe    
United Kingdom 5.9% 5.9%
France 3.2 3.2
Germany 3.1 3.1
Switzerland 2.6 2.6
Netherlands 1.1 1.1
Spain 1.1 1.1
Sweden 1.0 1.1
Other 2.9 2.9
Subtotal 20.9% 21.0%
Pacific    
Japan 8.4% 8.4%
Australia 2.3 2.3
South Korea 1.8 1.8
Hong Kong 1.2 1.1
Other 0.6 0.6
Subtotal 14.3% 14.2%
Emerging Markets    
China 2.6% 2.8%
Taiwan 1.6 1.6
India 1.2 1.2
Other 4.1 4.1
Subtotal 9.5% 9.7%
North America    
United States 52.0% 51.7%
Canada 3.1 3.2
Subtotal 55.1% 54.9%
Middle East    
Other 0.2% 0.2%

 

7


 

Total World Stock Index Fund

Performance Summary

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

Cumulative Performance: June 26, 2008, Through October 31, 2017
Initial Investment of $10,000

 

    Average Annual Total Returns  
    Periods Ended October 31, 2017  
 
        Since Final Value
    One Five Inception of a $10,000
    Year Years (6/26/2008) Investment
  Total World Stock Index Fund Investor        
  Shares 23.71% 11.16% 6.31% $17,724
 
• • • • • • • • Spliced Total World Stock Index 23.78 11.38 6.32 17,732
 
– – – – Global Funds Average 22.26 10.44 5.56 16,586

For a benchmark description, see the Glossary.
Global Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.
"Since Inception" performance is calculated from the Investor Shares’ inception date for both the fund and its comparative standards.

 

      Since Final Value
  One Five Inception of a $10,000
  Year Years (6/24/2008) Investment
Total World Stock Index Fund ETF Shares        
Net Asset Value 23.82% 11.28% 6.29% $17,688
Spliced Total World Stock Index 23.78 11.38 6.32 17,732
 
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standard.

 

See Financial Highlights for dividend and capital gains information.

8


 

Total World Stock Index Fund

  Average Annual Total Returns  
  Periods Ended October 31, 2017  
 
      Since Final Value
  One Five Inception of a $5,000,000
  Year Years (10/9/2008) Investment
Total World Stock Index Fund Institutional        
Shares 23.86% 11.29% 11.56% $13,474,382
 
Spliced Total World Stock Index 23.78 11.38 11.23 13,108,613
"Since Inception" performance is calculated from the Institutional Shares’ inception date for both the fund and its comparative standard.

 

Cumulative Returns of ETF Shares: June 24, 2008, Through October 31, 2017    
 
      Since
  One Five Inception
  Year Years (6/24/2008)
Total World Stock Index Fund ETF Shares Market      
Price 23.89% 70.90% 76.88%
Total World Stock Index Fund ETF Shares Net Asset      
Value 23.82 70.63 76.88
 
Spliced Total World Stock Index 23.78 71.39 77.32

 

Fiscal-Year Total Returns (%): June 26, 2008, Through October 31, 2017

For a benchmark description, see the Glossary.
Index returns are adjusted for withholding taxes applicable to U.S.-based mutual funds organized as Delaware statutory trusts.

9


 

Total World Stock Index Fund

Average Annual Total Returns: Periods Ended September 30, 2017
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Since
  Date Year Years Inception
Investor Shares 6/26/2008 18.79% 10.60% 6.14%
ETF Shares 6/24/2008      
Market Price   18.99 10.72 6.11
Net Asset Value   18.92 10.72 6.11
Institutional Shares 10/9/2008 18.94 10.73 11.42

 

10


 

Total World Stock Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2017

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website. Forms N-Q may also be reviewed and copied at the SEC’s Public Reference Room (see the back cover of this report for further information).

      Market Percentage
      Value of Net
    Shares ($000) Assets
Common Stocks        
‡,1Australia †     314,869 2.3%
 
Austria †     16,596 0.1%
 
Belgium †     57,191 0.4%
 
Brazil        
CPFL Energia SA   104,329 877 0.0%
1 Brazil—Other †     111,685 0.8%
      112,562 0.8%
 
1Canada †     431,906 3.1%
 
Chile †     19,196 0.1%
 
China        
Tencent Holdings Ltd.   1,451,856 65,254 0.5%
China Construction Bank Corp.   24,434,206 21,837 0.2%
Industrial & Commercial Bank of China Ltd.   21,340,245 16,980 0.1%
China Mobile Ltd.   1,455,861 14,644 0.1%
Bank of China Ltd.   20,969,800 10,480 0.1%
China Life Insurance Co. Ltd.   2,054,000 6,810 0.1%
CNOOC Ltd.   4,478,311 6,115 0.1%
China Petroleum & Chemical Corp.   7,192,465 5,282 0.1%
PetroChina Co. Ltd.   6,018,000 3,934 0.1%
China Overseas Land & Investment Ltd.   1,090,480 3,541 0.0%
Agricultural Bank of China Ltd.   7,194,500 3,389 0.0%
PICC Property & Casualty Co. Ltd.   1,250,887 2,482 0.0%
China Shenhua Energy Co. Ltd.   927,000 2,218 0.0%
China Resources Land Ltd.   715,909 2,137 0.0%
 
11

 


 

Total World Stock Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
* China Unicom Hong Kong Ltd. 1,457,574 2,068 0.0%
China Telecom Corp. Ltd. 3,848,034 1,930 0.0%
CITIC Ltd. 1,313,000 1,923 0.0%
China CITIC Bank Corp. Ltd. 2,293,525 1,478 0.0%
China Communications Construction Co. Ltd. 1,165,875 1,416 0.0%
China Taiping Insurance Holdings Co. Ltd. 389,259 1,284 0.0%
Sinopharm Group Co. Ltd. 274,800 1,230 0.0%
China Resources Beer Holdings Co. Ltd. 422,681 1,220 0.0%
Dongfeng Motor Group Co. Ltd. 782,000 1,073 0.0%
CRRC Corp. Ltd. 1,075,800 1,061 0.0%
China Railway Group Ltd. 1,303,000 1,047 0.0%
1 People’s Insurance Co. Group of China Ltd. 2,129,000 1,013 0.0%
China Merchants Port Holdings Co. Ltd. 312,000 976 0.0%
China Resources Power Holdings Co. Ltd. 503,400 968 0.0%
China Cinda Asset Management Co. Ltd. 2,489,000 967 0.0%
1 China Galaxy Securities Co. Ltd. 1,100,500 960 0.0%
1 Postal Savings Bank of China Co. Ltd. 1,567,000 946 0.0%
China Everbright International Ltd. 656,000 926 0.0%
1 CGN Power Co. Ltd. 2,986,832 877 0.0%
China Resources Gas Group Ltd. 234,000 857 0.0%
China State Construction International Holdings Ltd. 593,750 834 0.0%
* Zhuzhou CRRC Times Electric Co. Ltd. 127,909 749 0.0%
1 China Huarong Asset Management Co. Ltd. 1,577,000 742 0.0%
China Jinmao Holdings Group Ltd. 1,476,000 663 0.0%
China Longyuan Power Group Corp. Ltd. 894,000 663 0.0%
Beijing Capital International Airport Co. Ltd. 402,000 660 0.0%
Kunlun Energy Co. Ltd. 680,000 631 0.0%
China Railway Construction Corp. Ltd. 466,626 586 0.0%
Sinopec Shanghai Petrochemical Co. Ltd. 936,000 558 0.0%
Air China Ltd. 540,000 515 0.0%
China Oilfield Services Ltd. 542,000 481 0.0%
Huaneng Renewables Corp. Ltd. 1,228,000 422 0.0%
China Reinsurance Group Corp. 1,782,000 396 0.0%
AviChina Industry & Technology Co. Ltd. 656,000 381 0.0%
China Southern Airlines Co. Ltd. 508,000 376 0.0%
China Everbright Bank Co. Ltd. 729,000 344 0.0%
1 China Railway Signal & Communication Corp. Ltd. 428,500 337 0.0%
1 Sinopec Engineering Group Co. Ltd. 389,635 334 0.0%
China National Materials Co. Ltd. 446,000 308 0.0%
Chongqing Changan Automobile Co. Ltd. Class B 225,962 296 0.0%
^ Angang Steel Co. Ltd. 326,000 286 0.0%
China Resources Cement Holdings Ltd. 412,000 278 0.0%
China Coal Energy Co. Ltd. 581,000 266 0.0%
Metallurgical Corp. of China Ltd. 786,000 260 0.0%
China Power International Development Ltd. 761,000 242 0.0%
China Agri-Industries Holdings Ltd. 431,800 211 0.0%
Sinotrans Ltd. 382,000 184 0.0%
China Eastern Airlines Corp. Ltd. 350,000 178 0.0%
China BlueChemical Ltd. 556,000 166 0.0%
Huadian Fuxin Energy Corp. Ltd. 538,000 140 0.0%
Minmetals Land Ltd. 932,000 139 0.0%
Sinopec Kantons Holdings Ltd. 202,000 131 0.0%
China Machinery Engineering Corp. 200,000 123 0.0%
* Sinofert Holdings Ltd. 668,000 118 0.0%
 
 
12

 


 

Total World Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
  China National Accord Medicines Corp. Ltd. Class B 20,760 109 0.0%
  China Foods Ltd. 156,000 99 0.0%
^ CSSC Offshore and Marine Engineering Group Co. Ltd. 54,000 92 0.0%
  Sinotrans Shipping Ltd. 278,000 79 0.0%
  Dah Chong Hong Holdings Ltd. 166,000 78 0.0%
  Poly Culture Group Corp. Ltd. 27,200 65 0.0%
  China Overseas Property Holdings Ltd. 267,493 65 0.0%
  Shanghai Baosight Software Co. Ltd. Class B 40,000 61 0.0%
* China Chengtong Development Group Ltd. 816,000 61 0.0%
  China Electronics Huada Technology Co. Ltd. 322,000 58 0.0%
*,^ Sinopec Oilfield Service Corp. 316,000 54 0.0%
  Harbin Electric Co. Ltd. 96,000 45 0.0%
* China Power Clean Energy Development Co. Ltd. 62,000 37 0.0%
  China Merchants Land Ltd. 168,000 32 0.0%
  CITIC Resources Holdings Ltd. 278,000 30 0.0%
‡,1 China—Other †   158,518 1.2%
      361,804 2.6%
 
Colombia †   6,308 0.0%
 
1Czech Republic †   2,513 0.0%
 
1Denmark †   83,027 0.6%
 
Egypt †   2,700 0.0%
 
Finland †   49,256 0.4%
 
1France †   431,226 3.1%
 
1Germany †   426,843 3.1%
 
Greece †   5,780 0.0%
 
Hong Kong      
  BOC Hong Kong Holdings Ltd. 985,500 4,696 0.0%
*,1 China Resources Pharmaceutical Group Ltd. 443,000 540 0.0%
  Nexteer Automotive Group Ltd. 217,000 425 0.0%
*,^ MMG Ltd. 690,117 313 0.0%
1 BOC Aviation Ltd. 45,600 245 0.0%
  China Travel International Investment Hong Kong Ltd. 516,000 191 0.0%
  CITIC Telecom International Holdings Ltd. 302,500 87 0.0%
1 CGN New Energy Holdings Co. Ltd. 250,000 38 0.0%
  Shenwan Hongyuan HK Ltd. 75,000 27 0.0%
‡,1 Hong Kong—Other †   160,667 1.2%
      167,229 1.2%
 
Hungary †   5,401 0.0%
 
1India †   166,277 1.2%
 
Indonesia †   32,547 0.2%
 
 
 
13

 


 

Total World Stock Index Fund        
 
        Market Percentage
        Value of Net
      Shares ($000) Assets
Ireland †     14,631 0.1%
Israel †     21,205 0.2%
Italy        
*,1 Pirelli & C SPA   95,718 753 0.0%
1 Italy—Other †     123,454 0.9%
        124,207 0.9%
Japan        
  Toyota Motor Corp.   709,794 44,026 0.3%
  Japan—Other †     1,106,577 8.0%
        1,150,603 8.3%
‡,1Malaysia †     44,003 0.3%
Malta †     0.0%
1Mexico †     49,206 0.4%
1Netherlands †     153,774 1.1%
New Zealand †     14,286 0.1%
1Norway †     37,219 0.3%
2Other †     185 0.0%
Pakistan †     3,031 0.0%
Peru †     4,884 0.0%
Philippines †     21,869 0.2%
1Poland †     20,297 0.2%
Portugal †     9,385 0.1%
Qatar †     8,211 0.1%
1Russia †     50,077 0.4%
Singapore        
*,^ COSCO Shipping International Singapore Co. Ltd.   92,000 20 0.0%
  China Everbright Water Ltd.   47,300 17 0.0%
Singapore—Other †     62,341 0.5%
        62,378 0.5%
‡,1South Africa †     97,090 0.7%
South Korea        
  Samsung Electronics Co. Ltd. GDR   41,582 51,268 0.4%
‡,1 South Korea—Other †     196,173 1.4%
        247,441 1.8%
14

 


 

Total World Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
‡,1Spain †   147,016 1.1%
 
1Sweden †   144,412 1.1%
 
Switzerland      
  Nestle SA 840,925 70,754 0.5%
  Novartis AG 638,422 52,657 0.4%
  Roche Holding AG 185,394 42,850 0.3%
1 Switzerland—Other †   185,587 1.4%
      351,848 2.6%
Taiwan      
  Taiwan Semiconductor Manufacturing Co. Ltd. ADR 842,452 35,661 0.2%
Taiwan—Other †   176,922 1.3%
      212,583 1.5%
 
‡,1Thailand †   53,841 0.4%
 
Turkey †   17,233 0.1%
 
United Arab Emirates †   12,269 0.1%
 
United Kingdom      
  HSBC Holdings plc 5,439,350 53,116 0.4%
  Royal Dutch Shell plc Class A 1,176,546 37,038 0.3%
  BP plc 5,221,838 35,418 0.2%
‡,1 United Kingdom—Other †   690,189 5.0%
      815,761 5.9%
United States      
Basic Materials      
* DowDuPont Inc. 632,374 45,727 0.3%
Basic Materials—Other †   147,522 1.1%
      193,249 1.4%
Consumer Goods      
  Procter & Gamble Co. 699,043 60,355 0.4%
  Coca-Cola Co. 1,046,067 48,098 0.4%
  Philip Morris International Inc. 420,939 44,047 0.3%
  PepsiCo Inc. 390,336 43,027 0.3%
  Consumer Goods—Other †   443,601 3.2%
      639,128 4.6%
Consumer Services      
* Amazon.com Inc. 108,047 119,422 0.9%
  Home Depot Inc. 326,288 54,092 0.4%
  Comcast Corp. Class A 1,278,779 46,074 0.3%
  Walt Disney Co. 424,793 41,549 0.3%
  McDonald’s Corp. 222,828 37,192 0.3%
  Wal-Mart Stores Inc. 394,878 34,477 0.2%
  Consumer Services—Other †   532,870 3.9%
      865,676 6.3%
Financials      
  JPMorgan Chase & Co. 957,961 96,380 0.7%
  Bank of America Corp. 2,673,479 73,227 0.5%
  Wells Fargo & Co. 1,217,292 68,339 0.5%
 
 
15

 


 

Total World Stock Index Fund        
 
 
 
        Market Percentage
        Value of Net
      Shares ($000) Assets
* Berkshire Hathaway Inc. Class B   358,007 66,926 0.5%
  Visa Inc. Class A   503,269 55,350 0.4%
  Citigroup Inc.   738,749 54,298 0.4%
  Mastercard Inc. Class A   257,129 38,253 0.3%
  Financials—Other †     990,009 7.2%
        1,442,782 10.5%
Health Care        
  Johnson & Johnson   735,000 102,466 0.7%
  Pfizer Inc.   1,604,079 56,239 0.4%
  UnitedHealth Group Inc.   262,086 55,096 0.4%
  Merck & Co. Inc.   747,267 41,167 0.3%
  AbbVie Inc.   432,537 39,036 0.3%
  Amgen Inc.   199,811 35,011 0.3%
  Health Care—Other †     566,729 4.1%
        895,744 6.5%
Industrials        
  General Electric Co.   2,360,148 47,581 0.3%
  Boeing Co.   151,555 39,098 0.3%
  3M Co.   157,223 36,191 0.3%
  Industrials—Other †     815,778 5.9%
        938,648 6.8%
Oil & Gas        
  Exxon Mobil Corp.   1,152,160 96,033 0.7%
  Chevron Corp.   514,546 59,631 0.4%
  Oil & Gas—Other †     236,043 1.7%
        391,707 2.8%
 
‡,2Other †     84 0.0%
 
Technology        
  Apple Inc.   1,419,304 239,919 1.8%
  Microsoft Corp.   2,039,691 169,662 1.2%
* Facebook Inc. Class A   635,391 114,409 0.8%
* Alphabet Inc. Class C   84,070 85,469 0.6%
* Alphabet Inc. Class A   79,195 81,812 0.6%
  Intel Corp.   1,279,888 58,222 0.4%
  Cisco Systems Inc.   1,361,049 46,480 0.3%
  Oracle Corp.   780,130 39,709 0.3%
  International Business Machines Corp.   233,129 35,916 0.3%
  Technology—Other †     527,426 3.8%
        1,399,024 10.1%
Telecommunications        
  AT&T Inc.   1,677,196 56,438 0.4%
  Verizon Communications Inc.   1,112,686 53,264 0.4%
  Telecommunications—Other †     18,780 0.1%
        128,482 0.9%
 
Utilities †     228,857 1.7%
        7,123,381 51.6%
Total Common Stocks (Cost $10,792,583)     13,705,557 99.3%3
Preferred Stocks (Cost $58) †     60 0.0%
 
 
16

 


 

Total World Stock Index Fund        
 
 
 
      Market Percentage
      Value of Net
  Coupon Shares ($000) Assets
Temporary Cash Investments        
Money Market Fund        
4,5 Vanguard Market Liquidity Fund 1.246% 1,088,636 108,874 0.8%
 
6U.S. Government and Agency Obligations †     6,284 0.0%
Total Temporary Cash Investments (Cost $115,153)     115,158 0.8%3
Total Investments (Cost $10,907,794)     13,820,775 100.1%
 
      Amount  
      ($000)  
Other Assets and Liabilities        
Other Assets        
Investment in Vanguard     832  
Receivables for Investment Securities Sold     63,319  
Receivables for Accrued Income     23,684  
Receivables for Capital Shares Issued     17,316  
Variation Margin Receivable—Futures Contracts     305  
Unrealized Appreciation—Forward Currency Contracts     107  
Other Assets     2,433  
Total Other Assets     107,996 0.8%
Liabilities        
Payables for Investment Securities Purchased     (10,789)  
Collateral for Securities on Loan     (106,840)  
Payables for Capital Shares Redeemed     (617)  
Payables to Vanguard     (3,382)  
Variation Margin Payable—Futures Contracts     (37)  
Unrealized Depreciation—Forward Currency Contracts     (1,024)  
Other Liabilities     (17)  
Total Liabilities     (122,706) (0.9%)
Net Assets     13,806,065 100.0%
 
 
At October 31, 2017, net assets consisted of:        
        Amount
        ($000)
Paid-in Capital       11,055,166
Undistributed Net Investment Income       21,987
Accumulated Net Realized Losses       (184,043)
Unrealized Appreciation (Depreciation)        
Investment Securities       2,912,981
Futures Contracts       1,226
Forward Currency Contracts       (917)
Foreign Currencies       (335)
Net Assets       13,806,065
 
 
 
 
17

 


 

Total World Stock Index Fund

  Amount
  ($000)
Investor Shares—Net Assets  
Applicable to 51,773,191 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 1,522,074
Net Asset Value Per Share—Investor Shares $29.40
 
ETF Shares—Net Assets  
Applicable to 135,237,886 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 9,755,332
Net Asset Value Per Share—ETF Shares $72.13
 
Institutional Shares—Net Assets  
Applicable to 17,164,769 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 2,528,659
Net Asset Value Per Share—Institutional Shares $147.32

 

See Note A in Notes to Financial Statements.
‡Certain of the fund’s securities are valued using significant unobservable inputs.
* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $80,997,000.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer,
represent 1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be
sold in transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate value of
these securities was $78,352,000, representing 0.6% of net assets.
2 “Other” represents securities that are not classified by the fund’s benchmark index.
3 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to
futures investments, the fund’s effective common stock and temporary cash investment positions represent 99.9% and 0.2%,
respectively, of net assets.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown
is the 7-day yield.
5 Includes $106,840,000 of collateral received for securities on loan.
6 Securities with a value of $4,336,000 have been segregated as initial margin for open futures contracts.
ADR—American Depositary Receipt.
GDR—Global Depositary Receipt.

18


 

Total World Stock Index Fund

Derivative Financial Instruments Outstanding as of Period End    
Futures Contracts        
      ($000)
        Value and
    Number of   Unrealized
    Long (Short) Notional Appreciation
  Expiration Contracts Amount (Depreciation)
Long Futures Contracts        
E-mini S&P 500 Index December 2017 365 46,952 (48)
MSCI Emerging Market Index December 2017 198 11,130 183
Dow Jones EURO STOXX 50 Index December 2017 231 9,898 191
E-mini S&P Mid-Cap 400 Index December 2017 51 9,353 480
Topix Index December 2017 46 7,137 67
FTSE 100 Index December 2017 54 5,355 142
S&P TSX 60 Index December 2017 15 2,201 156
S&P ASX 200 Index December 2017 16 1,806 55
        1,226

Unrealized appreciation (depreciation) on open E-mini S&P 500 Index, MSCI Emerging Market Index, Dow Jones EURO STOXX 50 Index, E-mini S&P Mid-Cap 400 Index, and FTSE 100 Index futures contracts is required to be treated as realized gain (loss) for tax purposes.

 

Forward Currency Contracts            
            Unrealized
  Contract         Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date Receive Deliver ($000)
Barclays Bank plc 12/20/17 EUR 9,969 USD 11,977 (330)
BNP Paribas 12/12/17 JPY 834,596 USD 7,734 (379)
Toronto-Dominion Bank 12/20/17 GBP 4,566 USD 6,079 (5)
Toronto-Dominion Bank 12/28/17 AUD 3,705 USD 2,963 (129)
Goldman Sachs International 12/19/17 CAD 2,569 USD 2,116 (123)
Goldman Sachs International 12/20/17 EUR 972 USD 1,153 (17)
JPMorgan Chase Bank, N.A. 12/12/17 JPY 101,730 USD 907 (11)
Credit Suisse International 12/20/17 GBP 523 USD 691 4
JPMorgan Chase Bank, N.A. 12/19/17 CAD 403 USD 332 (19)
Goldman Sachs International 12/28/17 AUD 286 USD 222 (4)
BNP Paribas 12/20/17 USD 3,437 EUR 2,913 34

 

19


 

Total World Stock Index Fund            
 
 
 
Forward Currency Contracts (continued)          
            Unrealized
  Contract         Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date Receive Deliver ($000)
Barclays Bank plc 12/12/17 USD 1,945 JPY 218,855 16
JPMorgan Chase Bank, N.A. 12/20/17 USD 1,475 GBP 1,114 (7)
Goldman Sachs International 12/28/17 USD 1,326 AUD 1,688 34
Goldman Sachs International 12/19/17 USD 593 CAD 740 19
            (917)
AUD—Australian dollar.
CAD—Canadian dollar.
EUR—Euro.
GBP—British pound.
JPY—Japanese yen.
USD—U.S. dollar.

 

Unrealized appreciation (depreciation) on open forward currency contracts is treated as realized gain
(loss) for tax purposes.

See accompanying Notes, which are an integral part of the Financial Statements.

20


 

Total World Stock Index Fund

Statement of Operations

  Year Ended
  October 31, 2017
  ($000)
Investment Income  
Income  
Dividends1,2 262,751
Interest 2 747
Securities Lending—Net 3,961
Total Income 267,459
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 2,305
Management and Administrative—Investor Shares 1,773
Management and Administrative—ETF Shares 4,272
Management and Administrative—Institutional Shares 1,171
Marketing and Distribution—Investor Shares 251
Marketing and Distribution—ETF Shares 424
Marketing and Distribution—Institutional Shares 63
Custodian Fees 1,424
Auditing Fees 45
Shareholders’ Reports and Proxy—Investor Shares 60
Shareholders’ Reports and Proxy—ETF Shares 380
Shareholders’ Reports and Proxy—Institutional Shares 9
Trustees’ Fees and Expenses 8
Total Expenses 12,185
Net Investment Income 255,274
Realized Net Gain (Loss)  
Investment Securities Sold 2 9,035
Futures Contracts 13,976
Foreign Currencies and Forward Currency Contracts 527
Realized Net Gain (Loss) 23,538
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 2 2,087,475
Futures Contracts 639
Foreign Currencies and Forward Currency Contracts 38
Change in Unrealized Appreciation (Depreciation) 2,088,152
Net Increase (Decrease) in Net Assets Resulting from Operations 2,366,964

 

1 Dividends are net of foreign withholding taxes of $12,102,000.
2 Dividend income, interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from affiliated
companies of the fund were $0, $703,000, ($252,000), and ($183,000), respectively.

See accompanying Notes, which are an integral part of the Financial Statements.

21


 

Total World Stock Index Fund

Statement of Changes in Net Assets

  Year Ended October 31,
  2017 2016
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 255,274 208,257
Realized Net Gain (Loss) 23,538 6,772
Change in Unrealized Appreciation (Depreciation) 2,088,152 31,241
Net Increase (Decrease) in Net Assets Resulting from Operations 2,366,964 246,270
Distributions    
Net Investment Income    
Investor Shares (29,590) (22,429)
ETF Shares (179,823) (131,316)
Institutional Shares (50,514) (41,678)
Realized Capital Gain    
Investor Shares
ETF Shares
Institutional Shares
Total Distributions (259,927) (195,423)
Capital Share Transactions    
Investor Shares 191,624 108,566
ETF Shares 2,198,964 1,073,261
Institutional Shares 500,503 (221,774)
Net Increase (Decrease) from Capital Share Transactions 2,891,091 960,053
Total Increase (Decrease) 4,998,128 1,010,900
Net Assets    
Beginning of Period 8,807,937 7,797,037
End of Period1 13,806,065 8,807,937
1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $21,987,000 and $25,728,000.

 

See accompanying Notes, which are an integral part of the Financial Statements.

22


 

Total World Stock Index Fund

Financial Highlights

Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $24.30 $24.18 $24.82 $23.48 $19.46
Investment Operations          
Net Investment Income . 5931 .565 .557 .571 .473
Net Realized and Unrealized Gain (Loss)          
on Investments 5.105 .089 (.643) 1.340 4.084
Total from Investment Operations 5.698 .654 (.086) 1.911 4.557
Distributions          
Dividends from Net Investment Income (.598) (.534) (.554) (.571) (.537)
Distributions from Realized Capital Gains
Total Distributions (.598) (.534) (.554) (.571) (.537)
Net Asset Value, End of Period $29.40 $24.30 $24.18 $24.82 $23.48
 
Total Return2 23.71% 2.80% -0.37% 8.20% 23.79%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $1,522 $1,078 $961 $844 $615
Ratio of Total Expenses to Average Net Assets 0.19% 0.21% 0.25% 0.27% 0.30%
Ratio of Net Investment Income to          
Average Net Assets 2.19% 2.40% 2.31% 2.38% 2.28%
Portfolio Turnover Rate3 10% 15% 7% 7% 12%

 

1 Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information
about any applicable account service fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

23


 

Total World Stock Index Fund

Financial Highlights

ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $59.62 $59.34 $60.89 $57.60 $47.76
Investment Operations          
Net Investment Income 1.5121 1.443 1.436 1.459 1.218
Net Realized and Unrealized Gain (Loss)          
on Investments 12.528 .204 (1.562) 3.291 10.025
Total from Investment Operations 14.040 1.647 (.126) 4.750 11.243
Distributions          
Dividends from Net Investment Income (1.530) (1.367) (1.424) (1.460) (1.403)
Distributions from Realized Capital Gains
Total Distributions (1.530) (1.367) (1.424) (1.460) (1.403)
Net Asset Value, End of Period $72.13 $59.62 $59.34 $60.89 $57.60
 
Total Return 23.82% 2.89% -0.23% 8.31% 23.95%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $9,755 $6,112 $5,008 $3,720 $2,837
Ratio of Total Expenses to Average Net Assets 0.10% 0.11% 0.14% 0.17% 0.18%
Ratio of Net Investment Income to          
Average Net Assets 2.28% 2.50% 2.42% 2.48% 2.40%
Portfolio Turnover Rate2 10% 15% 7% 7% 12%
1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

24


 

Total World Stock Index Fund

Financial Highlights

Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $121.75 $121.18 $124.35 $117.63 $97.56
Investment Operations          
Net Investment Income 3.1121 2.956 2.945 3.007 2.506
Net Realized and Unrealized Gain (Loss)          
on Investments 25.594 .414 (3.189) 6.717 20.461
Total from Investment Operations 28.706 3.370 (.244) 9.724 22.967
Distributions          
Dividends from Net Investment Income (3.136) (2.800) (2.926) (3.004) (2.897)
Distributions from Realized Capital Gains
Total Distributions (3.136) (2.800) (2.926) (3.004) (2.897)
Net Asset Value, End of Period $147.32 $121.75 $121.18 $124.35 $117.63
 
Total Return 23.86% 2.88% -0.22% 8.34% 23.95%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $2,529 $1,617 $1,828 $1,277 $724
Ratio of Total Expenses to Average Net Assets 0.09% 0.10% 0.13% 0.15% 0.16%
Ratio of Net Investment Income to          
Average Net Assets 2.29% 2.51% 2.43% 2.50% 2.42%
Portfolio Turnover Rate2 10% 15% 7% 7% 12%
1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

25


 

Total World Stock Index Fund

Notes to Financial Statements

Vanguard Total World Stock Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. The fund offers three classes of shares: Investor Shares, ETF Shares, and Institutional Shares. Investor Shares are available to any investor who meets the fund’s minimum purchase requirements. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker. Institutional Shares are designed for investors who meet certain administrative, service, and account-size criteria.

A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.

2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).

3. Futures and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the underlying securities when futures are believed to be priced more attractively than the underlying securities. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the

26


 

Total World Stock Index Fund

possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract.

The fund also enters into forward currency contracts to provide the appropriate currency exposure related to any open futures contracts. The fund’s risks in using these contracts include movement in the values of the foreign currencies relative to the U.S. dollar and the ability of the counterparties to fulfill their obligations under the contracts. The fund mitigates its counterparty risk by entering into forward currency contracts only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. The master netting arrangements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate the forward currency contracts, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The forward currency contracts contain provisions whereby a counterparty may terminate open contracts if the fund’s net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any assets pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the forward currency contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

Futures contracts are valued at their quoted daily settlement prices. Forward currency contracts are valued at their quoted daily prices obtained from an independent third party, adjusted for currency risk based on the expiration date of each contract. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures or forward currency contracts.

During the year ended October 31, 2017, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period. The fund’s average investment in forward currency contracts represented less than 1% of net assets, based on the average of the notional amounts at each quarter-end during the period.

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2014–2017), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date.

27


 

Total World Stock Index Fund

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

The fund had no borrowings outstanding at October 31, 2017, or at any time during the period then ended.

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

Withholding taxes on foreign dividends and capital gains have been provided for in accordance with the fund’s understanding of the applicable countries’ tax rules and rates. The fund has filed tax reclaims for previously withheld taxes on dividends earned in certain European Union countries. These filings are subject to various administrative and judicial proceedings within these countries. Such tax reclaims received during the year, if any, are included in dividend income. No other amounts for additional tax reclaims are reflected in the financial statements due to the uncertainty as to the ultimate resolution of proceedings, the likelihood of receipt of these reclaims, and the potential timing of payment.

28


 

Total World Stock Index Fund

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), shareholder reporting, and the proxy. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

B. In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2017, the fund had contributed to Vanguard capital in the amount of $832,000, representing 0.01% of the fund’s net assets and 0.33% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

C. Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

Level 1Quoted prices in active markets for identical securities.
Level 2Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are
noted on the Statement of Net Assets.

The following table summarizes the market value of the fund’s investments as of October 31, 2017, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks—International 726,085 5,854,444 1,647
Common Stocks—United States 7,123,126 171 84
Preferred Stocks 60
Temporary Cash Investments 108,874 6,284
Futures Contracts—Assets1 305
Futures Contracts—Liabilities1 (37)
Forward Currency Contracts—Assets 107
Forward Currency Contracts—Liabilities (1,024)
Total 7,958,353 5,860,042 1,731
1 Represents variation margin on the last day of the reporting period.

 

29


 

Total World Stock Index Fund

D. At October 31, 2017, the fair values of derivatives were reflected in the Statement of Net Assets as follows:

Statement of Net Assets Caption      
    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Statement of Net Assets Caption ($000) ($000) ($000)
Variation Margin Receivable—Futures Contracts 305 305
Unrealized Appreciation—Forward Currency Contracts 107 107
Variation Margin Payable—Futures Contracts (37) (37)
Unrealized Depreciation—Forward Currency Contracts (1,024) (1,024)

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2017, were:

 

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts 13,976 13,976
Forward Currency Contracts 738 738
Realized Net Gain (Loss) on Derivatives 13,976 738 14,714
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts 639 639
Forward Currency Contracts (114) (114)
Change in Unrealized Appreciation (Depreciation) on Derivatives 639 (114) 525

 

E. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes. Differences may be permanent or temporary. Permanent differences are reclassified among capital accounts in the financial statements to reflect their tax character. Temporary differences arise when certain items of income, expense, gain, or loss are recognized in different periods for financial statement and tax purposes. These differences will reverse at some time in the future. Differences in classification may also result from the treatment of short-term gains as ordinary income for tax purposes.

During the year ended October 31, 2017, the fund realized $49,101,000 of net capital gains resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

For tax purposes, at October 31, 2017, the fund had $49,758,000 of ordinary income available for distribution. At October 31, 2017, the fund had available capital losses totaling $184,012,000 to offset future net capital gains. Of this amount, $15,797,000 is subject to expiration dates; $1,086,000 may be used to offset future net capital gains through October 31, 2018, and $14,711,000 through October 31, 2019. Capital losses of $168,215,000 realized beginning in fiscal 2012 may be carried

30


 

Total World Stock Index Fund

forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards. Capital loss carryforwards of $7,776,000 expired on October 31, 2017; accordingly, such losses have been reclassified from accumulated net realized losses to paid-in capital.

At October 31, 2017, the cost of investment securities for tax purposes was $10,932,828,000. Net unrealized appreciation of investment securities for tax purposes was $2,887,947,000, consisting of unrealized gains of $3,334,804,000 on securities that had risen in value since their purchase and $446,857,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2017, the fund purchased $4,078,805,000 of investment securities and sold $1,197,630,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,142,855,000 and $95,550,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

G. Capital share transactions for each class of shares were:

  Year Ended October 31,
  2017 2016
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 480,775 17,937 274,726 11,758
Issued in Lieu of Cash Distributions 27,704 1,033 21,069 895
Redeemed (316,855) (11,580) (187,229) (8,007)
Net Increase (Decrease)—Investor Shares 191,624 7,390 108,566 4,646
ETF Shares        
Issued 2,299,189 34,316 1,441,692 24,918
Issued in Lieu of Cash Distributions
Redeemed (100,225) (1,600) (368,431) (6,800)
Net Increase (Decrease)—ETF Shares 2,198,964 32,716 1,073,261 18,118
Institutional Shares        
Issued 1,267,149 9,359 508,890 4,321
Issued in Lieu of Cash Distributions 45,889 340 37,475 318
Redeemed (812,535) (5,818) (768,139) (6,438)
Net Increase (Decrease)—Institutional Shares 500,503 3,881 (221,774) (1,799)

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2017, that would require recognition or disclosure in these financial statements.

31


 

Report of Independent Registered
Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard Total World Stock Index Fund

In our opinion, the accompanying statement of net assets—investments summary and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Vanguard Total World Stock Index Fund (constituting a separate portfolio of Vanguard International Equity Index Funds, hereafter referred to as the “Fund”) as of October 31, 2017, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Fund’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities as of October 31, 2017 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.

/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 19, 2017


Special 2017 tax information (unaudited) for Vanguard Total World Stock Index Fund

This information for the fiscal year ended October 31, 2017, is included pursuant to provisions of the Internal Revenue Code.

The fund distributed $216,754,000 of qualified dividend income to shareholders during the fiscal year.

For corporate shareholders, 34.3% of investment income (dividend income plus short-term gains, if any) qualifies for the dividends-received deduction.

The fund designates to shareholders foreign source income of $145,551,000 and foreign taxes paid of $11,763,000. Shareholders will receive more detailed information with their Form 1099-DIV in January 2018 to determine the calendar-year amounts to be included on their 2017 tax returns.

32


 

Your Fund’s After-Tax Returns

This table presents returns for your fund both before and after taxes. The after-tax returns are shown in two ways: (1) assuming that an investor owned the fund during the entire period and paid taxes on the fund’s distributions, and (2) assuming that an investor paid taxes on the fund’s distributions and sold all shares at the end of each period.

Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2017. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.)

The table shows returns for Investor Shares only; returns for other share classes will differ. Please note that your actual after-tax returns will depend on your tax situation and may differ from those shown. Also note that if you own the fund in a tax-deferred account, such as an individual retirement account or a 401(k) plan, this information does not apply to you. Such accounts are not subject to current taxes.

Finally, keep in mind that a fund’s performance—whether before or after taxes—does not guarantee future results.

Average Annual Total Returns: Total World Stock Index Fund Investor Shares
Periods Ended October 31, 2017

      Since
  One Five Inception
  Year Years (6/26/2008)
Returns Before Taxes 23.71% 11.16% 6.31%
Returns After Taxes on Distributions 22.99 10.52 5.87
Returns After Taxes on Distributions and Sale of Fund Shares 13.80 8.75 5.00

 

33


 

About Your Fund’s Expenses

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

The accompanying table illustrates your fund’s costs in two ways:

Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The ”Ending Account Value“ shown is derived from the fund‘s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period.

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading ”Expenses Paid During Period.“

Based on hypothetical 5% yearly return. This section is intended to help you compare your fund‘s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

34


 

Six Months Ended October 31, 2017      
  Beginning Ending Expenses
  Account Value Account Value Paid During
Total World Stock Index Fund 4/30/2017 10/31/2017 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $1,102.75 $0.90
ETF Shares 1,000.00 1,102.91 0.48
Institutional Shares 1,000.00 1,103.10 0.42
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,024.35 $0.87
ETF Shares 1,000.00 1,024.75 0.46
Institutional Shares 1,000.00 1,024.80 0.41

 

The calculations are based on expenses incurred in the most recent six-month period. The fund’s annualized six-month expense ratios for
that period are 0.17% for Investor Shares, 0.09% for ETF Shares, and 0.08% for Institutional Shares. The dollar amounts shown as
“Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the
number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/365).

35


 

Glossary

Beta. A measure of the magnitude of a fund’s past share-price fluctuations in relation to the ups and downs of a given market index. The index is assigned a beta of 1.00. Compared with a given index, a fund with a beta of 1.20 typically would have seen its share price rise or fall by 12% when the index rose or fell by 10%. For this report, beta is based on returns over the past 36 months for both the fund and the index. Note that a fund’s beta should be reviewed in conjunction with its R-squared (see definition). The lower the R-squared, the less correlation there is between the fund and the index, and the less reliable beta is as an indicator of volatility.

Dividend Yield. Dividend income earned by stocks, expressed as a percentage of the aggregate market value (or of net asset value, for a fund). The yield is determined by dividing the amount of the annual dividends by the aggregate value (or net asset value) at the end of the period. For a fund, the dividend yield is based solely on stock holdings and does not include any income produced by other investments.

Earnings Growth Rate. The average annual rate of growth in earnings over the past five years for the stocks now in a fund.

Equity Exposure. A measure that reflects a fund’s investments in stocks and stock futures. Any holdings in short-term reserves are excluded.

Expense Ratio. A fund’s total annual operating expenses expressed as a percentage of the fund’s average net assets. The expense ratio includes management and administrative expenses, but does not include the transaction costs of buying and selling portfolio securities.

Fair-Value Pricing. Fair-value adjustments, which are required by the Securities and Exchange Commission, address pricing discrepancies that may arise because of time-zone differences among global stock markets. Foreign stocks may trade on exchanges that close many hours before a fund’s closing share price is calculated in the United States, generally at 4 p.m., Eastern time. In the hours between the foreign close and the U.S. close, the value of these foreign securities may change—because of company-specific announcements or market-wide developments, for example. Such price changes are not immediately reflected in international index values. Fair-value pricing takes such changes into account in calculating the fund’s daily net asset value, thus ensuring that the NAV doesn’t include “stale” prices. The result can be a temporary divergence between the return of the fund and that of its benchmark index—a difference that usually corrects itself when the foreign markets reopen.

Inception Date. The date on which the assets of a fund (or one of its share classes) are first invested in accordance with the fund’s investment objective. For funds with a subscription period, the inception date is the day after that period ends. Investment performance is measured from the inception date.

Median Market Cap. An indicator of the size of companies in which a fund invests; the midpoint of market capitalization (market price x shares outstanding) of a fund’s stocks, weighted by the proportion of the fund’s assets invested in each stock. Stocks representing half of the fund’s assets have market capitalizations above the median, and the rest are below it.

Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share.

For a fund, the weighted average price/book ratio of the stocks it holds.

36


 

Price/Earnings Ratio. The ratio of a stock’s current price to its per-share earnings over the past year. For a fund, the weighted average P/E of the stocks it holds. P/E is an indicator of market expectations about corporate prospects; the higher the P/E, the greater the expectations for a company’s future growth.

R-Squared. A measure of how much of a fund’s past returns can be explained by the returns from the market in general, as measured by a given index. If a fund’s total returns were precisely synchronized with an index’s returns, its R-squared would be 1.00. If the fund’s returns bore no relationship to the index’s returns, its R-squared would be 0. For this report, R-squared is based on returns over the past 36 months for both the fund and the index.

Return on Equity. The annual average rate of return generated by a company during the past five years for each dollar of shareholder’s equity (net income divided by shareholder’s equity). For a fund, the weighted average return on equity for the companies whose stocks it holds.

Short-Term Reserves. The percentage of a fund invested in highly liquid, short-term securities that can be readily converted to cash.

Turnover Rate. An indication of the fund’s trading activity. Funds with high turnover rates incur higher transaction costs and may be more likely to distribute capital gains (which may be taxable to investors). The turnover rate excludes in-kind transactions, which have minimal impact on costs.

Benchmark Information

Spliced Total World Stock Index: FTSE All-World Index through December 18, 2011, and FTSE
Global All Cap Index thereafter. Benchmark returns are adjusted for withholding taxes.

37


 

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The People Who Govern Your Fund

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them on an at-cost basis.

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 200 Vanguard funds.

Information for each trustee and executive officer of the fund appears below. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

Interested Trustee1

F. William McNabb III

Born 1957. Trustee Since July 2009. Chairman of the Board. Principal Occupation(s) During the Past Five Years and Other Experience: Chairman of the Board of The Vanguard Group, Inc., and of each of the investment companies served by The Vanguard Group, since January 2010; Chief Executive Officer and Director of The Vanguard Group and President and Chief Executive Officer of each of the investment companies served by The Vanguard Group, since 2008; Director of Vanguard Marketing Corporation; President of The Vanguard Group (2008–2017); Managing Director of The Vanguard Group (1995–2008).

Independent Trustees

Emerson U. Fullwood

Born 1948. Trustee Since January 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Executive Chief Staff and Marketing Officer for North America and Corporate Vice President (retired 2008) of Xerox Corporation (document management products and services); Executive in Residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology; Lead Director of SPX FLOW, Inc. (multi-industry manufacturing); Director of the United Way of Rochester, the University of Rochester Medical Center, Monroe Community College Foundation, North Carolina A&T University, and Roberts Wesleyan College; Trustee of the University of Rochester.

Rajiv L. Gupta

Born 1945. Trustee Since December 2001.2 Principal Occupation(s) During the Past Five Years and Other Experience: Chairman and Chief Executive Officer (retired 2009) and President (2006–2008) of Rohm and Haas Co. (chemicals); Director of Arconic Inc. (diversified manufacturer), HP Inc. (printer and personal computer manufacturing), and Delphi Automotive plc (automotive components); Senior Advisor at New Mountain Capital.

Amy Gutmann

Born 1949. Trustee Since June 2006. Principal Occupation(s) During the Past Five Years and Other Experience: President of the University of Pennsylvania; Christopher H. Browne

1 Mr. McNabb is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.
2 December 2002 for Vanguard Equity Income Fund, the Vanguard Municipal Bond Funds, and the Vanguard State Tax-Exempt Funds.


 

Distinguished Professor of Political Science, School of Arts and Sciences, and Professor of Communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania; Trustee of the National Constitution Center.

JoAnn Heffernan Heisen

Born 1950. Trustee Since July 1998. Principal Occupation(s) During the Past Five Years and Other Experience: Corporate Vice President and Member of the Executive Committee (1997–2008), Chief Global Diversity Officer (retired 2008), Vice President and Chief Information Officer (1997–2006), Controller (1995–1997), Treasurer (1991–1995), and Assistant Treasurer (1989–1991) of Johnson & Johnson (pharmaceuticals/medical devices/ consumer products); Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation; Member of the Advisory Board of the Institute for Women’s Leadership at Rutgers University.

F. Joseph Loughrey

Born 1949. Trustee Since October 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2009) of Cummins Inc. (industrial machinery); Chairman of the Board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education; Director of the V Foundation for Cancer Research; Member of the Advisory Council for the College of Arts and Letters and Chair of the Advisory Board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

Mark Loughridge

Born 1953. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Senior Vice President and Chief Financial Officer (retired 2013) at IBM (information technology services); Fiduciary Member of IBM’s Retirement Plan Committee (2004–2013); Member of the Council on Chicago Booth.

Scott C. Malpass

Born 1962. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Chief Investment Officer and Vice President at the University of Notre Dame; Assistant Professor of Finance at the Mendoza College of Business at Notre Dame; Member of the Notre Dame 403(b) Investment Committee, the Board of Advisors for Spruceview Capital Partners, the Board of Catholic Investment Services, Inc. (investment advisor), and the Board of Superintendence of the Institute for the Works of Religion; Chairman of the Board of TIFF Advisory Services, Inc. (investment advisor).

André F. Perold

Born 1952. Trustee Since December 2004. Principal Occupation(s) During the Past Five Years and Other Experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011); Chief Investment Officer and Co-Managing Partner of HighVista Strategies LLC (private investment firm); Overseer of the Museum of Fine Arts Boston.

Peter F. Volanakis

Born 1955. Trustee Since July 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2010) of Corning Incorporated (communications equipment); Chairman of the Board of Trustees of Colby-Sawyer College; Member of the Board of Hypertherm, Inc. (industrial cutting systems, software, and consumables).


 

Executive Officers

Glenn Booraem

Born 1967. Investment Stewardship Officer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Treasurer (2015–2017), Controller (2010–2015), and Assistant Controller (2001–2010) of each of the investment companies served by The Vanguard Group.

Thomas J. Higgins

Born 1957. Chief Financial Officer Since September 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Chief Financial Officer of each of the investment companies served by The Vanguard Group; Treasurer of each of the investment companies served by The Vanguard Group (1998–2008).

Peter Mahoney

Born 1974. Controller Since May 2015. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Controller of each of the investment companies served by The Vanguard Group; Head of International Fund Services at The Vanguard Group (2008–2014).

Anne E. Robinson

Born 1970. Secretary Since September 2016. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; General Counsel of The Vanguard Group; Secretary of The Vanguard Group and of each of the investment companies served by The Vanguard Group; Director and Senior Vice President of Vanguard Marketing Corporation; Managing Director and General Counsel of Global Cards and Consumer Services at Citigroup (2014–2016); Counsel at American Express (2003–2014).

Michael Rollings

Born 1963. Treasurer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; Treasurer of each of the investment companies served by The Vanguard Group; Director of Vanguard Marketing Corporation; Executive Vice President and Chief Financial Officer of MassMutual Financial Group (2006–2016).

Vanguard Senior Management Team
 
Mortimer J. Buckley Chris D. McIsaac
Gregory Davis James M. Norris
John James Thomas M. Rampulla
Martha G. King Karin A. Risi
John T. Marcante  
 
 
Chairman Emeritus and Senior Advisor
 
John J. Brennan  
Chairman, 1996–2009  
Chief Executive Officer and President, 1996–2008
 
 
Founder  
 
John C. Bogle  
Chairman and Chief Executive Officer, 1974–1996

 


 

 

  P.O. Box 2600
  Valley Forge, PA 19482-2600
 
 
 
Connect with Vanguard® > vanguard.com
 
 
 
Fund Information > 800-662-7447  
 
Direct Investor Account Services > 800-662-2739 London Stock Exchange Group companies include FTSE
Institutional Investor Services > 800-523-1036 International Limited (”FTSE”), Frank Russell Company
  (”Russell”), MTS Next Limited (”MTS”), and FTSE TMX
Text Telephone for People Global Debt Capital Markets Inc. (”FTSE TMX”). All
Who Are Deaf or Hard of Hearing > 800-749-7273 rights reserved. ”FTSE®”, ”Russell®”, ”MTS®”, ”FTSE
This material may be used in conjunction TMX®” and ”FTSE Russell” and other service marks
  and trademarks related to the FTSE or Russell indexes
with the offering of shares of any Vanguard are trademarks of the London Stock Exchange Group
fund only if preceded or accompanied by companies and are used by FTSE, MTS, FTSE TMX and
the fund’s current prospectus. Russell under licence. All information is provided for
  information purposes only. No responsibility or liability
All comparative mutual fund data are from Lipper, a can be accepted by the London Stock Exchange Group
Thomson Reuters Company, or Morningstar, Inc., unless companies nor its licensors for any errors or for any
otherwise noted. loss from use of this publication. Neither the London
You can obtain a free copy of Vanguard’s proxy voting Stock Exchange Group companies nor any of its
guidelines by visiting vanguard.com/proxyreporting or by licensors make any claim, prediction, warranty or
calling Vanguard at 800-662-2739. The guidelines are representation whatsoever, expressly or impliedly,
also available from the SEC’s website, sec.gov. In either as to the results to be obtained from the use of
addition, you may obtain a free report on how your fund the FTSE Indexes or the fitness or suitability of the
voted the proxies for securities it owned during the 12 Indexes for any particular purpose to which they might
months ended June 30. To get the report, visit either be put.
vanguard.com/proxyreporting or sec.gov. The Industry Classification Benchmark (”ICB”) is owned
You can review and copy information about your fund at by FTSE. FTSE does not accept any liability to any
the SEC’s Public Reference Room in Washington, D.C. To person for any loss or damage arising out of any error
find out more about this public service, call the SEC at or omission in the ICB.
202-551-8090. Information about your fund is also  
available on the SEC’s website, and you can receive  
copies of this information, for a fee, by sending a  
request in either of two ways: via email addressed to  
publicinfo@sec.gov or via regular mail addressed to the  
Public Reference Section, Securities and Exchange  
Commission, Washington, DC 20549-1520.  
  © 2017 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
 
  Q6280 122017

 



Annual Report | October 31, 2017

Vanguard FTSE International Index Funds

Vanguard FTSE All-World ex-US Index Fund

Vanguard FTSE All-World ex-US Small-Cap Index Fund


 

Vanguard’s Principles for Investing Success

We want to give you the best chance of investment success. These principles, grounded in Vanguard’s research and experience, can put you on the right path.

Goals. Create clear, appropriate investment goals.

Balance. Develop a suitable asset allocation using broadly diversified funds. Cost. Minimize cost.

Discipline. Maintain perspective and long-term discipline.

A single theme unites these principles: Focus on the things you can control.

We believe there is no wiser course for any investor.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 4
FTSE All-World ex-US Index Fund. 7
FTSE All-World ex-US Small-Cap Index Fund. 36
Your Fund’s After-Tax Returns. 61
About Your Fund’s Expenses. 62
Glossary. 64

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises
or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this
report. Of course, the risks of investing in your fund are spelled out in the prospectus.
See the Glossary for definitions of investment terms used in this report.
About the cover: Nautical images have been part of Vanguard’s rich heritage since its start in 1975. For an
incoming ship, a lighthouse offers a beacon and safe path to shore. You can similarly depend on Vanguard to put
you first––and light the way––as you strive to meet your financial goals. Our client focus and low costs,
stemming from our unique ownership structure, assure that your interests are paramount.


 

Your Fund’s Performance at a Glance

• Global stocks rallied during the 12 months ended October 31, 2017, amid a broad-based expansion featuring economic growth, supportive monetary policy, and benign inflation.

• For the fiscal year, Vanguard FTSE All-World ex-US Index Fund returned a little less than 24% and Vanguard FTSE All-World ex-US Small-Cap Index Fund returned about 24%.

• Both funds tracked their benchmark indexes. The FTSE All-World ex-US Index Fund’s results slightly exceeded the average return of peer funds, while the FTSE All-World ex-US Small-Cap Index Fund lagged its peers.

• Returns for European stocks, which represent a sizable portion of both funds’ assets, were especially robust. In general, the region’s economies continued to show strength in employment and industrial production.

• For both funds, strong returns from the financial and the industrial sectors helped power overall performance.

Total Returns: Fiscal Year Ended October 31, 2017  
  Total
  Returns
Vanguard FTSE All-World ex-US Index Fund  
Investor Shares 23.62%
ETF Shares  
Market Price 23.77
Net Asset Value 23.73
Admiral™ Shares 23.75
Institutional Shares 23.74
Institutional Plus Shares 23.79
FTSE All-World ex US Index 23.48
International Funds Average 23.19
International Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.  

 

1


 

  Total
  Returns
Vanguard FTSE All-World ex-US Small-Cap Index Fund  
Investor Shares 24.02%
ETF Shares  
Market Price 24.15
Net Asset Value 24.16
Institutional Shares 24.18
FTSE Global Small Cap ex US Index 23.82
International Small-Cap Funds Average 26.72
International Small-Cap Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.  

Admiral Shares carry lower expenses and are available to investors who meet certain account-balance requirements. Institutional Shares
and Institutional Plus Shares are available to certain institutional investors who meet specific administrative, service, and account-size
criteria. The Vanguard ETF® Shares shown are traded on the NYSE Arca exchange and are available only through brokers. The table
provides ETF returns based on both the NYSE Arca market price and the net asset value for a share. U.S. Pat. Nos. 6,879,964; 7,337,138;
7,720,749; 7,925,573; 8,090,646; and 8,417,623.
For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock
Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about
how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the
Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market
price was above or below the NAV.

 

Total Returns: Ten Years Ended October 31, 2017  
  Average
  Annual Return
FTSE All-World ex-US Index Fund Investor Shares 1.00%
FTSE All-World ex US Index 1.36
International Funds Average 0.84
International Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.  
FTSE All-World ex-US Small-Cap Index Fund Investor Shares (Returns since inception: 4/2/2009) 12.55%
FTSE Global Small Cap ex US Index 13.04
International Small-Cap Funds Average 14.67
International Small-Cap Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.  

 

The figures shown represent past performance, which is not a guarantee of future results. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost.

2

 


 

Expense Ratios            
Your Fund Compared With Its Peer Group          
  Investor ETF Admiral Institutional Institutional Peer Group
  Shares Shares Shares Shares Plus Shares Average
FTSE All-World ex-US Index            
Fund 0.23% 0.11% 0.11% 0.10% 0.07% 1.34%
FTSE All-World ex-US            
Small-Cap Index Fund 0.27 0.13 0.12 1.56

The fund expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year.
For the fiscal year ended October 31, 2017, the funds’ expense ratios were: for the FTSE All-World ex-US Index Fund, 0.23% for Investor
Shares, 0.11% for ETF Shares, 0.11% for Admiral Shares, 0.10% for Institutional Shares, and 0.07% for Institutional Plus Shares; and for
the FTSE All-World ex-US Small-Cap Index Fund, 0.25% for Investor Shares, 0.13% for ETF Shares, and 0.12% for Institutional Shares. The
peer-group expense ratios are derived from data provided by Lipper, a Thomson Reuters Company, and capture information through
year-end 2016.

Peer groups: For the FTSE All-World ex-US Index Fund, International Funds; and for the FTSE All-World ex-US Small-Cap Index Fund,
International Small-Cap Funds.

3


 

Chairman’s Perspective

 

 

 

 

Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

When I find outstanding products or services, I’m likely to be loyal to them. And my loyalty usually gets rewarded as I experience consistently high quality––whether it’s from a favorite restaurant or a favorite author. What’s past, in most cases, is prologue.

As tempting as it is to apply this rationale to investing—for example, if technology stocks have done well this year, they’re bound to do well the next—it’s not all that helpful and can actually be counterproductive. You’ve heard it many times: Past performance cannot be used to predict future returns.

Taking a new approach

The caution about past performance is so familiar that investors are apt to treat it as mere background noise. That’s why past-performance bias merited a fresh look from Vanguard’s Investment Strategy Group, which tackled the issue last year in a research paper. (I encourage you to read the full paper, Reframing Investor Choices: Right Mindset, Wrong Market, at vanguard.com/research.)

Our strategists were hardly the first to delve into the topic, but they approached it in a new way. They started with the premise that it’s perfectly understandable for investors to lean heavily on past performance, because that works well in many areas of life. After all, as the paper describes, in lots of other industries and realms, performance from one time period

4


 

to another is extremely consistent. The researchers looked at everything from cars to fine restaurants to heart surgeons, and in all these examples, past performance was a good predictor of later outcomes.

It’s different with investing

In a nutshell, our brains typically are rewarded and our satisfaction is boosted when we use past performance as a guide for navigating decisions, big and small. But when applied to investing, this method breaks down.

Why? Among other reasons, top-performing asset classes one year tend not to repeat as leaders the next. Strong past performance leads to higher valuations, making an investment, all else being equal, less attractive in the future. The data are quite overwhelming in this regard.

By allowing past performance to inform their decisions, individual and institutional investors inadvertently end up as momentum investors, putting them on a treadmill of buying high and selling low.

A path to better decision-making

Of course, many investors are already aware of the pitfalls of projecting past performance into the future. The real question is, what can we all do about it? What does it take to go from having a general awareness to actually changing our behavior?

Market Barometer      
    Average Annual Total Returns
    Periods Ended October 31, 2017
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) 23.67% 10.58% 15.18%
Russell 2000 Index (Small-caps) 27.85 10.12 14.49
Russell 3000 Index (Broad U.S. market) 23.98 10.53 15.12
FTSE All-World ex US Index (International) 23.48 6.12 7.67
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 0.90% 2.40% 2.04%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 2.19 3.04 3.00
Citigroup Three-Month U.S. Treasury Bill Index 0.71 0.31 0.20
 
CPI      
Consumer Price Index 2.04% 1.28% 1.29%

 

5


 

Acknowledging that such change isn’t easy, our strategists offered a few ideas for reframing how investors approach their decisions. These recommendations were targeted at advisors working with clients, but they apply equally to individuals and institutions:

• Educate yourself. The more investors understand why a method that works so well in other areas of life—relying on past performance to drive decisions—doesn’t carry over to investing, the better off they’ll be.

• Be disciplined. The bias toward past performance is ingrained in everybody, professionals included, and shifting away from it can be difficult. But the long-term benefits make the effort worthwhile.

• Focus on what you can control. It’s always most constructive for investors to concentrate on what’s actually within their control, such as setting goals, following long-term portfolio construction principles, selecting low-cost investments, and rebalancing periodically.

Here’s to keeping the past in the rearview mirror. And, as always, thank you for investing with Vanguard.

Sincerely,

 

 

F. William McNabb III
Chairman and Chief Executive Officer
November 14, 2017

6


 

FTSE All-World ex-US Index Fund

Fund Profile
As of October 31, 2017

Share-Class Characteristics          
  Investor   Admiral Institutional Institutional
  Shares ETF Shares Shares Shares Plus Shares
Ticker Symbol VFWIX VEU VFWAX VFWSX VFWPX
Expense Ratio1 0.23% 0.11% 0.11% 0.10% 0.07%

 

Portfolio Characteristics    
    FTSE
    All-World
  Fund ex US Index
Number of Stocks 2,669 2,539
Median Market Cap $33.3B $33.6B
Price/Earnings Ratio 16.1x 16.1x
Price/Book Ratio 1.7x 1.7x
Return on Equity 12.0% 12.0%
Earnings Growth Rate 6.6% 6.9%
Dividend Yield 2.7% 2.8%
Turnover Rate 4%
Short-Term Reserves -0.4%

 

Sector Diversification (% of equity exposure)
    FTSE
    All-World
  Fund ex US Index
Basic Materials 7.7% 7.7%
Consumer Goods 16.8 16.8
Consumer Services 7.7 7.7
Financials 26.2 26.2
Health Care 7.2 7.2
Industrials 14.2 14.2
Oil & Gas 6.5 6.5
Technology 6.3 6.3
Telecommunications 4.1 4.1
Utilities 3.3 3.3

 

Sector categories are based on the Industry Classification
Benchmark (“ICB”), except for the “Other” category (if applicable),
which includes securities that have not been provided an ICB
classification as of the effective reporting period.

 

Volatility Measures  
  FTSE
  All-World
  ex US Index
R-Squared 0.98
Beta 0.94
These measures show the degree and timing of the fund’s
fluctuations compared with the index over 36 months.

 

Ten Largest Holdings (% of total net assets)
Samsung Electronics Consumer  
Co. Ltd. Electronics 1.2%
Royal Dutch Shell plc Integrated Oil & Gas 1.2
Nestle SA Food Products 1.2
Tencent Holdings Ltd. Internet 1.1
Taiwan Semiconductor    
Manufacturing Co. Ltd. Semiconductors 0.9
HSBC Holdings plc Banks 0.9
Novartis AG Pharmaceuticals 0.9
Roche Holding AG Pharmaceuticals 0.8
Toyota Motor Corp. Automobiles 0.7
Unilever Personal Products 0.7
Top Ten   9.6%
The holdings listed exclude any temporary cash investments and equity index products.

 

Allocation by Region (% of equity exposure)

1 The expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year. For the
fiscal year ended October 31, 2017, the expense ratios were 0.23% for Investor Shares, 0.11% for ETF Shares, 0.11% for Admiral Shares, 0.10%
for Institutional Shares, and 0.07% for Institutional Plus Shares.

7


 

FTSE All-World ex-US Index Fund

Market Diversification (% of equity exposure)
    FTSE
    All-World
    ex US
  Fund Index
Europe    
United Kingdom 12.5% 12.5%
France 7.1 7.1
Germany 6.8 6.7
Switzerland 5.6 5.6
Netherlands 2.4 2.4
Spain 2.3 2.4
Sweden 2.0 2.0
Italy 1.8 1.8
Denmark 1.2 1.2
Other 2.5 2.6
Subtotal 44.2% 44.3%
Pacific    
Japan 17.7% 17.5%
Australia 4.9 4.9
South Korea 3.7 3.7
Hong Kong 2.6 2.6
Other 1.1 1.2
Subtotal 30.0% 29.9%
Emerging Markets    
China 5.8% 5.8%
Taiwan 2.8 2.8
India 2.5 2.4
Brazil 1.8 1.8
South Africa 1.6 1.6
Other 5.1 5.2
Subtotal 19.6% 19.6%
North America    
Canada 5.9% 5.9%
Middle East 0.3% 0.3%

 

8

 


 

FTSE All-World ex-US Index Fund

Performance Summary

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

Cumulative Performance: October 31, 2007, Through October 31, 2017
Initial Investment of $10,000


    Average Annual Total Returns  
    Periods Ended October 31, 2017  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
  FTSE All-World ex-US Index Fund        
  Investor Shares 23.62% 7.49% 1.00% $11,046
• • • • • • • FTSE All-World ex US Index 23.48 7.67 1.36 11,450
 
 
– – – – FTSE International Global All Funds Cap Average ex US Index 23.52 23.19 7.79 7.97 1.40 0.84 11,490 10,870
International Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.    

 

          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
FTSE All-World ex-US Index Fund ETF        
Shares Net Asset Value   23.73% 7.64% 1.15% $11,207
FTSE All-World ex US Index   23.48 7.67 1.36 11,450
FTSE Global All Cap ex US Index   23.52 7.79 1.40 11,490

 

See Financial Highlights for dividend and capital gains information.

9


 

FTSE All-World ex-US Index Fund

  Average Annual Total Returns  
  Periods Ended October 31, 2017  
      Since Final Value
  One Five Inception of a $10,000
  Year Years (9/27/2011) Investment
FTSE All-World ex-US Index Fund Admiral        
Shares 23.75% 7.64% 8.43% $16,372
FTSE All-World ex US Index 23.48 7.67 8.39 16,339
FTSE Global All Cap ex US Index 23.52 7.79 8.48 16,423
"Since Inception" performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standards.

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
FTSE All-World ex-US Index Fund        
Institutional Shares 23.74% 7.65% 1.19% $5,626,187
 
FTSE All-World ex US Index 23.48 7.67 1.36 5,725,221
 
FTSE Global All Cap ex US Index 23.52 7.79 1.40 5,744,800

 

      Since Final Value
  One Five Inception of a $100,000,000
  Year Years (12/16/2010) Investment
FTSE All-World ex-US Index Fund Institutional        
Plus Shares 23.79% 7.68% 5.19% $141,552,050
FTSE All-World ex US Index 23.48 7.67 5.25 142,194,690
FTSE Global All Cap ex US Index 23.52 7.79 5.30 142,651,256
"Since Inception" performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative
standards.        

 

Cumulative Returns of ETF Shares: October 31, 2007, Through October 31, 2017  
  One Five Ten
  Year Years Years
FTSE All-World ex-US Index Fund ETF Shares      
Market Price 23.77% 44.42% 11.88%
FTSE All-World ex-US Index Fund ETF Shares Net      
Asset Value 23.73 44.50 12.07
FTSE All-World ex US Index 23.48 44.68 14.50

 

10


 

FTSE All-World ex-US Index Fund

Fiscal-Year Total Returns (%): October 31, 2007, Through October 31, 2017


Index returns are adjusted for withholding taxes applicable to U.S.-based mutual funds organized as Delaware statutory trusts.

Average Annual Total Returns: Periods Ended September 30, 2017

This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.

Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Ten
  Date Year Years Years
Investor Shares 3/8/2007 19.26% 7.21% 1.43%
ETF Shares 3/2/2007      
Market Price   19.34 7.38 1.56
Net Asset Value   19.40 7.37 1.58
Admiral Shares 9/27/2011 19.39 7.37 8.201
Institutional Shares 4/30/2007 19.40 7.38 1.62
Institutional Plus Shares 12/16/2010 19.44 7.41 4.951
1 Return since inception.        

 

11


 

FTSE All-World ex-US Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2017

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website. Forms N-Q may also be reviewed and copied at the SEC’s Public Reference Room (see the back cover of this report for further information).

    Market Percentage
    Value of Net
  Shares ($000) Assets
Common Stocks      
Australia      
Commonwealth Bank of Australia 2,834,768 168,627 0.5%
Westpac Banking Corp. 5,558,914 140,804 0.4%
Australia & New Zealand Banking Group Ltd. 4,809,165 110,364 0.3%
National Australia Bank Ltd. 4,376,506 109,659 0.3%
BHP Billiton Ltd. 5,264,123 108,382 0.3%
Australia—Other †   1,080,434 3.0%
    1,718,270 4.8%
 
Austria †   62,137 0.2%
 
Belgium      
Anheuser-Busch InBev SA/NV 1,242,698 152,383 0.4%
Belgium—Other †   144,365 0.4%
    296,748 0.8%
Brazil      
CPFL Energia SA 661,392 5,560 0.0%
Brazil—Other †   620,223 1.7%
    625,783 1.7%
Canada      
Royal Bank of Canada 2,383,587 186,367 0.5%
Toronto-Dominion Bank 3,039,113 172,768 0.5%
Bank of Nova Scotia 1,974,245 127,444 0.4%
Enbridge Inc. 2,674,644 102,790 0.3%
Canadian National Railway Co. 1,228,269 98,835 0.3%
1 Canada—Other †   1,414,392 3.9%
    2,102,596 5.9%

 

12


 

FTSE All-World ex-US Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
Chile †   107,506 0.3%
 
China      
Tencent Holdings Ltd. 8,741,107 392,870 1.1%
China Construction Bank Corp. 146,462,544 130,896 0.4%
Industrial & Commercial Bank of China Ltd. 128,030,640 101,870 0.3%
China Mobile Ltd. 8,664,567 87,151 0.3%
Bank of China Ltd. 124,806,788 62,374 0.2%
China Life Insurance Co. Ltd. 12,214,341 40,494 0.1%
CNOOC Ltd. 26,187,400 35,756 0.1%
China Petroleum & Chemical Corp. 42,031,284 30,864 0.1%
PetroChina Co. Ltd. 34,147,234 22,322 0.1%
China Overseas Land & Investment Ltd. 6,347,820 20,611 0.1%
Agricultural Bank of China Ltd. 41,894,233 19,732 0.1%
PICC Property & Casualty Co. Ltd. 7,462,396 14,809 0.1%
China Shenhua Energy Co. Ltd. 5,596,388 13,388 0.1%
China Resources Land Ltd. 4,442,214 13,258 0.1%
* China Unicom Hong Kong Ltd. 8,958,713 12,711 0.1%
CITIC Ltd. 8,197,275 12,008 0.0%
China Telecom Corp. Ltd. 23,215,541 11,643 0.0%
China CITIC Bank Corp. Ltd. 13,800,362 8,892 0.0%
China Communications Construction Co. Ltd. 7,297,026 8,863 0.0%
China Taiping Insurance Holdings Co. Ltd. 2,433,564 8,025 0.0%
Sinopharm Group Co. Ltd. 1,752,503 7,847 0.0%
China Resources Beer Holdings Co. Ltd. 2,635,860 7,607 0.0%
1 People’s Insurance Co. Group of China Ltd. 14,501,161 6,902 0.0%
Dongfeng Motor Group Co. Ltd. 4,784,627 6,568 0.0%
CRRC Corp. Ltd. 6,499,053 6,413 0.0%
China Everbright International Ltd. 4,520,967 6,378 0.0%
China Merchants Port Holdings Co. Ltd. 2,020,031 6,319 0.0%
China Resources Power Holdings Co. Ltd. 3,230,409 6,212 0.0%
China Cinda Asset Management Co. Ltd. 15,862,693 6,164 0.0%
1 Postal Savings Bank of China Co. Ltd. 9,481,000 5,726 0.0%
1 CGN Power Co. Ltd. 19,354,267 5,686 0.0%
1 China Galaxy Securities Co. Ltd. 6,147,777 5,364 0.0%
China Railway Group Ltd. 6,085,352 4,891 0.0%
* Zhuzhou CRRC Times Electric Co. Ltd. 818,209 4,789 0.0%
China State Construction International Holdings Ltd. 3,382,567 4,753 0.0%
China Resources Gas Group Ltd. 1,296,547 4,749 0.0%
1 China Huarong Asset Management Co. Ltd. 9,509,874 4,473 0.0%
China Longyuan Power Group Corp. Ltd. 5,448,785 4,041 0.0%
Kunlun Energy Co. Ltd. 4,309,523 3,997 0.0%
Beijing Capital International Airport Co. Ltd. 2,400,557 3,942 0.0%
China Railway Construction Corp. Ltd. 3,060,245 3,843 0.0%
China Jinmao Holdings Group Ltd. 7,954,005 3,575 0.0%
Sinopec Shanghai Petrochemical Co. Ltd. 5,642,331 3,366 0.0%
Air China Ltd. 2,938,115 2,801 0.0%
Huaneng Renewables Corp. Ltd. 7,951,075 2,734 0.0%
China Oilfield Services Ltd. 2,946,300 2,616 0.0%
China Everbright Bank Co. Ltd. 4,932,872 2,329 0.0%
China Southern Airlines Co. Ltd. 3,075,017 2,273 0.0%
China Reinsurance Group Corp. 10,063,576 2,234 0.0%
AviChina Industry & Technology Co. Ltd. 3,816,954 2,217 0.0%
Chongqing Changan Automobile Co. Ltd. Class B 1,473,451 1,929 0.0%

 

13


 

FTSE All-World ex-US Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
1 Sinopec Engineering Group Co. Ltd. 2,244,381 1,925 0.0%
  China Resources Cement Holdings Ltd. 2,821,334 1,907 0.0%
1 China Railway Signal & Communication Corp. Ltd. 2,399,068 1,889 0.0%
  China Agri-Industries Holdings Ltd. 3,527,447 1,724 0.0%
^ China Coal Energy Co. Ltd. 3,451,638 1,581 0.0%
  China Power International Development Ltd. 4,905,787 1,560 0.0%
  Angang Steel Co. Ltd. 1,769,537 1,551 0.0%
  Metallurgical Corp. of China Ltd. 4,379,562 1,450 0.0%
  China National Materials Co. Ltd. 1,960,369 1,356 0.0%
  Sinotrans Ltd. 2,648,860 1,273 0.0%
  China Eastern Airlines Corp. Ltd. 2,309,145 1,173 0.0%
  Huadian Fuxin Energy Corp. Ltd. 4,004,005 1,043 0.0%
  China BlueChemical Ltd. 3,067,895 917 0.0%
  China Machinery Engineering Corp. 1,415,516 868 0.0%
  China Foods Ltd. 1,206,843 763 0.0%
^ CSSC Offshore and Marine Engineering Group Co. Ltd. 410,873 701 0.0%
  Shanghai Baosight Software Co. Ltd. Class B 387,642 595 0.0%
*,^ Sinopec Oilfield Service Corp. 3,300,643 568 0.0%
^ CITIC Resources Holdings Ltd. 4,332,222 473 0.0%
*,^ Sinofert Holdings Ltd. 2,319,208 411 0.0%
  China National Accord Medicines Corp. Ltd. Class B 74,430 391 0.0%
1,2 China—Other †   843,016 2.4%
      2,058,410 5.7%
 
Colombia †   35,251 0.1%
 
1Czech Republic †   14,960 0.0%
 
Denmark      
  Novo Nordisk A/S Class B 2,881,455 143,464 0.4%
1 Denmark—Other †   295,036 0.8%
      438,500 1.2%
 
Egypt †   12,254 0.0%
 
Finland †   248,970 0.7%
 
France      
  TOTAL SA 3,612,883 201,378 0.6%
  Sanofi 1,787,270 169,233 0.5%
  BNP Paribas SA 1,768,879 138,062 0.4%
  LVMH Moet Hennessy Louis Vuitton SE 407,293 121,482 0.3%
1 France—Other †   1,874,405 5.2%
      2,504,560 7.0%
Germany      
  Siemens AG 1,244,646 178,774 0.5%
  Bayer AG 1,356,155 176,409 0.5%
  Allianz SE 729,399 170,287 0.5%
  SAP SE 1,483,441 169,504 0.5%
  BASF SE 1,497,220 163,728 0.4%
  Daimler AG 1,577,528 131,703 0.4%
1 Germany—Other †   1,402,106 3.9%
      2,392,511 6.7%

 

14


 

FTSE All-World ex-US Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
Greece †   28,493 0.1%
 
Hong Kong      
  AIA Group Ltd. 19,780,852 149,058 0.4%
  BOC Hong Kong Holdings Ltd. 5,877,196 28,006 0.1%
*,1 China Resources Pharmaceutical Group Ltd. 2,579,000 3,142 0.0%
  Nexteer Automotive Group Ltd. 1,317,000 2,579 0.0%
1 BOC Aviation Ltd. 304,000 1,635 0.0%
  China Travel International Investment Hong Kong Ltd. 3,855,542 1,430 0.0%
1,2 Hong Kong—Other †   750,704 2.1%
      936,554 2.6%
 
Hungary †   31,741 0.1%
 
India      
  Nestle India Ltd. 36,645 4,094 0.0%
1 India—Other †   860,125 2.4%
      864,219 2.4%
 
Indonesia †   171,825 0.5%
 
2Ireland †   62,227 0.2%
 
Israel †   109,652 0.3%
 
Italy      
*,1 Pirelli & C SPA 569,259 4,476 0.0%
1 Italy—Other †   641,547 1.8%
      646,023 1.8%
Japan      
  Toyota Motor Corp. 4,280,991 265,533 0.7%
  Mitsubishi UFJ Financial Group Inc. 21,051,359 142,794 0.4%
  SoftBank Group Corp. 1,393,568 123,501 0.4%
  Japan—Other †   5,734,556 16.0%
      6,266,384 17.5%
 
1,2Malaysia †   221,860 0.6%
 
2Malta †   0.0%
 
1Mexico †   278,242 0.8%
 
Netherlands      
^ Unilever NV 2,502,065 145,346 0.4%
  ING Groep NV 6,362,970 117,586 0.4%
1 Netherlands—Other †   582,346 1.6%
      845,278 2.4%
 
New Zealand †   54,848 0.2%
 
Norway †   161,039 0.4%

 

15


 

FTSE All-World ex-US Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
Other 3      
4 Vanguard FTSE Emerging Markets ETF 2,014,441 89,905 0.3%
Other—Other †   1,228 0.0%
    91,133 0.3%
 
Pakistan †   5,652 0.0%
 
Peru †   27,539 0.1%
 
Philippines †   113,349 0.3%
 
1Poland †   118,330 0.3%
 
Portugal †   38,252 0.1%
 
Qatar †   47,608 0.1%
 
1Russia †   296,326 0.8%
 
Singapore †   325,257 0.9%
 
South Africa      
Naspers Ltd. 697,355 169,898 0.5%
1,2 South Africa—Other †   391,932 1.1%
    561,830 1.6%
South Korea      
Samsung Electronics Co. Ltd. GDR 246,005 303,308 0.9%
Samsung Electronics Co. Ltd. 35,317 87,060 0.2%
Samsung Electronics Co. Ltd. Preference Shares 28,493 57,067 0.2%
1,2 South Korea—Other †   867,820 2.4%
    1,315,255 3.7%
Spain      
Banco Santander SA 25,861,481 175,325 0.5%
1 Spain—Other †   653,712 1.8%
    829,037 2.3%
 
Sweden †   715,163 2.0%
 
Switzerland      
Nestle SA 5,078,398 427,289 1.2%
Novartis AG 3,851,057 317,632 0.9%
Roche Holding AG 1,142,253 264,010 0.7%
Switzerland—Other †   981,801 2.8%
    1,990,732 5.6%
Taiwan      
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 5,995,410 253,786 0.7%
Taiwan—Other †   748,954 2.1%
    1,002,740 2.8%
 
Thailand †   255,168 0.7%

 

16


 

FTSE All-World ex-US Index Fund        
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
Turkey †     91,813 0.3%
 
United Arab Emirates †     72,031 0.2%
 
United Kingdom        
HSBC Holdings plc   32,873,861 321,020 0.9%
British American Tobacco plc   3,625,841 234,267 0.7%
Royal Dutch Shell plc Class A   7,406,705 233,164 0.6%
BP plc   31,567,035 214,110 0.6%
Royal Dutch Shell plc Class B   6,074,600 195,588 0.5%
GlaxoSmithKline plc   7,914,985 142,054 0.4%
AstraZeneca plc   2,075,465 140,429 0.4%
Diageo plc   4,046,199 138,174 0.4%
Vodafone Group plc   43,648,405 124,850 0.3%
Unilever plc   1,926,761 109,198 0.3%
Lloyds Banking Group plc   116,888,660 105,953 0.3%
Prudential plc   4,233,063 103,903 0.3%
1 United Kingdom—Other †     2,364,560 6.6%
      4,427,270 12.3%
Total Common Stocks (Cost $29,778,120)     35,621,326 99.4%5
 
  Coupon      
Preferred Stocks (Cost $ 415) †     428 0.0%
Temporary Cash Investments        
6,7 Vanguard Market Liquidity Fund 1.246% 5,193,756 519,427 1.5%
 
8,9U. S. Government and Agency Obligations †     15,473 0.0%
Total Temporary Cash Investments (Cost $534,893)     534,900 1.5%5
Total Investments (Cost $30,313,428)     36,156,654 100.9%

 

17


 

FTSE All-World ex-US Index Fund    
 
 
 
    Percentage
  Amount of Net
  ($000) Assets
Other Assets and Liabilities    
Other Assets    
Investment in Vanguard 2,124  
Receivables for Investment Securities Sold 167  
Receivables for Accrued Income 108,245  
Receivables for Capital Shares Issued 8,478  
Variation Margin Receivable—Futures Contracts 732  
Unrealized Appreciation—Forward Currency Contracts 1,033  
Other Assets 9 23,491  
Total Other Assets 144,270 0.4%
Liabilities    
Payables for Investment Securities Purchased (1,130)  
Collateral for Securities on Loan (431,519)  
Payables for Capital Shares Redeemed (7,779)  
Payables to Vanguard (13,188)  
Variation Margin Payable—Futures Contracts (353)  
Unrealized Depreciation—Forward Currency Contracts (6,028)  
Other Liabilities (59)  
Total Liabilities (460,056) (1.3%)
Net Assets 35,840,868 100.0%
 
 
At October 31, 2017, net assets consisted of:    
    Amount
    ($000)
Paid-in Capital   31,266,442
Undistributed Net Investment Income   67,906
Accumulated Net Realized Losses   (1,340,472)
Unrealized Appreciation (Depreciation)    
Investment Securities   5,843,226
Futures Contracts   10,307
Forward Currency Contracts   (4,995)
Foreign Currencies   (1,546)
Net Assets   35,840,868
 
 
Investor Shares—Net Assets    
Applicable to 29,963,651 outstanding $.001 par value shares of    
beneficial interest (unlimited authorization)   634,277
Net Asset Value Per Share—Investor Shares   $21.17
 
 
ETF Shares—Net Assets    
Applicable to 403,331,765 outstanding $.001 par value shares of    
beneficial interest (unlimited authorization)   21,639,662
Net Asset Value Per Share—ETF Shares   $53.65

 

18


 

FTSE All-World ex-US Index Fund  
 
 
 
  Amount
  ($000)
Admiral Shares—Net Assets  
Applicable to 159,028,494 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 5,303,545
Net Asset Value Per Share—Admiral Shares $33.35
 
Institutional Shares—Net Assets  
Applicable to 52,326,490 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 5,532,029
Net Asset Value Per Share—Institutional Shares $105.72
 
Institutional Plus Shares—Net Assets  
Applicable to 24,396,360 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 2,731,355
Net Asset Value Per Share—Institutional Plus Shares $111.96

 

See Note A in Notes to Financial Statements.
* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $336,037,000.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer,
represent 1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be
sold in transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate value
of these securities was $340,183,000, representing 0.9% of net assets.
2 Certain of the fund’s securities are valued using significant unobservable inputs.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Considered an affiliated company of the fund as the issuer is another member of The Vanguard Group.
5 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to
futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.9%,
respectively, of net assets.
6 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown
is the 7-day yield.
7 Includes $431,519,000 of collateral received for securities on loan.
8 Securities with a value of $11,600,000 have been segregated as initial margin for open futures contracts.
9 Securities with a value of $500,000 and cash of $4,900,000 have been segregated as collateral for open forward currency contracts.
ADR—American Depositary Receipt.
GDR—Global Depositary Receipt.

19


 

FTSE All-World ex-US Index Fund        
 
 
Derivative Financial Instruments Outstanding as of Period End    
Futures Contracts        
        ($000)
        Value and
    Number of   Unrealized
    Long (Short) Notional Appreciation
  Expiration Contracts Amount (Depreciation)
Long Futures Contracts        
Dow Jones EURO STOXX 50 December 2017 2,132 91,350 3,752
Topix Index December 2017 435 67,491 5,719
FTSE 100 Index December 2017 519 51,466 280
S&P ASX 200 Index December 2017 196 22,122 556
        10,307

 

Unrealized appreciation (depreciation) on open Dow Jones EURO STOXX 50 and FTSE 100 Index futures contracts is required to be treated as realized gain (loss) for tax purposes.

Forward Currency Contracts            
            Unrealized
  Contract         Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
Barclays Bank plc 12/20/17 EUR 60,200 USD 72,326 (1,993)
BNP Paribas 12/12/17 JPY 5,497,504 USD 50,946 (2,496)
Toronto-Dominion Bank 12/20/17 GBP 27,100 USD 36,083 (31)
Toronto-Dominion Bank 12/28/17 AUD 22,800 USD 18,235 (794)
BNP Paribas 12/20/17 EUR 13,626 USD 16,050 (130)
Toronto-Dominion Bank 12/20/17 EUR 10,764 USD 12,801 (225)
UBS AG 12/12/17 JPY 1,052,450 USD 9,406 (131)
Credit Suisse International 12/20/17 GBP 6,389 USD 8,370 129
Toronto-Dominion Bank 12/20/17 GBP 5,399 USD 7,141 40
JPMorgan Chase Bank, N.A. 12/12/17 JPY 772,860 USD 6,799 13
Citibank, N.A. 12/12/17 JPY 707,070 USD 6,286 (55)
JPMorgan Chase Bank, N.A. 12/20/17 GBP 4,497 USD 5,911 71
Barclays Bank plc 12/28/17 AUD 4,022 USD 3,128 (52)
Goldman Sachs International 12/28/17 AUD 3,236 USD 2,497 (22)
BNP Paribas 12/28/17 AUD 2,394 USD 1,862 (31)
Credit Suisse International 12/12/17 JPY 29,726 USD 275 (14)
BNP Paribas 12/12/17 USD 40,872 JPY 4,578,000 526
Toronto-Dominion Bank 12/20/17 USD 11,362 EUR 9,643 96
Toronto-Dominion Bank 12/12/17 USD 9,806 JPY 1,103,680 79

 

20


 

FTSE All-World ex-US Index Fund            
 
 
 
Forward Currency Contracts (continued)          
            Unrealized
  Contract         Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
Toronto-Dominion Bank 12/20/17 USD 6,633 GBP 5,027 (54)
Toronto-Dominion Bank 12/28/17 USD 2,620 AUD 3,350 58
UBS AG 12/28/17 USD 939 AUD 1,200 21
            (4,995)
AUD—Australian dollar.
EUR—Euro.
GBP—British Pound.
JPY—Japanese yen.
USD—U.S. dollar.

 

Unrealized appreciation (depreciation) on open forward currency contracts is treated as realized
gain (loss) for tax purposes.

See accompanying Notes, which are an integral part of the Financial Statements.

21


 

FTSE All-World ex-US Index Fund  
 
 
 
Statement of Operations  
 
 
  Year Ended
  October 31 2017
  ($000)
Investment Income  
Income  
Dividends1,2 858,205
Interest 2 896
Securities Lending—Net 15,140
Total Income 874,241
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 3,122
Management and Administrative—Investor Shares 993
Management and Administrative—ETF Shares 12,595
Management and Administrative—Admiral Shares 3,060
Management and Administrative—Institutional Shares 3,365
Management and Administrative—Institutional Plus Shares 913
Marketing and Distribution—Investor Shares 116
Marketing and Distribution—ETF Shares 815
Marketing and Distribution—Admiral Shares 392
Marketing and Distribution—Institutional Shares 103
Marketing and Distribution—Institutional Plus Shares 29
Custodian Fees 5,421
Auditing Fees 42
Shareholders’ Reports and Proxy—Investor Shares 55
Shareholders’ Reports and Proxy—ETF Shares 930
Shareholders’ Reports and Proxy—Admiral Shares 120
Shareholders’ Reports and Proxy—Institutional Shares 42
Shareholders’ Reports and Proxy—Institutional Plus Shares 22
Trustees’ Fees and Expenses 21
Total Expenses 32,156
Net Investment Income 842,085
Realized Net Gain (Loss)  
Investment Securities Sold 2 (227,585)
Futures Contracts 30,608
Foreign Currencies and Forward Currency Contracts (3,401)
Realized Net Gain (Loss) (200,378)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 2 5,767,921
Futures Contracts 4,155
Foreign Currencies and Forward Currency Contracts 4,174
Change in Unrealized Appreciation (Depreciation) 5,776,250
Net Increase (Decrease) in Net Assets Resulting from Operations 6,417,957

 

1 Dividends are net of foreign withholding taxes of $67,168,000.
2 Dividend income, interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from affiliated
companies of the fund were $1,455,000, $746,000, $721,000, and $6,786,000, respectively.

See accompanying Notes, which are an integral part of the Financial Statements.

22


 

FTSE All-World ex-US Index Fund    
 
 
Statement of Changes in Net Assets    
 
  Year Ended October 31,
  2017 2016
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 842,085 714,705
Realized Net Gain (Loss) (200,378) 37,290
Change in Unrealized Appreciation (Depreciation) 5,776,250 (527,012)
Net Increase (Decrease) in Net Assets Resulting from Operations 6,417,957 224,983
Distributions    
Net Investment Income    
Investor Shares (15,595) (15,116)
ETF Shares (498,013) (386,248)
Admiral Shares (122,709) (95,215)
Institutional Shares (139,459) (126,359)
Institutional Plus Shares (67,584) (70,228)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Institutional Plus Shares
Total Distributions (843,360) (693,166)
Capital Share Transactions    
Investor Shares (3,346) (24,599)
ETF Shares 4,378,081 768,493
Admiral Shares 846,320 512,292
Institutional Shares 182,946 7,308
Institutional Plus Shares 67,822 (383,469)
Net Increase (Decrease) from Capital Share Transactions 5,471,823 880,025
Total Increase (Decrease) 11,046,420 411,842
Net Assets    
Beginning of Period 24,794,448 24,382,606
End of Period1 35,840,868 24,794,448

 

1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $67,906,000 and $71,432,000.

See accompanying Notes, which are an integral part of the Financial Statements.

23


 

FTSE All-World ex-US Index Fund          
 
 
Financial Highlights          
 
 
Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $17.59 $17.92 $19.40 $19.81 $17.03
Investment Operations          
Net Investment Income . 5201 .494 .502 .6272 .482
Net Realized and Unrealized Gain (Loss)          
on Investments 3.573 (.341) (1.484) (.413) 2.850
Total from Investment Operations 4.093 .153 (.982) .214 3.332
Distributions          
Dividends from Net Investment Income (.513) (.483) (.498) (.624) (.552)
Distributions from Realized Capital Gains
Total Distributions (.513) (.483) (.498) (.624) (.552)
Net Asset Value, End of Period $21.17 $17.59 $17.92 $19.40 $19.81
 
Total Return 3 23.62% 0.98% -5.16% 1.05% 19.97%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $634 $530 $565 $552 $637
Ratio of Total Expenses to Average Net Assets 0.23% 0.23% 0.26% 0.29% 0.30%
Ratio of Net Investment Income to          
Average Net Assets 2.70% 2.89% 2.70% 3.18%2 2.69%
Portfolio Turnover Rate 4 4% 5% 3% 4% 8%

 

1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.088 and 0.44%, respectively,
resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014.
3 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information
about any applicable account service fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

24


 

FTSE All-World ex-US Index Fund          
 
 
Financial Highlights          
 
 
ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $44.60 $45.41 $49.17 $50.20 $43.21
Investment Operations          
Net Investment Income 1.3791 1.304 1.335 1.6652 1.295
Net Realized and Unrealized Gain (Loss)          
on Investments 9.038 (.846) (3.769) (1.036) 7.204
Total from Investment Operations 10.417 .458 (2.434) .629 8.499
Distributions          
Dividends from Net Investment Income (1.367) (1.268) (1.326) (1.659) (1.509)
Distributions from Realized Capital Gains
Total Distributions (1.367) (1.268) (1.326) (1.659) (1.509)
Net Asset Value, End of Period $53.65 $44.60 $45.41 $49.17 $50.20
 
Total Return 23.73% 1.17% -5.05% 1.21% 20.12%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $21,640 $13,983 $13,525 $12,453 $11,102
Ratio of Total Expenses to Average Net Assets 0.11% 0.11% 0.13% 0.14% 0.15%
Ratio of Net Investment Income to          
Average Net Assets 2.82% 3.01% 2.83% 3.33%2 2.84%
Portfolio Turnover Rate 3 4% 5% 3% 4% 8%

 

1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.224 and 0.44%, respectively,
resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

25


 

FTSE All-World ex-US Index Fund          
 
 
Financial Highlights          
 
 
Admiral Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $27.72 $28.23 $30.57 $31.21 $26.86
Investment Operations          
Net Investment Income . 8551 .811 .832 1.0372 .805
Net Realized and Unrealized Gain (Loss)          
on Investments 5.625 (.532) (2.346) (.644) 4.487
Total from Investment Operations 6.480 .279 (1.514) .393 5.292
Distributions          
Dividends from Net Investment Income (.850) (.789) (.826) (1.033) (.942)
Distributions from Realized Capital Gains
Total Distributions (.850) (.789) (.826) (1.033) (.942)
Net Asset Value, End of Period $33.35 $27.72 $28.23 $30.57 $31.21
 
Total Return 3 23.75% 1.13% -5.05% 1.23% 20.14%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $5,304 $3,635 $3,163 $2,551 $1,909
Ratio of Total Expenses to Average Net Assets 0.11% 0.11% 0.13% 0.14% 0.15%
Ratio of Net Investment Income to          
Average Net Assets 2.82% 3.01% 2.83% 3.33%2 2.84%
Portfolio Turnover Rate 4 4% 5% 3% 4% 8%

 

1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.139 and 0.44%, respectively,
resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014.
3 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information
about any applicable account service fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

26


 

FTSE All-World ex-US Index Fund          
 
 
Financial Highlights          
 
 
Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $87.88 $89.48 $96.89 $98.93 $85.14
Investment Operations          
Net Investment Income 2.7031 2.577 2.651 3.2992 2.577
Net Realized and Unrealized Gain (Loss)          
on Investments 17.838 (1.669) (7.429) (2.049) 14.215
Total from Investment Operations 20.541 .908 (4.778) 1.250 16.792
Distributions          
Dividends from Net Investment Income (2.701) (2.508) (2.632) (3.290) (3.002)
Distributions from Realized Capital Gains
Total Distributions (2.701) (2.508) (2.632) (3.290) (3.002)
Net Asset Value, End of Period $105.72 $87.88 $89.48 $96.89 $98.93
 
Total Return 3 23.74% 1.15% -5.03% 1.23% 20.16%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $5,532 $4,424 $4,501 $4,713 $4,687
Ratio of Total Expenses to Average Net Assets 0.10% 0.10% 0.11% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 2.83% 3.02% 2.85% 3.35%2 2.87%
Portfolio Turnover Rate 4 4% 5% 3% 4% 8%

 

1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.441 and 0.44%, respectively,
resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014.
3 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about
any applicable transaction fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

27


 

FTSE All-World ex-US Index Fund          
 
 
Financial Highlights          
 
 
Institutional Plus Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $93.06 $94.75 $102.60 $104.76 $90.17
Investment Operations          
Net Investment Income 2.8631 2.754 2.829 3.5172 2.749
Net Realized and Unrealized Gain (Loss)          
on Investments 18.928 (1.767) (7.869) (2.169) 15.050
Total from Investment Operations 21.791 .987 (5.040) 1.348 17.799
Distributions          
Dividends from Net Investment Income (2.891) (2.677) (2.810) (3.508) (3.209)
Distributions from Realized Capital Gains
Total Distributions (2.891) (2.677) (2.810) (3.508) (3.209)
Net Asset Value, End of Period $111.96 $93.06 $94.75 $102.60 $104.76
 
Total Return 3 23.79% 1.18% -5.01% 1.25% 20.18%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $2,731 $2,222 $2,628 $2,122 $1,671
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.09% 0.10% 0.10%
Ratio of Net Investment Income to          
Average Net Assets 2.86% 3.05% 2.87% 3.37%2 2.89%
Portfolio Turnover Rate 4 4% 5% 3% 4% 8%

 

1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.467 and 0.44%, respectively,
resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014.
3 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about
any applicable transaction fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

28


 

FTSE All-World ex-US Index Fund

Notes to Financial Statements

Vanguard FTSE All-World ex-US Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. The fund offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, and Institutional Plus Shares. Investor Shares are available to any investor who meets the fund’s minimum purchase requirements. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker. Admiral Shares, Institutional Shares, and Institutional Plus Shares are designed for investors who meet certain administrative, service, and account-size criteria.

A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.

2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).

3. Futures and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the

29


 

FTSE All-World ex-US Index Fund

underlying securities when futures are believed to be priced more attractively than the underlying securities. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract.

The fund also enters into forward currency contracts to provide the appropriate currency exposure related to any open futures contracts. The fund’s risks in using these contracts include movement in the values of the foreign currencies relative to the U.S. dollar and the ability of the counterparties to fulfill their obligations under the contracts. The fund mitigates its counterparty risk by entering into forward currency contracts only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. The master netting arrangements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate the forward currency contracts, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The forward currency contracts contain provisions whereby a counterparty may terminate open contracts if the fund’s net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any assets pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the forward currency contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

Futures contracts are valued at their quoted daily settlement prices. Forward currency contracts are valued at their quoted daily prices obtained from an independent third party, adjusted for currency risk based on the expiration date of each contract. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures or forward currency contracts.

During the year ended October 31, 2017, the fund’s average investments in long and short futures contracts each represented less than 1% of net assets, based on the average of the notional amounts at each quarter-end during the period. The fund’s average investment in forward currency contracts represented 2% of net assets, based on the average of the notional amounts at each quarter-end during the period.

30


 

FTSE All-World ex-US Index Fund

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2014–2017), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date.

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

The fund had no borrowings outstanding at October 31, 2017, or at any time during the period then ended.

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income

31


 

FTSE All-World ex-US Index Fund

over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

Withholding taxes on foreign dividends and capital gains have been provided for in accordance with the fund’s understanding of the applicable countries’ tax rules and rates. The fund has filed tax reclaims for previously withheld taxes on dividends earned in certain European Union countries. These filings are subject to various administrative and judicial proceedings within these countries. Such tax reclaims received during the year, if any, are included in dividend income. No other amounts for additional tax reclaims are reflected in the financial statements due to the uncertainty as to the ultimate resolution of proceedings, the likelihood of receipt of these reclaims, and the potential timing of payment.

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), shareholder reporting, and the proxy. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

B. In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2017, the fund had contributed to Vanguard capital in the amount of $2,124,000, representing 0.01% of the fund’s net assets and 0.85% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

C. Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

Level 1Quoted prices in active markets for identical securities.
Level 2Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are
noted on the Statement of Net Assets.

32


 

FTSE All-World ex-US Index Fund

The following table summarizes the market value of the fund’s investments as of October 31, 2017, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks—North and South America 3,176,917
Common Stocks—Other 739,607 31,700,676 4,126
Preferred Stocks—Other 428
Temporary Cash Investments 519,427 15,473
Futures Contracts—Assets1 732
Futures Contracts—Liabilities1 (353)
Forward Currency Contracts—Assets 1,033
Forward Currency Contracts—Liabilities (6,028)
Total 4,436,330 31,711,582 4,126
1 Represents variation margin on the last day of the reporting period.      

 

D. At October 31, 2017, the fair values of derivatives were reflected in the Statement of Net Assets as follows:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Statement of Net Assets Caption ($000) ($000) ($000)
Variation Margin Receivable—Futures Contracts 732 732
Unrealized Appreciation—Forward Currency Contracts 1,033 1,033
Variation Margin Payable—Futures Contracts (353) (353)
Unrealized Depreciation—Forward Currency Contracts (6,028) (6,028)

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2017, were:

  Equity Exchange  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts 30,608 30,608
Forward Currency Contracts (1,119) (1,119)
Realized Net Gain (Loss) on Derivatives 30,608 (1,119) 29,489
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts 4,155 4,155
Forward Currency Contracts 2,282 2,282
Change in Unrealized Appreciation (Depreciation) on Derivatives 4,155 2,282 6,437

 

33


 

FTSE All-World ex-US Index Fund

E. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes. Differences may be permanent or temporary. Permanent differences are reclassified among capital accounts in the financial statements to reflect their tax character. Temporary differences arise when certain items of income, expense, gain, or loss are recognized in different periods for financial statement and tax purposes. These differences will reverse at some time in the future. Differences in classification may also result from the treatment of short-term gains as ordinary income for tax purposes.

For tax purposes, at October 31, 2017, the fund had $199,396,000 of ordinary income available for distribution. At October 31, 2017, the fund had available capital losses totaling $1,341,435,000 to offset future net capital gains. Of this amount, $111,790,000 is subject to expiration dates; $32,560,000 may be used to offset future net capital gains through October 31, 2018 and $79,230,000 through October 31, 2019. Capital losses of $1,229,645,000 realized beginning in fiscal 2012 may be carried forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards. Capital loss carryforwards of $138,066,000 expired on October 31, 2017; accordingly, such losses have been reclassified from accumulated net realized losses to paid-in capital.

At October 31, 2017, the cost of investment securities for tax purposes was $30,433,664,000. Net unrealized appreciation of investment securities for tax purposes was $5,722,990,000, consisting of unrealized gains of $8,035,682,000 on securities that had risen in value since their purchase and $2,312,692,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2017, the fund purchased $6,786,911,000 of investment securities and sold $1,305,836,000 of investment securities, other than temporary cash investments. Purchases and sales include $3,736,798,000 and $0, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

34


 

FTSE All-World ex-US Index Fund

G. Capital share transactions for each class of shares were:      
  Year Ended October 31,
  2017 2016
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 185,838 9,692 150,674 8,858
Issued in Lieu of Cash Distributions 15,098 790 14,669 866
Redeemed (204,282) (10,635) (189,942) (11,169)
Net Increase (Decrease)—Investor Shares (3,346) (153) (24,599) (1,445)
ETF Shares        
Issued 4,378,082 89,802 1,251,872 27,991
Issued in Lieu of Cash Distributions
Redeemed (1) (483,379) (12,300)
Net Increase (Decrease)—ETF Shares 4,378,081 89,802 768,493 15,691
Admiral Shares        
Issued 1,555,409 51,640 1,345,709 50,503
Issued in Lieu of Cash Distributions 103,093 3,416 79,969 2,993
Redeemed (812,182) (27,172) (913,386) (34,390)
Net Increase (Decrease)—Admiral Shares 846,320 27,884 512,292 19,106
Institutional Shares        
Issued 1,033,029 10,732 920,593 10,694
Issued in Lieu of Cash Distributions 125,647 1,318 114,255 1,350
Redeemed (975,730) (10,071) (1,027,540) (11,995)
Net Increase (Decrease)—Institutional Shares 182,946 1,979 7,308 49
Institutional Plus Shares        
Issued 443,419 4,349 586,317 6,493
Issued in Lieu of Cash Distributions 57,531 572 64,624 721
Redeemed (433,128) (4,405) (1,034,410) (11,072)
Net Increase (Decrease)—Institutional Plus Shares 67,822 516 (383,469) (3,858)

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2017, that would require recognition or disclosure in these financial statements.

35


 

FTSE All-World ex-US Small-Cap Index Fund

Fund Profile
As of October 31, 2017

Share-Class Characteristics      
  Investor   Institutional
  Shares ETF Shares Shares
Ticker Symbol VFSVX VSS VFSNX
Expense Ratio1 0.27% 0.13% 0.12%

 

Portfolio Characteristics    
    FTSE Global
    Small Cap
  Fund ex US Index
Number of Stocks 3,569 3,363
Median Market Cap $1.7B $1.7B
Price/Earnings Ratio 16.0x 16.1x
Price/Book Ratio 1.6x 1.6x
Return on Equity 10.2% 10.2%
Earnings Growth Rate 11.1% 11.1%
Dividend Yield 2.2% 2.2%
Turnover Rate 14%
Short-Term Reserves -0.1%

 

Sector Diversification (% of equity exposure)
    FTSE Global
    Small Cap
  Fund ex US Index
Basic Materials 9.5% 9.6%
Consumer Goods 11.3 11.3
Consumer Services 11.4 11.4
Financials 20.4 20.3
Health Care 6.4 6.4
Industrials 25.0 25.1
Oil & Gas 4.2 4.2
Technology 8.4 8.3
Telecommunications 1.1 1.1
Utilities 2.3 2.3

Sector categories are based on the Industry Classification
Benchmark (“ICB”), except for the “Other” category (if applicable),
which includes securities that have not been provided an ICB
classification as of the effective reporting period.

 

Volatility Measures  
  FTSE Global
  Small Cap
  ex US Index
R-Squared 0.99
Beta 0.96
These measures show the degree and timing of the fund’s
fluctuations compared with the index over 36 months.

 

Ten Largest Holdings (% of total net assets)
Open Text Corp. Software 0.3%
Onex Corp. Diversified Industrials 0.3
First Quantum Minerals    
Ltd. Nonferrous Metals 0.3
Gildan Activewear Inc. Clothing &  
  Accessories 0.3
CCL Industries Inc. Containers &  
  Packaging 0.3
PrairieSky Royalty Ltd. Exploration and  
  Production 0.2
Keyera Corp. Exploration &  
  Production 0.2
Hiscox Ltd. Property & Casualty  
  Insurance 0.2
Georg Fischer AG Industrial Machinery 0.2
Rheinmetall AG Auto Parts 0.2
Top Ten   2.5%
The holdings listed exclude any temporary cash investments and
equity index products.    

 

Allocation by Region (% of equity exposure)


1 The expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year. For the
fiscal year ended October 31, 2017, the expense ratios were 0.25% for Investor Shares, 0.13% for ETF Shares, and 0.12% for Institutional
Shares.

36


 

FTSE All-World ex-US Small-Cap Index Fund

Market Diversification (% of equity exposure)
    FTSE
    Global
    Small Cap
    ex US
  Fund Index
Europe    
United Kingdom 12.0% 12.3%
Germany 4.5 4.5
Sweden 3.8 3.8
Switzerland 3.0 3.0
Italy 2.5 2.5
France 2.5 2.5
Netherlands 1.9 1.9
Denmark 1.5 1.5
Norway 1.4 1.4
Spain 1.4 1.4
Belgium 1.2 1.2
Finland 1.1 1.1
Other 1.7 1.6
Subtotal 38.5% 38.7%
Pacific    
Japan 16.3% 16.2%
Australia 4.4 4.4
South Korea 4.2 4.2
Hong Kong 1.7 1.6
Singapore 1.2 1.2
Other 0.7 0.7
Subtotal 28.5% 28.3%
Emerging Markets    
Taiwan 6.8% 6.8%
India 3.2 3.2
China 3.1 3.0
Thailand 1.7 1.6
Brazil 1.2 1.2
Malaysia 1.0 1.0
Other 3.4 3.4
Subtotal 20.4% 20.2%
North America    
Canada 12.2% 12.4%
Middle East    
Other 0.4% 0.4%

 

37


 

FTSE All-World ex-US Small-Cap Index Fund

Performance Summary

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

Cumulative Performance: April 2, 2009, Through October 31, 2017
Initial Investment of $10,000

 

    Average Annual Total Returns  
    Periods Ended October 31, 2017  
        Since Final Value
    One Five Inception of a $10,000
    Year Years (4/2/2009) Investment
  FTSE All-World ex-US Small-Cap Index        
  Fund Investor Shares 24.02% 8.86% 12.55% $27,574
• • • • • • • FTSE Global Small Cap ex US Index 23.82 8.87 13.04 28,617
 
 
– – – – FTSE International Global All Small-Cap Cap ex US Funds Index Average 23.52 26.72 11.36 7.79 10.51 14.67 23,565 32,379
International Small-Cap Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.  
"Since Inception" performance is calculated from the Investor Shares’ inception date for both the fund and its comparative standards.

 

      Since Final Value
  One Five Inception of a $10,000
  Year Years (4/2/2009) Investment
FTSE All-World ex-US Small-Cap Index Fund        
ETF Shares Net Asset Value 24.16% 9.04% 12.75% $28,013
FTSE Global Small Cap ex US Index 23.82 8.87 13.04 28,617
FTSE Global All Cap ex US Index 23.52 7.79 10.51 23,565
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standards.

 

See Financial Highlights for dividend and capital gains information.

38


 

FTSE All-World ex-US Small-Cap Index Fund

  Average Annual Total Returns  
  Periods Ended October 31, 2017  
      Since Final Value
  One Five Inception of a $5,000,000
  Year Years (4/2/2009) Investment
FTSE All-World ex-US Small-Cap Index Fund        
Institutional Shares 24.18% 9.05% 12.77% $14,027,569
FTSE Global Small Cap ex US Index 23.82 8.87 13.04 14,308,414
FTSE Global All Cap ex US Index 23.52 7.79 10.51 11,782,322
"Since Inception" performance is calculated from the Institutional Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: April 2, 2009, Through October 31, 2017    
      Since
  One Five Inception
  Year Years (4/2/2009)
FTSE All-World ex-US Small-Cap Index Fund ETF      
Shares Market Price 24.15% 53.97% 180.68%
FTSE All-World ex-US Small-Cap Index Fund ETF      
Shares Net Asset Value 24.16 54.14 180.13
FTSE Global Small Cap ex US Index 23.82 52.97 186.17
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standards.

 

Fiscal-Year Total Returns (%): April 2, 2009, Through October 31, 2017


Index returns are adjusted for withholding taxes applicable to U.S.-based mutual funds organized as Delaware statutory trusts.

39


 

FTSE All-World ex-US Small-Cap Index Fund

Average Annual Total Returns: Periods Ended September 30, 2017
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Since
  Date Year Years Inception
Investor Shares 4/2/2009 18.49% 8.52% 12.47%
ETF Shares 4/2/2009      
Market Price   18.62 8.65 12.70
Net Asset Value   18.62 8.69 12.68
Institutional Shares 4/2/2009 18.62 8.70 12.70

 

40


 

FTSE All-World ex-US Small-Cap Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2017

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website. Forms N-Q may also be reviewed and copied at the SEC’s Public Reference Room (see the back cover of this report for further information).

      Market Percentage
      Value of Net
    Shares ($000) Assets
Common Stocks      
1,2Australia †   242,416 4.3%
 
Austria †   51,379 0.9%
 
Belgium †   65,230 1.2%
 
2Brazil †   65,645 1.2%
 
Canada      
  Open Text Corp. 550,584 19,252 0.3%
  Onex Corp. 220,236 16,738 0.3%
  First Quantum Minerals Ltd. 1,491,565 16,683 0.3%
  Gildan Activewear Inc. 485,122 14,846 0.3%
  CCL Industries Inc. Class B 303,681 14,637 0.3%
^ PrairieSky Royalty Ltd. 463,026 12,325 0.2%
^ Keyera Corp. 402,043 11,836 0.2%
* Kinross Gold Corp. 2,718,434 10,746 0.2%
  Industrial Alliance Insurance & Financial Services Inc. 232,238 10,524 0.2%
  Lundin Mining Corp. 1,372,143 10,466 0.2%
  CAE Inc. 583,262 10,335 0.2%
  H&R REIT 620,395 10,301 0.2%
* Seven Generations Energy Ltd. Class A 657,027 9,921 0.2%
  WSP Global Inc. 220,816 9,897 0.2%
  West Fraser Timber Co. Ltd. 162,685 9,895 0.2%
  Methanex Corp. 188,764 9,199 0.2%
  Finning International Inc. 364,273 8,883 0.2%
* Bombardier Inc. Class B 4,179,003 8,843 0.1%
  Algonquin Power & Utilities Corp. 812,431 8,697 0.1%

 

41


 

FTSE All-World ex-US Small-Cap Index Fund      
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
^ Vermilion Energy Inc. 236,917 8,086 0.1%
  AltaGas Ltd. 353,432 8,057 0.1%
1 Canada—Other †   445,244 7.9%
      685,411 12.2%
Chile †   12,909 0.2%
1,2China †   167,558 3.0%
Colombia †   2,770 0.0%
Czech Republic †   762 0.0%
Denmark      
  GN Store Nord A/S 307,430 10,174 0.2%
1,2 Denmark—Other †   71,658 1.3%
      81,832 1.5%
1Egypt †   5,030 0.1%
Finland †   62,832 1.1%
France      
  Euronext NV 155,122 9,213 0.2%
2 France—Other †   124,382 2.2%
      133,595 2.4%
Germany      
  Rheinmetall AG 92,461 10,982 0.2%
  Freenet AG 273,673 9,165 0.2%
* Dialog Semiconductor plc 166,840 8,336 0.1%
2 Germany—Other †   218,730 3.9%
      247,213 4.4%
1Greece †   7,835 0.1%
1,2Hong Kong †   93,439 1.7%
1,2India †   176,581 3.2%
1Indonesia †   34,490 0.6%
Ireland †   15,964 0.3%
Israel †   24,162 0.4%
2Italy †   138,248 2.5%
Japan †   902,413 16.1%
1Malaysia †   56,705 1.0%

 

42


 

FTSE All-World ex-US Small-Cap Index Fund      
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
2Mexico †   26,394 0.5%
 
Netherlands      
  Aalberts Industries NV 207,119 10,213 0.2%
* Galapagos NV 88,873 8,643 0.2%
1,2 Netherlands—Other †   85,960 1.5%
      104,816 1.9%
New Zealand      
* a2 Milk Co. Ltd. 1,578,376 9,371 0.2%
  New Zealand—Other †   31,506 0.5%
      40,877 0.7%
Norway      
  Subsea 7 SA 557,822 9,403 0.2%
  Storebrand ASA 976,513 8,364 0.1%
2 Norway—Other †   61,490 1.1%
      79,257 1.4%
 
3Other †   7 0.0%
 
Pakistan †   17,217 0.3%
 
Peru †   2,657 0.0%
 
Philippines †   23,370 0.4%
 
Poland †   6,404 0.1%
 
Portugal †   22,538 0.4%
 
Qatar †   1,571 0.0%
 
2Russia †   3,237 0.1%
 
1Singapore †   67,553 1.2%
 
South Africa †   32,003 0.6%
 
1,2South Korea †   234,354 4.2%
 
1.2Spain †   76,272 1.4%
 
Sweden      
  Castellum AB 585,308 9,392 0.2%
^ Nibe Industrier AB Class B 810,002 8,100 0.1%
2 Sweden—Other †   192,252 3.4%
      209,744 3.7%
Switzerland      
  Georg Fischer AG 8,932 11,005 0.2%
1,2 Switzerland—Other †   155,641 2.8%
      166,646 3.0%

 

43


 

FTSE All-World ex-US Small-Cap Index Fund        
 
 
 
        Market Percentage
        Value of Net
      Shares ($000) Assets
1Taiwan †     377,677 6.7%
 
1,2Thailand †     91,843 1.6%
 
1Turkey †     15,686 0.3%
 
United Arab Emirates †     2,877 0.1%
 
United Kingdom        
  Hiscox Ltd.   602,742 11,430 0.2%
  BBA Aviation plc   2,229,428 9,419 0.2%
  B&M European Value Retail SA   1,748,214 9,225 0.2%
  Man Group plc   3,523,674 9,061 0.2%
  Electrocomponents plc   964,076 8,892 0.2%
  Spectris plc   260,208 8,847 0.2%
  TP ICAP plc   1,207,407 8,730 0.2%
  Phoenix Group Holdings   858,865 8,633 0.2%
* BTG plc   838,686 8,396 0.2%
^,* Metro Bank plc   177,772 8,394 0.1%
  Playtech plc   639,223 8,353 0.1%
* Paysafe Group plc   1,044,116 8,127 0.1%
  UBM plc   860,399 8,038 0.1%
  GVC Holdings plc   641,503 7,988 0.1%
  SSP Group plc   1,020,930 7,929 0.1%
  Intermediate Capital Group plc   603,901 7,798 0.1%
1,2 United Kingdom—Other †     533,157 9.5%
        672,417 12.0%
Total Common Stocks (Cost $4,885,273)     5,549,836 99.0%4
 
    Coupon      
Temporary Cash Investments        
Money Market Fund        
5,6 Vanguard Market Liquidity Fund 1.246% 3,400,019 340,036 6.1%
 
7U. S. Government and Agency Obligations †     5,486 0.1%
Total Temporary Cash Investments (Cost $345,505)     345,522 6.2%4
Total Investments (Cost $5,230,778)     5,895,358 105.2%
Other Assets and Liabilities        
Other Assets     22,017 0.4%
Liabilities 5     (311,479) (5.6%)
        (289,462) (5.2%)
Net Assets     5,605,896 100.0%

 

44


 

FTSE All-World ex-US Small-Cap Index Fund  
 
 
 
 
  Amount
  ($000)
Statement of Assets and Liabilities  
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (excluding Segregated Securities) 5,552,082
Collateral for Futures Contracts 3,240
Total Unaffiliated Issuers 5,555,322
Affiliated Vanguard Funds 340,036
Total Investments in Securities 5,895,358
Investment in Vanguard 334
Receivables for Investment Securities Sold 4,207
Receivables for Accrued Income 10,822
Receivables for Capital Shares Issued 697
Variation Margin Receivable—Futures Contracts 278
Unrealized Appreciation—Forward Currency Contracts 103
Other Assets 5,576
Total Assets 5,917,375
Liabilities  
Payables for Investment Securities Purchased 3,744
Collateral for Securities on Loan 303,820
Payables for Capital Shares Redeemed 193
Payables to Vanguard 1,845
Variation Margin Payable—Futures Contracts 52
Unrealized Depreciation—Forward Currency Contracts 1,023
Other Liabilities 802
Total Liabilities 311,479
Net Assets 5,605,896
 
 
At October 31, 2017, net assets consisted of:  
  Amount
  ($000)
Paid-in Capital 5,060,943
Undistributed Net Investment Income 19,100
Accumulated Net Realized Losses (139,933)
Unrealized Appreciation (Depreciation)  
Investment Securities 664,580
Futures Contracts 2,189
Forward Currency Contracts (920)
Foreign Currencies (63)
Net Assets 5,605,896
 
 
Investor Shares—Net Assets  
Applicable to 18,299,087 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 811,788
Net Asset Value Per Share—Investor Shares $44.36

 

45


 

FTSE All-World ex-US Small-Cap Index Fund  
 
 
 
  Amount
  ($000)
ETF Shares—Net Assets  
Applicable to 39,276,720 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 4,568,035
Net Asset Value Per Share—ETF Shares $116.30
 
Institutional Shares—Net Assets  
Applicable to 1,017,239 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 226,073
Net Asset Value Per Share—Institutional Shares $222.24

 

See Note A in Notes to Financial Statements.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $272,807,000.
* Non-income-producing security.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer,
represent 1% or less of net assets.
1 Certain of the fund’s securities are valued using significant unobservable inputs.
2 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may
be sold in transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate
value of these securities was $181,146,000, representing 3.2% of net assets.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect
to futures investments, the fund’s effective common stock and temporary cash investment positions represent 99.9% and 5.3%,
respectively, of net assets.
5 Includes $303,820,000 of collateral received for securities on loan.
6 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown
is the 7-day yield.
7 Securities with a value of $3,240,000 have been segregated as initial margin for open futures contracts.
REIT—Real Estate Investment Trust.

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FTSE All-World ex-US Small-Cap Index Fund

Derivative Financial Instruments Outstanding as of Period End    
Futures Contracts        
        ($000)
        Value and
    Number of   Unrealized
    Long (Short) Notional Appreciation
  Expiration Contracts Amount (Depreciation)
Long Futures Contracts        
MSCI Emerging Markets Index December 2017 241 13,547 204
Dow Jones EURO STOXX 50 December 2017 295 12,640 526
E-mini Russell 2000 Index December 2017 155 11,646 533
Topix Index December 2017 73 11,326 926
        2,189

 

Unrealized appreciation (depreciation) on open MSCI Emerging Markets Index, Dow Jones EURO STOXX 50, and E-mini Russell 2000 Index futures contracts is required to be treated as realized gain (loss) for tax purposes.

Forward Currency Contracts            
            Unrealized
  Contract         Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
Barclays Bank plc 12/20/17 EUR 6,731 USD 8,087 (223)
Goldman Sachs International 12/20/17 EUR 4,038 USD 4,815 (97)
BNP Paribas 12/12/17 JPY 441,343 USD 4,090 (200)
JPMorgan Chase Bank, N.A. 12/12/17 JPY 437,470 USD 3,908 (52)
Credit Suisse International 12/20/17 EUR 2,818 USD 3,385 (92)
Credit Suisse International 12/12/17 JPY 314,188 USD 2,912 (143)
Citibank, N.A. 12/20/17 EUR 1,741 USD 2,093 (59)
Goldman Sachs International 12/12/17 JPY 178,390 USD 1,630 (59)
JPMorgan Chase Bank, N.A. 12/20/17 EUR 1,026 USD 1,241 (42)
Barclays Bank plc 12/12/17 JPY 95,190 USD 881 (42)
JPMorgan Chase Bank, N.A. 12/20/17 USD 3,736 EUR 3,164 38
JPMorgan Chase Bank, N.A. 12/20/17 USD 2,026 EUR 1,744 (11)
Morgan Stanley Capital Services LLC 12/12/17 USD 1,716 JPY 195,030 (3)
Barclays Bank plc 12/20/17 USD 1,480 EUR 1,230 43
Morgan Stanley Capital Services LLC 12/12/17 USD 1,041 JPY 115,710 22
            (920)
EUR—Euro.
JPY—Japanese yen.
USD—U.S. dollar.

 

Unrealized appreciation (depreciation) on open forward currency contracts is treated as realized
gain (loss) for tax purposes.

See accompanying Notes, which are an integral part of the Financial Statements.

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FTSE All-World ex-US Small-Cap Index Fund

Statement of Operations

  Year Ended
  October 31 2017
  ($000)
Investment Income  
Income  
Dividends1 101,161
Interest 2 307
Securities Lending—Net 11,882
Total Income 113,350
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 967
Management and Administrative—Investor Shares 1,121
Management and Administrative—ETF Shares 1,748
Management and Administrative—Institutional Shares 103
Marketing and Distribution—Investor Shares 112
Marketing and Distribution—ETF Shares 174
Marketing and Distribution—Institutional Shares 5
Custodian Fees 1,413
Auditing Fees 45
Shareholders’ Reports and Proxy—Investor Shares 46
Shareholders’ Reports and Proxy—ETF Shares 602
Shareholders’ Reports and Proxy—Institutional Shares 1
Trustees’ Fees and Expenses 3
Total Expenses 6,340
Net Investment Income 107,010
Realized Net Gain (Loss)  
Investment Securities Sold 2 50,552
Futures Contracts 6,764
Foreign Currencies and Forward Currency Contracts 190
Realized Net Gain (Loss) 57,506
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 2 776,564
Futures Contracts 1,987
Foreign Currencies and Forward Currency Contracts (412)
Change in Unrealized Appreciation (Depreciation) 778,139
Net Increase (Decrease) in Net Assets Resulting from Operations 942,655
1 Dividends are net of foreign withholding taxes of $8,919,000.  
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund
were $275,000, $2,000, and ($8,000), respectively.  

 

See accompanying Notes, which are an integral part of the Financial Statements.

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FTSE All-World ex-US Small-Cap Index Fund

Statement of Changes in Net Assets

  Year Ended October 31,
  2017 2016
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 107,010 85,788
Realized Net Gain (Loss) 57,506 3,810
Change in Unrealized Appreciation (Depreciation) 778,139 37,355
Net Increase (Decrease) in Net Assets Resulting from Operations 942,655 126,953
Distributions    
Net Investment Income    
Investor Shares (16,555) (12,013)
ETF Shares (89,996) (67,444)
Institutional Shares (4,326) (4,391)
Realized Capital Gain    
Investor Shares
ETF Shares
Institutional Shares
Total Distributions (110,877) (83,848)
Capital Share Transactions    
Investor Shares 162,348 66,018
ETF Shares 1,246,669 211,232
Institutional Shares 18,432 9,188
Net Increase (Decrease) from Capital Share Transactions 1,427,449 286,438
Total Increase (Decrease) 2,259,227 329,543
Net Assets    
Beginning of Period 3,346,669 3,017,126
End of Period1 5,605,896 3,346,669
1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $19,100,000 and $16,204,000.

 

See accompanying Notes, which are an integral part of the Financial Statements.

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FTSE All-World ex-US Small-Cap Index Fund

Financial Highlights

Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $36.74 $36.27 $38.10 $38.99 $33.21
Investment Operations          
Net Investment Income . 9651 .933 .887 .909 .946
Net Realized and Unrealized Gain (Loss)          
on Investments 2 7.684 .461 (1.769) (.834) 5.947
Total from Investment Operations 8.649 1.394 (.882) .075 6.893
Distributions          
Dividends from Net Investment Income (1.029) (.924) (.948) (.965) (1.113)
Distributions from Realized Capital Gains
Total Distributions (1.029) (.924) (.948) (.965) (1.113)
Net Asset Value, End of Period $44.36 $36.74 $36.27 $38.10 $38.99
 
Total Return 3 24.02% 3.95% -2.33% 0.15% 21.25%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $812 $520 $446 $382 $318
Ratio of Total Expenses to Average Net Assets 0.25% 0.27% 0.31% 0.37% 0.40%
Ratio of Net Investment Income to          
Average Net Assets 2.40% 2.63% 2.41% 2.25% 2.58%
Portfolio Turnover Rate 4 14% 14% 9% 13% 19%

 

1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.01, and $.01. Effective July 25, 2014, fees were eliminated.
3 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

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FTSE All-World ex-US Small-Cap Index Fund

Financial Highlights

ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $96.34 $95.09 $99.89 $102.21 $87.11
Investment Operations          
Net Investment Income 2.6501 2.574 2.461 2.570 2.664
Net Realized and Unrealized Gain (Loss)          
on Investments 2 20.140 1.216 (4.634) (2.169) 15.595
Total from Investment Operations 22.790 3.790 (2.173) .401 18.259
Distributions          
Dividends from Net Investment Income (2.830) (2.540) (2.627) (2.721) (3.159)
Distributions from Realized Capital Gains
Total Distributions (2.830) (2.540) (2.627) (2.721) (3.159)
Net Asset Value, End of Period $116.30 $96.34 $95.09 $99.89 $102.21
 
Total Return 24.16% 4.11% -2.19% 0.34% 21.50%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $4,568 $2,652 $2,407 $1,947 $1,723
Ratio of Total Expenses to Average Net Assets 0.13% 0.13% 0.17% 0.19% 0.20%
Ratio of Net Investment Income to          
Average Net Assets 2.52% 2.77% 2.55% 2.43% 2.78%
Portfolio Turnover Rate 3 14% 14% 9% 13% 19%

 

1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.04, and $.03. Effective July 25, 2014, fees were eliminated.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

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FTSE All-World ex-US Small-Cap Index Fund

Financial Highlights

Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $184.07 $181.69 $190.87 $195.32 $166.39
Investment Operations          
Net Investment Income 5.0441 4.937 4.756 4.933 5.100
Net Realized and Unrealized Gain (Loss)          
on Investments 2 38.536 2.326 (8.864) (4.161) 29.812
Total from Investment Operations 43.580 7.263 (4.108) .772 34.912
Distributions          
Dividends from Net Investment Income (5.410) (4.883) (5.072) (5.222) (5.982)
Distributions from Realized Capital Gains
Total Distributions (5.410) (4.883) (5.072) (5.222) (5.982)
Net Asset Value, End of Period $222.24 $184.07 $181.69 $190.87 $195.32
 
Total Return 3 24.18% 4.11% -2.17% 0.34% 21.51%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $226 $175 $164 $57 $18
Ratio of Total Expenses to Average Net Assets 0.12% 0.12% 0.15% 0.18% 0.19%
Ratio of Net Investment Income to          
Average Net Assets 2.53% 2.78% 2.57% 2.44% 2.79%
Portfolio Turnover Rate 4 14% 14% 9% 13% 19%

 

1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.06, and $.07. Effective July 25, 2014, fees were eliminated.
3 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about
any applicable transaction fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

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FTSE All-World ex-US Small-Cap Index Fund

Notes to Financial Statements

Vanguard FTSE All-World ex-US Small-Cap Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. The fund offers three classes of shares: Investor Shares, ETF Shares, and Institutional Shares. Investor Shares are available to any investor who meets the fund’s minimum purchase requirements. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker. Institutional Shares are designed for investors who meet certain administrative, service, and account-size criteria.

A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.

2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).

3. Futures and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the underlying securities when futures are believed to be priced more attractively than the underlying securities. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts,

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FTSE All-World ex-US Small-Cap Index Fund

and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract.

The fund also enters into forward currency contracts to provide the appropriate currency exposure related to any open futures contracts. The fund’s risks in using these contracts include movement in the values of the foreign currencies relative to the U.S. dollar and the ability of the counterparties to fulfill their obligations under the contracts. The fund mitigates its counterparty risk by entering into forward currency contracts only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. The master netting arrangements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate the forward currency contracts, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The forward currency contracts contain provisions whereby a counterparty may terminate open contracts if the fund’s net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any assets pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the forward currency contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

Futures contracts are valued at their quoted daily settlement prices. Forward currency contracts are valued at their quoted daily prices obtained from an independent third party, adjusted for currency risk based on the expiration date of each contract. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilties as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures or forward currency contracts.

During the year ended October 31, 2017, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period. The fund’s average investment in forward currency contracts represented less than 1% of net assets, based on the average of the notional amounts at each quarter-end during the period.

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2014–2017), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date.

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FTSE All-World ex-US Small-Cap Index Fund

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Assets and Liabilities for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

The fund had no borrowings outstanding at October 31, 2017, or at any time during the period then ended.

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

Withholding taxes on foreign dividends and capital gains have been provided for in accordance with the fund’s understanding of the applicable countries’ tax rules and rates. The fund has filed tax reclaims for previously withheld taxes on dividends earned in certain European Union countries. These filings are subject to various administrative and judicial proceedings within these countries. Such tax reclaims received during the year, if any, are included in dividend income. No other amounts for additional tax reclaims are reflected in the financial statements due to the uncertainty as to the ultimate resolution of proceedings, the likelihood of receipt of these reclaims, and the potential timing of payment.

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FTSE All-World ex-US Small-Cap Index Fund

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), shareholder reporting, and the proxy. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

B. In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Assets and Liabilities.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2017, the fund had contributed to Vanguard capital in the amount of $334,000, representing 0.01% of the fund’s net assets and 0.13% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

C. Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

Level 1Quoted prices in active markets for identical securities.
Level 2Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are
noted on the Statement of Net Assets.

The following table summarizes the market value of the fund’s investments as of October 31, 2017, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks—North and South America 790,731 5,061 1
Common Stocks—Other 15,979 4,729,247 8,817
Temporary Cash Investments 340,036 5,486
Futures Contracts—Assets1 278
Futures Contracts—Liabilities1 (52)
Forward Currency Contracts—Assets 103
Forward Currency Contracts—Liabilities (1,023)
Total 1,146,972 4,738,874 8,818
1 Represents variation margin on the last day of the reporting period.      

 

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FTSE All-World ex-US Small-Cap Index Fund

D. At October 31, 2017, the fair values of derivatives were reflected in the Statement of Assets and Liabilities as follows:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Statement of Assets and Liabilities Caption ($000) ($000) ($000)
Variation Margin Receivable—Futures Contracts 278 278
Unrealized Appreciation—Forward Currency Contracts 103 103
Variation Margin Payable—Futures Contracts (52) (52)
Unrealized Depreciation—Forward Currency Contracts (1,023) (1,023)

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2017, were:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts 6,764 6,764
Forward Currency Contracts 350 350
Realized Net Gain (Loss) on Derivatives 6,764 350 7,114
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts 1,987 1,987
Forward Currency Contracts (664) (664)
Change in Unrealized Appreciation      
(Depreciation) on Derivatives 1,987 (664) 1,323

 

E. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes. Differences may be permanent or temporary. Permanent differences are reclassified among capital accounts in the financial statements to reflect their tax character. Temporary differences arise when certain items of income, expense, gain, or loss are recognized in different periods for financial statement and tax purposes. These differences will reverse at some time in the future. Differences in classification may also result from the treatment of short-term gains as ordinary income for tax purposes.

Certain of the fund’s investments are in securities considered to be passive foreign investment companies, for which any unrealized appreciation and/or realized gains are required to be included in distributable net income for tax purposes. During the year ended October 31, 2017, the fund realized gains on the sale of passive foreign investment companies of $7,010,000, which have been included in current and prior periods’ taxable income; accordingly, such gains have been reclassified from accumulated net realized losses to undistributed net investment income. Passive foreign investment companies held at October 31, 2017, had unrealized appreciation of $62,581,000.

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FTSE All-World ex-US Small-Cap Index Fund

During the year ended October 31, 2017, the fund realized $32,169,000 of net capital gains resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

For tax purposes, at October 31, 2017, the fund had $83,026,000 of ordinary income available for distribution. The fund used capital loss carryforwards of $19,200,000 to offset taxable capital gains realized during the year ended October 31, 2017. At October 31, 2017, the fund had available capital losses totaling $139,472,000 to offset future net capital gains. Of this amount, $8,715,000 is subject to expiration on October 31, 2019. Capital losses of $130,757,000 realized beginning in fiscal 2012 may be carried forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards.

At October 31, 2017, the cost of investment securities for tax purposes was $5,293,359,000. Net unrealized appreciation of investment securities for tax purposes was $601,999,000, consisting of unrealized gains of $1,012,350,000 on securities that had risen in value since their purchase and $410,351,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2017, the fund purchased $2,048,894,000 of investment securities and sold $642,934,000 of investment securities, other than temporary cash investments. Purchases and sales include $967,456,000 and $52,771,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

G. Capital share transactions for each class of shares were:

  Year Ended October 31,
  2017 2016
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 268,136 6,796 147,789 4,161
Issued in Lieu of Cash Distributions 14,233 370 10,280 289
Redeemed (120,021) (3,006) (92,051) (2,604)
Net Increase (Decrease)—Investor Shares 162,348 4,160 66,018 1,846
ETF Shares        
Issued 1,304,242 12,247 507,205 5,416
Issued in Lieu of Cash Distributions
Redeemed (57,573) (500) (295,973) (3,200)
Net Increase (Decrease)—ETF Shares 1,246,669 11,747 211,232 2,216
Institutional Shares        
Issued 66,784 330 28,799 155
Issued in Lieu of Cash Distributions 4,326 22 3,148 18
Redeemed (52,678) (285) (22,759) (126)
Net Increase (Decrease) —Institutional Shares 18,432 67 9,188 47

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2017, that would require recognition or disclosure in these financial statements.

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Report of Independent Registered
Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard FTSE All-World ex-US Index Fund and Vanguard FTSE All-World ex-US Small-Cap Index Fund In our opinion, the accompanying statement of assets and liabilities of Vanguard FTSE All-World ex-US Small-Cap Index Fund and statements of net assets—investments summary of Vanguard FTSE All-World ex-US Index Fund and Vanguard FTSE All-World ex-US Small-Cap Index Fund (constituting separate portfolios of Vanguard International Equity Index Funds, hereafter referred to as the “Funds”), and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of the Funds as of October 31, 2017, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period then ended and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities as of October 31, 2017 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.

/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 19, 2017

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Special 2017 tax information (unaudited) for Vanguard FTSE All-World ex-US Index Fund

This information for the fiscal year ended October 31, 2017, is included pursuant to provisions of the
Internal Revenue Code.

The fund distributed $639,308,000 of qualified dividend income to shareholders during the fiscal year.

The fund designates to shareholders foreign source income of $831,556,000 and foreign taxes paid
of $65,836,000. Shareholders will receive more detailed information with their Form 1099-DIV in
January 2018 to determine the calendar-year amounts to be included on their 2017 tax returns.


Special 2017 tax information (unaudited) for Vanguard FTSE All-World ex-US Small-Cap
Index Fund

This information for the fiscal year ended October 31, 2017, is included pursuant to provisions of the
Internal Revenue Code.

The fund distributed $59,833,000 of qualified dividend income to shareholders during the fiscal year.

The fund designates to shareholders foreign source income of $98,307,000 and foreign taxes paid
of $8,775,000. Shareholders will receive more detailed information with their Form 1099-DIV in
January 2018 to determine the calendar-year amounts to be included on their 2017 tax returns.

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Your Fund’s After-Tax Returns

This table presents returns for your fund both before and after taxes. The after-tax returns are shown in two ways: (1) assuming that an investor owned the fund during the entire period and paid taxes on the fund’s distributions, and (2) assuming that an investor paid taxes on the fund’s distributions and sold all shares at the end of each period.

Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2017. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.) The table shows returns for Investor Shares only; returns for other share classes will differ. Please note that your actual after-tax returns will depend on your tax situation and may differ from those shown. Also note that if you own the fund in a tax-deferred account, such as an individual retirement account or a 401(k) plan, this information does not apply to you. Such accounts are not subject to current taxes.

Finally, keep in mind that a fund’s performance—whether before or after taxes—does not guarantee future results.

Average Annual Total Returns: FTSE International Index Funds    
Periods Ended October 31, 2017      
  One Five Ten
  Year Years Years
FTSE All-World ex-US Index Fund Investor Shares      
Returns Before Taxes 23.62% 7.49% 1.00%
Returns After Taxes on Distributions 22.70 6.72 0.45
Returns After Taxes on Distributions and Sale of      
Fund Shares 13.78 5.73 0.71

 

      Since
  One Five Inception
  Year Years (4/2/2009)
FTSE All-World ex-US Small-Cap Index Fund Investor Shares      
Returns Before Taxes 24.02% 8.86% 12.55%
Returns After Taxes on Distributions 22.96 8.03 11.81
Returns After Taxes on Distributions and Sale of      
Fund Shares 13.82 6.73 10.17

 

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About Your Fund’s Expenses

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

The accompanying table illustrates your fund’s costs in two ways:

Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The ”Ending Account Value“ shown is derived from the fund‘s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period.

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading ”Expenses Paid During Period.“

Based on hypothetical 5% yearly return. This section is intended to help you compare your fund‘s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

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Six Months Ended October 31, 2017      
  Beginning Ending Expenses
  Account Value Account Value Paid During
  4/30/2017 10/31/2017 Period
Based on Actual Fund Return      
FTSE All-World ex-US Index Fund      
Investor Shares $1,000.00 $1,117.80 $1.23
ETF Shares 1,000.00 1,118.30 0.59
Admiral Shares 1,000.00 1,118.60 0.59
Institutional Shares 1,000.00 1,118.50 0.53
Institutional Plus Shares 1,000.00 1,118.80 0.37
FTSE All-World ex-US Small-Cap Index Fund      
Investor Shares $1,000.00 $1,119.31 $1.23
ETF Shares 1,000.00 1,119.92 0.69
Institutional Shares 1,000.00 1,120.00 0.64
Based on Hypothetical 5% Yearly Return      
FTSE All-World ex-US Index Fund      
Investor Shares $1,000.00 $1,024.05 $1.17
ETF Shares 1,000.00 1,024.65 0.56
Admiral Shares 1,000.00 1,024.65 0.56
Institutional Shares 1,000.00 1,024.70 0.51
Institutional Plus Shares 1,000.00 1,024.85 0.36
FTSE All-World ex-US Small-Cap Index Fund      
Investor Shares $1,000.00 $1,024.05 $1.17
ETF Shares 1,000.00 1,024.55 0.66
Institutional Shares 1,000.00 1,024.60 0.61

The calculations are based on expenses incurred in the most recent six-month period. The funds’ annualized six-month expense ratios for
that period are: for the FTSE All-World ex-US Index Fund, 0.23% for Investor Shares, 0.11% for ETF Shares, 0.11% for Admiral Shares,
0.10% for Institutional Shares, and 0.07% for Institutional Plus Shares; and for the FTSE All-World ex-US Small-Cap Index Fund, 0.23% for
Investor Shares, 0.13% for ETF Shares, and 0.12% for Institutional Shares. The dollar amounts shown as “Expenses Paid” are equal to the
annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent
six-month period, then divided by the number of days in the most recent 12-month period (184/365).

63


 

Glossary

Beta. A measure of the magnitude of a fund’s past share-price fluctuations in relation to the ups and downs of a given market index. The index is assigned a beta of 1.00. Compared with a given index, a fund with a beta of 1.20 typically would have seen its share price rise or fall by 12% when the index rose or fell by 10%. For this report, beta is based on returns over the past 36 months for both the fund and the index. Note that a fund’s beta should be reviewed in conjunction with its R-squared (see definition). The lower the R-squared, the less correlation there is between the fund and the index, and the less reliable beta is as an indicator of volatility.

Dividend Yield. Dividend income earned by stocks, expressed as a percentage of the aggregate market value (or of net asset value, for a fund). The yield is determined by dividing the amount of the annual dividends by the aggregate value (or net asset value) at the end of the period. For a fund, the dividend yield is based solely on stock holdings and does not include any income produced by other investments.

Earnings Growth Rate. The average annual rate of growth in earnings over the past five years for the stocks now in a fund.

Equity Exposure. A measure that reflects a fund’s investments in stocks and stock futures. Any holdings in short-term reserves are excluded.

Expense Ratio. A fund’s total annual operating expenses expressed as a percentage of the fund’s average net assets. The expense ratio includes management and administrative expenses, but does not include the transaction costs of buying and selling portfolio securities.

Fair-Value Pricing. Fair-value adjustments, which are required by the Securities and Exchange Commission, address pricing discrepancies that may arise because of time-zone differences among global stock markets. Foreign stocks may trade on exchanges that close many hours before a fund’s closing share price is calculated in the United States, generally at 4 p.m., Eastern time. In the hours between the foreign close and the U.S. close, the value of these foreign securities may change—because of company-specific announcements or market-wide developments, for example. Such price changes are not immediately reflected in international index values. Fair-value pricing takes such changes into account in calculating the fund’s daily net asset value, thus ensuring that the NAV doesn’t include “stale” prices. The result can be a temporary divergence between the return of the fund and that of its benchmark index—a difference that usually corrects itself when the foreign markets reopen.

Inception Date. The date on which the assets of a fund (or one of its share classes) are first invested in accordance with the fund’s investment objective. For funds with a subscription period, the inception date is the day after that period ends. Investment performance is measured from the inception date.

Median Market Cap. An indicator of the size of companies in which a fund invests; the midpoint of market capitalization (market price x shares outstanding) of a fund’s stocks, weighted by the proportion of the fund’s assets invested in each stock. Stocks representing half of the fund’s assets have market capitalizations above the median, and the rest are below it.

Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share.

For a fund, the weighted average price/book ratio of the stocks it holds.

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Price/Earnings Ratio. The ratio of a stock’s current price to its per-share earnings over the past year. For a fund, the weighted average P/E of the stocks it holds. P/E is an indicator of market expectations about corporate prospects; the higher the P/E, the greater the expectations for a company’s future growth.

R-Squared. A measure of how much of a fund’s past returns can be explained by the returns from the market in general, as measured by a given index. If a fund’s total returns were precisely synchronized with an index’s returns, its R-squared would be 1.00. If the fund’s returns bore no relationship to the index’s returns, its R-squared would be 0. For this report, R-squared is based on returns over the past 36 months for both the fund and the index.

Return on Equity. The annual average rate of return generated by a company during the past five years for each dollar of shareholder’s equity (net income divided by shareholder’s equity). For a fund, the weighted average return on equity for the companies whose stocks it holds.

Short-Term Reserves. The percentage of a fund invested in highly liquid, short-term securities that can be readily converted to cash.

Turnover Rate. An indication of the fund’s trading activity. Funds with high turnover rates incur higher transaction costs and may be more likely to distribute capital gains (which may be taxable to investors). The turnover rate excludes in-kind transactions, which have minimal impact on costs.

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The People Who Govern Your Fund

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them on an at-cost basis.

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 200 Vanguard funds.

Information for each trustee and executive officer of the fund appears below. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

Interested Trustee1

F. William McNabb III

Born 1957. Trustee Since July 2009. Chairman of the Board. Principal Occupation(s) During the Past Five Years and Other Experience: Chairman of the Board of The Vanguard Group, Inc., and of each of the investment companies served by The Vanguard Group, since January 2010; Chief Executive Officer and Director of The Vanguard Group and President and Chief Executive Officer of each of the investment companies served by The Vanguard Group, since 2008; Director of Vanguard Marketing Corporation; President of The Vanguard Group (2008–2017); Managing Director of The Vanguard Group (1995–2008).

Independent Trustees

Emerson U. Fullwood

Born 1948. Trustee Since January 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Executive Chief Staff and Marketing Officer for North America and Corporate Vice President (retired 2008) of Xerox Corporation (document management products and services); Executive in Residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology; Lead Director of SPX FLOW, Inc. (multi-industry manufacturing); Director of the United Way of Rochester, the University of Rochester Medical Center, Monroe Community College Foundation, North Carolina A&T University, and Roberts Wesleyan College; Trustee of the University of Rochester.

Rajiv L. Gupta

Born 1945. Trustee Since December 2001.2 Principal Occupation(s) During the Past Five Years and Other Experience: Chairman and Chief Executive Officer (retired 2009) and President (2006–2008) of Rohm and Haas Co. (chemicals); Director of Arconic Inc. (diversified manufacturer), HP Inc. (printer and personal computer manufacturing), and Delphi Automotive plc (automotive components); Senior Advisor at New Mountain Capital.

Amy Gutmann

Born 1949. Trustee Since June 2006. Principal Occupation(s) During the Past Five Years and Other Experience: President of the University of Pennsylvania; Christopher H. Browne

1 Mr. McNabb is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.
2 December 2002 for Vanguard Equity Income Fund, the Vanguard Municipal Bond Funds, and the Vanguard State Tax-Exempt Funds.


 

Distinguished Professor of Political Science, School of Arts and Sciences, and Professor of Communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania; Trustee of the National Constitution Center.

JoAnn Heffernan Heisen

Born 1950. Trustee Since July 1998. Principal Occupation(s) During the Past Five Years and Other Experience: Corporate Vice President and Member of the Executive Committee (1997–2008), Chief Global Diversity Officer (retired 2008), Vice President and Chief Information Officer (1997–2006), Controller (1995–1997), Treasurer (1991–1995), and Assistant Treasurer (1989–1991) of Johnson & Johnson (pharmaceuticals/medical devices/ consumer products); Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation; Member of the Advisory Board of the Institute for Women’s Leadership at Rutgers University.

F. Joseph Loughrey

Born 1949. Trustee Since October 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2009) of Cummins Inc. (industrial machinery); Chairman of the Board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education; Director of the V Foundation for Cancer Research; Member of the Advisory Council for the College of Arts and Letters and Chair of the Advisory Board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

Mark Loughridge

Born 1953. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Senior Vice President and Chief Financial Officer (retired 2013) at IBM (information technology services); Fiduciary Member of IBM’s Retirement Plan Committee (2004–2013); Member of the Council on Chicago Booth.

Scott C. Malpass

Born 1962. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Chief Investment Officer and Vice President at the University of Notre Dame; Assistant Professor of Finance at the Mendoza College of Business at Notre Dame; Member of the Notre Dame 403(b) Investment Committee, the Board of Advisors for Spruceview Capital Partners, the Board of Catholic Investment Services, Inc. (investment advisor), and the Board of Superintendence of the Institute for the Works of Religion; Chairman of the Board of TIFF Advisory Services, Inc. (investment advisor).

André F. Perold

Born 1952. Trustee Since December 2004. Principal Occupation(s) During the Past Five Years and Other Experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011); Chief Investment Officer and Co-Managing Partner of HighVista Strategies LLC (private investment firm); Overseer of the Museum of Fine Arts Boston.

Peter F. Volanakis

Born 1955. Trustee Since July 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2010) of Corning Incorporated (communications equipment); Chairman of the Board of Trustees of Colby-Sawyer College; Member of the Board of Hypertherm, Inc. (industrial cutting systems, software, and consumables).


 

Executive Officers

Glenn Booraem

Born 1967. Investment Stewardship Officer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Treasurer (2015–2017), Controller (2010–2015), and Assistant Controller (2001–2010) of each of the investment companies served by The Vanguard Group.

Thomas J. Higgins

Born 1957. Chief Financial Officer Since September 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Chief Financial Officer of each of the investment companies served by The Vanguard Group; Treasurer of each of the investment companies served by The Vanguard Group (1998–2008).

Peter Mahoney

Born 1974. Controller Since May 2015. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Controller of each of the investment companies served by The Vanguard Group; Head of International Fund Services at The Vanguard Group (2008–2014).

Anne E. Robinson

Born 1970. Secretary Since September 2016. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; General Counsel of The Vanguard Group; Secretary of The Vanguard Group and of each of the investment companies served by The Vanguard Group; Director and Senior Vice President of Vanguard Marketing Corporation; Managing Director and General Counsel of Global Cards and Consumer Services at Citigroup (2014–2016); Counsel at American Express (2003–2014).

Michael Rollings

Born 1963. Treasurer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; Treasurer of each of the investment companies served by The Vanguard Group; Director of Vanguard Marketing Corporation; Executive Vice President and Chief Financial Officer of MassMutual Financial Group (2006–2016).

Vanguard Senior Management Team
 
Mortimer J. Buckley Chris D. McIsaac
Gregory Davis James M. Norris
John James Thomas M. Rampulla
Martha G. King Karin A. Risi
John T. Marcante  
 
 
Chairman Emeritus and Senior Advisor
 
John J. Brennan  
Chairman, 1996–2009  
Chief Executive Officer and President, 1996–2008
 
 
Founder  
 
John C. Bogle  
Chairman and Chief Executive Officer, 1974–1996

 


 

 

  P.O. Box 2600
  Valley Forge, PA 19482-2600
 
 
 
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This material may be used in conjunction TMX®” and ”FTSE Russell” and other service marks
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with the offering of shares of any Vanguard are trademarks of the London Stock Exchange Group
fund only if preceded or accompanied by companies and are used by FTSE, MTS, FTSE TMX and
the fund’s current prospectus. Russell under licence. All information is provided for
  information purposes only. No responsibility or liability
All comparative mutual fund data are from Lipper, a can be accepted by the London Stock Exchange Group
Thomson Reuters Company, or Morningstar, Inc., unless companies nor its licensors for any errors or for any
otherwise noted. loss from use of this publication. Neither the London
You can obtain a free copy of Vanguard’s proxy voting Stock Exchange Group companies nor any of its
guidelines by visiting vanguard.com/proxyreporting or by licensors make any claim, prediction, warranty or
calling Vanguard at 800-662-2739. The guidelines are representation whatsoever, expressly or impliedly,
also available from the SEC’s website, sec.gov. In either as to the results to be obtained from the use of
addition, you may obtain a free report on how your fund the FTSE Indexes or the fitness or suitability of the
voted the proxies for securities it owned during the 12 Indexes for any particular purpose to which they might
months ended June 30. To get the report, visit either be put.
vanguard.com/proxyreporting or sec.gov. The Industry Classification Benchmark (”ICB”) is owned
You can review and copy information about your fund at by FTSE. FTSE does not accept any liability to any
the SEC’s Public Reference Room in Washington, D.C. To person for any loss or damage arising out of any error
find out more about this public service, call the SEC at or omission in the ICB.
202-551-8090. Information about your fund is also  
available on the SEC’s website, and you can receive  
copies of this information, for a fee, by sending a  
request in either of two ways: via email addressed to  
publicinfo@sec.gov or via regular mail addressed to the  
Public Reference Section, Securities and Exchange  
Commission, Washington, DC 20549-1520.  
  © 2017 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
 
  Q7700 122017

 



Annual Report | October 31, 2017

Vanguard Global ex-U.S. Real Estate

Index Fund


 

Vanguard’s Principles for Investing Success

We want to give you the best chance of investment success. These principles, grounded in Vanguard’s research and experience, can put you on the right path.

Goals. Create clear, appropriate investment goals.

Balance. Develop a suitable asset allocation using broadly diversified funds. Cost. Minimize cost.

Discipline. Maintain perspective and long-term discipline.

A single theme unites these principles: Focus on the things you can control.

We believe there is no wiser course for any investor.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 3
Fund Profile. 6
Performance Summary. 8
Financial Statements. 11
Your Fund’s After-Tax Returns. 37
About Your Fund’s Expenses. 38
Glossary. 40

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises
or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this
report. Of course, the risks of investing in your fund are spelled out in the prospectus.
See the Glossary for definitions of investment terms used in this report.
About the cover: Nautical images have been part of Vanguard’s rich heritage since its start in 1975. For an
incoming ship, a lighthouse offers a beacon and safe path to shore. You can similarly depend on Vanguard to put
you first––and light the way––as you strive to meet your financial goals. Our client focus and low costs,
stemming from our unique ownership structure, assure that your interests are paramount.


 

Your Fund’s Performance at a Glance

• Vanguard Global ex-U.S. Real Estate Index Fund returned about 16% for the year ended October 31, 2017, ahead of its benchmark index and exceeding the average return of its peers by more than 2 percentage points. Its return diverged from that of its benchmark in part because of temporary pricing discrepancies arising from fair-value adjustments. Please see the Glossary entry for Fair-Value Pricing.

• The global real estate sector benefited from decent economic growth trends in both developed and emerging markets. Each major region generated positive results, with emerging markets accounting for a large portion of the fund’s return. About one-fifth of the fund’s assets are in emerging markets.

• China was a significant driver of performance; the country’s stable economic growth eased some concerns about its real estate sector. Key markets such as Australia and the United Kingdom contributed modestly to results. Indonesia and Qatar were among the biggest detractors.

Total Returns: Fiscal Year Ended October 31, 2017  
  Total
  Returns
Vanguard Global ex-U.S. Real Estate Index Fund  
Investor Shares 15.88%
ETF Shares  
Market Price 16.30
Net Asset Value 16.13
Admiral™ Shares 16.15
Institutional Shares 16.17
S&P Global ex-U.S. Property Index 15.58
International Real Estate Funds Average 13.70

 

International Real Estate Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.
Institutional Shares are available to certain institutional investors who meet specific administrative, service, and account-size criteria. The
Vanguard ETF® Shares shown are traded on the Nasdaq exchange and are available only through brokers. The table provides ETF returns
based on both the Nasdaq market price and the net asset value for a share. U.S. Pat. Nos. 6,879,964; 7,337,138; 7,720,749; 7,925,573;
8,090,646; and 8,417,623.
For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock
Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about
how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the
Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market
price was above or below the NAV.

1


 

Total Returns: Inception Through October 31, 2017  
  Average
  Annual Return
Global ex-U.S. Real Estate Index Fund Investor Shares (Returns since inception: 11/1/2010) 6.20%
S&P Global ex-U.S. Property Index 6.00
International Real Estate Funds Average 5.07
International Real Estate Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

The figures shown represent past performance, which is not a guarantee of future results. (Current
performance may be lower or higher than the performance data cited. For performance data current to the
most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment
returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more
or less than their original cost.

 

Expense Ratios          
Your Fund Compared With Its Peer Group          
  Investor ETF Admiral Institutional Peer Group 
  Shares Shares Shares Shares Average 
Global ex-U.S. Real Estate Index Fund 0.35% 0.15% 0.15% 0.13% 1.36%

 

The fund expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year.
For the fiscal year ended October 31, 2017, the fund’s expense ratios were 0.34% for Investor Shares, 0.14% for ETF Shares, 0.14%
for Admiral Shares, and 0.12% for Institutional Shares. The peer-group expense ratio is derived from data provided by Lipper, a Thomson
Reuters Company, and captures information through year-end 2016.

Peer group: International Real Estate Funds.

2


 

Chairman’s Perspective


Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

When I find outstanding products or services, I’m likely to be loyal to them. And my loyalty usually gets rewarded as I experience consistently high quality––whether it’s from a favorite restaurant or a favorite author. What’s past, in most cases, is prologue.

As tempting as it is to apply this rationale to investing—for example, if technology stocks have done well this year, they’re bound to do well the next—it’s not all that helpful and can actually be counterproductive. You’ve heard it many times: Past performance cannot be used to predict future returns.

Taking a new approach

The caution about past performance is so familiar that investors are apt to treat it as mere background noise. That’s why past-performance bias merited a fresh look from Vanguard’s Investment Strategy Group, which tackled the issue last year in a research paper. (I encourage you to read the full paper, Reframing Investor Choices: Right Mindset, Wrong Market, at vanguard.com/research.)

Our strategists were hardly the first to delve into the topic, but they approached it in a new way. They started with the premise that it’s perfectly understandable for investors to lean heavily on past performance, because that works well in many areas of life. After all, as the paper describes, in lots of other industries and realms, performance from one time period

3


 

to another is extremely consistent. The researchers looked at everything from cars to fine restaurants to heart surgeons, and in all these examples, past performance was a good predictor of later outcomes.

It’s different with investing

In a nutshell, our brains typically are rewarded and our satisfaction is boosted when we use past performance as a guide for navigating decisions, big and small. But when applied to investing, this method breaks down.

Why? Among other reasons, top-performing asset classes one year tend not to repeat as leaders the next. Strong past performance leads to higher valuations, making an investment, all else being equal, less attractive in the future. The data are quite overwhelming in this regard.

By allowing past performance to inform their decisions, individual and institutional investors inadvertently end up as momentum investors, putting them on a treadmill of buying high and selling low.

A path to better decision-making

Of course, many investors are already aware of the pitfalls of projecting past performance into the future. The real question is, what can we all do about it? What does it take to go from having a general awareness to actually changing our behavior?

Market Barometer      
  Average Annual Total Returns
  Periods Ended October 31, 2017
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) 23.67% 10.58% 15.18%
Russell 2000 Index (Small-caps) 27.85 10.12 14.49
Russell 3000 Index (Broad U.S. market) 23.98 10.53 15.12
FTSE All-World ex US Index (International) 23.48 6.12 7.67
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 0.90% 2.40% 2.04%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 2.19 3.04 3.00
Citigroup Three-Month U.S. Treasury Bill Index 0.71 0.31 0.20
 
CPI      
Consumer Price Index 2.04% 1.28% 1.29%

 

4


 

Acknowledging that such change isn’t easy, our strategists offered a few ideas for reframing how investors approach their decisions. These recommendations were targeted at advisors working with clients, but they apply equally to individuals and institutions:

• Educate yourself. The more investors understand why a method that works so well in other areas of life—relying on past performance to drive decisions—doesn’t carry over to investing, the better off they’ll be.

• Be disciplined. The bias toward past performance is ingrained in everybody, professionals included, and shifting away from it can be difficult. But the long-term benefits make the effort worthwhile.

• Focus on what you can control. It’s always most constructive for investors to concentrate on what’s actually within their control, such as setting goals, following long-term portfolio construction principles, selecting low-cost investments, and rebalancing periodically.

Here’s to keeping the past in the rearview mirror. And, as always, thank you for investing with Vanguard.

Sincerely,

 

 

F. William McNabb III
Chairman and Chief Executive Officer
November 14, 2017

5


 

Global ex-U.S. Real Estate Index Fund

Fund Profile
As of October 31, 2017

Share-Class Characteristics        
  Investor   Admiral Institutional
  Shares ETF Shares Shares Shares
Ticker Symbol VGXRX VNQI VGRLX VGRNX
Expense Ratio1 0.35% 0.15% 0.15% 0.13%

 

Portfolio Characteristics    
    S&P
    Global
    ex-U.S.
    Property
  Fund Index
Number of Stocks 665 602
Median Market Cap $6.8B $6.8B
Price/Earnings Ratio 10.5x 10.5x
Price/Book Ratio 1.1x 1.1x
Return on Equity 10.9% 10.8%
Earnings Growth Rate 10.5% 10.6%
Dividend Yield 3.4% 3.4%
Turnover Rate 6%
Short-Term Reserves -0.2%

 

Allocation by Region (% of equity exposure)


Volatility Measures    
  S&P  
  Global MSCI AC
  ex-U.S. World
  Property Index
  Index ex USA
R-Squared 0.99 0.78
Beta 0.95 0.82
These measures show the degree and timing of the fund’s
fluctuations compared with the indexes over 36 months.  

 

Ten Largest Holdings (% of total net assets)
Sun Hung Kai Properties Diversified Real  
Ltd. Estate Activities 2.5%
Mitsubishi Estate Co. Diversified Real  
Ltd. Estate Activities 2.3
Unibail-Rodamco SE Retail REITs 2.3
Daiwa House Industry Diversified Real  
Co. Ltd. Estate Activities 2.3
Mitsui Fudosan Co. Ltd. Diversified Real  
  Estate Activities 2.1
CK Asset Holdings Ltd. Real Estate  
  Development 2.0
Vonovia SE Real Estate  
  Operating  
  Companies 2.0
Link REIT Retail REITs 1.7
Scentre Group Retail REITs 1.5
Sumitomo Realty & Real Estate  
Development Co. Ltd. Development 1.5
Top Ten   20.2%
The holdings listed exclude any temporary cash investments and equity index products.

 

1 The expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year.
For the fiscal year ended October 31, 2017, the expense ratios were 0.34% for Investor Shares, 0.14% for ETF Shares, 0.14% for Admiral
Shares, and 0.12% for Institutional Shares.

6


 

Global ex-U.S. Real Estate Index Fund

Market Diversification (% of equity exposure)
    S&P
    Global
    ex-U.S.
    Property
  Fund Index
Europe    
United Kingdom 6.3% 6.4%
Germany 5.3 5.3
France 5.1 5.1
Sweden 2.0 2.0
Switzerland 1.3 1.3
Spain 1.1 1.1
Other 2.9 2.8
Subtotal 24.0% 24.0%
Pacific    
Japan 20.7% 20.8%
Hong Kong 13.0 13.1
Australia 9.2 9.2
Singapore 6.3 6.3
Other 0.5 0.4
Subtotal 49.7% 49.8%
Emerging Markets    
China 10.6% 10.5%
South Africa 2.6 2.6
Philippines 1.6 1.6
Thailand 1.2 1.3
United Arab Emirates 1.2 1.3
Mexico 1.0 1.0
Other 4.1 4.1
Subtotal 22.3% 22.4%
North America    
Canada 2.3% 2.3%
Middle East 1.0% 1.0%
Other 0.7% 0.5%
"Other" represents securities that are not classified by the fund's benchmark index.

 

7


 

Global ex-U.S. Real Estate Index Fund

Performance Summary

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

Cumulative Performance: November 1, 2010, Through October 31, 2017
Initial Investment of $10,000

 

    Average Annual Total Returns  
    Periods Ended October 31, 2017  
        Since Final Value
    One Five Inception of a $10,000
    Year Years (11/1/2010) Investment
  Global ex-U.S. Real Estate Index Fund        
  Investor Shares 15.32% 6.44% 6.14% $15,170
• • • • • • • • S&P Global ex-U.S. Property Index 15.58 6.30 6.00 15,032
 
– – – – International Real Estate Funds Average 13.70 5.23 5.07 14,139
  MSCI All Country World Index ex USA 24.20 7.77 5.22 14,278
International Real Estate Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.  
"Since Inception" performance is calculated from the Investor Shares’ inception date for both the fund and its comparative standards.

 

      Since Final Value
  One Five Inception of a $10,000
  Year Years (11/1/2010) Investment
Global ex-U.S. Real Estate Index FundETF        
Shares Net Asset Value 16.13% 6.70% 6.36% $15,394
S&P Global ex-U.S. Property Index 15.58 6.30 6.00 15,032
MSCI All Country World Index ex USA 24.20 7.77 5.22 14,281
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standards.

 

Vanguard fund returns are adjusted to reflect the 0.25% fee on purchases and redemptions. The fees do not apply to the ETF Shares. The
Fiscal-Year Total Returns chart is not adjusted for fees.
See Financial Highlights for dividend and capital gains information.

8


 

Global ex-U.S. Real Estate Index Fund

  Average Annual Total Returns  
  Periods Ended October 31, 2017  
      Since Final Value
  One Five Inception of a $10,000
  Year Years (2/10/2011) Investment
Global ex-U.S. Real Estate Index Fund        
Admiral Shares 15.58% 6.62% 6.64% $15,401
S&P Global ex-U.S. Property Index 15.58 6.30 6.36 15,134
MSCI All Country World Index ex USA 24.20 7.77 4.95 13,839
"Since Inception" performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standards.

 

      Since Final Value
  One Five Inception of a $5,000,000
  Year Years (4/19/2011) Investment
Global ex-U.S. Real Estate Index Fund        
Institutional Shares 15.60% 6.65% 6.47% $7,531,436
S&P Global ex-U.S. Property Index 15.58 6.30 6.21 7,411,799
 
MSCI All Country World Index ex USA 24.20 7.77 4.61 6,710,244
"Since Inception" performance is calculated from the Institutional Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: November 1, 2010, Through October 31, 2017  
      Since
  One Five Inception
  Year Years (11/1/2010)
Global ex-U.S. Real Estate Index Fund ETF Shares      
Market Price 16.30% 38.06% 53.60%
Global ex-U.S. Real Estate Index Fund ETF Shares      
Net Asset Value 16.13 38.30 53.94
S&P Global ex-U.S. Property Index 15.58 35.71 50.32
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standards.

 

Vanguard fund returns are adjusted to reflect the 0.25% fee on purchases and redemptions. The fees do not apply to the ETF Shares. The
Fiscal-Year Total Returns chart is not adjusted for fees.

9


 

Global ex-U.S. Real Estate Index Fund

Fiscal-Year Total Returns (%): November 1, 2010, Through October 31, 2017


Average Annual Total Returns: Periods Ended September 30, 2017
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Since
  Date Year Years Inception
Investor Shares 11/1/2010 10.09% 7.01% 6.22%
Fee-Adjusted Returns   9.55 6.91 6.15
ETF Shares 11/1/2010      
Market Price   10.22 7.18 6.35
Net Asset Value   10.29 7.16 6.37
Admiral Shares 2/10/2011 10.31 7.18 6.72
Fee-Adjusted Returns   9.77 7.08 6.65
Institutional Shares 4/19/2011 10.32 7.20 6.56
Fee-Adjusted Returns   9.78 7.11 6.48

 

Vanguard fund returns are adjusted to reflect the 0.25% fee on purchases and redemptions. The fees do not apply to the ETF Shares. The
Fiscal-Year Total Returns chart is not adjusted for fees.

10


 

Global ex-U.S. Real Estate Index Fund

Financial Statements

Statement of Net Assets
As of October 31, 2017

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the lists appear in the fund’s semiannual and annual reports to shareholders. For the first and third fiscal quarters, the fund files the lists with the Securities and Exchange Commission on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website at sec.gov. Forms N-Q may also be reviewed and copied at the SEC’s Public Reference Room (see the back cover of this report for further information).

      Market
      Value
    Shares ($000)
Common Stocks (99.5%)1    
Australia (9.1%)    
  Scentre Group 28,559,406 88,061
  Westfield Corp. 10,255,092 61,123
  Goodman Group 8,539,862 54,756
  Stockland 12,952,660 44,893
  Dexus 5,429,741 40,658
  LendLease Group 3,130,385 38,873
  GPT Group 9,668,887 37,755
  Mirvac Group 19,965,874 36,904
  Vicinity Centres 17,597,697 35,770
  Charter Hall Group 2,504,824 11,137
  Investa Office Fund 2,672,618 9,179
  Shopping Centres    
  Australasia Property    
  Group 3,916,450 7,059
  BWP Trust 2,618,400 6,199
  Charter Hall Retail REIT 1,812,753 5,639
  Cromwell Property    
  Group 7,024,237 5,377
  Abacus Property Group 1,729,281 5,033
  Aveo Group 2,345,596 4,542
  Viva Energy REIT 2,368,504 3,884
^ Growthpoint Properties    
  Australia Ltd. 1,375,999 3,508
  National Storage REIT 2,777,963 3,139
  Charter Hall Long Wale    
  REIT 841,690 2,679
  GDI Property Group 2,834,191 2,593
  Folkestone Education    
  Trust 1,165,061 2,498
  Gateway Lifestyle 1,601,337 2,421
  Arena REIT 1,378,226 2,364
  Ingenia Communities    
  Group 1,140,331 2,318
  Rural Funds Group 1,357,327 2,296
^ Hotel Property    
  Investments 704,011 1,694
  Propertylink Group 2,067,948 1,585
  Cedar Woods    
  Properties Ltd. 271,988 1,193
  Servcorp Ltd. 241,848 1,031
  Villa World Ltd. 515,027 1,026
  Industria REIT 491,351 993
  ALE Property Group 1,228 4
      528,184
Austria (0.8%)    
  BUWOG AG 601,619 17,342
  IMMOFINANZ AG 5,197,959 13,137
  CA Immobilien Anlagen    
  AG 395,828 11,286
  S IMMO AG 295,181 5,199
  Atrium European Real    
  Estate Ltd. 1,083 5
      46,969
Belgium (0.8%)    
  Cofinimmo SA 105,102 13,334
  Warehouses De Pauw    
  CVA 87,032 9,415
  Aedifica SA 95,768 9,128
  Befimmo SA 125,560 7,800
  Retail Estates NV 34,355 2,754
  Intervest Offices &    
  Warehouses NV 85,206 2,171
  Montea SCA 4,187 211
      44,813
Brazil (0.8%)    
  BR Malls Participacoes    
  SA 4,495,216 17,424
  Multiplan    
  Empreendimentos    
  Imobiliarios SA 689,311 15,066
  Iguatemi Empresa de    
  Shopping Centers SA 445,986 5,246
* Aliansce Shopping    
  Centers SA 459,737 2,465

 

11


 

Global ex-U.S. Real Estate Index Fund

        Market
        Value
      Shares ($000)
  BR Properties SA   593,974 1,896
  Sonae Sierra Brasil SA 94,865 810
* Helbor Empreendimentos    
  SA   689,900 434
* Helbor Empreendimentos    
  SA Rights      
  Exp. 11/17/2017   301,742 5
        43,346
Canada (2.3%)      
  RioCan REIT   853,529 16,189
  First Capital Realty Inc. 879,428 13,947
  H&R REIT   755,146 12,538
^ Canadian Apartment    
  Properties REIT   358,869 9,477
  Allied Properties REIT 243,862 7,814
  Smart REIT   346,825 7,791
  Canadian REIT   194,246 7,016
^ Tricon Capital Group Inc. 720,733 6,056
  Cominar REIT   481,677 5,167
  Granite REIT   125,612 4,853
  Artis REIT   404,931 4,366
  Pure Industrial Real      
  Estate Trust   804,884 4,155
^ Boardwalk REIT   124,145 3,831
^ Dream Global REIT   439,887 3,802
  Dream Office REIT   205,436 3,483
  Choice Properties REIT 248,300 2,610
^ Crombie REIT   246,514 2,557
  Northview Apartment    
  REIT   132,578 2,392
* DREAM Unlimited Corp.    
  Class A   405,568 2,311
  NorthWest Healthcare    
  Properties REIT   259,567 2,288
  Killam Apartment REIT 198,583 2,033
  CT REIT   149,673 1,641
  Morguard REIT   119,332 1,318
  InterRent REIT   179,611 1,158
  Dream Industrial REIT 151,929 1,063
  Slate Retail REIT   93,276 954
  Morguard North American  
  Residential REIT   78,974 952
^ Slate Office REIT   133,907 842
  Summit Industrial Income    
  REIT   133,152 773
  Agellan Commercial REIT 75,829 688
  Morguard Corp.   33 5
        134,070
Chile (0.2%)      
  Parque Arauco SA   3,224,844 9,252
 
China (10.6%)      
* China Evergrande      
  Group 18,253,921 70,412
  China Overseas Land    
  & Investment Ltd. 20,564,710 66,774
  Country Garden    
  Holdings Co. Ltd. 36,643,163 58,087
^ Sunac China Holdings    
  Ltd. 10,841,678 55,237
  China Resources Land    
  Ltd. 14,538,446 43,390
  China Vanke Co. Ltd. 7,057,883 25,124
  Longfor Properties Co.    
  Ltd. 7,586,208 17,721
^ Fullshare Holdings Ltd. 36,965,135 15,821
^,* Zall Group Ltd. 16,252,574 12,999
  Shimao Property    
  Holdings Ltd. 5,814,664 12,189
  Guangzhou R&F    
  Properties Co. Ltd. 5,460,209 11,643
  Agile Group Holdings    
  Ltd. 7,895,409 11,519
  Sino-Ocean Group    
  Holding Ltd. 16,158,829 10,552
  CIFI Holdings Group    
  Co. Ltd. 18,318,000 10,212
  China Jinmao Holdings    
  Group Ltd. 22,553,054 10,135
  Future Land Holdings    
  Co. Ltd. Class A 2,878,159 8,875
* Kaisa Group Holdings    
  Ltd. 12,508,000 7,992
  Shanghai Lujiazui    
  Finance & Trade Zone    
  Development Co. Ltd.    
  Class B 4,727,278 7,337
  KWG Property Holding    
  Ltd. 7,380,658 7,328
  Shenzhen Investment    
  Ltd. 16,336,201 7,288
  Yuexiu Property Co.    
  Ltd. 33,993,094 6,587
2 Red Star Macalline    
  Group Corp. Ltd. 5,446,600 6,515
^ Logan Property    
  Holdings Co. Ltd. 6,819,984 6,318
^ SOHO China Ltd. 10,152,545 5,882
* Poly Property Group    
  Co. Ltd. 10,598,048 5,137
  China South City    
  Holdings Ltd. 17,642,111 4,932
  Shui On Land Ltd. 18,734,038 4,640
  Yuzhou Properties Co.    
  Ltd. 8,529,470 4,213
  China Aoyuan Property    
  Group Ltd. 6,922,000 4,196

 

12


 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
^ Greentown China    
  Holdings Ltd. 3,358,814 4,196
  K Wah International    
  Holdings Ltd. 7,034,338 4,041
  China SCE Property    
  Holdings Ltd. 8,830,766 3,987
^ Future Land    
  Development Holdings    
  Ltd. 7,952,000 3,828
  Yuexiu REIT 5,998,516 3,784
  Hopson Development    
  Holdings Ltd. 3,668,710 3,754
  Powerlong Real Estate    
  Holdings Ltd. 7,647,139 3,637
^,* China Logistics    
  Property Holdings Co.    
  Ltd. 10,143,000 3,447
  Joy City Property Ltd. 19,438,860 3,392
^,* Jiayuan International    
  Group Ltd. 4,436,000 3,201
  Times Property    
  Holdings Ltd. 3,044,000 3,144
  China Overseas Grand    
  Oceans Group Ltd. 5,077,386 2,978
  Gemdale Properties    
  & Investment Corp.    
  Ltd. 24,650,000 2,528
  Beijing Capital Land    
  Ltd. 4,655,034 2,508
^,2 Redco Properties    
  Group Ltd. 4,816,000 2,397
  Spring REIT 5,427,000 2,387
^,* Carnival Group    
  International Holdings    
  Ltd. 45,798,799 2,319
^,* Renhe Commercial    
  Holdings Co. Ltd. 88,601,484 2,080
  Road King    
  Infrastructure Ltd. 1,243,000 2,044
* C C Land Holdings Ltd. 8,915,500 1,944
^,* Ronshine China    
  Holdings Ltd. 1,681,500 1,894
  Shanghai Jinqiao    
  Export Processing    
  Zone Development    
  Co. Ltd. Class B 1,268,155 1,840
  Greenland Hong Kong    
  Holdings Ltd. 3,749,000 1,797
* Tian An China    
  Investment Co. Ltd. 2,306,000 1,723
  Shanghai Industrial    
  Urban Development    
  Group Ltd. 7,218,799 1,556
^ LVGEM China Real    
  Estate Investment    
  Co. Ltd. 5,096,000 1,497
  Nam Tai Property Inc. 122,427 1,481
  China Electronics    
  Optics Valley Union    
  Holding Co. Ltd. 15,540,000 1,477
* Glorious Property    
  Holdings Ltd. 13,325,036 1,452
^,* Zhuguang Holdings    
  Group Co. Ltd. 10,652,000 1,433
  Shanghai Shibei    
  Hi-Tech Co. Ltd.    
  Class B 2,273,600 1,344
* Central China Real    
  Estate Ltd. 2,792,000 1,338
  Beijing North Star Co.    
  Ltd. 3,258,000 1,212
3 Yida China Holdings Ltd. 4,482,000 1,179
  China Merchants Land    
  Ltd. 5,994,000 1,130
2 China Vast Industrial    
  Urban Development    
  Co. Ltd. 2,017,000 1,100
  Guorui Properties Ltd. 3,545,000 1,046
*,3 Mingfa Group    
  International Co. Ltd. 4,231,908 1,025
* AVIC International    
  Holding HK Ltd. 14,954,000 998
  Xinyuan Real Estate    
  Co. Ltd. ADR 175,442 981
  Fantasia Holdings    
  Group Co. Ltd. 6,352,443 905
^,* Hydoo International    
  Holding Ltd. 7,670,000 741
* Wuzhou International    
  Holdings Ltd. 5,222,000 623
* China Minsheng Drawin    
  Technology Group Ltd. 16,500,000 550
* Shanghai Huili Building    
  Materials Co. Ltd.    
  Class B 363,700 529
  Greattown Holdings Ltd.    
  Class B 693,993 502
* EverChina International    
  Holdings Co. Ltd. 18,109,331 428
* China New City    
  Commercial    
  Development Ltd. 594,000 135
^,* Crown International    
  Corp. Ltd. 462,000 77
* Guangdong Land    
  Holdings Ltd. 284,000 59

 

13


 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
* Beijing Properties    
  Holdings Ltd. 654,000 29
* Shenzhen Wongtee    
  International Enterprise    
  Co. Ltd. Class B 15,159 9
* China Oceanwide Holdings  
  Ltd. 80,000 7
      612,748
Denmark (0.0%)    
* TK Development A/S 378,623 557
 
Egypt (0.2%)    
  Talaat Moustafa Group 4,939,943 2,691
  Medinet Nasr Housing 2,672,109 1,601
* Palm Hills Developments    
  SAE 5,784,135 1,356
* Six of October    
  Development &    
  Investment 1,065,253 1,120
  Heliopolis Housing 596,596 1,031
* Emaar Misr for    
  Development SAE 2,888,419 647
      8,446
Finland (0.1%)    
  Citycon Oyj 1,954,724 4,773
  Technopolis Oyj 682,537 3,076
      7,849
France (5.1%)    
  Unibail-Rodamco SE 532,743 133,351
  Klepierre 1,117,284 44,477
  Gecina SA 247,302 40,168
  Fonciere Des Regions 286,236 29,147
  ICADE 242,425 21,186
  Nexity SA 249,159 15,314
^ Mercialys SA 298,432 5,813
  Altarea SCA 19,917 4,486
      293,942
Germany (5.3%)    
  Vonovia SE 2,601,604 114,923
  Deutsche Wohnen AG 1,901,926 81,404
  LEG Immobilien AG 338,194 34,450
  TAG Immobilien AG 787,810 13,582
  Grand City Properties SA 566,659 12,198
  TLG Immobilien AG 423,850 9,832
  Deutsche EuroShop AG 259,790 9,495
  alstria office REIT-AG 667,825 9,494
2 ADO Properties SA 147,116 7,273
* PATRIZIA Immobilien AG 240,507 5,095
  Hamborner REIT AG 434,824 4,617
  DIC Asset AG 264,810 3,114
^,* ADLER Real Estate AG 146,272 2,266
  VIB Vermoegen AG 154 4
      307,747
Greece (0.1%)    
  Grivalia Properties    
  REIC AE 216,457 2,258
* LAMDA Development    
  SA 194,763 1,465
      3,723
Hong Kong (13.0%)    
  Sun Hung Kai    
  Properties Ltd. 8,849,441 144,772
* CK Asset Holdings Ltd. 14,080,875 115,883
  Link REIT 11,895,589 100,010
  Wharf Holdings Ltd. 6,369,000 58,010
  Henderson Land    
  Development Co. Ltd. 7,313,452 47,727
  Hongkong Land    
  Holdings Ltd. 6,338,112 45,970
  New World    
  Development Co. Ltd. 29,511,000 43,999
  Wheelock & Co. Ltd. 4,231,652 29,480
  Sino Land Co. Ltd. 16,306,604 28,105
  Hang Lung Properties    
  Ltd. 10,848,932 24,912
  Swire Properties Ltd. 5,650,800 19,095
  Hang Lung Group Ltd. 4,660,103 16,374
  Kerry Properties Ltd. 3,182,832 14,324
  Hysan Development    
  Co. Ltd. 2,754,655 13,309
  Champion REIT 10,939,512 7,895
  Great Eagle Holdings    
  Ltd. 1,318,697 7,260
^ Chinese Estates    
  Holdings Ltd. 2,638,452 4,485
  Sunlight REIT 5,621,400 3,813
^,* Wang On Properties    
  Ltd. 20,212,000 3,370
  Far East Consortium    
  International Ltd. 5,708,000 3,118
  Prosperity REIT 6,593,649 2,815
  HKR International Ltd. 3,814,082 2,434
* Lai Sun Development    
  Co. Ltd. 1,177,812 2,130
  Kowloon Development    
  Co. Ltd. 1,850,414 2,064
^ Langham Hospitality    
  Investments and    
  Langham Hospitality    
  Investments Ltd. 4,085,500 1,761
* Skyfame Realty    
  Holdings Ltd. 4,881,004 1,615
  Liu Chong Hing    
  Investment Ltd. 932,000 1,602
  Emperor International    
  Holdings Ltd. 4,309,832 1,525

 

14


 

Global ex-U.S. Real Estate Index Fund

        Market
        Value
      Shares ($000)
^,* Ground International      
  Development Ltd.   6,620,000 1,519
  CSI Properties Ltd.   25,398,348 1,303
  Asia Standard      
  International Group   3,352,000 898
  Soundwill Holdings Ltd. 381,500 826
^ SEA Holdings Ltd.   782,000 814
* International      
  Entertainment Corp.   2,554,000 669
* Master Glory Group      
  Ltd.   37,890,000 471
* Man Sang International      
  Ltd.   4,136,000 248
  Chuang’s Consortium      
  International Ltd.   620,000 145
        754,750
India (0.5%)      
  DLF Ltd.   2,206,598 6,868
* Indiabulls Real Estate      
  Ltd.   1,369,919 4,761
  Oberoi Realty Ltd.   490,052 3,592
* Godrej Properties Ltd.   247,380 2,595
  Prestige Estates      
  Projects Ltd.   538,020 2,528
  Phoenix Mills Ltd.   265,666 2,161
  Sobha Ltd.   208,591 1,640
* Housing Development      
  & Infrastructure Ltd.   1,346,434 1,229
* Unitech Ltd.   10,066,520 1,043
  Sunteck Realty Ltd.   156,682 852
  Mahindra Lifespace      
  Developers Ltd.   117,684 805
  Brigade Enterprises Ltd. 168,751 688
  Omaxe Ltd.   193,009 611
  Anant Raj Ltd.   565,780 526
        29,899
Indonesia (0.7%)      
  Bumi Serpong Damai      
  Tbk PT   50,374,727 6,394
  Ciputra Development      
  Tbk PT   63,067,891 5,628
  Pakuwon Jati Tbk PT 114,222,028 5,304
  Lippo Karawaci Tbk PT   94,910,400 4,829
  Summarecon Agung      
  Tbk PT   48,614,100 3,711
* Hanson International      
  Tbk PT 345,140,500 3,004
  Kawasan Industri      
  Jababeka Tbk PT   96,952,471 2,173
  Alam Sutera Realty      
  Tbk PT   51,492,397 1,543
  PP Properti Tbk PT   83,008,007 1,286
* Sentul City Tbk PT 105,369,100 1,111
  Modernland Realty    
  Tbk PT 43,511,200 1,059
  Intiland Development    
  Tbk PT 29,107,051 833
  Puradelta Lestari Tbk    
  PT 44,711,000 620
* Lippo Cikarang Tbk PT 1,939,200 544
  Bekasi Fajar Industrial    
  Estate Tbk PT 18,193,882 381
      38,420
Ireland (0.3%)    
  Green REIT plc 3,747,670 6,593
  Hibernia REIT plc 3,768,642 6,472
  Irish Residential    
  Properties REIT plc 1,928,691 3,317
      16,382
Israel (1.0%)    
  Azrieli Group Ltd. 195,700 11,056
  Alony Hetz Properties    
  & Investments Ltd. 574,971 5,947
* Airport City Ltd. 395,483 5,066
  Melisron Ltd. 96,426 5,039
  Gazit-Globe Ltd. 523,342 4,981
  Amot Investments Ltd. 668,414 3,945
  Reit 1 Ltd. 939,166 3,768
* Brack Capital Properties    
  NV 23,001 2,503
* Jerusalem Economy Ltd. 887,070 2,399
  Big Shopping Centers Ltd. 23,851 1,745
  Sella Capital Real Estate    
  Ltd. 825,664 1,659
  Norstar Holdings Inc. 77,682 1,396
* Africa Israel Properties    
  Ltd. 58,399 1,384
* ADO Group Ltd. 64,164 1,301
  Summit Real Estate    
  Holdings Ltd. 163,929 1,253
  Alrov Properties and    
  Lodgings Ltd. 38,991 1,250
  Blue Square Real Estate    
  Ltd. 24,714 1,020
  Property & Building    
  Corp. Ltd. 10,324 991
      56,703
Italy (0.1%)    
  Beni Stabili SpA SIIQ 5,490,586 4,858
  Immobiliare Grande    
  Distribuzione SIIQ SPA 1,918,987 2,219
      7,077
Japan (20.7%)    
  Mitsubishi Estate Co.    
  Ltd. 7,460,845 135,299

 

15


 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
  Daiwa House Industry    
  Co. Ltd. 3,574,174 131,004
  Mitsui Fudosan Co. Ltd. 5,318,457 124,138
  Sumitomo Realty &    
  Development Co. Ltd. 2,552,567 85,491
  Daito Trust Construction    
  Co. Ltd. 411,625 71,966
  Nippon Building Fund Inc. 7,582 36,607
  Japan Real Estate    
  Investment Corp. 7,012 32,873
  Nomura Real Estate    
  Master Fund Inc. 22,511 28,156
  Hulic Co. Ltd. 2,611,916 26,945
  Japan Retail Fund    
  Investment Corp. 14,354 25,473
  United Urban Investment    
  Corp. 16,472 23,697
  Nippon Prologis REIT Inc. 10,924 22,969
  Orix JREIT Inc. 14,437 19,836
  Daiwa House REIT    
  Investment Corp. 8,143 19,029
  Tokyu Fudosan Holdings    
  Corp. 2,772,256 18,175
  Advance Residence    
  Investment Corp. 7,275 17,102
  Tokyo Tatemono Co. Ltd. 1,175,783 16,494
  Japan Prime Realty    
  Investment Corp. 4,962 15,959
  GLP J-Reit 15,388 15,425
  Nomura Real Estate    
  Holdings Inc. 680,629 14,981
  Japan Hotel REIT    
  Investment Corp. 21,532 14,256
  Activia Properties Inc. 3,623 14,177
  Kenedix Office    
  Investment Corp. 2,150 11,518
  Aeon Mall Co. Ltd. 617,283 11,038
  Leopalace21 Corp. 1,414,750 10,564
  Frontier Real Estate    
  Investment Corp. 2,670 10,455
  Nippon Accommodations    
  Fund Inc. 2,632 10,145
  Mori Hills REIT    
  Investment Corp. 7,973 9,303
  Invincible Investment Corp.  22,105 8,959
  Japan Logistics Fund Inc. 4,955 8,891
  Industrial & Infrastructure    
  Fund Investment Corp. 2,099 8,551
  Japan Excellent Inc. 7,022 8,242
^ Daiwa Office Investment    
  Corp. 1,669 8,111
^ AEON REIT Investment    
  Corp. 7,994 8,045
  Mori Trust Sogo Reit Inc. 5,196 7,412
^ Hulic Reit Inc. 5,276 7,362
  Premier Investment Corp. 7,090 6,258
  Tokyu REIT Inc. 5,296 6,215
  Comforia Residential    
  REIT Inc. 3,021 6,189
  Japan Rental Housing    
  Investments Inc. 8,933 6,177
  NTT Urban Development    
  Corp. 593,800 6,146
  NIPPON REIT Investment    
  Corp. 2,074 5,937
^ Sekisui House Residential    
  Investment Corp. 6,019 5,887
  Fukuoka REIT Corp. 4,139 5,869
  Sekisui House Reit Inc. 5,221 5,780
  LaSalle Logiport REIT 6,038 5,681
  Kenedix Retail REIT Corp. 2,752 5,431
  Ichigo Office REIT    
  Investment 8,231 5,328
  MCUBS MidCity    
  Investment Corp. 1,553 5,145
  Kenedix Residential    
  Investment Corp. 1,882 4,821
  Heiwa Real Estate REIT    
  Inc. 5,620 4,531
^ Hoshino Resorts REIT    
  Inc. 934 4,498
  Ichigo Inc. 1,230,200 4,375
  Invesco Office J-Reit Inc. 4,443 4,061
^ Hankyu Reit Inc. 3,303 3,834
  Global One Real Estate    
  Investment Corp. 1,152 3,790
  Daibiru Corp. 319,657 3,769
^ TOC Co. Ltd. 407,129 3,664
  Unizo Holdings Co. Ltd. 125,400 3,336
  Daikyo Inc. 166,705 3,210
  Heiwa Real Estate Co.    
  Ltd. 182,732 3,188
  Mitsui Fudosan Logistics    
  Park Inc. 1,019 2,979
^ Mirai Corp. 1,660 2,419
  Mori Trust Hotel Reit Inc. 1,837 2,249
  Takara Leben Co. Ltd. 450,652 2,072
  Goldcrest Co. Ltd. 87,440 1,894
^ One REIT Inc. 910 1,780
  Star Asia Investment    
  Corp. 1,922 1,760
  Keihanshin Building    
  Co. Ltd. 220,900 1,550
^ Starts Proceed    
  Investment Corp. 1,078 1,495
  Tosei Corp. 146,900 1,447
^ Shinoken Group Co. Ltd. 56,100 1,378
  Sun Frontier Fudousan    
  Co. Ltd. 106,300 1,280

 

16


 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
  Sakura Sogo REIT    
  Investment Corp. 1,596 1,268
^ Ichigo Hotel REIT    
  Investment Corp. 1,213 1,213
^ Samty Residential    
  Investment Corp. 1,420 1,102
  Nisshin Fudosan    
  Co./Japan 150,800 1,061
^ SAMTY Co. Ltd. 71,900 1,024
* Star Mica Co. Ltd. 63,200 900
  Arealink Co. Ltd. 41,500 869
  Japan Property    
  Management Center    
  Co. Ltd. 60,700 819
^ Ardepro Co. Ltd. 887,200 808
^ Health Care & Medical    
  Investment Corp. 902 770
^ Tosei Reit Investment    
  Corp. 796 737
^ Nippon Commercial    
  Development Co. Ltd. 46,200 682
* Mugen Estate Co. Ltd. 58,100 602
^ Ooedo Onsen Reit    
  Investment Corp. 748 600
^ Tokyo Theatres Co. Inc. 35,401 455
^ Japan Senior Living    
  Investment Corp. 360 437
      1,197,418
Malaysia (0.7%)    
  IOI Properties Group    
  Bhd. 11,390,000 5,358
  Sunway Bhd. 9,805,376 4,004
  SP Setia Bhd Group 4,924,960 3,808
  KLCCP Stapled Group 1,767,770 3,343
  IGB REIT 6,870,400 2,678
  Sunway REIT 6,374,634 2,589
  Mah Sing Group Bhd. 5,889,325 2,145
* Eco World Development    
  Group Bhd. 5,311,000 1,946
  UOA Development Bhd. 3,021,000 1,820
* UEM Sunrise Bhd. 5,758,665 1,510
  Capitaland Malaysia    
  Mall Trust 4,106,000 1,435
  Pavilion REIT 3,435,500 1,388
  Eastern & Oriental Bhd. 3,585,856 1,305
  Matrix Concepts    
  Holdings Bhd. 2,342,728 1,245
  Axis REIT 2,857,200 1,040
* Eco World International    
  Bhd. 4,177,593 1,037
* MKH Bhd. 1,716,000 839
* KSL Holdings Bhd. 2,211,800 658
  LBS Bina Group Bhd. 1,329,900 603
* Aspen Group Holdings    
  Ltd. 3,278,100 517
  KIP REIT 2,237,500 492
  Titijaya Land Bhd. 689,700 249
* YNH Property Bhd. 635,000 212
* Sunway Bhd. Warrants 1,260,691 191
* Eco World Development    
  Group Bhd Warrants 2    
  Exp. 3/26/2022 450,320 47
* Eastern & Oriental    
  Bhd Warrants    
  Exp. 7/21/2019 438,840 15
* Matrix Concepts    
  Holdings Bhd.    
  Warrants 7/20/2020 167,103 14
* Mah Sing Group    
  Warrants    
  Expire 1/15/2026 264,345 8
* Mah Sing Group Bhd.    
  Warrants    
  Exp. 3/18/2018 156,256 4
      40,500
Mexico (1.0%)    
  Fibra Uno    
  Administracion SA de    
  CV 16,641,244 26,188
  Concentradora Fibra    
  Danhos SA de CV 4,250,125 7,200
  PLA Administradora    
  Industrial S de RL de    
  CV 4,264,328 6,564
  Macquarie Mexico Real    
  Estate Management    
  SA de CV 4,495,690 5,393
  Corp Inmobiliaria Vesta    
  SAB de CV 2,991,630 3,714
  Prologis Property    
  Mexico SA de CV 1,894,500 3,708
2 Concentradora Fibra    
  Hotelera Mexicana    
  SA de CV 3,658,675 2,450
* Grupo GICSA SA de CV 2,422,403 1,466
  Asesor de Activos    
  Prisma SAPI de CV 1,727,463 1,080
  Fibra Shop Portafolios    
  Inmobiliarios SAPI de    
  CV 1,649,918 1,016
      58,779
Netherlands (0.5%)    
  Eurocommercial    
  Properties NV 263,072 10,954
  Wereldhave NV 217,427 9,884
  NSI NV 97,870 3,713
  Vastned Retail NV 84,685 3,709
      28,260

 

17


 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
New Zealand (0.4%)    
  Kiwi Property Group    
  Ltd. 7,570,681 6,867
  Goodman Property    
  Trust 5,463,030 4,899
  Precinct Properties    
  New Zealand Ltd. 5,406,066 4,792
  Argosy Property Ltd. 4,544,525 3,220
  Vital Healthcare    
  Property Trust 1,780,822 2,694
  Stride Property Group 2,009,240 2,240
^ Investore Property Ltd. 1,061,938 975
  Property for Industry    
  Ltd. 2,879 3
      25,690
Norway (0.2%)    
2 Entra ASA 662,863 9,123
  Selvaag Bolig ASA 221,404 808
  Olav Thon    
  Eiendomsselskap ASA 194 4
      9,935
Other (0.1%) 4    
5 Vanguard REIT ETF 96,203 7,908
Philippines (1.6%)    
  SM Prime Holdings    
  Inc. 62,246,131 44,656
  Ayala Land Inc. 31,737,100 26,582
  Megaworld Corp. 67,907,300 7,011
  Robinsons Land Corp. 8,736,850 4,275
  Vista Land &    
  Lifescapes Inc. 26,925,378 3,176
* DoubleDragon    
  Properties Corp. 3,185,340 2,499
  Filinvest Land Inc. 47,595,000 1,828
  Belle Corp. 20,105,800 1,480
* Cebu Landmasters Inc. 3,552,644 338
      91,845
Poland (0.1%)    
  Echo Polska Properties    
  NV 2,011,221 3,074
  Globe Trade Centre SA 1,021,613 2,525
* Griffin Premium RE NV 342,896 497
      6,096
Qatar (0.1%)    
  Barwa Real Estate Co. 501,349 4,125
  United Development    
  Co. QSC 894,163 3,268
* Mazaya Qatar Real    
  Estate Development    
  QSC 249,413 558
      7,951
Russia (0.1%)    
LSR Group PJSC GDR 1,116,982 3,217
Etalon Group Ltd. GDR 401,749 1,625
    4,842
Singapore (6.2%)    
Global Logistic    
Properties Ltd. 15,910,431 38,756
CapitaLand Ltd. 13,673,138 36,822
City Developments Ltd. 3,328,290 31,608
Ascendas REIT 12,863,061 25,863
CapitaLand Mall Trust 14,501,134 21,497
UOL Group Ltd. 2,878,778 19,091
CapitaLand    
Commercial Trust 13,875,887 17,675
Suntec REIT 11,927,027 17,074
Mapletree Commercial    
Trust 10,182,633 11,614
Mapletree Logistics    
Trust 10,970,366 10,223
Mapletree Industrial    
Trust 6,400,834 9,110
Fortune REIT 7,296,861 8,839
Keppel REIT 9,698,415 8,360
Mapletree Greater    
China Commercial    
Trust 9,472,778 8,166
Ascott Residence Trust 6,785,138 5,951
Frasers Centrepoint    
Trust 3,067,041 4,882
Frasers Logistics &    
Industrial Trust 5,892,200 4,820
CDL Hospitality Trusts 3,923,226 4,706
Parkway Life REIT 2,127,455 4,447
Yanlord Land Group Ltd. 3,342,004 4,392
Starhill Global REIT 7,311,068 4,131
Keppel DC REIT 3,823,213 3,856
OUE Hospitality Trust 6,325,700 3,734
Wing Tai Holdings Ltd. 2,060,810 3,628
CapitaLand Retail    
China Trust 2,941,886 3,582
Manulife US REIT 3,676,900 3,328
Lippo Malls Indonesia    
Retail Trust 10,309,506 3,292
Cache Logistics Trust 5,448,142 3,277
AIMS AMP Capital    
Industrial REIT 3,071,876 3,258
Frasers Commercial    
Trust 3,179,067 3,231
Frasers Centrepoint Ltd. 2,033,700 3,103
First REIT 3,049,454 3,098
GuocoLand Ltd. 1,506,877 2,645
Yoma Strategic    
Holdings Ltd. 6,001,318 2,575

 

18


 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
  Ascendas Hospitality    
  Trust 3,926,500 2,520
  SPH REIT 3,396,400 2,492
  ESR REIT 6,116,409 2,491
  Wheelock Properties    
  Singapore Ltd. 1,571,069 2,306
  Far East Hospitality    
  Trust 4,248,092 2,182
^ Sinarmas Land Ltd. 5,776,600 1,800
^ GSH Corp. Ltd. 4,454,200 1,780
  Soilbuild Business    
  Space REIT 3,341,860 1,619
  Sabana Shari’ah    
  Compliant Industrial    
  REIT 4,497,972 1,518
  United Industrial Corp.    
  Ltd. 480,300 1,160
^,* Ying Li International    
  Real Estate Ltd. 5,403,400 567
  Ascendas India Trust 3,900 3
      361,072
South Africa (2.6%)    
  NEPI Rockcastle plc 3,090,528 43,023
  Growthpoint Properties    
  Ltd. 14,562,583 25,260
  Redefine Properties    
  Ltd. 28,493,517 21,399
  Resilient REIT Ltd. 2,086,369 20,787
  Hyprop Investments    
  Ltd. 1,334,055 10,026
  Vukile Property Fund    
  Ltd. 4,079,616 5,691
* Attacq Ltd. 4,030,445 5,323
  SA Corporate Real    
  Estate Ltd. 13,604,578 4,607
  Arrowhead Properties    
  Ltd. 5,595,191 3,150
  Emira Property Fund    
  Ltd. 2,839,546 2,637
  Rebosis Property Fund    
  Ltd. 3,459,688 2,619
  Delta Property Fund    
  Ltd. 2,819,992 1,475
  Octodec Investments    
  Ltd. 877,283 1,248
  Balwin Properties Ltd. 955,253 416
      147,661
South Korea (0.0%)    
^ Dongwon Development    
  Co. Ltd. 186,949 946
^ SK D&D Co. Ltd. 31,967 860
      1,806
Spain (1.1%)    
  Merlin Properties    
  Socimi SA 1,789,487 23,629
  Inmobiliaria Colonial SA 1,729,307 16,464
  Hispania Activos    
  Inmobiliarios SOCIMI    
  SA 585,875 10,110
  Axiare Patrimonio    
  SOCIMI SA 361,217 6,774
  Lar Espana Real Estate    
  Socimi SA 494,373 4,847
^,* Realia Business SA 1,008,015 1,290
^,* Quabit Inmobiliaria SA 284,320 546
      63,660
Sweden (2.0%)    
  Castellum AB 1,473,501 23,644
  Fabege AB 753,748 15,915
* Fastighets AB Balder    
  Class B 525,210 13,672
^ Wallenstam AB 1,139,556 10,643
  Hufvudstaden AB    
  Class A 636,805 10,479
  Hemfosa Fastigheter AB 851,516 10,345
  Wihlborgs Fastigheter    
  AB 373,684 8,872
  Kungsleden AB 1,021,023 7,286
^ Klovern AB 2,901,856 3,907
  Dios Fastigheter AB 470,423 3,091
* D Carnegie & Co. AB    
  Class B 201,275 2,784
  Victoria Park AB Class B 562,027 2,074
^ Magnolia Bostad AB 82,533 700
  Sagax AB Class B 426 5
  Atrium Ljungberg AB 302 5
      113,422
Switzerland (1.3%)    
  Swiss Prime Site AG 384,853 32,862
  PSP Swiss Property AG 217,757 19,167
  Allreal Holding AG 77,604 12,971
  Mobimo Holding AG 33,522 8,471
  Intershop Holding AG 8,059 3,958
  Zug Estates Holding AG    
  Class B 2 3
      77,432
Taiwan (0.6%)    
  Highwealth Construction    
  Corp. 4,629,544 6,194
* Ruentex Development    
  Co. Ltd. 5,600,874 5,752
  Huaku Development    
  Co. Ltd. 1,197,854 2,689
  Shin Kong No.1 REIT 5,241,000 2,494

 

19


 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
  Chong Hong    
  Construction Co. Ltd. 994,297 2,431
  Prince Housing &    
  Development Corp. 6,107,478 2,249
  Hung Sheng    
  Construction Ltd. 1,994,000 1,576
* Radium Life Tech Co.    
  Ltd. 3,152,947 1,412
  Farglory Land    
  Development Co. Ltd. 1,256,631 1,374
  Cathay Real Estate    
  Development Co. Ltd. 2,380,100 1,330
  Kindom Construction    
  Corp. 1,794,000 1,146
* Taiwan Land    
  Development Corp. 3,069,450 1,028
  Hong Pu Real Estate    
  Development Co. Ltd. 1,038,194 697
  Huang Hsiang    
  Construction Corp. 670,000 694
  KEE TAI Properties Co.    
  Ltd. 1,967,869 685
* Kuoyang Construction    
  Co. Ltd. 1,689,665 684
  Advancetek Enterprise    
  Co. Ltd. 1,103,000 665
* Shining Building    
  Business Co. Ltd. 1,725,119 598
* ZongTai Real Estate    
  Development Co. Ltd. 931,574 572
      34,270
Thailand (1.3%)    
* Central Pattana PCL 7,338,700 17,576
* Land & Houses PCL    
  (Local) 18,744,300 6,150
  CPN Retail Growth    
  Leasehold Property    
  Fund 9,014,210 5,920
  Tesco Lotus Retail    
  Growth Freehold &    
  Leasehold Property    
  Fund 9,609,154 5,004
* WHA Corp. PCL (Local) 33,741,830 3,900
* Bangkok Land PCL    
  (Local) 49,118,300 2,736
* Supalai PCL 3,421,205 2,532
* Origin Property PCL 3,592,899 2,230
  Samui Airport Property    
  Fund Leasehold 3,059,875 2,212
  Pruksa Real Estate PCL 3,024,500 2,069
* Quality Houses PCL 22,170,700 1,963
* Amata Corp. PCL 2,694,500 1,744
* IMPACT Growth REIT 3,757,800 1,596
  Platinum Group PCL 5,627,700 1,524
* Golden Ventures    
  Leasehold REIT 2,744,000 1,215
* U City PCL 1,316,963,400 1,189
* Ananda      
  Development PCL 6,594,800 1,181
  TICON Property Fund 3,216,000 1,114
^ TICON Industrial    
  Connection PCL    
  NVDR   2,113,680 1,063
* Sansiri PCL (Local) 15,027,600 1,058
  Sansiri PCL   14,694,200 1,035
* LPN Development PCL 2,447,500 965
* Siam Future      
  Development PCL 3,772,367 824
* Singha Estate PCL    
  (Local)   6,925,636 809
* AP Thailand PCL 3,005,350 805
* Gland Office Leasehold    
  REIT   2,054,003 711
* Pruksa Holding PCL 898,800 683
* Hemaraj Leasehold    
  REIT   2,507,700 630
^ Univentures PCL    
  (Foreign)   1,577,100 589
  WHA Corp. PCL      
  (Foreign)   4,759,678 550
* Supalai PCL Warrants    
  Exp. 10/20/2018 804,901 499
^ Rojana Industrial Park    
  PCL NVDR   2,602,482 474
* TICON Industrial    
  Connection PCL (Local) 861,000 433
* Property Perfect PCL    
  (Local)   14,915,800 417
  Asian Property      
  Development PCL    
  (Foreign)   1,513,270 406
* Univentures PCL (Local) 1,067,500 399
* SC Asset Corp. PCL    
  (Local)   3,071,925 314
  Sansiri PCL (Foreign) 4,060,798 286
  SC Asset Corp. PCL    
  (Foreign)   2,526,712 259
  Bangkok Land PCL    
  (Foreign)   4,269,495 238
  CP Tower Growth    
  Leasehold Property    
  Fund   410,600 158
^ Land & Houses PCL    
  (Foreign)   481,300 158
* Rojana Industrial Park    
  PCL   495,412 90
  Rojana Industrial Park    
  PCL (Foreign)   481,328 88

 

20


 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
  SC Asset Corp. PCL    
  NVDR 831,300 85
* WHA Corp. PCL    
  Warrants    
  Expire 12/31/19 108,341 32
^,* Singha Estate PCL    
  (Foreign) 253,164 30
  TICON Industrial    
  Connection PCL    
  (Foreign) 50,093 25
* Raimon Land PCL    
  Warrants    
  Expire 6/14/18 1,271,475 3
* Sansiri PLC Foreign    
  Warrants    
  Expire 11/24/17 3,159,666 1
* Sansiri PLC NVDR    
  Warrants    
  Expire 11/24/17 2,936,700 1
      75,973
Turkey (0.2%)    
* Emlak Konut    
  Gayrimenkul Yatirim    
  Ortakligi AS 10,549,642 7,363
  Is Gayrimenkul Yatirim    
  Ortakligi AS 2,518,451 882
  AKIS Gayrimenkul    
  Yatirimi AS 875,671 732
  Torunlar Gayrimenkul    
  Yatirim Ortakligi AS 336,025 586
      9,563
United Arab Emirates (1.2%)  
  Emaar Properties PJSC 18,080,287 40,801
  Aldar Properties PJSC 16,208,390 10,515
  DAMAC Properties    
  Dubai Co. PJSC 8,730,226 9,367
  Emaar Malls PJSC 10,060,606 6,315
* Eshraq Properties Co.    
  PJSC 5,355,078 1,150
* Deyaar Development    
  PJSC 6,299,477 913
  RAK Properties PJSC 4,606,518 890
      69,951
United Kingdom (6.5%)    
  Land Securities Group    
  plc 4,030,936 51,773
  British Land Co. plc 5,564,970 44,432
  Segro plc 5,353,872 38,651
  Hammerson plc 4,270,770 29,730
  Derwent London plc 596,726 21,209
  Shaftesbury plc 1,192,768 15,694
  Great Portland Estates    
  plc 1,764,064 14,573
  Tritax Big Box REIT plc 7,319,821 14,321
  Capital & Counties    
  Properties plc 4,033,937 14,265
  Intu Properties plc 4,689,270 13,462
  UNITE Group plc 1,291,294 12,063
  LondonMetric Property    
  plc 3,744,216 8,767
  Grainger plc 2,245,033 8,303
  Big Yellow Group plc 801,123 8,278
  F&C Commercial    
  Property Trust Ltd. 4,286,603 8,119
  Assura plc 9,767,524 7,841
  Workspace Group plc 640,430 7,530
  NewRiver REIT plc 1,613,164 7,178
  Safestore Holdings plc 1,107,149 6,541
  St. Modwen Properties    
  plc 1,027,281 5,192
  Primary Health    
  Properties plc 3,203,488 5,041
  UK Commercial    
  Property Trust Ltd. 3,530,565 4,103
^ Hansteen Holdings plc 2,223,913 4,044
  Empiric Student    
  Property plc 3,104,637 4,012
  MAS Real Estate Inc. 1,811,815 3,960
  Redefine International    
  plc 6,723,647 3,316
  Picton Property Income    
  Ltd. 2,859,142 3,266
  Helical plc 583,198 2,384
  Schroder REIT Ltd. 2,811,600 2,229
2 Regional REIT Ltd. 1,467,146 2,036
  Capital & Regional plc 2,543,932 1,843
  Civitas Social Housing    
  plc 1,046,563 1,530
* LXI REIT plc 1,051,190 1,457
*,2 AEW UK Long Lease    
  Reit plc 433,711 594
  McKay Securities plc 1,906 6
* Raven Russia Ltd. 8,389 5
  Daejan Holdings plc 46 4
  CLS Holdings plc 875 3
  Mucklow A & J Group    
  plc 329 2
  Impact Healthcare Reit    
  plc 1,597 2
  Urban & Civic plc 574 2
  U & I Group plc 691 2
*,3 Civitas Social Housing    
  plc Rights    
  Exp. 11/07/2017 1,543,684
      377,763
Total Common Stocks    
(Cost $5,458,438)   5,756,674

 

21


 

Global ex-U.S. Real Estate Index Fund

  Market
  Value
Shares ($000)
Temporary Cash Investments (2.6%)1  
Money Market Fund (2.5%)  
6,7 Vanguard Market  
Liquidity Fund, 1.246% 1,470,521 147,067
    Face  
    Amount  
    ($000)  
U.S. Government and Agency Obligations (0.1%)
8 United States Cash    
  Management Bill,    
  1.029%–1.048%, 1/2/18 4,000 3,993
  United States Treasury Bill,    
  1.052%, 11/24/17 200 200
8 United States Treasury Bill,    
  1.169%, 3/22/18 700 696
      4,889
Total Temporary Cash Investments  
(Cost $151,952)   151,956
Total Investments (102.1%)    
(Cost $5,610,390)   5,908,630
  Amount
  ($000)
Other Assets and Liabilities (-2.1%)  
Other Assets  
Investment in Vanguard 346
Receivables for Investment Securities Sold 4,309
Receivables for Accrued Income 16,574
Receivables for Capital Shares Issued 2,449
Variation Margin Receivable—  
Futures Contracts 36
Other Assets 2,609
Total Other Assets 26,323
Liabilities  
Payables for Investment Securities  
Purchased (3,154)
Collateral for Securities on Loan (142,152)
Payables for Capital Shares Redeemed (92)
Payables to Vanguard (1,428)
Other Liabilities (2,369)
Total Liabilities (149,195)
Net Assets (100%) 5,785,758

 

22


 

Global ex-U.S. Real Estate Index Fund

At October 31, 2017, net assets consisted of:
  Amount
  ($000)
Paid-in Capital 5,540,484
Undistributed Net Investment Income 45,146
Accumulated Net Realized Losses (98,538)
Unrealized Appreciation (Depreciation)  
Investment Securities 298,240
Futures Contracts 505
Foreign Currencies (79)
Net Assets 5,785,758
 
 
Investor Shares—Net Assets  
Applicable to 2,334,098 outstanding  
$.001 par value shares of beneficial  
interest (unlimited authorization) 55,536
Net Asset Value Per Share—  
Investor Shares $23.79
 
 
ETF Shares—Net Assets  
Applicable to 86,087,904 outstanding  
$.001 par value shares of beneficial  
interest (unlimited authorization) 5,121,577
Net Asset Value Per Share—  
ETF Shares $59.49
 
 
Admiral Shares—Net Assets  
Applicable to 12,562,252 outstanding  
$.001 par value shares of beneficial  
interest (unlimited authorization) 452,912
Net Asset Value Per Share—  
Admiral Shares $36.05

 

  Amount
  ($000)
Institutional Shares—Net Assets  
Applicable to 1,296,553 outstanding  
$.001 par value shares of beneficial  
interest (unlimited authorization) 155,733
Net Asset Value Per Share—  
Institutional Shares $120.11

See Note A in Notes to Financial Statements.
^ Includes partial security positions on loan to broker-dealers.
The total value of securities on loan is $133,185,000.
* Non-income-producing security.
1 The fund invests a portion of its cash reserves in equity
markets through the use of index futures contracts. After
giving effect to futures investments, the fund’s effective
common stock and temporary cash investment positions
represent 99.9% and 2.2%, respectively, of net assets.
2 Security exempt from registration under Rule 144A of the
Securities Act of 1933. Such securities may be sold in
transactions exempt from registration, normally to qualified
institutional buyers. At October 31, 2017, the aggregate value
of these securities was $31,488,000, representing 0.5% of
net assets.
3 Security value determined using significant
unobservable inputs.
4 “Other” represents securities that are not classified by the
fund’s benchmark index.
5 Considered an affiliated company of the fund as the issuer
is another member of The Vanguard Group.
6 Affiliated money market fund available only to Vanguard
funds and certain trusts and accounts managed by Vanguard.
Rate shown is the 7-day yield.
7 Includes $142,152,000 of collateral received for securities
on loan.
8 Securities with a value of $946,000 have been segregated
as initial margin for open futures contracts.
ADR—American Depositary Receipt.
GDR—Global Depositary Receipt.
NVDR—Non-Voting Depository Receipt.
REIT—Real Estate Investment Trust.

23


 

Global ex-U.S. Real Estate Index Fund

Derivative Financial Instruments Outstanding as of Period End    
Futures Contracts        
      ($000)
        Value and
    Number of   Unrealized
    Long (Short) Notional Appreciation
  Expiration Contracts Amount (Depreciation)
Long Futures Contracts        
E-mini S&P 500 Index December 2017 165 21,225 505

 

Unrealized appreciation (depreciation) on open futures contracts is required to be treated as realized
gain (loss) for tax purposes.

See accompanying Notes, which are an integral part of the Financial Statements.

24


 

Global ex-U.S. Real Estate Index Fund

Statement of Operations

  Year Ended
  October 31, 2017
  ($000)
Investment Income  
Income  
Dividends1,2 163,178
Interest 2 102
Securities Lending—Net 4,578
Total Income 167,858
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,057
Management and Administrative—Investor Shares 156
Management and Administrative—ETF Shares 2,741
Management and Administrative—Admiral Shares 319
Management and Administrative—Institutional Shares 114
Marketing and Distribution—Investor Shares 9
Marketing and Distribution—ETF Shares 215
Marketing and Distribution—Admiral Shares 35
Marketing and Distribution—Institutional Shares 7
Custodian Fees 1,200
Auditing Fees 42
Shareholders’ Reports and Proxy—Investor Shares 9
Shareholders’ Reports and Proxy—ETF Shares 716
Shareholders’ Reports and Proxy—Admiral Shares 15
Shareholders’ Reports and Proxy—Institutional Shares
Trustees’ Fees and Expenses 3
Total Expenses 6,638
Net Investment Income 161,220
Realized Net Gain (Loss)  
Investment Securities Sold 2 46,163
Futures Contracts 4,009
Foreign Currencies (471)
Realized Net Gain (Loss) 49,701
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 2 488,321
Futures Contracts 614
Foreign Currencies 356
Change in Unrealized Appreciation (Depreciation) 489,291
Net Increase (Decrease) in Net Assets Resulting from Operations 700,212

 

1 Dividends are net of foreign withholding taxes of $12,536,000.
2 Dividend income, interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from affiliated
companies of the fund were $317,000, $87,000, ($214,000), and ($111,000), respectively.
See accompanying Notes, which are an integral part of the Financial Statements.

25


 

Global ex-U.S. Real Estate Index Fund

Statement of Changes in Net Assets

  Year Ended October 31,
  2017 2016
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 161,220 129,127
Realized Net Gain (Loss) 49,701 (31,723)
Change in Unrealized Appreciation (Depreciation) 489,291 3,273
Net Increase (Decrease) in Net Assets Resulting from Operations 700,212 100,677
Distributions    
Net Investment Income    
Investor Shares (2,179) (1,787)
ETF Shares (142,965) (110,683)
Admiral Shares (14,861) (11,538)
Institutional Shares (6,531) (5,506)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Total Distributions (166,536) (129,514)
Capital Share Transactions    
Investor Shares (10,258) 1,259
ETF Shares 1,045,850 531,472
Admiral Shares 33,006 25,946
Institutional Shares (29,219) (2,165)
Net Increase (Decrease) from Capital Share Transactions 1,039,379 556,512
Total Increase (Decrease) 1,573,055 527,675
Net Assets    
Beginning of Period 4,212,703 3,685,028
End of Period1 5,785,758 4,212,703
1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $45,146,000 and $20,409,000.

 

See accompanying Notes, which are an integral part of the Financial Statements.

26


 

Global ex-U.S. Real Estate Index Fund

Financial Highlights

Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $21.35 $21.44 $22.63 $23.06 $21.04
Investment Operations          
Net Investment Income .7111 .6551 .683 . 944 .6851
Net Realized and Unrealized Gain (Loss)          
on Investments 2 2.530 (.088) (1.103) (.443) 2.321
Total from Investment Operations 3.241 .567 (.420) .501 3.006
Distributions          
Dividends from Net Investment Income (. 801) (. 657) (.770) (. 931) (. 986)
Distributions from Realized Capital Gains
Total Distributions (. 801) (. 657) (.770) (. 931) (. 986)
Net Asset Value, End of Period $23.79 $21.35 $21.44 $22.63 $23.06
 
Total Return3 15.88% 2.72% -1.82% 2.41% 14.69%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $56 $59 $58 $51 $156
Ratio of Total Expenses to Average Net Assets 0.34% 0.35% 0.36% 0.37% 0.40%
Ratio of Net Investment Income to          
Average Net Assets 3.24% 3.10% 2.97% 4.10% 2.95%
Portfolio Turnover Rate 4 6% 7% 12% 8% 8%

 

1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.00, and $.02.
3 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

27


 

Global ex-U.S. Real Estate Index Fund

Financial Highlights

ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $53.35 $53.58 $56.54 $57.64 $52.60
Investment Operations          
Net Investment Income 1.9001 1.7521 1.802 2.437 1.7131
Net Realized and Unrealized Gain (Loss)          
on Investments 2 6.325 (.241) (2.747) (1.120) 5.869
Total from Investment Operations 8.225 1.511 (.945) 1.317 7.582
Distributions          
Dividends from Net Investment Income (2.085) (1.741) (2.015) (2.417) (2.542)
Distributions from Realized Capital Gains
Total Distributions (2.085) (1.741) (2.015) (2.417) (2.542)
Net Asset Value, End of Period $59.49 $53.35 $53.58 $56.54 $57.64
 
Total Return 16.13% 2.92% -1.66% 2.51% 14.77%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $5,122 $3,616 $3,111 $2,203 $1,306
Ratio of Total Expenses to Average Net Assets 0.14% 0.15% 0.18% 0.24% 0.27%
Ratio of Net Investment Income to          
Average Net Assets 3.44% 3.30% 3.15% 4.23% 3.08%
Portfolio Turnover Rate 3 6% 7% 12% 8% 8%

 

1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.00, and $.02.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

28


 

Global ex-U.S. Real Estate Index Fund

Financial Highlights

Admiral Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $32.33 $32.47 $34.27 $34.92 $31.87
Investment Operations          
Net Investment Income 1.1411 1.0581 1.090 1.466 1.0121
Net Realized and Unrealized Gain (Loss)          
on Investments 2 3.844 (.139) (1.673) (.661) 3.580
Total from Investment Operations 4.985 .919 (.583) .805 4.592
Distributions          
Dividends from Net Investment Income (1.265) (1.059) (1.217) (1.455) (1.542)
Distributions from Realized Capital Gains
Total Distributions (1.265) (1.059) (1.217) (1.455) (1.542)
Net Asset Value, End of Period $36.05 $32.33 $32.47 $34.27 $34.92
 
Total Return3 16.15% 2.91% -1.66% 2.55% 14.83%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $453 $373 $349 $296 $117
Ratio of Total Expenses to Average Net Assets 0.14% 0.15% 0.18% 0.24% 0.27%
Ratio of Net Investment Income to          
Average Net Assets 3.44% 3.30% 3.15% 4.23% 3.08%
Portfolio Turnover Rate 4 6% 7% 12% 8% 8%

 

Signal Shares were renamed Admiral Shares in October 2013.
1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.00, and $.01.
3 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

29


 

Global ex-U.S. Real Estate Index Fund

Financial Highlights

Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $107.71 $108.17 $114.14 $116.37 $106.19
Investment Operations          
Net Investment Income 3.8891 3.5591 3.657 4.954 3.4071
Net Realized and Unrealized Gain (Loss)          
on Investments 2 12.741 (.483) (5.541) (2.273) 11.930
Total from Investment Operations 16.630 3.076 (1.884) 2.681 15.337
Distributions          
Dividends from Net Investment Income (4.230) (3.536) (4.086) (4.911) (5.157)
Distributions from Realized Capital Gains
Total Distributions (4.230) (3.536) (4.086) (4.911) (5.157)
Net Asset Value, End of Period $120.11 $107.71 $108.17 $114.14 $116.37
 
Total Return3 16.17% 2.93% -1.61% 2.55% 14.87%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $156 $165 $167 $176 $92
Ratio of Total Expenses to Average Net Assets 0.12% 0.13% 0.16% 0.22% 0.24%
Ratio of Net Investment Income to          
Average Net Assets 3.46% 3.32% 3.17% 4.25% 3.11%
Portfolio Turnover Rate 4 6% 7% 12% 8% 8%

 

1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.00, $.01, $.00, $.00, and $.07.
3 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about
any applicable transaction fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

30


 

Global ex-U.S. Real Estate Index Fund

Notes to Financial Statements

Vanguard Global ex-U.S. Real Estate Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. The fund offers four classes of shares: Investor Shares, ETF Shares, Admiral Shares, and Institutional Shares. Investor Shares are available to any investor who meets the fund’s minimum purchase requirements. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker. Admiral Shares and Institutional Shares are designed for investors who meet certain administrative, service, and account-size criteria.

A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market-or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.

2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).

3. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the underlying securities when futures are believed to be priced more attractively than the underlying securities. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of

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Global ex-U.S. Real Estate Index Fund

an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearing-house is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract.

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

During the year ended October 31, 2017, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2014–2017), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date.

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counter-parties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn

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Global ex-U.S. Real Estate Index Fund

amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

The fund had no borrowings outstanding at October 31, 2017, or at any time during the period then ended.

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold. Fees assessed on capital share transactions are credited to paid-in capital.

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), shareholder reporting, and the proxy. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

B. In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2017, the fund had contributed to Vanguard capital in the amount of $346,000, representing 0.01% of the fund’s net assets and 0.14% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

C. Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are
noted on the Statement of Net Assets.

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Global ex-U.S. Real Estate Index Fund

The following table summarizes the market value of the fund’s investments as of October 31, 2017, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks 255,817 5,498,653 2,204
Temporary Cash Investments 147,067 4,889
Futures Contracts—Assets1 36
Total 402,920 5,503,542 2,204
1 Represents variation margin on the last day of the reporting period.      

 

D. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes. Differences may be permanent or temporary. Permanent differences are reclassified among capital accounts in the financial statements to reflect their tax character. Temporary differences arise when certain items of income, expense, gain, or loss are recognized in different periods for financial statement and tax purposes. These differences will reverse at some time in the future. Differences in classification may also result from the treatment of short-term gains as ordinary income for tax purposes.

During the year ended October 31, 2017, the fund realized net foreign currency losses of $471,000, which decreased distributable net income for tax purposes; accordingly, such losses have been reclassified from accumulated net realized losses to undistributed net investment income. Certain of the fund’s investments are in securities considered to be passive foreign investment companies, for which any unrealized appreciation and/or realized gains are required to be included in distributable net income for tax purposes. During the year ended October 31, 2017, the fund realized gains on the sale of passive foreign investment companies of $30,527,000, which have been included in current and prior periods’ taxable income; accordingly, such gains have been reclassified from accumulated net realized losses to undistributed net investment income. Passive foreign investment companies held at October 31, 2017, had unrealized appreciation of $80,637,000.

During the year ended October 31, 2017, the fund realized $30,225,000 of net capital gains resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

For tax purposes, at October 31, 2017, the fund had $126,851,000 of ordinary income available for distribution. At October 31, 2017, the fund had available capital losses totaling $98,031,000 to offset future net capital gains. Of this amount, $1,948,000 is subject to expiration on October 31, 2019. Capital losses of $96,083,000 realized beginning in fiscal 2012 may be carried forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards.

At October 31, 2017, the cost of investment securities for tax purposes was $5,691,027,000. Net unrealized appreciation of investment securities for tax purposes was $217,603,000, consisting of unrealized gains of $608,045,000 on securities that had risen in value since their purchase and $390,442,000 in unrealized losses on securities that had fallen in value since their purchase.

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Global ex-U.S. Real Estate Index Fund

E. During the year ended October 31, 2017, the fund purchased $1,861,900,000 of investment securities and sold $821,736,000 of investment securities, other than temporary cash investments. Purchases and sales include $1,397,658,000 and $524,230,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

F. Capital share transactions for each class of shares were:

  Year Ended October 31,
  2017 2016
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued1 9,645 443 9,439 444
Issued in Lieu of Cash Distributions 1,894 94 1,605 76
Redeemed 2 (21,797) (968) (9,785) (462)
Net Increase (Decrease)—Investor Shares (10,258) (431) 1,259 58
ETF Shares        
Issued1 1,594,745 29,212 623,142 11,610
Issued in Lieu of Cash Distributions
Redeemed 2 (548,895) (10,900) (91,670) (1,900)
Net Increase (Decrease)—ETF Shares 1,045,850 18,312 531,472 9,710
Admiral Shares        
Issued1 96,042 2,884 69,738 2,160
Issued in Lieu of Cash Distributions 12,797 417 9,885 310
Redeemed 2 (75,833) (2,272) (53,677) (1,680)
Net Increase (Decrease)—Admiral Shares 33,006 1,029 25,946 790
Institutional Shares        
Issued1 35,925 321 8,742 83
Issued in Lieu of Cash Distributions 4,242 41 3,610 34
Redeemed 2 (69,386) (595) (14,517) (132)
Net Increase (Decrease) —Institutional Shares (29,219) (233) (2,165) (15)
1 Includes purchase fees for fiscal 2017 and 2016 of $495,000 and $266,000, respectively (fund totals).
2 Net of redemption fees for fiscal 2017 and 2016 of $251,000 and $170,000, respectively (fund totals).

 

At October 31, 2017, one shareholder was the record or beneficial owner of 27% of the fund’s net assets. If the shareholder were to redeem its investment in the fund, the redemption might result in an increase in the fund’s expense ratio.

G. Management has determined that no material events or transactions occurred subsequent to October 31, 2017, that would require recognition or disclosure in these financial statements.

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Report of Independent Registered
Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard Global ex-U.S. Real Estate Index Fund

In our opinion, the accompanying statement of net assets and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Vanguard Global ex-U.S. Real Estate Index Fund (constituting a separate portfolio of Vanguard International Equity Index Funds, hereafter referred to as the “Fund”) as of October 31, 2017, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Fund’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities as of October 31, 2017 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.

/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 13, 2017


Special 2017 tax information (unaudited) for Vanguard Global ex-U.S. Real Estate Index Fund

This information for the fiscal year ended October 31, 2017, is included pursuant to provisions
of the Internal Revenue Code.

The fund distributed $27,206,000 of qualified dividend income to shareholders during the
fiscal year.

The fund designates to shareholders foreign source income of $158,714,000 and foreign taxes paid
of $12,319,000. Shareholders will receive more detailed information with their Form 1099-DIV in
January 2017 to determine the calendar-year amounts to be included on their 2016 tax returns.

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Your Fund’s After-Tax Returns

This table presents returns for your fund both before and after taxes. The after-tax returns are shown in two ways: (1) assuming that an investor owned the fund during the entire period and paid taxes on the fund’s distributions, and (2) assuming that an investor paid taxes on the fund’s distributions and sold all shares at the end of each period.

Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2017. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.)

The table shows returns for Investor Shares only; returns for other share classes will differ. Please note that your actual after-tax returns will depend on your tax situation and may differ from those shown. Also note that if you own the fund in a tax-deferred account, such as an individual retirement account or a 401(k) plan, this information does not apply to you. Such accounts are not subject to current taxes.

Finally, keep in mind that a fund’s performance—whether before or after taxes—does not guarantee future results.

Average Annual Total Returns: Global ex-U.S. Real Estate Index Fund Investor Shares
Periods Ended October 31, 2017

      Since
  One Five Inception
  Year Years (11/1/2010)
Returns Before Taxes 15.32% 6.44% 6.14%
Returns After Taxes on Distributions 13.63 4.98 4.86
Returns After Taxes on Distributions and Sale of Fund Shares 8.73 4.41 4.29

 

Vanguard fund returns are adjusted to reflect the 0.25% fee on purchases and redemptions.

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About Your Fund’s Expenses

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

The accompanying table illustrates your fund’s costs in two ways:

Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The ”Ending Account Value“ shown is derived from the fund‘s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period.

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading ”Expenses Paid During Period.“

Based on hypothetical 5% yearly return. This section is intended to help you compare your fund‘s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

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Six Months Ended October 31, 2017      
  Beginning Ending Expenses
  Account Value Account Value Paid During
Global ex-U.S. Real Estate Index Fund 4/30/2017 10/31/2017 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $1,122.63 $1.77
ETF Shares 1,000.00 1,123.48 0.70
Admiral Shares 1,000.00 1,123.74 0.59
Institutional Shares 1,000.00 1,123.67 0.70
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,023.54 $1.68
ETF Shares 1,000.00 1,024.55 0.66
Admiral Shares 1,000.00 1,024.65 0.56
Institutional Shares 1,000.00 1,024.55 0.66

 

The calculations are based on expenses incurred in the most recent six-month period. The fund’s annualized six-month expense ratios for
that period are 0.33% for Investor Shares, 0.13% for ETF Shares, 0.13% for Admiral Shares, and 0.11% for Institutional Shares. The dollar
amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period,
multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month
period (184/365).

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Glossary

Beta. A measure of the magnitude of a fund’s past share-price fluctuations in relation to the ups and downs of a given market index. The index is assigned a beta of 1.00. Compared with a given index, a fund with a beta of 1.20 typically would have seen its share price rise or fall by 12% when the index rose or fell by 10%. For this report, beta is based on returns over the past 36 months for both the fund and the index. Note that a fund’s beta should be reviewed in conjunction with its R-squared (see definition). The lower the R-squared, the less correlation there is between the fund and the index, and the less reliable beta is as an indicator of volatility.

Dividend Yield. Dividend income earned by stocks, expressed as a percentage of the aggregate market value (or of net asset value, for a fund). The yield is determined by dividing the amount of the annual dividends by the aggregate value (or net asset value) at the end of the period. For a fund, the dividend yield is based solely on stock holdings and does not include any income produced by other investments. This yield may include some payments that represent a return of capital, capital gains distributions, or both by the underlying stocks.

Earnings Growth Rate. The average annual rate of growth in earnings over the past five years for the stocks now in a fund.

Equity Exposure. A measure that reflects a fund’s investments in stocks and stock futures. Any holdings in short-term reserves are excluded.

Expense Ratio. A fund’s total annual operating expenses expressed as a percentage of the fund’s average net assets. The expense ratio includes management and administrative expenses, but does not include the transaction costs of buying and selling portfolio securities.

Fair-Value Pricing. Fair-value adjustments, which are required by the Securities and Exchange Commission, address pricing discrepancies that may arise because of time-zone differences among global stock markets. Foreign stocks may trade on exchanges that close many hours before a fund’s closing share price is calculated in the United States, generally at 4 p.m., Eastern time. In the hours between the foreign close and the U.S. close, the value of these foreign securities may change—because of company-specific announcements or market-wide developments, for example. Such price changes are not immediately reflected in international index values. Fair-value pricing takes such changes into account in calculating the fund’s daily net asset value, thus ensuring that the NAV doesn’t include “stale” prices. The result can be a temporary divergence between the return of the fund and that of its benchmark index—a difference that usually corrects itself when the foreign markets reopen.

Inception Date. The date on which the assets of a fund (or one of its share classes) are first invested in accordance with the fund’s investment objective. For funds with a subscription period, the inception date is the day after that period ends. Investment performance is measured from the inception date.

Median Market Cap. An indicator of the size of companies in which a fund invests; the midpoint of market capitalization (market price x shares outstanding) of a fund’s stocks, weighted by the proportion of the fund’s assets invested in each stock. Stocks representing half of the fund’s assets have market capitalizations above the median, and the rest are below it.

Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share.

For a fund, the weighted average price/book ratio of the stocks it holds.

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Price/Earnings Ratio. The ratio of a stock’s current price to its per-share earnings over the past year. For a fund, the weighted average P/E of the stocks it holds. P/E is an indicator of market expectations about corporate prospects; the higher the P/E, the greater the expectations for a company’s future growth.

R-Squared. A measure of how much of a fund’s past returns can be explained by the returns from the market in general, as measured by a given index. If a fund’s total returns were precisely synchronized with an index’s returns, its R-squared would be 1.00. If the fund’s returns bore no relationship to the index’s returns, its R-squared would be 0. For this report, R-squared is based on returns over the past 36 months for both the fund and the index.

Return on Equity. The annual average rate of return generated by a company during the past five years for each dollar of shareholder’s equity (net income divided by shareholder’s equity). For a fund, the weighted average return on equity for the companies whose stocks it holds.

Short-Term Reserves. The percentage of a fund invested in highly liquid, short-term securities that can be readily converted to cash.

Turnover Rate. An indication of the fund’s trading activity. Funds with high turnover rates incur higher transaction costs and may be more likely to distribute capital gains (which may be taxable to investors). The turnover rate excludes in-kind transactions, which have minimal impact on costs.

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The People Who Govern Your Fund

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them on an at-cost basis.

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 200 Vanguard funds.

Information for each trustee and executive officer of the fund appears below. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

Interested Trustee1

F. William McNabb III

Born 1957. Trustee Since July 2009. Chairman of the Board. Principal Occupation(s) During the Past Five Years and Other Experience: Chairman of the Board of The Vanguard Group, Inc., and of each of the investment companies served by The Vanguard Group, since January 2010; Chief Executive Officer and Director of The Vanguard Group and President and Chief Executive Officer of each of the investment companies served by The Vanguard Group, since 2008; Director of Vanguard Marketing Corporation; President of The Vanguard Group (2008–2017); Managing Director of The Vanguard Group (1995–2008).

Independent Trustees

Emerson U. Fullwood

Born 1948. Trustee Since January 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Executive Chief Staff and Marketing Officer for North America and Corporate Vice President (retired 2008) of Xerox Corporation (document management products and services); Executive in Residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology; Lead Director of SPX FLOW, Inc. (multi-industry manufacturing); Director of the United Way of Rochester, the University of Rochester Medical Center, Monroe Community College Foundation, North Carolina A&T University, and Roberts Wesleyan College; Trustee of the University of Rochester.

Rajiv L. Gupta

Born 1945. Trustee Since December 2001.2 Principal Occupation(s) During the Past Five Years and Other Experience: Chairman and Chief Executive Officer (retired 2009) and President (2006–2008) of Rohm and Haas Co. (chemicals); Director of Arconic Inc. (diversified manufacturer), HP Inc. (printer and personal computer manufacturing), and Delphi Automotive plc (automotive components); Senior Advisor at New Mountain Capital.

Amy Gutmann

Born 1949. Trustee Since June 2006. Principal Occupation(s) During the Past Five Years and Other Experience: President of the University of Pennsylvania; Christopher H. Browne

 

1 Mr. McNabb is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.
2 December 2002 for Vanguard Equity Income Fund, the Vanguard Municipal Bond Funds, and the Vanguard State Tax-Exempt Funds.


 

Distinguished Professor of Political Science, School of Arts and Sciences, and Professor of Communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania; Trustee of the National Constitution Center.

JoAnn Heffernan Heisen

Born 1950. Trustee Since July 1998. Principal Occupation(s) During the Past Five Years and Other Experience: Corporate Vice President and Member of the Executive Committee (1997–2008), Chief Global Diversity Officer (retired 2008), Vice President and Chief Information Officer (1997–2006), Controller (1995–1997), Treasurer (1991–1995), and Assistant Treasurer (1989–1991) of Johnson & Johnson (pharmaceuticals/medical devices/ consumer products); Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation; Member of the Advisory Board of the Institute for Women’s Leadership at Rutgers University.

F. Joseph Loughrey

Born 1949. Trustee Since October 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2009) of Cummins Inc. (industrial machinery); Chairman of the Board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education; Director of the V Foundation for Cancer Research; Member of the Advisory Council for the College of Arts and Letters and Chair of the Advisory Board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

Mark Loughridge

Born 1953. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Senior Vice President and Chief Financial Officer (retired 2013) at IBM (information technology services); Fiduciary Member of IBM’s Retirement Plan Committee (2004–2013); Member of the Council on Chicago Booth.

Scott C. Malpass

Born 1962. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Chief Investment Officer and Vice President at the University of Notre Dame; Assistant Professor of Finance at the Mendoza College of Business at Notre Dame; Member of the Notre Dame 403(b) Investment Committee, the Board of Advisors for Spruceview Capital Partners, the Board of Catholic Investment Services, Inc. (investment advisor), and the Board of Superintendence of the Institute for the Works of Religion; Chairman of the Board of TIFF Advisory Services, Inc. (investment advisor).

André F. Perold

Born 1952. Trustee Since December 2004. Principal Occupation(s) During the Past Five Years and Other Experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011); Chief Investment Officer and Co-Managing Partner of HighVista Strategies LLC (private investment firm); Overseer of the Museum of Fine Arts Boston.

Peter F. Volanakis

Born 1955. Trustee Since July 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2010) of Corning Incorporated (communications equipment); Chairman of the Board of Trustees of Colby-Sawyer College; Member of the Board of Hypertherm, Inc. (industrial cutting systems, software, and consumables).


 

Executive Officers

Glenn Booraem

Born 1967. Investment Stewardship Officer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Treasurer (2015–2017), Controller (2010–2015), and Assistant Controller (2001–2010) of each of the investment companies served by The Vanguard Group.

Thomas J. Higgins

Born 1957. Chief Financial Officer Since September 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Chief Financial Officer of each of the investment companies served by The Vanguard Group; Treasurer of each of the investment companies served by The Vanguard Group (1998–2008).

Peter Mahoney

Born 1974. Controller Since May 2015. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Controller of each of the investment companies served by The Vanguard Group; Head of International Fund Services at The Vanguard Group (2008–2014).

Anne E. Robinson

Born 1970. Secretary Since September 2016. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; General Counsel of The Vanguard Group; Secretary of The Vanguard Group and of each of the investment companies served by The Vanguard Group; Director and Senior Vice President of Vanguard Marketing Corporation; Managing Director and General Counsel of Global Cards and Consumer Services at Citigroup (2014–2016); Counsel at American Express (2003–2014).

Michael Rollings

Born 1963. Treasurer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; Treasurer of each of the investment companies served by The Vanguard Group; Director of Vanguard Marketing Corporation; Executive Vice President and Chief Financial Officer of MassMutual Financial Group (2006–2016).

Vanguard Senior Management Team
 
Mortimer J. Buckley Chris D. McIsaac
Gregory Davis James M. Norris
John James Thomas M. Rampulla
Martha G. King Karin A. Risi
John T. Marcante  
 
 
Chairman Emeritus and Senior Advisor
 
John J. Brennan  
Chairman, 1996–2009  
Chief Executive Officer and President, 1996–2008
 
 
Founder  
 
John C. Bogle  
Chairman and Chief Executive Officer, 1974–1996

 


 

 

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fund only if preceded or accompanied by Vanguard product(s) are not sponsored, endorsed, sold
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the fund’s current prospectus. respective affiliates and none of such parties make any
All comparative mutual fund data are from Lipper, a representation regarding the advisability of investing in
Thomson Reuters Company, or Morningstar, Inc., unless such product(s) nor do they have any liability for any
otherwise noted. errors, omissions, or interruptions of the index.
 
You can obtain a free copy of Vanguard’s proxy voting  
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calling Vanguard at 800-662-2739. The guidelines are  
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addition, you may obtain a free report on how your fund  
voted the proxies for securities it owned during the 12  
months ended June 30. To get the report, visit either  
vanguard.com/proxyreporting or sec.gov.  
 
You can review and copy information about your fund at  
the SEC’s Public Reference Room in Washington, D.C. To  
find out more about this public service, call the SEC at  
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available on the SEC’s website, and you can receive  
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  © 2017 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
 
  Q7380 122017

 



Annual Report | October 31, 2017

Vanguard Emerging Markets Stock
Index Fund


 

Vanguard’s Principles for Investing Success

We want to give you the best chance of investment success. These principles, grounded in Vanguard’s research and experience, can put you on the right path.

Goals. Create clear, appropriate investment goals.

Balance. Develop a suitable asset allocation using broadly diversified funds. Cost. Minimize cost.

Discipline. Maintain perspective and long-term discipline.

A single theme unites these principles: Focus on the things you can control.

We believe there is no wiser course for any investor.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 3
Fund Profile. 6
Performance Summary. 8
Financial Statements. 11
Your Fund’s After-Tax Returns. 38
About Your Fund’s Expenses. 39
Glossary. 41

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises
or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this
report. Of course, the risks of investing in your fund are spelled out in the prospectus.
See the Glossary for definitions of investment terms used in this report.
About the cover: Nautical images have been part of Vanguard’s rich heritage since its start in 1975. For an
incoming ship, a lighthouse offers a beacon and safe path to shore. You can similarly depend on Vanguard to put
you first––and light the way––as you strive to meet your financial goals. Our client focus and low costs,
stemming from our unique ownership structure, assure that your interests are paramount.


 

Your Fund’s Performance at a Glance

• Global stocks rallied in the 12 months ended October 31, 2017, amid a broad-based expansion featuring economic growth, supportive monetary policy, and benign inflation. Emerging markets stocks lagged overall global returns a bit but still performed strongly.

• For the fiscal year, Vanguard Emerging Markets Stock Index Fund returned about 21%, in line with the fund’s target index but behind the average return of its peer funds.

• China, Taiwan, India, and Brazil, the index’s largest country allocations, posted strong returns.

• All ten of the fund’s industry sectors produced positive performance, with financials, technology, oil and gas, and basic materials performing best.

• For the ten years ended October 31, 2017, the fund returned –0.11%, lagging its benchmark index but ahead of its peer funds.

Total Returns: Fiscal Year Ended October 31, 2017  
  Total
  Returns
Vanguard Emerging Markets Stock Index Fund  
Investor Shares 20.76%
FTSE Emerging Markets ETF Shares  
Market Price 21.22
Net Asset Value 20.98
Admiral™ Shares 21.00
Institutional Shares 21.06
Institutional Plus Shares 21.04
FTSE Emerging Markets All Cap China A Inclusion Index 20.71
Emerging Markets Funds Average 23.24

 

Emerging Markets Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.
Admiral Shares carry lower expenses and are available to investors who meet certain account-balance requirements. Institutional Shares
and Institutional Plus Shares are available to certain institutional investors who meet specific administrative, service, and account-size
criteria. The Vanguard ETF® Shares shown are traded on the NYSE Arca exchange and are available only through brokers. The table
provides ETF returns based on both the NYSE Arca market price and the net asset value for a share. U.S. Pat. Nos. 6,879,964; 7,337,138;
7,720,749; 7,925,573; 8,090,646; and 8,417,623.
For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock
Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about
how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the
Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market
price was above or below the NAV.

1


 

Total Returns: Ten Years Ended October 31, 2017  
  Average
  Annual Return
Emerging Markets Stock Index Fund Investor Shares -0.11%
Spliced Emerging Markets Index 0.28
Emerging Markets Funds Average -0.49

For a benchmark description, see the Glossary.
Emerging Markets Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

The figures shown represent past performance, which is not a guarantee of future results. (Current
performance may be lower or higher than the performance data cited. For performance data current to the
most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment
returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more
or less than their original cost.

 

Expense Ratios            
Your Fund Compared With Its Peer Group          
  Investor ETF Admiral Institutional Institutional Peer Group
  Shares Shares Shares Shares Plus Shares Average
Emerging Markets Stock            
Index Fund 0.32% 0.14% 0.14% 0.11% 0.09% 1.50%

 

The fund expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year
For the fiscal year ended October 31, 2017, the fund’s expense ratios were 0.32% for Investor Shares, 0.14% for FTSE Emerging Markets
ETF Shares, 0.14% for Admiral Shares, 0.11% for Institutional Shares, and 0.09% for Institutional Plus Shares. The peer-group expense
ratio is derived from data provided by Lipper, a Thomson Reuters Company, and captures information through year-end 2016.

Peer group: Emerging Markets Funds.

2


 

Chairman’s Perspective


Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

When I find outstanding products or services, I’m likely to be loyal to them. And my loyalty usually gets rewarded as I experience consistently high quality––whether it’s from a favorite restaurant or a favorite author. What’s past, in most cases, is prologue.

As tempting as it is to apply this rationale to investing—for example, if technology stocks have done well this year, they’re bound to do well the next—it’s not all that helpful and can actually be counterproductive. You’ve heard it many times: Past performance cannot be used to predict future returns.

Taking a new approach

The caution about past performance is so familiar that investors are apt to treat it as mere background noise. That’s why past-performance bias merited a fresh look from Vanguard’s Investment Strategy Group, which tackled the issue last year in a research paper. (I encourage you to read the full paper, Reframing Investor Choices: Right Mindset, Wrong Market, at vanguard.com/research.)

Our strategists were hardly the first to delve into the topic, but they approached it in a new way. They started with the premise that it’s perfectly understandable for investors to lean heavily on past performance, because that works well in many areas of life. After all, as the paper describes, in lots of other industries and realms, performance from one time period

3


 

to another is extremely consistent. The researchers looked at everything from cars to fine restaurants to heart surgeons, and in all these examples, past performance was a good predictor of later outcomes.

It’s different with investing

In a nutshell, our brains typically are rewarded and our satisfaction is boosted when we use past performance as a guide for navigating decisions, big and small. But when applied to investing, this method breaks down.

Why? Among other reasons, top-performing asset classes one year tend not to repeat as leaders the next. Strong past performance leads to higher valuations, making an investment, all else being equal, less attractive in the future. The data are quite overwhelming in this regard.

By allowing past performance to inform their decisions, individual and institutional investors inadvertently end up as momentum investors, putting them on a treadmill of buying high and selling low.

A path to better decision-making

Of course, many investors are already aware of the pitfalls of projecting past performance into the future. The real question is, what can we all do about it? What does it take to go from having a general awareness to actually changing our behavior?

Market Barometer      
  Average Annual Total Returns
  Periods Ended October 31, 2017
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) 23.67% 10.58% 15.18%
Russell 2000 Index (Small-caps) 27.85 10.12 14.49
Russell 3000 Index (Broad U.S. market) 23.98 10.53 15.12
FTSE All-World ex US Index (International) 23.48 6.12 7.67
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 0.90% 2.40% 2.04%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 2.19 3.04 3.00
Citigroup Three-Month U.S. Treasury Bill Index 0.71 0.31 0.20
 
CPI      
Consumer Price Index 2.04% 1.28% 1.29%

 

4


 

Acknowledging that such change isn’t easy, our strategists offered a few ideas for reframing how investors approach their decisions. These recommendations were targeted at advisors working with clients, but they apply equally to individuals and institutions:

• Educate yourself. The more investors understand why a method that works so well in other areas of life—relying on past performance to drive decisions—doesn’t carry over to investing, the better off they’ll be.

• Be disciplined. The bias toward past performance is ingrained in everybody, professionals included, and shifting away from it can be difficult. But the long-term benefits make the effort worthwhile.

• Focus on what you can control. It’s always most constructive for investors to concentrate on what’s actually within their control, such as setting goals, following long-term portfolio construction principles, selecting low-cost investments, and rebalancing periodically.

Here’s to keeping the past in the rearview mirror. And, as always, thank you for investing with Vanguard.

Sincerely,

 

 

F. William McNabb III
Chairman and Chief Executive Officer
November 14, 2017

5


 

Emerging Markets Stock Index Fund

Fund Profile
As of October 31, 2017

Share-Class Characteristics          
    FTSE      
    Emerging      
  Investor Markets ETF Admiral Institutional Institutional
  Shares Shares Shares Shares Plus Shares
Ticker Symbol VEIEX VWO VEMAX VEMIX VEMRX
Expense Ratio1 0.32% 0.14% 0.14% 0.11% 0.09%

 

Portfolio Characteristics    
    FTSE  
    Emerging  
    Markets All FTSE
    Cap Global
    China A All Cap
    Inclusion ex US
  Fund Index Index
Number of Stocks 4,718 4,032 5,902
Median Market Cap $15.8B $15.9B $26.5B
Price/Earnings Ratio 15.2x 15.1x 16.1x
Price/Book Ratio 1.8x 1.8x 1.7x
Return on Equity 15.6% 15.6% 12.0%
Earnings Growth Rate 10.9% 11.4% 7.2%
Dividend Yield 2.4% 2.4% 2.7%
Turnover Rate 6%
Short-Term Reserves -0.2%

 

Sector Diversification (% of equity exposure)
    FTSE  
    Emerging  
    Markets All FTSE
    Cap Global
    China A All Cap
    Inclusion ex US
  Fund Index Index
Basic Materials 7.4% 7.4% 7.9%
Consumer Goods 9.9 9.8 16.2
Consumer Services 8.8 8.9 8.1
Financials 28.8 28.8 25.6
Health Care 2.9 2.9 7.1
Industrials 11.8 11.9 15.4
Oil & Gas 7.4 7.4 6.2
Technology 14.6 14.5 6.5
Telecommunications 4.9 4.9 3.8
Utilities 3.5 3.5 3.2

Sector categories are based on the Industry Classification
Benchmark (“ICB”), except for the “Other” category (if applicable),
which includes securities that have not been provided an ICB
classification as of the effective reporting period.

 

Volatility Measures    
  Spliced FTSE Global
  Emerging All Cap ex US
  Mkts Index Index
R-Squared 0.99 0.73
Beta 0.98 1.08

 

These measures show the degree and timing of the fund’s
fluctuations compared with the indexes over 36 months.

1 The expense ratios shown are from the prospectus dated February 24, 2017, and represent estimated costs for the current fiscal year. For the
fiscal year ended October 31, 2017, the expense ratios were 0.32% for Investor Shares, 0.14% for FTSE Emerging Markets ETF Shares, 0.14% for
Admiral Shares, 0.11% for Institutional Shares, and 0.09% for Institutional Plus Shares.

6


 

Emerging Markets Stock Index Fund

Ten Largest Holdings (% of total net assets)
Tencent Holdings Ltd. Internet 4.6%
Taiwan Semiconductor    
Manufacturing Co. Ltd. Semiconductors 3.8
Naspers Ltd. Broadcasting &  
  Entertainment 2.0
China Construction Bank    
Corp. Banks 1.6
Industrial & Commercial    
Bank of China Ltd. Banks 1.2
Hon Hai Precision Electrical  
Industry Co. Ltd. Components &  
  Equipment 1.1
China Mobile Ltd. Mobile  
  Telecommunications 1.0
Alibaba Group Holding Specialized  
Ltd. Consumer Services 1.0
Ping An Insurance Group    
Co. of China Ltd. Life Insurance 0.9
Reliance Industries Ltd. Exploration &  
  Production 0.9
Top Ten   18.1%
The holdings listed exclude any temporary cash investments and equity index products.

 

Market Diversification (% of equity exposure)
    FTSE  
    Emerging  
    Markets FTSE
    All Cap Global
    China A All Cap ex
    Inclusion US
  Fund Index Index
Europe 0.5% 0.4% 43.6%
Pacific 0.0% 0.0% 29.6%
Emerging Markets      
China 31.5% 31.4% 5.5%
Taiwan 15.3 15.4 3.2
India 12.0 12.0 2.5
Brazil 8.1 8.1 1.7
South Africa 7.1 7.1 1.5
Thailand 3.9 3.9 0.8
Russia 3.6 3.6 0.8
Mexico 3.5 3.5 0.8
Malaysia 3.2 3.2 0.7
Indonesia 2.4 2.4 0.5
Philippines 1.6 1.6 0.3
Poland 1.5 1.5 0.3
Chile 1.4 1.4 0.3
Turkey 1.2 1.2 0.3
Other 3.2 3.3 0.7
Subtotal 99.5% 99.6% 19.9%
North America 0.0% 0.0% 6.6%
Middle East 0.0% 0.0% 0.3%

 

7


 

Emerging Markets Stock Index Fund

Performance Summary

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

Cumulative Performance: October 31, 2007, Through October 31, 2017
Initial Investment of $10,000


    Average Annual Total Returns  
    Periods Ended October 31, 2017  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
  Emerging Markets Stock Index        
  Fund*Investor Shares 20.76% 4.01% -0.11% $9,893
• • • • • • • Spliced Emerging Markets Index 20.71 4.17 0.28 10,283
 
– – – – Emerging Markets Funds Average 23.24 4.21 -0.49 9,522
  FTSE Global All Cap ex US Index 23.52 7.79 1.40 11,490
For a benchmark description, see the Glossary.
Emerging Markets Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
FTSE Emerging Markets        
ETF Shares Net Asset Value 20.98% 4.21% 0.05% $10,051
Spliced Emerging Markets Index 20.71 4.17 0.28 10,283
FTSE Global All Cap ex US Index 23.52 7.79 1.40 11,490

 

See Financial Highlights for dividend and capital gains information.

8


 

Emerging Markets Stock Index Fund

  Average Annual Total Returns  
  Periods Ended October 31, 2017  
 
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Emerging Markets Stock Index Fund Admiral        
Shares 21.00% 4.20% 0.05% $10,047
Spliced Emerging Markets Index 20.71 4.17 0.28 10,283
FTSE Global All Cap ex US Index 23.52 7.79 1.40 11,490

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Emerging Markets Stock Index Fund        
Institutional Shares 21.06% 4.23% 0.09% $5,047,042
 
Spliced Emerging Markets Index 20.71 4.17 0.28 5,141,363
 
FTSE Global All Cap ex US Index 23.52 7.79 1.40 5,744,800

 

      Since Final Value
  One Five Inception of a $100,000,000
  Year Years (12/15/2010) Investment
Emerging Markets Stock Index Fund        
Institutional Plus Shares 21.04% 4.25% 2.03% $114,817,437
Spliced Emerging Markets Index 20.71 4.17 1.99 114,525,137
FTSE Global All Cap ex US Index 23.52 7.79 5.21 141,799,607
"Since Inception" performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: October 31, 2007, Through October 31, 2017  
  One Five Ten
  Year Years Years
FTSE Emerging Markets ETF Shares Market Price 21.22% 23.82% 0.40%
FTSE Emerging Markets ETF Shares Net Asset      
Value 20.98 22.88 0.51
Spliced Emerging Markets Index 20.71 22.66 2.83

 

9


 

Emerging Markets Stock Index Fund

Fiscal-Year Total Returns (%): October 31, 2007, Through October 31, 2017

For a benchmark description, see the Glossary.

Average Annual Total Returns: Periods Ended September 30, 2017
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Ten
  Date Year Years Years
Investor Shares 5/4/1994 18.63% 3.42% 0.82%
FTSE Emerging Markets ETF        
Shares 3/4/2005      
Market Price   18.63 3.74 1.03
Net Asset Value   18.86 3.61 0.97
Admiral Shares 6/23/2006 18.85 3.60 0.97
Institutional Shares 6/22/2000 18.93 3.64 1.02
Institutional Plus Shares 12/15/2010 18.92 3.65 1.691
1 Return since inception.        

 

10


 

Emerging Markets Stock Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2017

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website. Forms N-Q may also be reviewed and copied at the SEC’s Public Reference Room (see the back cover of this report for further information).

    Market Percentage
    Value of Net
  Shares ($000) Assets
Common Stocks      
Brazil      
Ambev SA 60,008,599 383,389 0.4%
Itau Unibanco Holding SA Preference Shares 25,640,761 329,592 0.4%
Itau Unibanco Holding SA ADR 25,660,317 328,709 0.4%
Vale SA 32,160,777 315,581 0.3%
Banco Bradesco SA Preference Shares 29,086,294 308,352 0.3%
* Petroleo Brasileiro SA 49,737,422 264,857 0.3%
Banco Bradesco SA ADR 23,433,940 247,697 0.3%
B3 SA - Brasil Bolsa Balcao 33,747,655 246,559 0.3%
CPFL Energia SA 5,302,334 44,574 0.1%
CPFL Energia SA ADR 569,463 9,539 0.0%
1 Brazil—Other †   4,622,205 5.2%
    7,101,054 8.0%
 
Chile †   1,260,539 1.4%
 
China      
Tencent Holdings Ltd. 91,724,377 4,122,562 4.6%
China Construction Bank Corp. 1,540,934,319 1,377,157 1.6%
Industrial & Commercial Bank of China Ltd. 1,372,055,862 1,091,697 1.2%
China Mobile Ltd. 90,496,243 910,245 1.0%
* Alibaba Group Holding Ltd. ADR 4,560,653 843,219 1.0%
Ping An Insurance Group Co. of China Ltd. 90,814,158 798,070 0.9%
Bank of China Ltd. 1,334,182,694 666,775 0.8%
China Life Insurance Co. Ltd. (XHKG) 129,349,554 428,833 0.5%
CNOOC Ltd. 274,914,831 375,367 0.4%
China Petroleum & Chemical Corp. 451,502,367 331,547 0.4%
China Merchants Bank Co. Ltd. 75,246,049 287,339 0.3%
* Baidu Inc. ADR 1,118,317 272,802 0.3%
Geely Automobile Holdings Ltd. 83,555,420 259,095 0.3%

 

11


 

Emerging Markets Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
  China Pacific Insurance Group Co. Ltd. 48,129,091 237,652 0.3%
  PetroChina Co. Ltd. 360,701,980 235,791 0.3%
  Agricultural Bank of China Ltd. 485,264,645 228,556 0.3%
  China Overseas Land & Investment Ltd. 67,212,441 218,240 0.3%
  PICC Property & Casualty Co. Ltd. 78,514,295 155,811 0.2%
  China Shenhua Energy Co. Ltd. 61,592,901 147,347 0.2%
  China Resources Land Ltd. 47,545,220 141,898 0.2%
* China Unicom Hong Kong Ltd. 95,069,520 134,890 0.2%
  CITIC Ltd. 84,895,365 124,366 0.2%
  China Telecom Corp. Ltd. 240,593,045 120,657 0.1%
  China Communications Construction Co. Ltd. 82,136,003 99,762 0.1%
  China CITIC Bank Corp. Ltd. 137,192,164 88,399 0.1%
  China Taiping Insurance Holdings Co. Ltd. 26,252,968 86,576 0.1%
  Sinopharm Group Co. Ltd. 18,908,700 84,664 0.1%
  China Resources Beer Holdings Co. Ltd. 29,273,005 84,483 0.1%
  CRRC Corp. Ltd. 79,212,277 78,160 0.1%
  Dongfeng Motor Group Co. Ltd. 50,328,012 69,085 0.1%
  China Everbright International Ltd. 48,522,000 68,458 0.1%
  China Merchants Port Holdings Co. Ltd. 21,219,610 66,379 0.1%
1 People’s Insurance Co. Group of China Ltd. 137,688,000 65,534 0.1%
  China Resources Power Holdings Co. Ltd. 33,933,184 65,256 0.1%
  China Cinda Asset Management Co. Ltd. 166,239,774 64,600 0.1%
1 Postal Savings Bank of China Co. Ltd. 101,037,029 61,016 0.1%
  China Railway Group Ltd. 72,811,789 58,526 0.1%
1 China Galaxy Securities Co. Ltd. 65,403,370 57,062 0.1%
1 CGN Power Co. Ltd. 183,451,878 53,892 0.1%
* Zhuzhou CRRC Times Electric Co. Ltd. 9,094,500 53,230 0.1%
  China State Construction International Holdings Ltd. 36,690,731 51,553 0.1%
  China Resources Gas Group Ltd. 14,052,100 51,473 0.1%
  Kunlun Energy Co. Ltd. 54,193,230 50,258 0.1%
1 China Huarong Asset Management Co. Ltd. 101,443,000 47,719 0.1%
  China Railway Construction Corp. Ltd. 37,031,265 46,505 0.1%
  China Longyuan Power Group Corp. Ltd. 61,018,660 45,251 0.1%
  Beijing Capital International Airport Co. Ltd. 27,190,856 44,651 0.1%
  Industrial & Commercial Bank of China Ltd. Class A 42,933,779 39,517 0.1%
  China Jinmao Holdings Group Ltd. 85,874,094 38,592 0.1%
  Sinopec Shanghai Petrochemical Co. Ltd. 57,364,788 34,217 0.0%
  China Oilfield Services Ltd. 33,177,800 29,453 0.0%
  Air China Ltd. 30,238,748 28,833 0.0%
  China Everbright Bank Co. Ltd. 58,005,472 27,381 0.0%
  AviChina Industry & Technology Co. Ltd. 44,907,000 26,083 0.0%
  Huaneng Renewables Corp. Ltd. 75,438,000 25,943 0.0%
  China Resources Cement Holdings Ltd. 36,216,686 24,479 0.0%
  China Southern Airlines Co. Ltd. 32,858,000 24,293 0.0%
  Bank of China Ltd. Class A 40,474,400 24,068 0.0%
  China State Construction Engineering Corp. Ltd. Class A (XSSC) 15,136,895 21,712 0.0%
  China Yangtze Power Co. Ltd. Class A 8,999,991 21,607 0.0%
1 Sinopec Engineering Group Co. Ltd. 24,037,772 20,620 0.0%
  China Agri-Industries Holdings Ltd. 41,243,961 20,157 0.0%
^,1 China Railway Signal & Communication Corp. Ltd. 25,231,400 19,870 0.0%
^ China Coal Energy Co. Ltd. 41,511,340 19,012 0.0%
  Chongqing Changan Automobile Co. Ltd. Class B 14,518,360 19,005 0.0%
  Metallurgical Corp. of China Ltd. 56,592,937 18,733 0.0%
  China National Materials Co. Ltd. 26,758,000 18,505 0.0%

 

12


 

Emerging Markets Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
  China Reinsurance Group Corp. 82,929,000 18,407 0.0%
  China Power International Development Ltd. 55,858,469 17,759 0.0%
  Sinotrans Ltd. 36,153,000 17,379 0.0%
^ Angang Steel Co. Ltd. 18,795,312 16,476 0.0%
  Agricultural Bank of China Ltd. Class A (XSSC) 29,002,995 16,366 0.0%
  China Life Insurance Co. Ltd. Class A 3,313,498 15,705 0.0%
  China Eastern Airlines Corp. Ltd. 30,046,000 15,261 0.0%
  Huadian Fuxin Energy Corp. Ltd. 54,275,852 14,133 0.0%
  China Merchants Shekou Industrial Zone Holdings      
  Co. Ltd. Class A (XSHE) 5,050,130 13,843 0.0%
  China Petroleum & Chemical Corp. Class A 15,039,519 13,558 0.0%
  CRRC Corp. Ltd. Class A (XSSC) 7,637,270 13,200 0.0%
* China United Network Communications Ltd. Class A (XSSC) 10,505,024 12,122 0.0%
  Agricultural Bank of China Ltd. Class A (XSHG) 20,559,300 11,602 0.0%
  Baoshan Iron & Steel Co. Ltd. Class A (XSHG) 9,505,796 11,011 0.0%
  Sinopec Kantons Holdings Ltd. 16,495,000 10,687 0.0%
  China BlueChemical Ltd. 35,477,795 10,605 0.0%
  Shenwan Hongyuan Group Co. Ltd. Class A 12,122,481 10,337 0.0%
  China Everbright Bank Co. Ltd. Class A (XSSC) 16,766,403 10,223 0.0%
  China Foods Ltd. 15,615,506 9,877 0.0%
  PetroChina Co. Ltd. Class A 7,896,690 9,861 0.0%
  China State Construction Engineering Corp. Ltd. Class A (XSHG) 6,181,400 8,866 0.0%
  China Machinery Engineering Corp. 13,690,639 8,394 0.0%
  China International Travel Service Corp. Ltd. Class A (XSHG) 1,316,282 8,218 0.0%
  China CITIC Bank Corp. Ltd. Class A (XSSC) 8,660,118 8,128 0.0%
  Daqin Railway Co. Ltd. Class A (XSSC) 5,852,648 8,041 0.0%
^ CSSC Offshore and Marine Engineering Group Co. Ltd. 4,696,000 8,010 0.0%
  Shenzhen Overseas Chinese Town Co. Ltd. Class A 6,006,721 7,941 0.0%
  China Railway Construction Corp. Ltd. Class A (XSSC) 4,389,277 7,933 0.0%
  China National Accord Medicines Corp. Ltd. Class B 1,494,949 7,845 0.0%
*,^ Sinopec Oilfield Service Corp. 42,868,000 7,372 0.0%
  China Railway Group Ltd. Class A (XSSC) 5,430,414 7,337 0.0%
  Power Construction Corp. of China Ltd. Class A (XSSC) 6,112,916 7,216 0.0%
  Harbin Electric Co. Ltd. 15,020,000 7,072 0.0%
*,^ Sinofert Holdings Ltd. 39,864,000 7,057 0.0%
  China Shenhua Energy Co. Ltd. Class A (XSSC) 2,183,415 6,848 0.0%
  CRRC Corp. Ltd. Class A (XSHG) 3,879,500 6,705 0.0%
^ China Overseas Property Holdings Ltd. 27,640,092 6,666 0.0%
  Shanghai Baosight Software Co. Ltd. Class B 4,312,026 6,622 0.0%
  China National Nuclear Power Co. Ltd. Class A 5,319,107 6,254 0.0%
^ Dah Chong Hong Holdings Ltd. 12,307,000 5,777 0.0%
  Baoshan Iron & Steel Co. Ltd. Class A (XSSC) 4,853,544 5,622 0.0%
  China International Travel Service Corp. Ltd. Class A (XSSC) 843,736 5,268 0.0%
^ CITIC Resources Holdings Ltd. 47,873,345 5,222 0.0%
* China Shipbuilding Industry Co. Ltd. Class A (XSSC) 5,565,452 5,215 0.0%
* China United Network Communications Ltd. Class A (XSHG) 4,397,800 5,075 0.0%
  Dongxing Securities Co. Ltd. Class A (XSHG) 1,987,701 5,065 0.0%
  Sinotrans Shipping Ltd. 17,586,500 5,027 0.0%
  Daqin Railway Co. Ltd. Class A (XSHG) 3,643,120 5,005 0.0%
  Poly Culture Group Corp. Ltd. 1,955,900 4,707 0.0%
  Air China Ltd. Class A (XSHG) 3,077,214 4,408 0.0%
  China Railway Group Ltd. Class A (XSHG) 3,248,829 4,389 0.0%
  AVIC Aircraft Co. Ltd. Class A (XSHE) 1,540,402 4,274 0.0%

 

13


 

Emerging Markets Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
  China Resources Sanjiu Medical & Pharmaceutical Co.      
  Ltd. Class A 974,679 4,149 0.0%
  China Everbright Bank Co. Ltd. Class A (XSHG) 6,695,800 4,083 0.0%
  AECC Aviation Power Co. Ltd. Class A (XSHG) 844,113 3,875 0.0%
  Sinopec Shanghai Petrochemical Co. Ltd. Class A 3,861,940 3,696 0.0%
* China Shipbuilding Industry Co. Ltd. Class A (XSHG) 3,837,900 3,596 0.0%
  Chongqing Changan Automobile Co. Ltd. Class A 1,695,900 3,454 0.0%
* China Power Clean Energy Development Co. Ltd. 5,746,000 3,442 0.0%
  Unisplendour Corp. Ltd. Class A (XSEC) 358,505 3,419 0.0%
  China Nuclear Engineering Corp. Ltd. Class A 1,920,882 3,331 0.0%
  Metallurgical Corp. of China Ltd. Class A (XSSC) 4,195,533 3,230 0.0%
  GD Power Development Co. Ltd. Class A (XSHG) 6,103,116 3,114 0.0%
  China Construction Bank Corp. Class A 2,843,388 3,072 0.0%
  Offshore Oil Engineering Co. Ltd. Class A (XSSC) 3,187,570 2,980 0.0%
  China National Accord Medicines Corp. Ltd. Class A 283,867 2,872 0.0%
  China XD Electric Co. Ltd. Class A (XSSC) 3,641,107 2,869 0.0%
  Power Construction Corp. of China Ltd. Class A (XSHG) 2,430,302 2,869 0.0%
  Inner Mongolia MengDian HuaNeng Thermal Power Corp.      
  Ltd. Class A (XSSC) 5,879,228 2,697 0.0%
  China Railway Hi-tech Industry Co. Ltd. Class A (XSHG) 1,220,600 2,605 0.0%
  Bluestar Adisseo Co. Class A 1,491,041 2,550 0.0%
  Cinda Real Estate Co. Ltd. Class A (XSSC) 2,798,896 2,547 0.0%
  China National Chemical Engineering Co. Ltd. Class A (XSHG) 2,490,177 2,523 0.0%
  AECC Aviation Power Co. Ltd. Class A (XSSC) 544,366 2,499 0.0%
  China National Chemical Engineering Co. Ltd. Class A (XSSC) 2,391,725 2,423 0.0%
  Unisplendour Corp. Ltd. Class A (XSHE) 252,659 2,410 0.0%
  Shanghai Datun Energy Resources Co. Ltd. Class A 1,156,850 2,287 0.0%
  Sinoma Science & Technology Co. Ltd. Class A 515,740 2,259 0.0%
  AVIC Electromechanical Systems Co. Ltd. Class A (XSHE) 1,371,348 2,244 0.0%
  China CAMC Engineering Co. Ltd. Class A 664,318 2,165 0.0%
  Angang Steel Co. Ltd. Class A 2,266,055 2,136 0.0%
  China Eastern Airlines Corp. Ltd. Class A (XSHG) 1,928,700 2,006 0.0%
  China Galaxy Securities Co. Ltd. Class A 995,320 1,957 0.0%
*,^ China Chengtong Development Group Ltd. 26,228,000 1,952 0.0%
  Norinco International Cooperation Ltd. Class A 483,900 1,820 0.0%
* Baoding Tianwei Baobian Electric Co. Ltd. Class A 1,526,601 1,791 0.0%
  Zhongjin Gold Corp. Ltd. Class A (XSSC) 1,174,812 1,787 0.0%
  AVIC Aircraft Co. Ltd. Class A (XSEC) 636,800 1,767 0.0%
  China Resources Double Crane Pharmaceutical Co. Ltd.      
  Class A (XSHG) 511,285 1,752 0.0%
* China CSSC Holdings Ltd. Class A (XSSC) 460,980 1,716 0.0%
  Jihua Group Corp. Ltd. Class A (XSSC) 1,398,940 1,650 0.0%
  Inner Mongolia Lantai Industrial Co. Ltd. Class A 802,400 1,524 0.0%
  China Communications Construction Co. Ltd. Class A 669,000 1,523 0.0%
^ China Electronics Corp. Holdings Co. Ltd. 8,296,000 1,491 0.0%
^ China Merchants Land Ltd. 7,872,000 1,484 0.0%
  China Spacesat Co. Ltd. Class A (XSSC) 358,897 1,455 0.0%
  North Electro-Optic Co. Ltd. Class A 494,561 1,449 0.0%
  China Eastern Airlines Corp. Ltd. Class A (XSSC) 1,386,700 1,443 0.0%
  Shanghai Electric Power Co. Ltd. Class A (XSSC) 844,723 1,423 0.0%
* Huadian Heavy Industries Co. Ltd. Class A (XSSC) 1,526,509 1,417 0.0%
  Sinosteel Engineering & Technology Co. Ltd. Class A 1,202,994 1,402 0.0%
* Sinopec Oilfield Service Corp. Class A 3,057,700 1,384 0.0%
  China Shenhua Energy Co. Ltd. Class A (XSHG) 427,130 1,340 0.0%

 

14


 

Emerging Markets Stock Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
Metallurgical Corp. of China Ltd. Class A (XSHG) 1,714,400 1,320 0.0%
China Resources Double Crane Pharmaceutical Co.      
Ltd. Class A (XSSC) 383,626 1,314 0.0%
China Southern Airlines Co. Ltd. Class A (XSSC) 983,183 1,295 0.0%
SDIC Essence Holdings Co. Ltd. Class A (XSSC) 559,500 1,290 0.0%
* Sinopec Oilfield Equipment Corp. Class A 748,494 1,283 0.0%
Xinjiang Yilite Industry Co. Ltd. Class A (XSHG) 342,900 1,273 0.0%
Sinochem International Corp. Class A (XSSC) 794,851 1,213 0.0%
Jingwei Textile Machinery Co. Ltd. Class A 359,700 1,213 0.0%
China XD Electric Co. Ltd. Class A (XSHG) 1,531,400 1,207 0.0%
Zhongjin Gold Corp. Ltd. Class A (XSHG) 781,160 1,188 0.0%
Shanghai Baosteel Packaging Co. Ltd. Class A 1,258,200 1,175 0.0%
Inner Mongolia MengDian HuaNeng Thermal Power      
Corp. Ltd. Class A (XSHG) 2,555,201 1,172 0.0%
Dongxing Securities Co. Ltd. Class A (XSSC) 459,313 1,171 0.0%
Shenzhen Topway Video Communication Co. Ltd. Class A 625,920 1,163 0.0%
China Railway Construction Corp. Ltd. Class A (XSHG) 631,100 1,141 0.0%
Offshore Oil Engineering Co. Ltd. Class A (XSHG) 1,162,500 1,087 0.0%
China Animal Husbandry Industry Co. Ltd. Class A (XSSC) 370,713 1,075 0.0%
* FAW CAR Co. Ltd. Class A 589,943 1,074 0.0%
East China Engineering Science and Technology Co. Ltd. Class A 589,564 1,061 0.0%
Daye Special Steel Co. Ltd. Class A 556,300 1,037 0.0%
Guangxi Guiguan Electric Power Co. Ltd. Class A (XSSC) 1,175,359 1,018 0.0%
SDIC Essence Holdings Co. Ltd. Class A (XSHG) 439,500 1,013 0.0%
* Lanpec Technologies Ltd. Class A 638,300 985 0.0%
Sinomach Automobile Co. Ltd. Class A (XSSC) 531,194 981 0.0%
Tian Di Science & Technology Co. Ltd. Class A (XSSC) 1,340,984 979 0.0%
* Minmetals Development Co. Ltd. Class A (XSHG) 508,486 970 0.0%
Minmetals Land Ltd. 6,472,000 963 0.0%
* China CSSC Holdings Ltd. Class A (XSHG) 249,270 928 0.0%
Heilongjiang Agriculture Co. Ltd. Class A 517,150 923 0.0%
China Spacesat Co. Ltd. Class A (XSHG) 226,387 917 0.0%
China Coal Energy Co. Ltd. Class A (XSSC) 1,018,694 907 0.0%
Jihua Group Corp. Ltd. Class A (XSHG) 768,000 906 0.0%
Air China Ltd. Class A (XSSC) 630,438 903 0.0%
Shanghai Electric Power Co. Ltd. Class A (XSHG) 521,400 878 0.0%
AVIC Electromechanical Systems Co. Ltd. Class A (XSEC) 535,830 877 0.0%
China Southern Airlines Co. Ltd. Class A (XSHG) 663,500 874 0.0%
Xinjiang Guannong Fruit & Antler Group Co. Ltd. Class A (XSSC) 687,142 860 0.0%
China Animal Husbandry Industry Co. Ltd. Class A (XSHG) 291,800 846 0.0%
Sichuan Chengfei Integration Technology Corp. Class A 216,379 817 0.0%
* Shanghai Potevio Co. Ltd. Class A 404,003 804 0.0%
Guodian Nanjing Automation Co. Ltd. Class A 851,900 802 0.0%
CTS International Logistics Corp. Ltd. Class A (XSHG) 450,986 794 0.0%
China CITIC Bank Corp. Ltd. Class A (XSHG) 824,050 773 0.0%
Cinda Real Estate Co. Ltd. Class A (XSHG) 837,122 762 0.0%
Guangxi Guiguan Electric Power Co. Ltd. Class A (XSHG) 868,300 752 0.0%
* China First Heavy Industries Class A (XSHG) 1,200,650 732 0.0%
CSSC Offshore and Marine Engineering Group Co. Ltd.      
Class A (XSSC) 177,401 714 0.0%
* China First Heavy Industries Class A (XSSC) 1,118,300 682 0.0%
* Grinm Advanced Materials Co. Ltd. Class A (XSSC) 449,200 658 0.0%
CTS International Logistics Corp. Ltd. Class A (XSSC) 370,600 653 0.0%
* CITIC Heavy Industries Co. Ltd. Class A (XSSC) 831,227 641 0.0%

 

15


 

Emerging Markets Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
  Sinochem International Corp. Class A (XSHG) 414,700 633 0.0%
  China Television Media Ltd. Class A (XSHG) 241,500 593 0.0%
  COFCO Tunhe Sugar Co. Ltd. Class A 421,800 586 0.0%
* CEC CoreCast Corp. Ltd. Class A 109,701 578 0.0%
  Besttone Holdings Co. Ltd. Class A (XSSC) 218,900 557 0.0%
  Xinjiang Yilite Industry Co. Ltd. Class A (XSSC) 148,688 552 0.0%
* COSCO SHIPPING Specialized Carriers Co. Ltd. Class A (XSHG) 557,401 551 0.0%
  GD Power Development Co. Ltd. Class A (XSSC) 1,075,915 549 0.0%
* Inner Mongolia Pingzhuang Energy Co. Ltd. Class A 711,300 534 0.0%
* China Tungsten And Hightech Materials Co. Ltd. Class A 259,900 513 0.0%
* CITIC Heavy Industries Co. Ltd. Class A (XSHG) 624,200 481 0.0%
  Sinotrans Air Transportation Development Co. Ltd. Class A (XSSC) 161,950 474 0.0%
  China Oilfield Services Ltd. Class A 270,177 465 0.0%
  Huolinhe Opencut Coal Industry Corp. Ltd. of Inner Mongolia      
  Class A 251,700 454 0.0%
  CSSC Offshore and Marine Engineering Group Co. Ltd.      
  Class A (XSHG) 107,500 432 0.0%
  China Railway Hi-tech Industry Co. Ltd. Class A (XSSC) 188,400 402 0.0%
* Huadian Heavy Industries Co. Ltd. Class A (XSHG) 414,676 385 0.0%
* Grinm Advanced Materials Co. Ltd. Class A (XSHG) 241,500 354 0.0%
* Ningxia Younglight Chemicals Co. Ltd. Class A 131,734 339 0.0%
  Tian Di Science & Technology Co. Ltd. Class A (XSHG) 456,100 333 0.0%
  Sinomach Automobile Co. Ltd. Class A (XSHG) 177,150 327 0.0%
  China Coal Energy Co. Ltd. Class A (XSHG) 361,900 322 0.0%
  China Television Media Ltd. Class A (XSSC) 129,531 318 0.0%
  Besttone Holdings Co. Ltd. Class A (XSHG) 119,700 304 0.0%
  Sinotrans Air Transportation Development Co. Ltd.      
  Class A (XSHG) 96,100 281 0.0%
  Xinjiang Guannong Fruit & Antler Group Co. Ltd. Class A (XSHG) 203,200 254 0.0%
  Beijing HualuBaina Film & TV Co. Ltd. Class A 124,000 254 0.0%
* Minmetals Development Co. Ltd. Class A (XSSC) 104,800 200 0.0%
* COSCO SHIPPING Specialized Carriers Co. Ltd. Class A (XSSC) 67,400 67 0.0%
  China Merchants Shekou Industrial Zone Holdings Co. Ltd.      
  Class A (XSEC) 6,000 16 0.0%
1,2 China—Other †   11,391,933 12.8%
      27,605,513 31.0%
 
Colombia †   381,745 0.4%
 
1Czech Republic †   167,795 0.2%
 
Egypt †   171,312 0.2%
 
Greece †   361,356 0.4%
 
Hong Kong      
*,1 China Resources Pharmaceutical Group Ltd. 20,014,000 24,381 0.0%
  Hong Kong—Other †   35,917 0.1%
      60,298 0.1%
 
Hungary †   343,101 0.4%

 

16


 

Emerging Markets Stock Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
India      
Reliance Industries Ltd. 55,243,365 803,162 0.9%
Housing Development Finance Corp. Ltd. 27,316,850 720,422 0.8%
Infosys Ltd. 32,815,428 467,228 0.5%
Tata Consultancy Services Ltd. 8,032,812 325,610 0.4%
Maruti Suzuki India Ltd. 2,110,560 267,749 0.3%
Axis Bank Ltd. 29,342,196 237,192 0.3%
Hindustan Unilever Ltd. 12,329,548 235,631 0.3%
Oil & Natural Gas Corp. Ltd. 53,891,530 159,240 0.2%
Bharat Petroleum Corp. Ltd. 17,541,208 146,764 0.2%
Indian Oil Corp. Ltd. 19,003,715 122,019 0.2%
Coal India Ltd. 22,799,891 100,891 0.1%
NTPC Ltd. 34,992,918 97,992 0.1%
State Bank of India 20,002,365 94,467 0.1%
Hindustan Petroleum Corp. Ltd. 10,699,604 73,908 0.1%
State Bank of India GDR 1,559,124 73,805 0.1%
GAIL India Ltd. 7,287,619 52,369 0.1%
Power Grid Corp. of India Ltd. 14,078,119 46,058 0.1%
Bharat Electronics Ltd. 12,446,730 35,511 0.1%
Rural Electrification Corp. Ltd. 12,280,199 32,869 0.1%
NMDC Ltd. 14,149,549 28,021 0.0%
Power Finance Corp. Ltd. 11,652,419 25,043 0.0%
Bharat Heavy Electricals Ltd. 16,419,658 24,860 0.0%
* Steel Authority of India Ltd. 19,310,562 23,274 0.0%
Bank of Baroda 8,481,305 22,254 0.0%
* Punjab National Bank 7,234,119 22,047 0.0%
NHPC Ltd. 37,450,685 16,521 0.0%
Oil India Ltd. 2,602,615 14,844 0.0%
NBCC India Ltd. 3,442,960 13,846 0.0%
Canara Bank 2,116,364 13,259 0.0%
* Bank of India 4,104,442 12,121 0.0%
National Aluminium Co. Ltd. 7,586,457 11,212 0.0%
Container Corp. of India Ltd. 459,938 9,822 0.0%
Mangalore Refinery & Petrochemicals Ltd. 4,132,814 9,084 0.0%
* IDBI Bank Ltd. 7,844,091 7,585 0.0%
Indian Bank 1,471,239 7,155 0.0%
* Union Bank of India 2,335,536 6,368 0.0%
Engineers India Ltd. 2,176,470 6,236 0.0%
* Oriental Bank of Commerce 1,934,227 4,210 0.0%
* IFCI Ltd. 10,892,947 4,081 0.0%
* Syndicate Bank 3,117,293 3,975 0.0%
* Indian Overseas Bank 7,504,203 2,927 0.0%
Vijaya Bank 2,789,455 2,843 0.0%
* Allahabad Bank 2,197,982 2,663 0.0%
* Central Bank of India 1,990,196 2,514 0.0%
Gujarat Mineral Development Corp. Ltd. 906,524 2,453 0.0%
* Corp Bank 3,209,758 2,246 0.0%
* Shipping Corp. of India Ltd. 1,518,067 2,166 0.0%
* UCO Bank 3,911,966 1,958 0.0%
* Andhra Bank 1,075,660 1,097 0.0%
1 India—Other †   6,144,443 6.9%
    10,544,015 11.9%

 

17


 

Emerging Markets Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
Indonesia      
  Bank Central Asia Tbk PT 164,469,711 253,356 0.3%
  Telekomunikasi Indonesia Persero Tbk PT 809,389,335 241,495 0.3%
2 Indonesia—Other †   1,567,740 1.7%
      2,062,591 2.3%
Malaysia      
  Public Bank Bhd. (Local) 52,842,510 255,363 0.3%
  Tenaga Nasional Bhd. 69,045,205 244,635 0.3%
1,2 Malaysia—Other †   2,281,549 2.5%
      2,781,547 3.1%
Mexico      
  America Movil SAB de CV 508,514,658 438,710 0.5%
  Fomento Economico Mexicano SAB de CV 35,959,255 313,926 0.3%
  Grupo Financiero Banorte SAB de CV 39,252,757 232,956 0.3%
1,2 Mexico—Other †   2,093,214 2.4%
      3,078,806 3.5%
 
Pakistan †   177,916 0.2%
 
2Peru †   299,296 0.3%
 
Philippines †   1,389,314 1.6%
 
1Poland †   1,288,760 1.4%
 
Qatar †   511,605 0.6%
 
Russia      
  Sberbank of Russia PJSC 180,778,078 599,090 0.7%
  Lukoil PJSC ADR 4,709,628 250,168 0.3%
  Gazprom PJSC ADR 45,545,160 195,635 0.2%
  Gazprom PJSC 89,203,693 192,044 0.2%
  AK Transneft OAO Preference Shares 26,899 85,094 0.1%
  Rosneft Oil Co. PJSC GDR 12,291,933 67,392 0.1%
  VTB Bank PJSC 60,709,531,072 62,288 0.1%
  Rosneft Oil Co. PJSC 7,546,235 41,125 0.1%
  Inter RAO UES PJSC 496,439,670 30,382 0.1%
  VTB Bank PJSC GDR 13,734,387 28,433 0.0%
  Sberbank of Russia PJSC ADR 1,569,312 22,523 0.0%
  RusHydro PJSC 1,579,839,418 22,071 0.0%
  Rostelecom PJSC 18,256,325 21,322 0.0%
  Aeroflot PJSC 6,789,524 20,898 0.0%
  Federal Grid Co. Unified Energy System PJSC 4,602,744,717 12,436 0.0%
* Bashneft PJSC 318,389 11,972 0.0%
  ROSSETI PJSC 536,105,584 8,682 0.0%
  Bashneft PAO Preference Shares 300,228 7,685 0.0%
  Mosenergo PJSC 90,179,234 4,732 0.0%
^ Rostelecom PJSC ADR 381,333 2,765 0.0%
  TGC-1 PJSC 8,801,055,345 2,114 0.0%
* OGK-2 PJSC 157,137,880 1,476 0.0%
1 Russia—Other †   1,443,402 1.6%
      3,133,729 3.5%

 

18


 

Emerging Markets Stock Index Fund        
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
Singapore        
* Cosco SHIPPING International Singapore Co. Ltd.   170,800 36 0.0%
Singapore—Other †     44,283 0.1%
      44,319 0.1%
South Africa        
Naspers Ltd.   7,315,154 1,782,211 2.0%
Sasol Ltd.   9,421,238 275,268 0.3%
MTN Group Ltd.   30,848,498 267,861 0.3%
Standard Bank Group Ltd.   21,665,375 251,586 0.3%
1,2 South Africa—Other †     3,641,101 4.1%
      6,218,027 7.0%
 
1South Korea †     3,091 0.0%
 
Taiwan        
Taiwan Semiconductor Manufacturing Co. Ltd.   236,202,845 1,909,535 2.1%
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 35,159,079 1,488,284 1.7%
Hon Hai Precision Industry Co. Ltd.   255,388,895 949,266 1.1%
Largan Precision Co. Ltd.   1,737,706 329,399 0.4%
MediaTek Inc.   25,358,864 288,572 0.3%
Formosa Plastics Corp.   83,140,730 253,452 0.3%
Nan Ya Plastics Corp.   96,337,946 237,744 0.3%
2 Taiwan—Other †     8,017,996 9.0%
      13,474,248 15.2%
 
1,2Thailand †     3,404,580 3.8%
 
2Turkey †     1,083,928 1.2%
 
United Arab Emirates †     803,286 0.9%
Total Common Stocks (Cost $74,061,468)     87,751,771 98.7%3
Preferred Stocks † (Cost $4,972)     5,122 0.0%
 
  Coupon      
Temporary Cash Investments        
Money Market Fund        
4,5 Vanguard Market Liquidity Fund 1.246% 19,317,567 1,931,950 2.1%
 
6U. S. Government and Agency Obligations †     47,873 0.1%
Total Temporary Cash Investments (Cost $1,979,845)   1,979,823 2.2% 3
Total Investments (Cost $76,046,285)     89,736,716 100.9%

 

19


 

Emerging Markets Stock Index Fund    
 
 
 
    Percentage
  Amount of Net
  ($000) Assets
Other Assets and Liabilities    
Other Assets    
Investment in Vanguard 5,278  
Receivables for Investment Securities Sold 404  
Receivables for Accrued Income 63,396  
Receivables for Capital Shares Issued 18,536  
Currency at Value and Receivable 132,514  
Variation Margin Receivable—Futures Contracts 9,382  
Other Assets 1,810  
Total Other Assets 231,320 0.3%
Liabilities    
Payables for Investment Securities Purchased (9,167)  
Collateral for Securities on Loan (963,626)  
Payables for Capital Shares Redeemed (19,169)  
Payables to Vanguard (49,293)  
Unrealized Depreciation—Swap Contracts (187)  
Other Liabilities (40)  
Total Liabilities (1,041,482) (1.2%)
Net Assets 88,926,554 100.0%
 
 
At October 31, 2017, net assets consisted of:    
    Amount
    ($000)
Paid-in Capital   83,390,443
Undistributed Net Investment Income   34,507
Accumulated Net Realized Losses   (8,209,826)
Unrealized Appreciation (Depreciation)    
Investment Securities   13,690,431
Futures Contracts   22,100
Swap Contracts   (187)
Foreign Currencies   (914)
Net Assets   88,926,554
 
 
Investor Shares—Net Assets    
Applicable to 61,709,786 outstanding $.001 par value shares of    
beneficial interest (unlimited authorization)   1,738,018
Net Asset Value Per Share—Investor Shares   $28.16
 
 
ETF Shares—Net Assets    
Applicable to 1,460,990,281 outstanding $.001 par value shares of    
beneficial interest (unlimited authorization)   64,966,611
Net Asset Value Per Share—ETF Shares   $44.47
 
 
Admiral Shares—Net Assets    
Applicable to 340,257,182 outstanding $.001 par value shares of    
beneficial interest (unlimited authorization)   12,584,784
Net Asset Value Per Share—Admiral Shares   $36.99

 

20


 

Emerging Markets Stock Index Fund

  Amount
  ($000)
Institutional Shares—Net Assets  
Applicable to 200,765,662 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 5,646,575
Net Asset Value Per Share—Institutional Shares $28.13
 
Institutional Plus Shares—Net Assets  
Applicable to 42,648,564 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 3,990,566
Net Asset Value Per Share—Institutional Plus Shares $93.57

 

See Note A in Notes to Financial Statements.
* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $839,552,000.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer,
represent 1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be
sold in transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate value of
these securities was $917,995,000, representing 1.0% of net assets.
2 Certain of the fund’s securities are valued using significant unobservable inputs.
3 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts.
After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions
represent 100.0% and 0.9%, respectively, of net assets.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown
is the 7-day yield.
5 Includes $963,626,000 of collateral received for securities on loan.
6 Securities with a value of $44,029,000 have been segregated as initial margin for open futures contracts.
ADR—American Depositary Receipt.
GDR—Global Depositary Receipt.

21


 

Emerging Markets Stock Index Fund

Derivative Financial Instruments Outstanding as of Period End    
Futures Contracts        
        ($000)
        Value and
    Number of   Unrealized
    Long (Short) Notional Appreciation
  Expiration Contracts Amount (Depreciation)
Long Futures Contracts        
MSCI Emerging Market Index December 2017 19,000 1,067,990 21,264
E-mini S&P 500 Index December 2017 759 97,634 836
        22,100

 

Unrealized appreciation (depreciation) on open futures contracts is required to be treated as realized gain (loss) for tax purposes.

Total Return Swaps          
          Value and
        Fixed/Floating Unrealized
      Notional Net Rate Appreciation
  Termination   Amount Received (Depreciation)
Reference Entity Date Counterparty ($000) (Paid)1 ($000)
Odontoprev SA 7/19/18 MSCS 4,037 1.635% (187)
MSCS—Morgan Stanley Capital Services Inc.
1 Payment received/paid quarterly.

At October 31, 2017, a counterparty had deposited in a segregated account cash of $860,000
in connection with open swap contracts.

See accompanying Notes, which are an integral part of the Financial Statements.

22


 

Emerging Markets Stock Index Fund

Statement of Operations

  Year Ended
  October 31, 2017
  ($000)
Investment Income  
Income  
Dividends1 1,950,155
Interest 2 6,650
Securities Lending—Net 32,189
Total Income 1,988,994
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 5,356
Management and Administrative—Investor Shares 3,729
Management and Administrative—ETF Shares 32,973
Management and Administrative—Admiral Shares 6,707
Management and Administrative—Institutional Shares 1,963
Management and Administrative—Institutional Plus Shares 879
Marketing and Distribution—Investor Shares 286
Marketing and Distribution—ETF Shares 2,361
Marketing and Distribution—Admiral Shares 917
Marketing and Distribution—Institutional Shares 126
Marketing and Distribution—Institutional Plus Shares 39
Custodian Fees 41,079
Auditing Fees 130
Shareholders’ Reports and Proxy—Investor Shares 243
Shareholders’ Reports and Proxy—ETF Shares 5,343
Shareholders’ Reports and Proxy—Admiral Shares 490
Shareholders’ Reports and Proxy—Institutional Shares 111
Shareholders’ Reports and Proxy—Institutional Plus Shares 1
Trustees’ Fees and Expenses 53
Total Expenses 102,786
Net Investment Income 1,886,208
Realized Net Gain (Loss)  
Investment Securities Sold 2 (668,134)
Futures Contracts 135,468
Swap Contracts 871
Foreign Currencies (8,027)
Realized Net Gain (Loss) (539,822)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 2 13,138,512
Futures Contracts 34,551
Swap Contracts (48)
Foreign Currencies (1,391)
Change in Unrealized Appreciation (Depreciation) 13,171,624
Net Increase (Decrease) in Net Assets Resulting from Operations 14,518,010

 

1 Dividends are net of foreign withholding taxes of $214,389,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund
were $6,346,000, $124,000, and ($132,000), respectively.
See accompanying Notes, which are an integral part of the Financial Statements.

23


 

Emerging Markets Stock Index Fund

Statement of Changes in Net Assets

  Year Ended October 31,
  2017 2016
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 1,886,208 1,419,900
Realized Net Gain (Loss) (539,822) (3,262,456)
Change in Unrealized Appreciation (Depreciation) 13,171,624 7,250,597
Net Increase (Decrease) in Net Assets Resulting from Operations 14,518,010 5,408,041
Distributions    
Net Investment Income    
Investor Shares (38,483) (35,658)
ETF Shares (1,390,987) (979,859)
Admiral Shares (271,514) (210,225)
Institutional Shares (122,601) (98,859)
Institutional Plus Shares (89,075) (74,323)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Institutional Plus Shares
Total Distributions (1,912,660) (1,398,924)
Capital Share Transactions    
Investor Shares (112,999) (111,055)
ETF Shares 11,178,651 4,839,640
Admiral Shares 1,620,504 470,804
Institutional Shares 664,358 231,732
Institutional Plus Shares 382,366 233,053
Net Increase (Decrease) from Capital Share Transactions 13,732,880 5,664,174
Total Increase (Decrease) 26,338,230 9,673,291
Net Assets    
Beginning of Period 62,588,324 52,915,033
End of Period1 88,926,554 62,588,324
1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $34,507,000 and $66,975,000.

 

See accompanying Notes, which are an integral part of the Financial Statements.

24


 

Emerging Markets Stock Index Fund

Financial Highlights

Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $23.85 $22.16 $27.02 $26.78 $26.36
Investment Operations          
Net Investment Income . 6011 .530 .642 .672 .667
Net Realized and Unrealized Gain (Loss)          
on Investments 4.302 1.691 (4.865) .271 .548
Total from Investment Operations 4.903 2.221 (4.223) .943 1.215
Distributions          
Dividends from Net Investment Income (.593) (.531) (.637) (.703) (.795)
Distributions from Realized Capital Gains
Total Distributions (.593) (.531) (.637) (.703) (.795)
Net Asset Value, End of Period $28.16 $23.85 $22.16 $27.02 $26.78
 
Total Return2 20.76% 10.21% -15.74% 3.59% 4.78%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $1,738 $1,570 $1,573 $2,063 $2,181
Ratio of Total Expenses to Average Net Assets 0.32% 0.32% 0.33% 0.33% 0.33%
Ratio of Net Investment Income to          
Average Net Assets 2.38% 2.50% 2.53% 2.56% 2.45%
Portfolio Turnover Rate 3 6% 13% 7% 9% 26%

 

1 Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information
about any applicable account service fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

25


 

Emerging Markets Stock Index Fund

Financial Highlights

FTSE Emerging Markets ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $37.67 $34.98 $42.66 $42.28 $41.65
Investment Operations          
Net Investment Income 1.0351 .900 1.086 1.137 1.129
Net Realized and Unrealized Gain (Loss)          
on Investments 6.781 2.679 (7.685) .428 .860
Total from Investment Operations 7.816 3.579 (6.599) 1.565 1.989
Distributions          
Dividends from Net Investment Income (1.016) (.889) (1.081) (1.185) (1.359)
Distributions from Realized Capital Gains
Total Distributions (1.016) (.889) (1.081) (1.185) (1.359)
Net Asset Value, End of Period $44.47 $37.67 $34.98 $42.66 $42.28
 
Total Return 20.98% 10.47% -15.59% 3.77% 4.97%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $64,967 $44,636 $37,071 $48,000 $51,083
Ratio of Total Expenses to Average Net Assets 0.14% 0.14% 0.15% 0.15% 0.15%
Ratio of Net Investment Income to          
Average Net Assets 2.56% 2.68% 2.71% 2.74% 2.63%
Portfolio Turnover Rate2 6% 13% 7% 9% 26%

 

1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

26


 

Emerging Markets Stock Index Fund

Financial Highlights

Admiral Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $31.33 $29.10 $35.49 $35.17 $34.65
Investment Operations          
Net Investment Income . 8601 .747 .903 .946 .940
Net Realized and Unrealized Gain (Loss)          
on Investments 5.645 2.222 (6.394) .361 .709
Total from Investment Operations 6.505 2.969 (5.491) 1.307 1.649
Distributions          
Dividends from Net Investment Income (.845) (.739) (.899) (.987) (1.129)
Distributions from Realized Capital Gains
Total Distributions (.845) (.739) (.899) (.987) (1.129)
Net Asset Value, End of Period $36.99 $31.33 $29.10 $35.49 $35.17
 
Total Return2 21.00% 10.41% -15.60% 3.79% 4.94%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $12,585 $9,166 $8,060 $8,870 $6,959
Ratio of Total Expenses to Average Net Assets 0.14% 0.14% 0.15% 0.15% 0.15%
Ratio of Net Investment Income to          
Average Net Assets 2.56% 2.68% 2.71% 2.74% 2.63%
Portfolio Turnover Rate 3 6% 13% 7% 9% 26%

 

1 Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information
about any applicable account service fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

27


 

Emerging Markets Stock Index Fund

Financial Highlights

Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $23.82 $22.13 $26.99 $26.74 $26.36
Investment Operations          
Net Investment Income . 6591 .577 .696 .726 .725
Net Realized and Unrealized Gain (Loss)          
on Investments 4.301 1.683 (4.865) .283 .532
Total from Investment Operations 4.960 2.260 (4.169) 1.009 1.257
Distributions          
Dividends from Net Investment Income (.650) (.570) (.691) (.759) (.877)
Distributions from Realized Capital Gains
Total Distributions (.650) (.570) (.691) (.759) (.877)
Net Asset Value, End of Period $28.13 $23.82 $22.13 $26.99 $26.74
 
Total Return 21.06% 10.42% -15.57% 3.85% 4.95%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $5,647 $4,191 $3,645 $4,002 $3,558
Ratio of Total Expenses to Average Net Assets 0.11% 0.11% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 2.59% 2.71% 2.74% 2.77% 2.66%
Portfolio Turnover Rate2 6% 13% 7% 9% 26%

 

1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

28


 

Emerging Markets Stock Index Fund

Financial Highlights

Institutional Plus Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $79.26 $73.61 $89.77 $88.97 $87.68
Investment Operations          
Net Investment Income 2.2211 1.928 2.326 2.436 2.426
Net Realized and Unrealized Gain (Loss)          
on Investments 14.266 5.630 (16.171) .904 1.792
Total from Investment Operations 16.487 7.558 (13.845) 3.340 4.218
Distributions          
Dividends from Net Investment Income (2.177) (1.908) (2.315) (2.540) (2.928)
Distributions from Realized Capital Gains
Total Distributions (2.177) (1.908) (2.315) (2.540) (2.928)
Net Asset Value, End of Period $93.57 $79.26 $73.61 $89.77 $88.97
 
Total Return 21.04% 10.48% -15.55% 3.83% 4.99%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $3,991 $3,026 $2,566 $2,754 $2,320
Ratio of Total Expenses to Average Net Assets 0.09% 0.09% 0.10% 0.10% 0.10%
Ratio of Net Investment Income to          
Average Net Assets 2.61% 2.73% 2.76% 2.79% 2.68%
Portfolio Turnover Rate2 6% 13% 7% 9% 26%

 

1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital
shares, including ETF Creation Units.

See accompanying Notes, which are an integral part of the Financial Statements.

29


 

Emerging Markets Stock Index Fund

Notes to Financial Statements

Vanguard Emerging Markets Stock Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. The fund offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, and Institutional Plus Shares. Investor Shares are available to any investor who meets the fund’s minimum purchase requirements. ETF Shares, known as Vanguard FTSE Emerging Markets ETF Shares, are listed for trading on NYSE Arca; they can be purchased and sold through a broker. Admiral Shares, Institutional Shares, and Institutional Plus Shares are designed for investors who meet certain administrative, service, and account-size criteria.

A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.

2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).

30


 

Emerging Markets Stock Index Fund

3. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the underlying securities when futures are believed to be priced more attractively than the underlying securities. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract.

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

During the year ended October 31, 2017, the fund’s average investments in long and short futures contracts represented 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

4. Swap Contracts: The fund has entered into equity swap contracts to earn the total return on selected reference stocks in the fund’s target index. Under the terms of the swaps, the fund receives the total return on the referenced stock (i.e., receiving the increase or paying the decrease in value of the selected reference stock and receiving the equivalent of any dividends in respect of the selected referenced stock) over a specified period of time, applied to a notional amount that represents the value of a designated number of shares of the selected reference stock at the beginning of the equity swap contract. The fund also receives a fixed rate spread related to the reference stock and pays a floating rate based on short-term interest rates, applied to the notional amount. To mitigate interest rate risk on the floating rate payable, the fund invests an amount approximating the notional amount of the swap in high-quality temporary cash investments.

The notional amounts of swap contracts are not recorded in the Statement of Net Assets. Swaps are valued daily based on market quotations received from independent pricing services or recognized dealers and the change in value is recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until termination of the swap, at which time realized gain (loss) is recorded. A risk associated with all types of swaps is the possibility that a counterparty may default on its obligation to pay

31


 

Emerging Markets Stock Index Fund

net amounts due to the fund. The fund’s maximum amount subject to counterparty risk is the unrealized appreciation on the swap contract. The fund mitigates its counterparty risk by entering into swaps only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold or rehypothecated. In the event of a counterparty’s default (including bankruptcy), the fund may terminate any swap contracts with that counterparty, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The swap contracts contain provisions whereby a counterparty may terminate open contracts if the fund net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any securities pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the swap contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

During the year ended October 31, 2017, the fund’s average amounts of investments in total return swaps represented less than 1% of net assets, based on the average of notional amounts at each quarter-end during the period.

5. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2014–2017), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

6. Distributions: Distributions to shareholders are recorded on the ex-dividend date.

7. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in

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Emerging Markets Stock Index Fund

Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

8. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

The fund had no borrowings outstanding at October 31, 2017, or at any time during the period then ended.

9. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

Withholding taxes on foreign dividends and capital gains have been provided for in accordance with the fund’s understanding of the applicable countries’ tax rules and rates. The fund has filed tax reclaims for previously withheld taxes on dividends earned in certain European Union countries. These filings are subject to various administrative and judicial proceedings within these countries. Such tax reclaims received during the year, if any, are included in dividend income. No other amounts for additional tax reclaims are reflected in the financial statements due to the uncertainty as to the ultimate resolution of proceedings, the likelihood of receipt of these reclaims, and the potential timing of payment.

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), shareholder reporting, and the proxy. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

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Emerging Markets Stock Index Fund

B. In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2017, the fund had contributed to Vanguard capital in the amount of $5,278,000, representing 0.01% of the fund’s net assets and 2.11% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

C. Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are
noted on the Statement of Net Assets.

The following table summarizes the market value of the fund’s investments as of October 31, 2017, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks—North and South America 12,104,962 10,228 6,250
Common Stocks—Other 3,583,295 71,812,855 234,181
Preferred Stocks 5,122
Temporary Cash Investments 1,931,950 47,873
Futures Contracts—Assets1 9,382
Swap Contracts—Liabilities (187)
Total 17,629,589 71,875,891 240,431
1 Represents variation margin on the last day of the reporting period.

 

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Emerging Markets Stock Index Fund

Securities in certain countries may transfer between Level 1 and Level 2 because of differences in stock market closure times that may result from transitions between standard and daylight saving time in those countries and the United States. Based on values on the date of transfer, securities valued at $4,626,142,000 based on Level 2 inputs were transferred from Level 1 during the fiscal year. Additionally, based on values on the date of transfer, securities valued at $5,189,341,000 based on Level 1 inputs were transferred from Level 2 during the fiscal year.

The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. Further, at October 31, 2017, the fund had a concentration of its investments in securities issued in China, and the performance of such investments may be impacted by the country’s social, political, and economic conditions.

D. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes. Differences may be permanent or temporary. Permanent differences are reclassified among capital accounts in the financial statements to reflect their tax character. Temporary differences arise when certain items of income, expense, gain, or loss are recognized in different periods for financial statement and tax purposes. These differences will reverse at some time in the future. Differences in classification may also result from the treatment of short-term gains as ordinary income for tax purposes.

For tax purposes, at October 31, 2017, the fund had $269,770,000 of ordinary income available for distribution. At October 31, 2017, the fund had available capital losses totaling $8,187,725,000 to offset future net capital gains. Of this amount, $513,808,000 is subject to expiration dates; $212,374,000 may be used to offset future net capital gains through October 31, 2018 and $301,434,000 through October 31, 2019. Capital losses of $7,673,917,000 realized beginning in fiscal 2012 may be carried forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards. Capital loss carryforwards of $1,591,794,000 expired on October 31, 2017; accordingly, such losses have been reclassified from accumulated net realized losses to paid-in capital.

At October 31, 2017, the cost of investment securities for tax purposes was $76,238,570,000. Net unrealized appreciation of investment securities for tax purposes was $13,498,146,000, consisting of unrealized gains of $22,265,222,000 on securities that had risen in value since their purchase and $8,767,076,000 in unrealized losses on securities that had fallen in value since their purchase.

E. During the year ended October 31, 2017, the fund purchased $17,669,884,000 of investment securities and sold $4,351,758,000 of investment securities, other than temporary cash investments. Purchases and sales include $6,333,742,000 and $0, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

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Emerging Markets Stock Index Fund

F. Capital share transactions for each class of shares were:

  Year Ended October 31,
  2017 2016
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 404,897 15,943 246,846 11,404
Issued in Lieu of Cash Distributions 36,484 1,391 33,853 1,520
Redeemed (554,380) (21,446) (391,754) (18,106)
Net Increase (Decrease)—Investor Shares (112,999) (4,112) (111,055) (5,182)
ETF Shares        
Issued 11,178,653 276,026 6,502,086 179,818
Issued in Lieu of Cash Distributions
Redeemed (2) (1,662,446) (54,600)
Net Increase (Decrease)—ETF Shares 11,178,651 276,026 4,839,640 125,218
Admiral Shares        
Issued 3,335,629 99,595 2,310,990 81,410
Issued in Lieu of Cash Distributions 237,621 6,898 183,978 6,293
Redeemed (1,952,746) (58,774) (2,024,164) (72,200)
Net Increase (Decrease)—Admiral Shares 1,620,504 47,719 470,804 15,503
Institutional Shares        
Issued 1,613,065 63,224 1,295,401 60,195
Issued in Lieu of Cash Distributions 112,798 4,308 90,635 4,081
Redeemed (1,061,505) (42,673) (1,154,304) (53,098)
Net Increase (Decrease)—Institutional Shares 664,358 24,859 231,732 11,178
Institutional Plus Shares        
Issued 919,111 10,731 596,491 8,606
Issued in Lieu of Cash Distributions 84,000 964 69,387 940
Redeemed (620,745) (7,220) (432,825) (6,232)
Net Increase (Decrease)—Institutional Plus Shares 382,366 4,475 233,053 3,314

 

G. Management has determined that no material events or transactions occurred subsequent to October 31, 2017, that would require recognition or disclosure in these financial statements.

36


 

Report of Independent Registered
Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard Emerging Markets Stock Index Fund In our opinion, the accompanying statement of net assets—investments summary and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Vanguard Emerging Markets Stock Index Fund (constituting a separate portfolio of Vanguard International Equity Index Funds, hereafter referred to as the “Fund”) as of October 31, 2017, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Fund’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities as of October 31, 2017 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.

/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 13, 2017


Special 2017 tax information (unaudited) for Vanguard Emerging Markets Stock Index Fund

This information for the fiscal year ended October 31, 2017, is included pursuant to provisions
of the Internal Revenue Code.

The fund distributed $970,934,000 of qualified dividend income to shareholders during the
fiscal year.

The fund designates to shareholders foreign source income of $2,074,836,000 and foreign taxes
paid of $214,713,000. Shareholders will receive more detailed information with their Form
1099-DIV in January 2018
to determine the calendar-year amounts to be included on their 2017 tax returns.

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Your Fund’s After-Tax Returns

This table presents returns for your fund both before and after taxes. The after-tax returns are shown in two ways: (1) assuming that an investor owned the fund during the entire period and paid taxes on the fund’s distributions, and (2) assuming that an investor paid taxes on the fund’s distributions and sold all shares at the end of each period.

Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2017. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.) The table shows returns for Investor Shares only; returns for other share classes will differ. Please note that your actual after-tax returns will depend on your tax situation and may differ from those shown. Also note that if you own the fund in a tax-deferred account, such as an individual retirement account or a 401(k) plan, this information does not apply to you. Such accounts are not subject to current taxes.

Finally, keep in mind that a fund’s performance—whether before or after taxes—does not guarantee future results.

Average Annual Total Returns: Emerging Markets Stock Index Fund Investor Shares
Periods Ended October 31, 2017

  One Five Ten
  Year Years Years
Returns Before Taxes 20.76% 4.01% -0.11%
Returns After Taxes on Distributions 19.89 3.25 -0.66
Returns After Taxes on Distributions and Sale of Fund Shares 11.99 2.90 -0.15

 

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About Your Fund’s Expenses

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

The accompanying table illustrates your fund’s costs in two ways:

Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The ”Ending Account Value“ shown is derived from the fund‘s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period.

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading ”Expenses Paid During Period.“

Based on hypothetical 5% yearly return. This section is intended to help you compare your fund‘s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

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Six Months Ended October 31, 2017      
  Beginning Ending Expenses
  Account Value Account Value Paid During
Emerging Markets Stock Index Fund 4/30/2017 10/31/2017 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $1,125.52 $1.71
FTSE Emerging Markets ETF Shares 1,000.00 1,126.79 0.75
Admiral Shares 1,000.00 1,126.87 0.75
Institutional Shares 1,000.00 1,126.80 0.59
Institutional Plus Shares 1,000.00 1,126.83 0.48
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,023.59 $1.63
FTSE Emerging Markets ETF Shares 1,000.00 1,024.50 0.71
Admiral Shares 1,000.00 1,024.50 0.71
Institutional Shares 1,000.00 1,024.65 0.56
Institutional Plus Shares 1,000.00 1,024.75 0.46

 

The calculations are based on expenses incurred in the most recent six-month period. The funds’ annualized six-month expense ratios for
that period are 0.32% for Investor Shares, 0.14% for FTSE Emerging Markets ETF Shares, 0.14% for Admiral Shares, 0.11% for
Institutional Shares, and 0.09% for Institutional Plus Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized
expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month
period, then divided by the number of days in the most recent 12-month period (184/365).

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Glossary

Beta. A measure of the magnitude of a fund’s past share-price fluctuations in relation to the ups and downs of a given market index. The index is assigned a beta of 1.00. Compared with a given index, a fund with a beta of 1.20 typically would have seen its share price rise or fall by 12% when the index rose or fell by 10%. For this report, beta is based on returns over the past 36 months for both the fund and the index. Note that a fund’s beta should be reviewed in conjunction with its R-squared (see definition). The lower the R-squared, the less correlation there is between the fund and the index, and the less reliable beta is as an indicator of volatility.

Dividend Yield. Dividend income earned by stocks, expressed as a percentage of the aggregate market value (or of net asset value, for a fund). The yield is determined by dividing the amount of the annual dividends by the aggregate value (or net asset value) at the end of the period. For a fund, the dividend yield is based solely on stock holdings and does not include any income produced by other investments.

Equity Exposure. A measure that reflects a fund’s investments in stocks and stock futures. Any holdings in short-term reserves are excluded.

Expense Ratio. A fund’s total annual operating expenses expressed as a percentage of the fund’s average net assets. The expense ratio includes management and administrative expenses, but does not include the transaction costs of buying and selling portfolio securities.

Fair-Value Pricing. Fair-value adjustments, which are required by the Securities and Exchange Commission, address pricing discrepancies that may arise because of time-zone differences among global stock markets. Foreign stocks may trade on exchanges that close many hours before a fund’s closing share price is calculated in the United States, generally at 4 p.m., Eastern time. In the hours between the foreign close and the U.S. close, the value of these foreign securities may change—because of company-specific announcements or market-wide developments, for example. Such price changes are not immediately reflected in international index values. Fair-value pricing takes such changes into account in calculating the fund’s daily net asset value, thus ensuring that the NAV doesn’t include “stale” prices. The result can be a temporary divergence between the return of the fund and that of its benchmark index—a difference that usually corrects itself when the foreign markets reopen.

Inception Date. The date on which the assets of a fund (or one of its share classes) are first invested in accordance with the fund’s investment objective. For funds with a subscription period, the inception date is the day after that period ends. Investment performance is measured from the inception date.

Median Market Cap. An indicator of the size of companies in which a fund invests; the midpoint of market capitalization (market price x shares outstanding) of a fund’s stocks, weighted by the proportion of the fund’s assets invested in each stock. Stocks representing half of the fund’s assets have market capitalizations above the median, and the rest are below it.

Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share.

For a fund, the weighted average price/book ratio of the stocks it holds.

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Price/Earnings Ratio. The ratio of a stock’s current price to its per-share earnings over the past year. For a fund, the weighted average P/E of the stocks it holds. P/E is an indicator of market expectations about corporate prospects; the higher the P/E, the greater the expectations for a company’s future growth.

R-Squared. A measure of how much of a fund’s past returns can be explained by the returns from the market in general, as measured by a given index. If a fund’s total returns were precisely synchronized with an index’s returns, its R-squared would be 1.00. If the fund’s returns bore no relationship to the index’s returns, its R-squared would be 0. For this report, R-squared is based on returns over the past 36 months for both the fund and the index.

Return on Equity. The annual average rate of return generated by a company during the past five years for each dollar of shareholder’s equity (net income divided by shareholder’s equity). For a fund, the weighted average return on equity for the companies whose stocks it holds.

Short-Term Reserves. The percentage of a fund invested in highly liquid, short-term securities that can be readily converted to cash.

Turnover Rate. An indication of the fund’s trading activity. Funds with high turnover rates incur higher transaction costs and may be more likely to distribute capital gains (which may be taxable to investors). The turnover rate excludes in-kind transactions, which have minimal impact on costs.

Benchmark Information

Spliced Emerging Markets Index: Select Emerging Markets Index through August 23, 2006;
MSCI Emerging Markets Index through January 9, 2013; FTSE Emerging Transition Index through
June 27, 2013; FTSE Emerging Index through November 1, 2015; FTSE Emerging Markets All Cap
China A Transition Index through September 18, 2016; and FTSE Emerging Markets All Cap China
A Inclusion Index thereafter. Benchmark returns are adjusted for withholding taxes.

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The People Who Govern Your Fund

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them on an at-cost basis.

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 200 Vanguard funds.

Information for each trustee and executive officer of the fund appears below. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

Interested Trustee1

F. William McNabb III

Born 1957. Trustee Since July 2009. Chairman of the Board. Principal Occupation(s) During the Past Five Years and Other Experience: Chairman of the Board of The Vanguard Group, Inc., and of each of the investment companies served by The Vanguard Group, since January 2010; Chief Executive Officer and Director of The Vanguard Group and President and Chief Executive Officer of each of the investment companies served by The Vanguard Group, since 2008; Director of Vanguard Marketing Corporation; President of The Vanguard Group (2008–2017); Managing Director of The Vanguard Group (1995–2008).

Independent Trustees

Emerson U. Fullwood

Born 1948. Trustee Since January 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Executive Chief Staff and Marketing Officer for North America and Corporate Vice President (retired 2008) of Xerox Corporation (document management products and services); Executive in Residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology; Lead Director of SPX FLOW, Inc. (multi-industry manufacturing); Director of the United Way of Rochester, the University of Rochester Medical Center, Monroe Community College Foundation, North Carolina A&T University, and Roberts Wesleyan College; Trustee of the University of Rochester.

Rajiv L. Gupta

Born 1945. Trustee Since December 2001.2 Principal Occupation(s) During the Past Five Years and Other Experience: Chairman and Chief Executive Officer (retired 2009) and President (2006–2008) of Rohm and Haas Co. (chemicals); Director of Arconic Inc. (diversified manufacturer), HP Inc. (printer and personal computer manufacturing), and Delphi Automotive plc (automotive components); Senior Advisor at New Mountain Capital.

Amy Gutmann

Born 1949. Trustee Since June 2006. Principal Occupation(s) During the Past Five Years and Other Experience: President of the University of Pennsylvania; Christopher H. Browne

 

1 Mr. McNabb is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.
2 December 2002 for Vanguard Equity Income Fund, the Vanguard Municipal Bond Funds, and the Vanguard State Tax-Exempt Funds.


 

Distinguished Professor of Political Science, School of Arts and Sciences, and Professor of Communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania; Trustee of the National Constitution Center.

JoAnn Heffernan Heisen

Born 1950. Trustee Since July 1998. Principal Occupation(s) During the Past Five Years and Other Experience: Corporate Vice President and Member of the Executive Committee (1997–2008), Chief Global Diversity Officer (retired 2008), Vice President and Chief Information Officer (1997–2006), Controller (1995–1997), Treasurer (1991–1995), and Assistant Treasurer (1989–1991) of Johnson & Johnson (pharmaceuticals/medical devices/ consumer products); Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation; Member of the Advisory Board of the Institute for Women’s Leadership at Rutgers University.

F. Joseph Loughrey

Born 1949. Trustee Since October 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2009) of Cummins Inc. (industrial machinery); Chairman of the Board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education; Director of the V Foundation for Cancer Research; Member of the Advisory Council for the College of Arts and Letters and Chair of the Advisory Board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

Mark Loughridge

Born 1953. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Senior Vice President and Chief Financial Officer (retired 2013) at IBM (information technology services); Fiduciary Member of IBM’s Retirement Plan Committee (2004–2013); Member of the Council on Chicago Booth.

Scott C. Malpass

Born 1962. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Chief Investment Officer and Vice President at the University of Notre Dame; Assistant Professor of Finance at the Mendoza College of Business at Notre Dame; Member of the Notre Dame 403(b) Investment Committee, the Board of Advisors for Spruceview Capital Partners, the Board of Catholic Investment Services, Inc. (investment advisor), and the Board of Superintendence of the Institute for the Works of Religion; Chairman of the Board of TIFF Advisory Services, Inc. (investment advisor).

André F. Perold

Born 1952. Trustee Since December 2004. Principal Occupation(s) During the Past Five Years and Other Experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011); Chief Investment Officer and Co-Managing Partner of HighVista Strategies LLC (private investment firm); Overseer of the Museum of Fine Arts Boston.

Peter F. Volanakis

Born 1955. Trustee Since July 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2010) of Corning Incorporated (communications equipment); Chairman of the Board of Trustees of Colby-Sawyer College; Member of the Board of Hypertherm, Inc. (industrial cutting systems, software, and consumables).


 

Executive Officers

Glenn Booraem

Born 1967. Investment Stewardship Officer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Treasurer (2015–2017), Controller (2010–2015), and Assistant Controller (2001–2010) of each of the investment companies served by The Vanguard Group.

Thomas J. Higgins

Born 1957. Chief Financial Officer Since September 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Chief Financial Officer of each of the investment companies served by The Vanguard Group; Treasurer of each of the investment companies served by The Vanguard Group (1998–2008).

Peter Mahoney

Born 1974. Controller Since May 2015. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Controller of each of the investment companies served by The Vanguard Group; Head of International Fund Services at The Vanguard Group (2008–2014).

Anne E. Robinson

Born 1970. Secretary Since September 2016. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; General Counsel of The Vanguard Group; Secretary of The Vanguard Group and of each of the investment companies served by The Vanguard Group; Director and Senior Vice President of Vanguard Marketing Corporation; Managing Director and General Counsel of Global Cards and Consumer Services at Citigroup (2014–2016); Counsel at American Express (2003–2014).

Michael Rollings

Born 1963. Treasurer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; Treasurer of each of the investment companies served by The Vanguard Group; Director of Vanguard Marketing Corporation; Executive Vice President and Chief Financial Officer of MassMutual Financial Group (2006–2016).

Vanguard Senior Management Team
 
Mortimer J. Buckley Chris D. McIsaac
Gregory Davis James M. Norris
John James Thomas M. Rampulla
Martha G. King Karin A. Risi
John T. Marcante  
 
 
Chairman Emeritus and Senior Advisor
 
John J. Brennan  
Chairman, 1996–2009  
Chief Executive Officer and President, 1996–2008
 
 
Founder  
 
John C. Bogle  
Chairman and Chief Executive Officer, 1974–1996

 


 

 

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  Q5330 122017

 


Item 2: Code of Ethics. The Registrant has adopted a code of ethics that applies to the Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller or persons performing similar functions. The Code of Ethics was amended during the reporting period covered by this report to make certain technical, non-material changes.

Item 3: Audit Committee Financial Expert. All members of the Audit Committee have been determined by the Registrant’s Board of Trustees to be Audit Committee Financial Experts and to be independent: Rajiv L. Gupta, JoAnn Heffernan Heisen, F. Joseph Loughrey, Mark Loughridge, and Peter F. Volanakis.

Item 4: Principal Accountant Fees and Services.

(a) Audit Fees.

Audit Fees of the Registrant

Fiscal Year Ended October 31, 2017: $405,000
Fiscal Year Ended October 31, 2016: $318,000

Aggregate Audit Fees of Registered Investment Companies in the Vanguard Group.

Fiscal Year Ended October 31, 2017: $8,424,459
Fiscal Year Ended October 31, 2016: $9,629,849

Includes fees billed in connection with audits of the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc. and Vanguard Marketing Corporation.

(b) Audit-Related Fees.

Fiscal Year Ended October 31, 2017: $3,194,093
Fiscal Year Ended October 31, 2016: $2,717,627

Includes fees billed in connection with assurance and related services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

(c) Tax Fees.

Fiscal Year Ended October 31, 2017: $274,313
Fiscal Year Ended October 31, 2016: $254,050

Includes fees billed in connection with tax compliance, planning, and advice services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.


 

(d) All Other Fees.

Fiscal Year Ended October 31, 2017: $0
Fiscal Year Ended October 31, 2016: $214,225

Includes fees billed for services related to tax reported information provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

(e) (1) Pre-Approval Policies. The policy of the Registrant’s Audit Committee is to consider and, if appropriate, approve before the principal accountant is engaged for such services, all specific audit and non-audit services provided to: the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and entities controlled by The Vanguard Group, Inc. that provide ongoing services to the Registrant. In making a determination, the Audit Committee considers whether the services are consistent with maintaining the principal accountant’s independence.

     In the event of a contingency situation in which the principal accountant is needed to provide services in between scheduled Audit Committee meetings, the Chairman of the Audit Committee would be called on to consider and, if appropriate, pre-approve audit or permitted non-audit services in an amount sufficient to complete services through the next Audit Committee meeting, and to determine if such services would be consistent with maintaining the accountant’s independence. At the next scheduled Audit Committee meeting, services and fees would be presented to the Audit Committee for formal consideration, and, if appropriate, approval by the entire Audit Committee. The Audit Committee would again consider whether such services and fees are consistent with maintaining the principal accountant’s independence.

     The Registrant’s Audit Committee is informed at least annually of all audit and non-audit services provided by the principal accountant to the Vanguard complex, whether such services are provided to: the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., or other entities controlled by The Vanguard Group, Inc. that provide ongoing services to the Registrant.

     (2) No percentage of the principal accountant’s fees or services were approved pursuant to the waiver provision of paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.

(f) For the most recent fiscal year, over 50% of the hours worked under the principal accountant’s engagement were not performed by persons other than full-time, permanent employees of the principal accountant.

(g) Aggregate Non-Audit Fees.

Fiscal Year Ended October 31, 2017: $274,313
Fiscal Year Ended October 31, 2016: $468,275


 

Includes fees billed for non-audit services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

(h) For the most recent fiscal year, the Audit Committee has determined that the provision of all non-audit services was consistent with maintaining the principal accountant’s independence.

Item 5: Audit Committee of Listed Registrants.

The Registrant is a listed issuer as defined in rule 10A-3 under the Securities Exchange Act of 1934 (“Exchange Act”). The Registrant has a separately-designated standing audit committee established in accordance with Section 3(a)(58)(A) of the Exchange Act. The Registrant’s audit committee members are: Rajiv L. Gupta, JoAnn Heffernan Heisen, F. Joseph Loughrey, Mark Loughridge, and Peter F. Volanakis.

Item 6: Investments.


Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
 
Common Stocks (99.1%)1    
Austria (0.6%)    
Erste Group Bank AG 657,671 28,231
OMV AG 322,290 19,342
voestalpine AG 258,615 14,218
* Raiffeisen Bank International AG 294,940 10,257
ANDRITZ AG 163,042 9,219
BUWOG AG 238,356 6,871
Wienerberger AG 264,457 6,785
IMMOFINANZ AG 2,022,621 5,112
CA Immobilien Anlagen AG 160,866 4,587
Lenzing AG 29,814 4,036
Oesterreichische Post AG 73,554 3,266
Telekom Austria AG Class A 310,126 2,904
Mayr Melnhof Karton AG 19,356 2,810
RHI AG 61,291 2,722
UNIQA Insurance Group AG 264,416 2,709
* Schoeller-Bleckmann Oilfield Equipment AG 26,606 2,483
Vienna Insurance Group AG Wiener Versicherung Gruppe 84,699 2,480
S IMMO AG 138,657 2,442
^ Verbund AG 82,012 1,992
Strabag SE 38,111 1,591
^ Flughafen Wien AG 25,750 1,036
Zumtobel Group AG 58,074 993
Palfinger AG 21,121 934
EVN AG 57,113 902
^ DO & CO AG 12,943 686
Kapsch TrafficCom AG 9,815 570
^ Porr AG 16,740 523
^ Semperit AG Holding 17,857 522
    140,223
Belgium (2.0%)    
Anheuser-Busch InBev SA/NV 1,731,354 212,303
KBC Group NV 628,375 52,199
Solvay SA Class A 157,844 23,449
Ageas 439,363 21,307
UCB SA 273,989 19,946
* Umicore SA 428,406 19,146
Groupe Bruxelles Lambert SA 165,281 17,753
Proximus SADP 319,038 10,594
Ackermans & van Haaren NV 50,983 8,732
^ Colruyt SA 151,912 7,770
* Telenet Group Holding NV 110,767 7,661
bpost SA 225,729 6,364
Ontex Group NV 180,639 6,353
Cofinimmo SA 46,783 5,935
Sofina SA 35,554 5,347
KBC Ancora 78,374 4,673
Melexis NV 42,207 4,229
Elia System Operator SA/NV 71,147 4,127
Warehouses De Pauw CVA 37,598 4,067
Aedifica SA 40,970 3,905
Bekaert SA 80,720 3,818
* Tessenderlo Chemie NV (Voting Shares) 58,681 2,816
Befimmo SA 44,401 2,758
^ Euronav NV 308,735 2,559
Gimv NV 41,487 2,500
D'ieteren SA/NV 51,931 2,375
Cie d'Entreprises CFE 16,074 2,351
Econocom Group SA/NV 302,180 2,326
Barco NV 20,323 2,082
Kinepolis Group NV 29,590 1,999
* AGFA-Gevaert NV 374,777 1,761

 

1


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Orange Belgium SA 61,108 1,416
  Ion Beam Applications 44,412 1,361
*,^ Nyrstar (Voting Shares) 164,800 1,316
  EVS Broadcast Equipment SA 26,461 994
^ Greenyard NV 32,402 767
  Van de Velde NV 12,159 673
  Wereldhave Belgium NV 3,807 403
      480,135
Denmark (2.8%)    
  Novo Nordisk A/S Class B 4,009,848 199,646
  Danske Bank A/S 1,607,026 61,330
  Vestas Wind Systems A/S 474,461 41,888
  DSV A/S 422,832 32,696
  AP Moller - Maersk A/S Class B 14,740 28,256
  Novozymes A/S 495,198 27,361
  Carlsberg A/S Class B 238,388 27,234
  Coloplast A/S Class B 301,577 26,544
* Genmab A/S 124,633 25,168
  Pandora A/S 245,557 23,187
2 Orsted A/S 369,012 20,678
  AP Moller - Maersk A/S Class A 9,945 18,433
  ISS A/S 419,439 17,762
  Chr Hansen Holding A/S 200,720 17,565
  TDC A/S 1,817,751 10,747
  GN Store Nord A/S 321,048 10,625
  Jyske Bank A/S 154,058 8,705
  H Lundbeck A/S 135,090 8,031
  FLSmidth & Co. A/S 112,000 7,678
* William Demant Holding A/S 253,651 7,320
*,2 Nets A/S 273,970 6,994
  Royal Unibrew A/S 117,630 6,772
  Sydbank A/S 157,220 6,138
  Tryg A/S 246,838 5,880
  Ambu A/S Class B 59,891 5,520
  SimCorp A/S 88,326 5,394
* Topdanmark A/S 114,874 4,722
  Rockwool International A/S Class B 15,546 4,221
  Dfds A/S 64,517 3,741
* Bavarian Nordic A/S 74,618 3,028
* Nilfisk Holding A/S 61,336 2,948
  Schouw & Co. AB 27,500 2,862
* NKT A/S 61,336 2,630
  Spar Nord Bank A/S 189,702 2,413
2 Scandinavian Tobacco Group A/S 133,137 2,252
  ALK-Abello A/S 13,175 2,062
* Bang & Olufsen A/S 78,761 1,825
  Alm Brand A/S 165,941 1,716
*,^ D/S Norden A/S 54,191 1,126
  Solar A/S Class B 10,951 703
  Matas A/S 59,173 663
      694,464
Finland (1.7%)    
  Nokia Oyj 12,873,834 63,313
  Sampo Oyj Class A 1,067,491 55,862
  Kone Oyj Class B 866,453 46,896
  UPM-Kymmene Oyj 1,213,786 36,453
  Wartsila Oyj Abp 351,485 22,624
  Fortum Oyj 986,193 20,932
  Stora Enso Oyj 1,297,421 20,277
  Neste Oyj 285,522 15,895
  Nokian Renkaat Oyj 301,699 13,832
  Elisa Oyj 326,757 13,158
  Huhtamaki Oyj 234,687 9,996
  Orion Oyj Class B 228,376 9,360

 

2


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Metso Oyj 242,170 8,795
  Kesko Oyj Class B 154,953 7,913
  Amer Sports Oyj 261,744 6,512
  Outokumpu Oyj 681,992 6,447
  Konecranes Oyj Class A 138,296 6,368
  Valmet Oyj 303,412 5,883
  Cargotec Oyj Class B 94,091 5,554
  Tieto Oyj 169,504 5,190
  Metsa Board Oyj 399,792 2,966
  Uponor Oyj 135,394 2,726
*,^ Outotec Oyj 328,588 2,614
  Kemira Oyj 171,319 2,414
  Sanoma Oyj 198,701 2,359
  Citycon Oyj 869,485 2,123
  Cramo Oyj 95,078 2,111
* DNA Oyj 122,280 2,108
  YIT Oyj 276,679 2,103
*,^ Caverion Oyj 214,180 1,621
  Ramirent Oyj 173,432 1,596
  Finnair Oyj 120,429 1,571
  Oriola Oyj 321,675 1,206
  Raisio Oyj 260,932 1,079
  F-Secure Oyj 200,948 1,029
*,^ Stockmann Oyj Abp Class B 61,477 395
      411,281
France (15.0%)    
  TOTAL SA 5,033,245 280,547
  Sanofi 2,489,382 235,714
  BNP Paribas SA 2,461,481 192,120
  LVMH Moet Hennessy Louis Vuitton SE 567,196 169,176
  AXA SA 4,312,538 130,190
  Airbus SE 1,244,448 127,701
  Danone SA 1,333,614 108,999
  Schneider Electric SE 1,205,013 105,875
^ Vinci SA 1,057,609 103,623
  Societe Generale SA 1,668,752 92,875
  Kering 169,115 77,558
  Air Liquide SA 585,747 74,580
  Pernod Ricard SA 481,833 72,249
  Orange SA 4,358,362 71,599
  L'Oreal SA 315,738 70,273
  Safran SA 661,988 69,723
  Cie de Saint-Gobain 1,127,853 66,130
  Engie SA 3,747,626 63,343
  Vivendi SA 2,434,426 60,452
  Essilor International SA 462,618 58,569
  Cie Generale des Etablissements Michelin 402,298 58,232
  L'Oreal SA Loyalty Line 232,325 51,708
  Air Liquide SA-PRIM 371,394 47,288
  Legrand SA 607,019 45,048
  Capgemini SE 352,195 42,787
  Renault SA 390,364 38,710
  Valeo SA 541,564 36,667
  Credit Agricole SA 2,093,841 36,545
  Hermes International 70,395 36,543
  STMicroelectronics NV 1,431,727 33,705
  Atos SE 206,938 32,141
  Dassault Systemes SE 294,802 31,295
  Publicis Groupe SA 466,741 30,382
* TechnipFMC plc 1,042,228 28,338
  Veolia Environnement SA 1,113,119 26,371
  Carrefour SA 1,249,998 25,157
  Sodexo SA 196,891 25,049
  Peugeot SA 1,002,234 23,779

 

3


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Thales SA 227,369 23,695
  Bouygues SA 452,198 21,703
  Arkema SA 162,245 20,497
  Accor SA 397,329 19,822
  Teleperformance 130,147 19,007
  Klepierre SA 468,314 18,643
  Eiffage SA 162,949 17,021
  Gecina SA 101,344 16,461
  Bureau Veritas SA 584,252 15,645
  Edenred 528,900 15,248
  Natixis SA 1,909,658 14,976
  SCOR SE 355,699 14,766
  Suez 826,504 14,535
  Alstom SA 344,479 13,937
  Iliad SA 54,255 13,543
  Eurofins Scientific SE 21,437 13,410
* Ubisoft Entertainment SA 173,798 13,261
  SES SA Class A 799,876 13,009
  Groupe Eurotunnel SE 1,031,461 12,962
  Electricite de France SA 963,001 12,604
  Zodiac Aerospace 440,393 12,588
  Faurecia 170,137 12,368
  Ingenico Group SA 127,180 12,350
  Rexel SA 687,458 12,259
  Orpea 96,008 11,503
  SEB SA 61,654 11,490
  Aeroports de Paris 65,347 11,002
* Rubis SCA 173,383 10,880
^ Wendel SA 64,309 10,847
  Bollore SA 2,208,853 10,670
  Eutelsat Communications SA 390,350 9,778
2 Euronext NV 163,559 9,714
2 Amundi SA 114,367 9,693
  Ipsen SA 77,835 9,411
  Eurazeo SA 100,679 9,360
  Fonciere Des Regions 89,148 9,078
  Credit Agricole SA Loyalty Line 497,173 8,677
  Lagardere SCA 263,274 8,670
  CNP Assurances 361,542 8,410
2 Elior Group SA 295,738 8,399
  Dassault Aviation SA 5,216 8,133
  Christian Dior SE 23,631 8,111
  Imerys SA 84,438 7,689
* BioMerieux 95,957 7,527
  Remy Cointreau SA 56,318 7,315
  Casino Guichard Perrachon SA 127,578 7,285
  ICADE 79,534 6,951
  Elis SA (London Shares) 256,365 6,684
  Altran Technologies SA 360,189 6,662
  JCDecaux SA 167,230 6,397
  Societe BIC SA 59,065 6,237
  Nexity SA 96,892 5,955
  Alten SA 66,118 5,786
  Cie Plastic Omnium SA 131,727 5,493
  Sopra Steria Group 29,107 5,460
* Air France-KLM 333,757 5,226
  SPIE SA 190,780 5,020
*,2 Worldline SA 94,735 4,632
2 Maisons du Monde SA 98,905 4,279
  Euler Hermes Group 35,536 4,123
* Elis SA 155,925 4,028
  Nexans SA 59,381 3,886
  Sartorius Stedim Biotech 56,734 3,867
*,^ Vallourec SA 670,585 3,668

 

4


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Fnac Darty SA 38,607 3,649
  Metropole Television SA 147,783 3,417
  Television Francaise 1 235,496 3,348
  Korian SA 101,923 3,312
  SOITEC 40,375 3,177
  Tarkett SA 72,655 3,091
2 Europcar Groupe SA 213,025 3,047
  Trigano SA 18,853 3,042
  Technicolor SA 826,297 2,928
  Neopost SA 78,546 2,895
  IPSOS 75,166 2,778
  Vicat SA 35,151 2,719
  Coface SA 199,827 2,183
* DBV Technologies SA 46,024 2,086
  Gaztransport Et Technigaz SA 41,213 2,017
^ Mercialys SA 95,850 1,867
  Derichebourg SA 168,017 1,792
* Eramet 21,106 1,738
*,^ Genfit 65,576 1,726
  Beneteau SA 91,314 1,643
  Electricite de France SA Loyalty Line 122,442 1,603
  Bonduelle SCA 29,979 1,415
  FFP 11,064 1,330
* Virbac SA 10,057 1,295
  Albioma SA 53,859 1,284
  Boiron SA 13,136 1,186
  Mersen SA 26,652 1,170
  Vilmorin & Cie SA 12,061 1,161
  Manitou BF SA 25,636 1,016
  Interparfums SA 24,378 909
  Rallye SA 49,090 839
  Guerbet 9,304 838
  Direct Energie 17,999 828
  Jacquet Metal Service 24,544 794
* Etablissements Maurel et Prom 159,054 674
  GL Events 21,874 666
  MGI Coutier 16,142 655
^ Havas SA 50,956 548
^ Bourbon Corp. 60,570 541
  Haulotte Group SA 27,303 498
  Groupe Crit 5,162 487
*,^ Parrot SA 36,600 456
* Esso SA Francaise 5,957 407
* Stallergenes Greer plc 5,522 283
  Union Financiere de France BQE SA 6,549 248
* CGG SA 1
      3,626,933
Germany (14.8%)    
  Siemens AG 1,733,696 249,018
  Bayer AG 1,887,159 245,482
  Allianz SE 1,017,871 237,634
  SAP SE 2,072,303 236,789
  BASF SE 2,087,152 228,240
  Daimler AG 2,196,284 183,361
  Deutsche Telekom AG 7,362,321 133,314
  adidas AG 450,359 100,244
  Deutsche Post AG 2,175,265 99,716
  Fresenius SE & Co. KGaA 921,150 77,116
  Volkswagen AG Preference Shares 417,778 76,497
  Bayerische Motoren Werke AG 731,341 75,007
  Infineon Technologies AG 2,574,559 71,208
  Deutsche Bank AG 4,227,401 69,285
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen 305,229 68,525

 

5


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Continental AG 246,472 62,726
  Henkel AG & Co. KGaA Preference Shares 398,182 55,912
  E.ON SE 4,697,009 55,634
  Vonovia SE 1,105,138 48,818
  Fresenius Medical Care AG & Co. KGaA 484,204 46,882
  Linde AG 211,585 45,695
  Linde AG Accept Line 211,585 45,513
  Deutsche Boerse AG 425,122 44,028
  HeidelbergCement AG 339,793 34,771
  Deutsche Wohnen SE 807,649 34,568
  Henkel AG & Co. KGaA 266,367 33,595
* Commerzbank AG 2,377,234 32,944
  Merck KGaA 293,158 31,454
2 Covestro AG 298,504 28,695
  thyssenkrupp AG 1,059,400 28,420
* RWE AG 1,097,056 27,585
  Wirecard AG 259,060 25,738
  Beiersdorf AG 227,775 25,623
  Porsche Automobil Holding SE Preference Shares 347,042 25,395
  Symrise AG 276,055 21,512
  Brenntag AG 349,389 19,823
  MTU Aero Engines AG 116,883 19,779
  GEA Group AG 405,827 19,605
  ProSiebenSat.1 Media SE 518,402 18,260
  Hannover Rueck SE 136,646 17,196
  Deutsche Lufthansa AG 532,486 17,108
* QIAGEN NV 503,192 17,072
  United Internet AG 265,125 16,815
  OSRAM Licht AG 218,035 16,695
  LANXESS AG 208,862 16,377
  LEG Immobilien AG 142,936 14,560
2 Innogy SE 291,093 13,538
  HUGO BOSS AG 148,522 13,284
  KION Group AG 160,326 12,847
  Volkswagen AG 67,594 12,623
  Uniper SE 444,474 12,489
  Evonik Industries AG 339,704 12,357
*,2 Zalando SE 239,730 12,068
  Rheinmetall AG 99,014 11,760
  Bayerische Motoren Werke AG Preference Shares 125,146 10,981
  K&S AG 435,030 10,577
  Freenet AG 291,182 9,751
  Fuchs Petrolub SE Preference Shares 158,290 8,914
  MAN SE 80,097 8,869
* Dialog Semiconductor plc 174,026 8,695
  Telefonica Deutschland Holding AG 1,561,804 7,967
  HOCHTIEF AG 44,477 7,857
  Fraport AG Frankfurt Airport Services Worldwide 82,140 7,805
  Duerr AG 54,644 7,562
  Drillisch AG 105,546 7,488
  Sartorius AG Preference Shares 77,445 7,232
* Metro AG 370,783 7,029
  TUI AG 383,129 6,936
  Axel Springer SE 100,072 6,738
^ RTL Group SA 87,379 6,492
  Aurubis AG 78,841 6,461
* Siltronic AG 42,514 6,345
* Evotec AG 296,594 6,312
  Hella GmbH & Co. KGaA 101,426 6,127
* MorphoSys AG 68,377 5,934
  Aareal Bank AG 140,708 5,850
* Software AG 112,882 5,738
  TAG Immobilien AG 325,791 5,617
  Gerresheimer AG 70,006 5,600

 

6


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Wacker Chemie AG 35,819 5,594
  GRENKE AG 56,666 5,549
  Leoni AG 77,856 5,180
  Jungheinrich AG Preference Shares 111,118 5,061
  CTS Eventim AG & Co. KGaA 122,310 5,059
  Rational AG 7,585 5,005
  Bechtle AG 62,405 4,995
  Fielmann AG 56,568 4,971
  STADA Arzneimittel AG 51,286 4,954
  Stabilus SA 53,963 4,928
  Norma Group SE 71,679 4,885
  CECONOMY AG 367,989 4,803
  Salzgitter AG 92,717 4,486
  alstria office REIT-AG 302,634 4,302
  TLG Immobilien AG 177,621 4,120
  Krones AG 32,306 4,087
  Jenoptik AG 119,761 4,037
  Deutsche EuroShop AG 110,124 4,025
*,2 Rocket Internet SE 154,620 3,976
  Nemetschek SE 43,370 3,878
  Fuchs Petrolub SE 76,453 3,807
* AIXTRON SE 240,762 3,758
*,2 Hapag-Lloyd AG 83,355 3,663
  Suedzucker AG 184,598 3,658
  Stroeer SE & Co. KGaA 56,129 3,590
  Talanx AG 86,018 3,385
2 Deutsche Pfandbriefbank AG 231,929 3,338
2 ADO Properties SA 65,277 3,227
  CompuGroup Medical SE 54,065 3,113
^ Bilfinger SE 74,993 3,026
  Sixt SE 32,233 3,017
  Indus Holding AG 42,356 2,971
  Carl Zeiss Meditec AG 55,143 2,940
  Puma SE 6,323 2,856
  Schaeffler AG Preference Shares 174,351 2,780
*,^ zooplus AG 15,308 2,527
  Sixt SE Preference Shares 38,664 2,508
  DMG Mori AG 42,919 2,485
  Pfeiffer Vacuum Technology AG 15,204 2,441
  Koenig & Bauer AG 31,030 2,416
  Deutz AG 269,872 2,286
* PATRIZIA Immobilien AG 105,901 2,243
* Heidelberger Druckmaschinen AG 550,647 2,201
  KWS Saat SE 5,219 2,199
  RHOEN-KLINIKUM AG 61,567 2,150
  Draegerwerk AG & Co. KGaA Preference Shares 18,394 2,114
*,2 Tele Columbus AG 200,718 2,093
  Kloeckner & Co. SE 170,853 2,015
  Wacker Neuson SE 57,543 1,874
  XING SE 6,176 1,835
*,^ SGL Carbon SE 112,015 1,767
  Takkt AG 80,277 1,668
*,^ Nordex SE 154,312 1,603
  VTG AG 26,158 1,511
  Hamburger Hafen und Logistik AG 44,200 1,412
* Vossloh AG 21,940 1,390
  Biotest AG Preference Shares 51,980 1,373
  RWE AG Preference Shares 70,009 1,328
^ ElringKlinger AG 72,091 1,261
  Deutsche Beteiligungs AG 23,579 1,199
^ Bertrandt AG 11,523 1,087
  Diebold Nixdorf AG 12,924 1,084
^ SMA Solar Technology AG 22,955 1,068
  BayWa AG 25,913 1,013

 

7


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Wuestenrot & Wuerttembergische AG 36,959 992
  DIC Asset AG 81,519 959
  comdirect bank AG 56,895 789
  Gerry Weber International AG 48,642 605
  Draegerwerk AG & Co. KGaA 6,533 580
  Hornbach Baumarkt AG 15,333 560
  H&R GmbH & Co. KGaA 28,621 507
  CropEnergies AG 46,488 492
^ Biotest AG 13,508 427
      3,587,163
Ireland (0.4%)    
  Kerry Group plc Class A 332,566 33,491
  Bank of Ireland Group plc 2,092,481 16,395
  Kingspan Group plc 340,687 14,242
* Allied Irish Banks plc 1,548,607 9,156
  Glanbia plc 444,729 8,602
* Ryanair Holdings plc ADR 38,251 4,288
* Cairn Homes plc 1,560,565 3,241
  Green REIT plc 1,506,350 2,650
  Hibernia REIT plc 1,542,364 2,649
  Irish Continental Group plc 379,579 2,529
  C&C Group plc 702,051 2,403
  Origin Enterprises plc 301,023 2,384
* Permanent TSB Group Holdings plc 231,939 530
*,^,3 Irish Bank Resolution Corp. Ltd. 2,503,596
      102,560
Italy (4.3%)    
  Enel SPA 17,731,580 109,967
  Intesa Sanpaolo SPA (Registered) 29,329,219 98,603
* UniCredit SPA 5,079,389 97,072
  Eni SPA 5,705,034 93,267
  Assicurazioni Generali SPA 2,984,307 54,314
* Fiat Chrysler Automobiles NV 2,482,788 42,931
  Atlantia SPA 1,208,836 39,409
  Ferrari NV 287,649 34,443
  CNH Industrial NV 2,179,612 27,809
  Snam SPA 5,416,905 27,658
* Telecom Italia SPA (Registered) 25,975,821 22,477
  Luxottica Group SPA 352,669 20,220
  Terna Rete Elettrica Nazionale SPA 3,240,640 19,548
  Prysmian SPA 478,935 16,480
  EXOR NV 243,092 15,584
  Leonardo SPA 871,075 15,037
^ Tenaris SA 1,070,527 14,614
  Mediobanca SPA 1,324,717 14,512
*,^ Banco BPM SPA 3,455,672 12,032
  Moncler SPA 386,499 10,972
  Unione di Banche Italiane SPA 2,291,179 10,754
  Recordati SPA 229,107 10,647
  Davide Campari-Milano SPA 1,283,913 10,280
  Telecom Italia SPA (Bearer) 13,453,988 9,559
  FinecoBank Banca Fineco SPA 893,624 8,358
2 Poste Italiane SPA 1,050,198 7,673
  Intesa Sanpaolo SPA 2,113,466 6,661
  Interpump Group SPA 193,635 6,518
  Italgas SPA 1,101,259 6,434
*,2 Pirelli & C SPA 795,898 6,258
  A2A SPA 3,634,840 6,242
  Hera SPA 1,822,507 5,863
* Brembo SPA 349,656 5,772
^ Saipem SPA 1,363,729 5,733

 

8


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Cerved Information Solutions SPA 445,297 5,727
  Azimut Holding SPA 269,025 5,310
  Unipol Gruppo SPA 1,123,168 5,065
  Banca Mediolanum SPA 587,845 5,009
^ BPER Banca 1,028,922 5,009
  UnipolSai Assicurazioni SPA 2,161,685 4,919
*,^ Yoox Net-A-Porter Group SPA 131,459 4,911
  DiaSorin SPA 53,695 4,884
  Buzzi Unicem SPA 172,785 4,810
  De' Longhi SPA 132,932 4,357
  Banca Generali SPA 130,178 4,283
  Societa Cattolica di Assicurazioni SC 380,357 4,122
  Amplifon SPA 266,944 4,055
  Banca Popolare di Sondrio SCPA 982,634 3,887
2 Anima Holding SPA 510,717 3,883
  Autogrill SPA 286,849 3,751
2 Infrastrutture Wireless Italiane SPA 514,077 3,513
  Iren SPA 1,251,846 3,445
  Industria Macchine Automatiche SPA 37,785 3,388
*,^ Mediaset SPA 816,653 2,999
  Societa Iniziative Autostradali e Servizi SPA 172,751 2,945
  Saras SPA 1,033,389 2,758
^ Salvatore Ferragamo SPA 98,900 2,596
2 OVS SPA 335,584 2,510
2 Enav SPA 520,234 2,477
  Banca IFIS SPA 43,688 2,380
  Ei Towers SPA 37,364 2,184
* Reply SPA 40,828 2,170
  Beni Stabili SpA SIIQ 2,444,258 2,163
  Brunello Cucinelli SPA 63,176 2,120
^ Tod's SPA 30,848 2,051
  ERG SPA 118,165 1,974
2 Technogym SPA 201,659 1,962
  MARR SPA 75,153 1,919
  ASTM SPA 67,303 1,867
  Datalogic SPA 44,765 1,776
  Danieli & C Officine Meccaniche SPA-RSP 101,663 1,691
  Salini Impregilo SPA 393,666 1,663
  ACEA SPA 96,383 1,569
  Credito Emiliano SPA 178,066 1,560
  Parmalat SPA 397,904 1,506
^ Maire Tecnimont SPA 242,534 1,360
*,^ Fincantieri SPA 969,929 1,205
  Buzzi Unicem SPA-RSP 76,051 1,205
2 RAI Way SPA 185,375 1,124
  Piaggio & C SPA 341,748 1,118
  CIR-Compagnie Industriali Riunite SPA 558,425 839
* Italmobiliare SPA 30,913 832
*,^ Credito Valtellinese SPA 234,137 829
  Zignago Vetro SPA 87,794 821
*,^ Juventus Football Club SPA 933,984 813
  Immobiliare Grande Distribuzione SIIQ SPA 700,479 810
  Cementir Holding SPA 90,079 764
* Arnoldo Mondadori Editore SPA 284,654 737
^ Geox SPA 146,338 639
  Astaldi SPA 85,729 594
  Cairo Communication SPA 114,688 581
  Danieli & C Officine Meccaniche SPA 23,031 551
  Cofide SPA 733,729 522
* GEDI Gruppo Editoriale SPA 499,280 444
*,^ Safilo Group SPA 61,993 392
*,^ Rizzoli Corriere Della Sera Mediagroup SPA 231,622 347
  DeA Capital SPA 215,880 333
^ Esprinet SPA 53,123 255

 

9


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Banca Monte dei Paschi di Siena SPA 1
      1,041,984
Netherlands (5.3%)    
  Unilever NV 3,489,346 202,698
  ING Groep NV 8,863,265 163,790
  ASML Holding NV 716,656 129,307
  Koninklijke Philips NV 2,134,840 87,002
  Unibail-Rodamco SE 226,017 56,574
  Koninklijke Ahold Delhaize NV 2,899,701 54,559
  Heineken NV 536,492 52,273
  Akzo Nobel NV 574,523 51,869
  RELX NV 2,037,962 46,011
  ArcelorMittal 1,368,292 39,182
  Koninklijke DSM NV 398,264 33,979
  NN Group NV 767,122 32,126
  Wolters Kluwer NV 655,110 32,109
2 ABN AMRO Group NV 943,867 29,151
* Altice NV Class A 1,444,644 27,244
  Koninklijke KPN NV 7,061,123 24,297
  Aegon NV 4,004,386 23,642
  Heineken Holding NV 240,558 22,329
  Randstad Holding NV 250,912 15,437
  ASR Nederland NV 329,663 13,515
  Aalberts Industries NV 217,774 10,739
* Galapagos NV 92,138 8,961
  IMCD Group NV 120,020 7,549
  Gemalto NV 187,511 7,421
  SBM Offshore NV 408,869 7,297
  ASM International NV 106,756 7,154
2 Philips Lighting NV 185,591 7,034
  Boskalis Westminster 189,625 6,778
  TKH Group NV 95,984 6,464
  Koninklijke Vopak NV 148,111 6,411
  APERAM SA 110,749 5,955
  BE Semiconductor Industries NV 73,899 5,807
*,^ OCI NV 218,202 5,176
  Corbion NV 130,146 4,349
  Eurocommercial Properties NV 104,225 4,340
  PostNL NV 1,007,319 4,293
  Wereldhave NV 89,885 4,086
* Altice NV Class B 201,503 3,799
2 Refresco Group NV 159,765 3,694
  Arcadis NV 152,321 3,521
  Koninklijke BAM Groep NV 541,042 3,056
* TomTom NV 262,498 2,991
2 GrandVision NV 113,813 2,841
  Wessanen 128,031 2,432
2 Intertrust NV 131,068 2,015
* Fugro NV 148,631 1,916
  Vastned Retail NV 43,700 1,914
  Accell Group 59,651 1,822
2 Flow Traders 63,459 1,578
  NSI NV 39,721 1,507
*,2 Takeaway.com NV 28,811 1,362
*,2 Basic-Fit NV 48,539 1,114
* ForFarmers NV 86,138 1,053
  BinckBank NV 172,704 880
^ Brunel International NV 38,044 647
      1,285,050
Norway (1.3%)    
  DNB ASA 2,453,250 47,346
^ Statoil ASA 2,186,735 44,429
^ Telenor ASA 1,556,792 33,056

 

10


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Norsk Hydro ASA 3,027,465 23,428
  Yara International ASA 399,948 18,995
  Marine Harvest ASA 919,403 17,955
^ Orkla ASA 1,775,954 17,396
  Subsea 7 SA 586,666 9,890
  Storebrand ASA 1,014,069 8,685
  Gjensidige Forsikring ASA 390,415 7,347
  Aker BP ASA 240,431 5,539
  TGS NOPEC Geophysical Co. ASA 232,781 5,352
  Schibsted ASA Class B 207,428 4,868
  Schibsted ASA Class A 175,647 4,529
* Norwegian Finans Holding ASA 326,718 4,082
  SpareBank 1 SR-Bank ASA 363,386 4,025
  Bakkafrost P/F 89,579 4,003
  Tomra Systems ASA 251,059 3,505
  Leroy Seafood Group ASA 578,851 3,476
  Salmar ASA 115,921 3,456
2 Entra ASA 238,729 3,286
  SpareBank 1 SMN 297,359 3,088
  Veidekke ASA 242,943 2,722
  Aker ASA 58,403 2,646
2 XXL ASA 228,247 2,461
  Atea ASA 192,940 2,434
  Austevoll Seafood ASA 205,390 2,056
  Borregaard ASA 209,076 2,015
*,2 Aker Solutions ASA 347,110 1,909
* DNO ASA 1,532,444 1,862
*,^ Nordic Semiconductor ASA 301,671 1,512
* Wallenius Wilhelmsen Logistics 202,335 1,161
  Grieg Seafood ASA 115,503 1,097
*,^ Petroleum Geo-Services ASA 654,952 1,077
  Hoegh LNG Holdings Ltd. 106,827 846
  Norway Royal Salmon ASA 42,194 819
  Opera Software ASA 274,031 785
  Ocean Yield ASA 85,452 762
  Stolt-Nielsen Ltd. 52,924 746
*,^,2 BW LPG Ltd. 198,051 744
* Akastor ASA 262,980 607
*,^ Norwegian Air Shuttle ASA 21,010 595
*,^ REC Silicon ASA 3,791,821 496
      307,088
Portugal (0.3%)    
  Galp Energia SGPS SA 1,173,419 21,817
  EDP - Energias de Portugal SA 5,152,348 18,375
  Jeronimo Martins SGPS SA 550,488 10,002
* Banco Comercial Portugues SA 20,154,440 6,023
  Navigator Co. SA 615,329 3,138
  NOS SGPS SA 509,061 3,050
  EDP Renovaveis SA 348,155 2,879
  Sonae SGPS SA 2,300,685 2,754
  CTT-Correios de Portugal SA 385,129 2,267
  REN - Redes Energeticas Nacionais SGPS SA 613,185 1,947
  Corticeira Amorim SGPS SA 75,866 1,059
  Semapa-Sociedade de Investimento e Gestao 52,282 1,045
  Altri SGPS SA 135,467 865
  Mota-Engil SGPS SA 156,305 628
*,^ Banco BPI SA 373,014 504
  Sonaecom SGPS SA 77,921 209
* Banco Espirito Santo SA 8,371,877 12
      76,574

 

11


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
Spain (5.1%)    
  Banco Santander SA 36,007,342 244,108
  Banco Bilbao Vizcaya Argentaria SA 15,191,223 132,841
  Telefonica SA 10,012,347 104,985
  Iberdrola SA 12,699,882 102,629
  Industria de Diseno Textil SA 2,395,040 89,523
  Amadeus IT Group SA 941,750 63,897
* Repsol SA 2,633,050 49,342
  CaixaBank SA 8,184,519 38,291
^ Abertis Infraestructuras SA 1,414,240 30,589
2 Aena SME SA 145,580 26,710
  Banco de Sabadell SA 12,780,519 25,590
* Ferrovial SA 1,096,713 23,817
  Grifols SA 753,613 23,585
* ACS Actividades de Construccion y Servicios SA 559,333 22,049
  Red Electrica Corp. SA 978,935 21,676
  Endesa SA 725,766 16,612
  Gas Natural SDG SA 706,955 15,127
  Enagas SA 516,903 14,889
  Bankinter SA 1,556,028 14,684
  Grifols SA Preference Shares 580,668 13,639
* Bankia SA 2,586,043 12,341
  Merlin Properties Socimi SA 758,871 10,020
2 Cellnex Telecom SA 345,840 8,585
  Siemens Gamesa Renewable Energy SA 517,285 7,501
  Mapfre SA 2,269,928 7,424
  Distribuidora Internacional de Alimentacion SA 1,387,106 6,784
^ Bolsas y Mercados Espanoles SHMSF SA 175,138 6,016
  Inmobiliaria Colonial Socimi SA 582,868 5,549
  Viscofan SA 89,858 5,439
  Acciona SA 59,884 4,959
  Zardoya Otis SA 425,621 4,611
  Mediaset Espana Comunicacion SA 423,860 4,607
  Acerinox SA 317,912 4,567
  Prosegur Cia de Seguridad SA 596,724 4,554
  Grupo Catalana Occidente SA 104,708 4,408
  Applus Services SA 287,312 4,018
* Indra Sistemas SA 275,993 3,966
  Ebro Foods SA 148,827 3,580
  Hispania Activos Inmobiliarios SOCIMI SA 196,107 3,384
  Melia Hotels International SA 239,697 3,279
  CIE Automotive SA 106,617 3,168
  NH Hotel Group SA 482,564 3,051
*,2 Neinor Homes SA 146,911 3,024
  Axiare Patrimonio SOCIMI SA 148,857 2,792
*,2 Prosegur Cash SA 854,592 2,786
  Corp. Financiera Alba SA 46,046 2,696
  Cia de Distribucion Integral Logista Holdings SA 105,122 2,463
^ Tecnicas Reunidas SA 70,370 2,266
  Ence Energia y Celulosa SA 343,524 1,993
  Faes Farma SA 574,066 1,946
*,^ Sacyr SA 741,987 1,906
*,^ Obrascon Huarte Lain SA 334,113 1,874
  Atresmedia Corp. de Medios de Comunicacion SA 178,677 1,836
  Construcciones y Auxiliar de Ferrocarriles SA 42,914 1,767
* Banco Santander Rights (Temporary Line) 253,572 1,720
* Fomento de Construcciones y Contratas SA 161,851 1,716
2 Euskaltel SA 199,350 1,596
^ Almirall SA 139,294 1,348
*,^ Pharma Mar SA 342,303 1,308
*,^ Codere SA 2,401,565 1,062
  Papeles y Cartones de Europa SA 95,331 990
* Ferrovial SA Rights 1,096,713 528
*,^ Liberbank SA 892,751 413

 

12


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Liberbank SA Rights Exp. 11/10/2017 892,751 321
* Papeles y Cartones de Europa SA Rights 95,331 39
      1,234,784
Sweden (5.0%)    
  Nordea Bank AB 7,232,606 87,404
  Volvo AB Class B 3,553,289 70,377
  Atlas Copco AB Class A 1,430,481 62,729
  Swedbank AB Class A 2,386,290 59,222
  Hennes & Mauritz AB Class B 2,148,773 53,924
  Investor AB Class B 1,031,520 51,108
  Svenska Handelsbanken AB Class A 3,324,279 47,645
  Assa Abloy AB Class B 2,127,408 44,852
  Sandvik AB 2,443,453 44,602
  Telefonaktiebolaget LM Ericsson Class B 6,723,879 42,314
* Essity AB Class B 1,345,807 40,225
  Skandinaviska Enskilda Banken AB Class A 3,250,652 40,060
^ Atlas Copco AB Class B 859,505 34,121
  Hexagon AB Class B 568,560 29,153
^ Telia Co. AB 5,870,505 27,171
  Boliden AB 622,911 21,797
  SKF AB 863,587 20,069
  Electrolux AB Class B 511,978 18,097
  Alfa Laval AB 713,883 18,079
  Skanska AB Class B 809,597 17,753
  Kinnevik AB 528,258 17,328
  Swedish Match AB 409,906 15,442
  Trelleborg AB Class B 562,642 13,933
  Svenska Cellulosa AB SCA Class B 1,367,912 12,845
  Industrivarden AB Class A 473,095 12,832
  Securitas AB Class B 730,684 12,820
  Industrivarden AB 392,335 10,082
  Tele2 AB 792,244 10,077
  Getinge AB 508,031 10,000
  Castellum AB 616,508 9,893
* Lundin Petroleum AB 407,981 9,598
  Husqvarna AB 869,696 8,496
  Nibe Industrier AB Class B 847,941 8,479
  Elekta AB Class B 828,541 7,967
  BillerudKorsnas AB 401,367 6,908
  Loomis AB Class B 166,635 6,686
^ ICA Gruppen AB 177,315 6,539
  L E Lundbergforetagen AB Class B 83,765 6,538
  Fabege AB 299,936 6,333
  Com Hem Holding AB 417,180 6,263
^ Intrum Justitia AB 168,446 5,903
* Fastighets AB Balder Class B 221,140 5,756
  Indutrade AB 207,344 5,750
  Hexpol AB 568,116 5,746
2 Dometic Group AB 657,335 5,715
  Holmen AB 114,845 5,645
* Swedish Orphan Biovitrum AB 367,326 5,443
  AAK AB 64,838 5,240
2 Thule Group AB 231,394 5,176
  Saab AB Class B 95,523 4,880
* SSAB AB Class B 1,210,313 4,879
*,2 Ahlsell AB 729,836 4,831
  Modern Times Group MTG AB Class B 124,742 4,758
^ NCC AB Class B 218,470 4,714
  Peab AB 453,271 4,399
  Axfood AB 238,114 4,306
  JM AB 161,864 4,271
  Hemfosa Fastigheter AB 343,674 4,175
^ Wallenstam AB 435,451 4,067

 

13


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Hufvudstaden AB Class A 244,558 4,024
* Investment AB Latour Class B 284,834 3,957
  Lifco AB Class B 102,589 3,677
  Wihlborgs Fastigheter AB 146,472 3,478
* NetEnt AB 419,813 3,327
  Sweco AB Class B 155,201 3,319
  AF AB 155,434 3,202
  Kungsleden AB 443,082 3,162
2 Bravida Holding AB 452,253 3,088
2 Attendo AB 246,235 2,895
  Bonava AB Class B 189,664 2,762
  Pandox AB 148,176 2,701
*,^ SSAB AB Class A 539,469 2,648
  Vitrolife AB 27,673 2,209
  Ratos AB 457,803 2,197
  Avanza Bank Holding AB 57,025 2,149
* Betsson AB 267,794 2,101
2 Scandic Hotels Group AB 162,385 2,095
  Nobia AB 252,412 2,071
^ Mycronic AB 156,551 1,859
  Oriflame Holding AG 50,723 1,827
  Atrium Ljungberg AB 109,047 1,809
  Melker Schorling AB 25,875 1,786
* Bilia AB 197,060 1,766
  Concentric AB 103,532 1,739
^ Klovern AB 1,224,722 1,649
  Cloetta AB Class B 445,358 1,506
  Bure Equity AB 116,410 1,439
  Svenska Handelsbanken AB Class B 98,370 1,422
*,^ Fingerprint Cards AB Class B 567,515 1,403
  Clas Ohlson AB 80,143 1,386
  Investment AB Oresund 84,925 1,344
2 Resurs Holding AB 187,243 1,296
  Klovern AB Preference Shares 34,629 1,285
  Lindab International AB 150,461 1,240
  Mekonomen AB 55,165 1,114
  SAS AB Preference Shares 17,137 1,112
*,^ SAS AB 335,133 1,037
  SkiStar AB 41,131 899
*,^ Collector AB 84,600 893
* Haldex AB 79,846 887
*,^ Telefonaktiebolaget LM Ericsson Class A 83,021 524
  Hemfosa Fastigheter AB Preference Shares 20,993 451
  Skandinaviska Enskilda Banken AB 35,636 441
  Rezidor Hotel Group AB 117,822 422
  NCC AB Class A 8,920 192
  Sagax AB 37,614 136
  Bonava AB Class A 9,305 134
* International Petroleum Corp. 2
      1,213,475
Switzerland (12.2%)    
  Nestle SA 7,069,923 594,853
  Novartis AG 5,363,006 442,337
  Roche Holding AG 1,601,781 370,221
  UBS Group AG 7,912,764 134,621
  ABB Ltd. 4,393,310 114,731
  Cie Financiere Richemont SA 1,159,347 106,876
  Zurich Insurance Group AG 342,107 104,399
  Credit Suisse Group AG 5,813,567 91,615
  Swiss Re AG 705,740 66,417
  Givaudan SA 20,997 46,892
  Lonza Group AG 168,985 44,893
  LafargeHolcim Ltd. 677,377 38,248
  Geberit AG 82,499 37,352

 

14


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Sika AG 4,794 35,483
Adecco Group AG 377,976 29,988
Julius Baer Group Ltd. 494,600 29,254
SGS SA 11,174 27,595
Swatch Group AG (Bearer) 68,380 26,801
Swisscom AG 50,827 25,679
Swiss Life Holding AG 73,599 25,581
Partners Group Holding AG 37,603 25,291
LafargeHolcim Ltd. (Paris Shares) 415,132 23,396
Sonova Holding AG 115,367 20,827
Schindler Holding AG 91,558 20,748
Kuehne & Nagel International AG 114,544 20,013
* Actelion Ltd. 62,149 17,367
Baloise Holding AG 104,963 16,548
Chocoladefabriken Lindt & Spruengli AG (Regular Shares) 232 16,106
Clariant AG 623,554 15,689
Straumann Holding AG 22,207 15,505
Temenos Group AG 132,421 15,291
* Vifor Pharma AG 117,697 15,138
Chocoladefabriken Lindt & Spruengli AG (Participation Certificates) 2,358 13,650
Swiss Prime Site AG 159,623 13,630
Logitech International SA 324,914 11,619
Georg Fischer AG 9,255 11,403
ams AG 123,258 11,246
* Dufry AG 72,987 10,864
EMS-Chemie Holding AG 16,089 10,547
Roche Holding AG (Bearer) 40,966 9,520
Schindler Holding AG (Registered) 42,766 9,445
Flughafen Zurich AG 42,796 9,307
BB Biotech AG 126,306 8,073
PSP Swiss Property AG 90,853 7,997
Swatch Group AG (Registered) 104,781 7,898
Helvetia Holding AG 14,163 7,614
OC Oerlikon Corp. AG 446,340 7,161
2 VAT Group AG 54,914 7,149
dormakaba Holding AG 7,085 7,013
Barry Callebaut AG 4,365 6,820
2 Sunrise Communications Group AG 76,173 6,337
Aryzta AG 186,506 5,922
Cembra Money Bank AG 64,844 5,809
Bucher Industries AG 14,767 5,778
GAM Holding AG 367,718 5,732
Pargesa Holding SA 67,262 5,633
Tecan Group AG 25,880 5,474
Allreal Holding AG 31,353 5,240
DKSH Holding AG 60,356 5,063
Banque Cantonale Vaudoise 6,644 4,777
Belimo Holding AG 1,090 4,677
SFS Group AG 38,531 4,567
^ Panalpina Welttransport Holding AG 29,699 4,081
Forbo Holding AG 2,643 3,996
Valiant Holding AG 37,244 3,834
Sulzer AG 29,806 3,818
Mobimo Holding AG 14,491 3,662
* Idorsia Ltd. 176,797 3,484
Vontobel Holding AG 52,620 3,274
u-blox Holding AG 15,206 2,986
Daetwyler Holding AG 16,758 2,810
Schweiter Technologies AG 2,267 2,781
Emmi AG 4,354 2,718
Siegfried Holding AG 8,603 2,691
Inficon Holding AG 4,310 2,677
Conzzeta AG 2,655 2,608
St. Galler Kantonalbank AG 5,665 2,558

 

15


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  COSMO Pharmaceuticals NV 15,904 2,304
  Komax Holding AG 7,946 2,275
^ Burckhardt Compression Holding AG 7,567 2,254
*,^ Meyer Burger Technology AG 1,207,110 2,251
  VZ Holding AG 6,291 2,174
  Valora Holding AG 6,571 2,106
  Implenia AG 33,032 2,086
  Ascom Holding AG 87,115 1,994
*,^ Basilea Pharmaceutica AG 23,904 1,944
  Bobst Group SA 17,642 1,886
  Autoneum Holding AG 6,753 1,824
  Huber & Suhner AG 33,651 1,822
  Rieter Holding AG 7,769 1,817
  Interroll Holding AG 1,203 1,720
* Arbonia AG 96,914 1,695
  EFG International AG 161,969 1,482
  Bachem Holding AG 11,292 1,426
  Bossard Holding AG 5,742 1,357
^ Ypsomed Holding AG 7,746 1,349
  Bell Food Group AG 3,076 1,328
  Intershop Holding AG 2,693 1,323
  LEM Holding SA 1,010 1,322
  BKW AG 20,332 1,188
  Zehnder Group AG 28,952 1,062
  APG SGA SA 2,613 1,059
* Leonteq AG 15,740 988
  Kudelski SA 79,819 980
* Schmolz & Bickenbach AG 929,248 857
  Vetropack Holding AG 441 839
  ALSO Holding AG 5,925 802
  Swissquote Group Holding SA 17,508 608
  Plazza AG 1,617 376
* Alpiq Holding AG 5,520 354
      2,948,550
United Kingdom (28.3%)    
  HSBC Holdings plc 45,744,964 446,709
  British American Tobacco plc 5,052,272 326,429
  BP plc 43,930,643 297,969
  Royal Dutch Shell plc Class A 8,756,455 275,654
  Royal Dutch Shell plc Class B 8,546,723 275,184
  GlaxoSmithKline plc 11,018,091 197,747
  AstraZeneca plc 2,887,736 195,389
  Diageo plc 5,634,071 192,399
  Vodafone Group plc 60,750,078 173,767
  Unilever plc 2,688,686 152,380
  Lloyds Banking Group plc 162,673,933 147,454
  Prudential plc 5,894,760 144,690
  Rio Tinto plc 2,710,485 128,100
  Glencore plc 26,549,560 128,055
  Reckitt Benckiser Group plc 1,419,174 126,970
  Shire plc 2,029,726 99,976
  Barclays plc 38,721,795 95,555
  National Grid plc 7,843,312 94,414
  Imperial Brands plc 2,174,010 88,639
  BHP Billiton plc 4,734,005 85,713
* Compass Group plc 3,597,179 78,974
  BT Group plc 19,071,783 65,713
  Aviva plc 9,241,939 61,999
* Standard Chartered plc 6,136,297 61,117
  BAE Systems plc 7,248,264 57,098
  RELX NV 2,418,141 55,644
  WPP plc 2,822,283 49,896
  Rolls-Royce Holdings plc 3,744,218 48,387
  Anglo American plc 2,560,758 48,304

 

16


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Legal & General Group plc 13,460,744 47,726
Royal Dutch Shell plc Class A (Amsterdam Shares) 1,458,521 45,926
Tesco plc 18,593,096 44,802
Experian plc 2,113,051 44,519
CRH plc (Irish Shares) 1,135,535 42,733
SSE plc 2,274,659 41,777
Ferguson plc 576,372 40,306
Smith & Nephew plc 1,993,424 37,599
London Stock Exchange Group plc 711,690 35,541
Standard Life Aberdeen plc 6,176,229 35,243
Associated British Foods plc 791,036 35,011
* Sky plc 2,356,228 29,510
Ashtead Group plc 1,132,866 29,182
CRH plc 770,258 28,961
Centrica plc 12,726,909 28,702
Micro Focus International plc 804,885 28,271
3i Group plc 2,165,236 27,633
* Royal Bank of Scotland Group plc 7,318,724 27,494
Old Mutual plc 10,834,106 27,483
Carnival plc 407,723 26,881
Intertek Group plc 367,455 26,472
Persimmon plc 699,509 26,033
Burberry Group plc 975,874 24,648
Sage Group plc 2,459,273 24,344
InterContinental Hotels Group plc 433,542 24,019
Bunzl plc 761,895 23,734
2 Worldpay Group plc 4,260,980 22,970
Kingfisher plc 5,056,832 21,025
Next plc 321,030 20,985
Land Securities Group plc 1,625,400 20,876
Randgold Resources Ltd. 212,401 20,872
Whitbread plc 417,167 20,461
International Consolidated Airlines Group SA 2,396,900 20,244
Mondi plc 835,768 20,213
Barratt Developments plc 2,276,016 19,790
Taylor Wimpey plc 7,410,394 19,638
RSA Insurance Group plc 2,325,148 19,416
Johnson Matthey plc 431,427 19,369
Paddy Power Betfair plc 188,075 19,250
DCC plc 201,537 19,113
Smiths Group plc 898,845 18,755
Rentokil Initial plc 4,204,013 18,747
British Land Co. plc 2,340,191 18,685
St. James's Place plc 1,185,413 18,528
ITV plc 8,472,739 18,521
Pearson plc 1,870,876 17,470
Informa plc 1,874,451 17,350
United Utilities Group plc 1,556,067 17,216
Marks & Spencer Group plc 3,710,287 16,958
GKN plc 3,916,759 16,509
Segro plc 2,268,850 16,379
Smurfit Kappa Group plc 539,852 16,100
Croda International plc 288,582 16,038
Direct Line Insurance Group plc 3,138,394 15,490
Severn Trent plc 537,664 15,076
Coca-Cola HBC AG 443,988 15,006
DS Smith plc 2,145,508 14,838
Wm Morrison Supermarkets plc 4,924,024 14,660
Berkeley Group Holdings plc 290,267 14,424
John Wood Group plc 1,492,031 14,108
* Just Eat plc 1,309,767 13,569
Halma plc 861,780 13,522
Bellway plc 277,801 13,470
Weir Group plc 507,176 13,149

 

17


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  G4S plc 3,523,470 13,148
  Hammerson plc 1,813,341 12,623
  Melrose Industries plc 4,317,996 12,612
  Spirax-Sarco Engineering plc 167,560 12,573
  Meggitt plc 1,748,459 12,037
  Hiscox Ltd. 627,499 11,899
  Schroders plc 255,951 11,875
  J Sainsbury plc 3,672,660 11,827
  RPC Group plc 934,391 11,694
  Admiral Group plc 456,286 11,656
  Hargreaves Lansdown plc 554,710 11,652
  Rightmove plc 208,258 11,489
  Travis Perkins plc 568,356 11,473
  TUI AG 604,602 10,920
  Capita plc 1,502,516 10,464
  British American Tobacco plc ADR 161,443 10,397
  Royal Mail plc 2,078,530 10,329
  Antofagasta plc 797,286 10,105
* Cobham plc 5,447,495 10,054
  Booker Group plc 3,743,680 10,002
  Pennon Group plc 946,367 9,981
  Inchcape plc 960,256 9,967
  BBA Aviation plc 2,337,760 9,876
  IMI plc 608,324 9,871
2 Auto Trader Group plc 2,162,461 9,833
  Investec plc 1,432,126 9,800
  B&M European Value Retail SA 1,830,535 9,659
  Man Group plc 3,708,296 9,536
  Spectris plc 272,153 9,253
  Electrocomponents plc 996,118 9,187
  Tate & Lyle plc 1,056,849 9,079
  TP ICAP plc 1,255,311 9,076
  Phoenix Group Holdings 888,453 8,930
  easyJet plc 500,036 8,893
*,^ Metro Bank plc 186,076 8,786
* BTG plc 873,606 8,745
  Playtech plc 666,728 8,712
  Inmarsat plc 1,032,037 8,513
  UBM plc 909,436 8,496
* Paysafe Group plc 1,086,619 8,458
* CYBG plc 2,017,726 8,439
  GVC Holdings plc 661,382 8,235
  SSP Group plc 1,058,636 8,222
  Intermediate Capital Group plc 631,560 8,155
  Derwent London plc 228,242 8,112
* Indivior plc 1,639,723 8,092
2 Merlin Entertainments plc 1,605,951 8,078
  Beazley plc 1,182,531 7,933
2 ConvaTec Group plc 2,990,515 7,781
  Jupiter Fund Management plc 978,531 7,721
* Tullow Oil plc 3,145,818 7,612
  Howden Joinery Group plc 1,392,067 7,581
  Hays plc 3,040,782 7,527
  Fresnillo plc 421,182 7,284
  IG Group Holdings plc 835,492 7,250
  NMC Health plc 183,003 7,032
  Polymetal International plc 594,151 6,903
  Rotork plc 1,975,776 6,895
  UDG Healthcare plc 561,186 6,891
^ Mediclinic International plc 890,193 6,881
  Aggreko plc 552,118 6,871
  Ladbrokes Coral Group plc 4,036,651 6,830
  Shaftesbury plc 512,967 6,750
  William Hill plc 1,962,044 6,733

 

18


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  HomeServe plc 585,869 6,662
  WH Smith plc 244,238 6,640
  Close Brothers Group plc 348,551 6,428
  Saga plc 2,502,099 6,350
  Micro Focus International plc ADR 181,782 6,350
  NEX Group plc 742,384 6,248
  Babcock International Group plc 576,982 6,221
  Tritax Big Box REIT plc 3,109,726 6,084
  Great Portland Estates plc 731,831 6,045
  Britvic plc 590,806 5,939
  Victrex plc 185,686 5,912
^ Capital & Counties Properties plc 1,667,243 5,896
  Balfour Beatty plc 1,594,492 5,801
^ Intu Properties plc 2,017,692 5,792
* KAZ Minerals plc 530,508 5,728
  Dechra Pharmaceuticals plc 208,971 5,707
  Daily Mail & General Trust plc 605,499 5,577
*,2 Wizz Air Holdings plc 124,898 5,433
  Bodycote plc 435,629 5,418
  Grafton Group plc 492,198 5,378
  Dixons Carphone plc 2,271,008 5,231
  Thomas Cook Group plc 3,280,011 5,219
  Renishaw plc 77,833 5,121
  Moneysupermarket.com Group plc 1,177,344 5,080
  UNITE Group plc 540,973 5,054
  Greene King plc 692,716 4,978
2 Sophos Group plc 603,406 4,976
* BCA Marketplace plc 1,777,602 4,915
  AVEVA Group plc 146,343 4,903
  Domino's Pizza Group plc 1,092,670 4,871
^ Hikma Pharmaceuticals plc 314,574 4,862
  Bovis Homes Group plc 309,229 4,831
  Jardine Lloyd Thompson Group plc 272,810 4,722
  National Express Group plc 962,890 4,700
  Cranswick plc 112,114 4,586
  Centamin plc 2,447,233 4,529
  Lancashire Holdings Ltd. 453,747 4,528
  Ashmore Group plc 884,137 4,521
  Genus plc 139,144 4,345
  Pagegroup plc 697,391 4,332
  IWG plc 1,504,687 4,305
  Redrow plc 494,494 4,276
  Evraz plc 1,103,952 4,231
  Crest Nicholson Holdings plc 558,420 4,202
  Ultra Electronics Holdings plc 173,258 4,195
  Greencore Group plc 1,638,433 4,195
  QinetiQ Group plc 1,290,364 4,183
^ Provident Financial plc 335,715 4,155
  Essentra plc 586,762 4,148
  Paragon Banking Group plc 647,976 4,089
* Firstgroup plc 2,745,393 4,011
  Elementis plc 1,048,394 3,959
  Synthomer plc 607,543 3,951
  JD Sports Fashion plc 824,264 3,914
* Serco Group plc 2,525,271 3,911
  Cineworld Group plc 440,678 3,888
  BGEO Group plc 82,254 3,884
  Rathbone Brothers plc 112,938 3,843
  Diploma plc 267,457 3,831
  Greggs plc 223,327 3,779
  Vesuvius plc 474,608 3,703
*,^ Ocado Group plc 960,710 3,671
* Cairn Energy plc 1,305,050 3,665
  Senior plc 952,231 3,647

 

19


 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Savills plc 291,836 3,615
Dignity plc 112,278 3,615
Grainger plc 939,487 3,475
^ TalkTalk Telecom Group plc 1,216,204 3,449
LondonMetric Property plc 1,470,609 3,443
Big Yellow Group plc 330,379 3,414
Drax Group plc 913,040 3,369
2 Countryside Properties plc 703,343 3,320
Assura plc 4,087,312 3,281
Petrofac Ltd. 584,249 3,255
Workspace Group plc 266,027 3,128
SIG plc 1,356,247 3,106
2 ZPG plc 667,366 3,102
Hill & Smith Holdings plc 175,702 3,087
AA plc 1,353,961 3,080
2 John Laing Group plc 810,613 3,073
Galliford Try plc 186,706 3,026
NewRiver REIT plc 678,431 3,019
2 Ibstock plc 888,491 2,928
2 Hastings Group Holdings plc 698,947 2,924
Kier Group plc 211,074 2,914
Card Factory plc 697,177 2,908
Brewin Dolphin Holdings plc 615,816 2,891
Safestore Holdings plc 474,155 2,801
SuperGroup plc 113,401 2,792
Entertainment One Ltd. 742,102 2,784
J D Wetherspoon plc 166,000 2,744
* Sports Direct International plc 506,638 2,661
Fidessa Group plc 87,219 2,637
Just Group plc 1,287,176 2,635
Dairy Crest Group plc 324,140 2,613
Stobart Group Ltd. 690,779 2,593
Morgan Advanced Materials plc 620,512 2,588
2 McCarthy & Stone plc 1,211,782 2,575
2 Spire Healthcare Group plc 642,898 2,537
Virgin Money Holdings UK plc 647,620 2,509
Mitie Group plc 796,045 2,505
Vedanta Resources plc 207,441 2,446
Laird plc 1,108,392 2,400
Polypipe Group plc 435,191 2,386
Ted Baker plc 62,496 2,300
Ferrexpo plc 669,284 2,259
Computacenter plc 170,403 2,251
esure Group plc 628,282 2,241
Telecom Plus plc 136,957 2,219
Go-Ahead Group plc 94,026 2,210
F&C Commercial Property Trust Ltd. 1,166,780 2,210
Stagecoach Group plc 994,055 2,202
* Hunting plc 315,645 2,198
* Vectura Group plc 1,629,495 2,164
De La Rue plc 228,569 2,124
* Aldermore Group plc 527,268 2,108
Dunelm Group plc 215,539 2,096
* EI Group plc 1,156,193 2,065
St. Modwen Properties plc 405,401 2,049
Pets at Home Group plc 875,686 2,049
Fenner plc 444,650 2,037
Keller Group plc 163,520 2,034
Marston's plc 1,432,411 2,028
Chesnara plc 395,692 2,023
Halfords Group plc 457,394 2,007
RPS Group plc 504,538 1,971
OneSavings Bank plc 361,909 1,948
PZ Cussons plc 420,892 1,847

 

20


 

Vanguard® European Stock Index Fund        
Schedule of Investments        
October 31, 2017        
 
          Market
          Value
        Shares ($000)
  Restaurant Group plc     456,582 1,842
  Renewi plc     1,329,408 1,832
  Mitchells & Butlers plc     534,529 1,814
  Northgate plc     303,172 1,803
  NCC Group plc     579,193 1,769
  UK Commercial Property Trust Ltd.     1,488,781 1,730
  Hochschild Mining plc     568,991 1,666
  KCOM Group plc     1,156,977 1,651
  Debenhams plc     2,807,408 1,631
^ Hansteen Holdings plc     894,047 1,626
  Oxford Instruments plc     128,677 1,624
  888 Holdings plc     485,460 1,616
  N Brown Group plc     396,214 1,585
  Picton Property Income Ltd.     1,349,181 1,541
  Chemring Group plc     652,101 1,494
  International Personal Finance plc     553,224 1,483
  Devro plc     427,667 1,382
  Redefine International PLC     2,764,515 1,364
* Ophir Energy plc     1,572,557 1,363
* Imagination Technologies Group plc     563,258 1,351
  ITE Group plc     565,763 1,336
* Petra Diamonds Ltd.     1,232,617 1,260
* Allied Minds plc     541,538 1,257
  Rank Group plc     359,887 1,138
*,^ Premier Oil plc     1,169,818 1,058
  Lookers plc     721,882 1,006
* Nostrum Oil & Gas plc     195,016 975
  Helical plc     235,234 962
  Daejan Holdings plc     11,561 952
  Schroder REIT Ltd.     1,187,810 942
*,^ AO World plc     612,425 894
  Acacia Mining plc     363,501 870
  Gocompare.Com Group plc     585,022 791
* Premier Foods plc     1,508,161 785
  Soco International plc     506,802 784
* Jimmy Choo plc     247,371 756
  Foxtons Group plc     601,582 632
^ Carillion plc     983,413 594
* Countrywide plc     353,378 585
* Lamprell plc     498,818 490
2 CMC Markets plc     197,637 417
*,^ Interserve plc     328,850 319
*,3 Sole Realisation Co. plc     195
 
          6,847,740
 
Total Common Stocks (Cost $25,749,890)       23,998,004
 
 
    Coupon      
 
Temporary Cash Investments (2.1%)1        
Money Market Fund (2.0%)        
4,5 Vanguard Market Liquidity Fund 1.246%   4,819,471 481,995
 
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.1%)        
6 United States Cash Management Bill 1.048% 1/2/18 20,000 19,964
  United States Treasury Bill 1.018% 11/2/17 500 500
6 United States Treasury Bill 1.084% 2/1/18 500 499

 

21


 

Vanguard® European Stock Index Fund        
Schedule of Investments        
October 31, 2017        
 
      Face Market
    Maturity Amount Value
  Coupon Date ($000) ($000)
United States Treasury Bill 1.116% 2/22/18 5,000 4,982
        25,945
Total Temporary Cash Investments (Cost $508,004)       507,940
Total Investments (101.2%) (Cost $26,257,894)       24,505,944
Other Assets and Liabilities—Net (-1.2%)5,7       (294,063)
Net Assets (100%)       24,211,881

 

* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $362,832,000.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund's effective common stock and temporary cash investment positions represent 99.9% and 1.3%, respectively, of net
assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate value of these securities was $388,105,000,
representing 1.6% of net assets.
3 Security value determined using significant unobservable inputs.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
5 Includes $382,738,000 of collateral received for securities on loan.
6 Securities with a value of $12,427,000 have been segregated as initial margin for open futures contracts.
7 Cash of $6,190,000 has been segregated as collateral for open forward currency contracts.
ADR—American Depositary Receipt.
REIT—Real Estate Investment Trust.

22


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
 
Common Stocks (99.1%)1    
Australia (16.0%)    
Commonwealth Bank of Australia 1,934,572 115,079
Westpac Banking Corp. 3,794,325 96,108
Australia & New Zealand Banking Group Ltd. 3,276,345 75,187
National Australia Bank Ltd. 2,989,772 74,912
BHP Billiton Ltd. 3,585,431 73,820
CSL Ltd. 506,878 53,963
^ Wesfarmers Ltd. 1,262,948 40,453
Woolworths Ltd. 1,444,534 28,637
Macquarie Group Ltd. 342,905 25,869
^ Rio Tinto Ltd. 473,551 25,234
Transurban Group 2,287,340 21,263
^ Woodside Petroleum Ltd. 809,499 19,082
Scentre Group 5,704,288 17,589
Amcor Ltd. 1,288,392 15,637
South32 Ltd. 5,837,028 15,247
Suncorp Group Ltd. 1,436,694 14,954
Newcrest Mining Ltd. 840,939 14,378
AGL Energy Ltd. 732,324 14,179
Insurance Australia Group Ltd. 2,631,631 13,233
Brambles Ltd. 1,775,644 12,876
Aristocrat Leisure Ltd. 706,460 12,772
Westfield Corp. 2,128,662 12,687
Telstra Corp. Ltd. 4,649,889 12,620
QBE Insurance Group Ltd. 1,527,899 12,528
Goodman Group 1,950,907 12,509
AMP Ltd. 3,262,371 12,433
* Origin Energy Ltd. 1,956,404 11,915
Treasury Wine Estates Ltd. 820,636 9,851
Stockland 2,697,712 9,350
ASX Ltd. 214,130 8,860
Aurizon Holdings Ltd. 2,198,131 8,724
Cochlear Ltd. 63,031 8,491
Dexus 1,128,291 8,449
APA Group 1,239,528 8,135
GPT Group 2,010,076 7,849
LendLease Group 631,859 7,846
Sonic Healthcare Ltd. 467,922 7,815
Oil Search Ltd. 1,351,049 7,658
Caltex Australia Ltd. 291,645 7,658
Mirvac Group 4,137,528 7,648
James Hardie Industries plc 493,407 7,533
Vicinity Centres 3,640,351 7,399
Ramsay Health Care Ltd. 142,815 7,322
Boral Ltd. 1,311,664 7,198
Medibank Pvt Ltd. 3,042,245 7,161
* Santos Ltd. 1,987,256 6,867
Orica Ltd. 418,144 6,697
Sydney Airport 1,228,445 6,693
Challenger Ltd. 639,993 6,528
Computershare Ltd. 538,478 6,437
^ Fortescue Metals Group Ltd. 1,791,205 6,369
BlueScope Steel Ltd. 636,030 6,262
SEEK Ltd. 392,014 5,520
Incitec Pivot Ltd. 1,855,201 5,442
Alumina Ltd. 2,815,878 5,053
Qantas Airways Ltd. 1,009,798 4,766
Tatts Group Ltd. 1,439,209 4,601
Bendigo & Adelaide Bank Ltd. 526,441 4,592
Bank of Queensland Ltd. 440,308 4,508
Star Entertainment Grp Ltd. 934,116 4,119
CIMIC Group Ltd. 108,537 4,027

 

23


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Coca-Cola Amatil Ltd. 598,815 3,738
  Orora Ltd. 1,355,399 3,534
  Crown Resorts Ltd. 396,862 3,529
  Downer EDI Ltd. 656,498 3,523
  Link Administration Holdings Ltd. 545,317 3,443
  ALS Ltd. 571,610 3,432
  Iluka Resources Ltd. 465,750 3,356
  Tabcorp Holdings Ltd. 939,917 3,234
  REA Group Ltd. 58,327 3,234
  IOOF Holdings Ltd. 382,975 3,159
  Ansell Ltd. 164,540 3,029
  Macquarie Atlas Roads Group 657,271 3,002
^ Healthscope Ltd. 1,968,575 2,957
  Magellan Financial Group Ltd. 144,555 2,688
  AusNet Services 1,971,254 2,673
  Qube Holdings Ltd. 1,343,394 2,647
  Northern Star Resources Ltd. 661,717 2,631
  DuluxGroup Ltd. 455,047 2,570
  Adelaide Brighton Ltd. 531,508 2,530
^ Domino's Pizza Enterprises Ltd. 69,408 2,482
  carsales.com Ltd. 236,277 2,481
^,* WorleyParsons Ltd. 228,840 2,461
  nib holdings Ltd. 506,339 2,446
^ Metcash Ltd. 1,128,127 2,330
  Flight Centre Travel Group Ltd. 65,004 2,330
  Charter Hall Group 523,317 2,327
^ JB Hi-Fi Ltd. 132,038 2,318
  Fairfax Media Ltd. 2,653,221 2,235
* Whitehaven Coal Ltd. 771,073 2,204
  BT Investment Management Ltd. 264,233 2,186
  Investa Office Fund 626,756 2,152
  Mineral Resources Ltd. 161,178 2,151
  CSR Ltd. 581,969 2,117
  OZ Minerals Ltd. 334,571 2,066
  Evolution Mining Ltd. 1,148,602 2,063
^ Blackmores Ltd. 15,302 1,871
  Perpetual Ltd. 48,510 1,803
^ Harvey Norman Holdings Ltd. 616,805 1,787
  G8 Education Ltd. 499,080 1,743
  InvoCare Ltd. 133,666 1,738
  GrainCorp Ltd. Class A 265,562 1,730
^ Independence Group NL 557,793 1,714
  Corporate Travel Management Ltd. 90,909 1,675
^ TPG Telecom Ltd. 401,771 1,663
  Shopping Centres Australasia Property Group 901,001 1,624
  Regis Resources Ltd. 543,108 1,613
  Beach Energy Ltd. 2,150,678 1,609
^ Platinum Asset Management Ltd. 279,978 1,565
  Costa Group Holdings Ltd. 322,458 1,534
  Sims Metal Management Ltd. 146,195 1,482
  Primary Health Care Ltd. 564,032 1,478
  Nufarm Ltd. 211,083 1,469
  Vocus Group Ltd. 663,246 1,465
  Breville Group Ltd. 160,121 1,430
  BWP Trust 601,453 1,424
  Cleanaway Waste Management Ltd. 1,213,791 1,397
  Monadelphous Group Ltd. 107,422 1,397
^ IRESS Ltd. 153,694 1,386
  Bapcor Ltd. 330,382 1,377
  Cromwell Property Group 1,751,309 1,341
  Washington H Soul Pattinson & Co. Ltd. 103,490 1,324
^ Navitas Ltd. 358,507 1,311
^,* Galaxy Resources Ltd. 491,094 1,300
  Reliance Worldwide Corp. Ltd. 451,878 1,292

 

24


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  St. Barbara Ltd. 571,894 1,264
  Charter Hall Retail REIT 378,595 1,178
  Abacus Property Group 403,520 1,175
2 MYOB Group Ltd. 406,453 1,170
  Webjet Ltd. 130,297 1,149
  Bega Cheese Ltd. 194,175 1,094
* NEXTDC Ltd. 273,699 1,083
  ARB Corp. Ltd. 77,391 1,080
  Steadfast Group Ltd. 524,764 1,079
  Altium Ltd. 116,139 1,066
  Seven Group Holdings Ltd. 103,081 1,049
  Super Retail Group Ltd. 172,210 1,025
^ Premier Investments Ltd. 99,885 1,014
  Eclipx Group Ltd. 316,862 984
  Aveo Group 487,691 944
  Mantra Group Ltd. 313,913 938
  GUD Holdings Ltd. 101,984 933
  Pact Group Holdings Ltd. 206,097 915
* Saracen Mineral Holdings Ltd. 804,194 891
^,* Mayne Pharma Group Ltd. 1,670,279 877
  Sandfire Resources NL 194,454 856
  Viva Energy REIT 509,208 835
  Nine Entertainment Co. Holdings Ltd. 672,662 773
^,* Pilbara Minerals Ltd. 1,230,983 764
  Southern Cross Media Group Ltd. 883,884 759
  Sigma Healthcare Ltd. 1,289,920 746
  APN Outdoor Group Ltd. 206,326 739
^ Ardent Leisure Group 509,671 732
^ Automotive Holdings Group Ltd. 293,646 729
^,* Orocobre Ltd. 195,400 727
^,* Aconex Ltd. 185,037 721
  Aventus Retail Property Fund Ltd. 396,742 705
^,* Lynas Corp. Ltd. 5,102,414 705
^ SpeedCast International Ltd. 218,000 695
  Charter Hall Long Wale REIT 215,885 687
  Growthpoint Properties Australia Ltd. 266,368 679
^,* Syrah Resources Ltd. 260,011 673
^ IPH Ltd. 148,888 668
  McMillan Shakespeare Ltd. 54,902 663
^ Retail Food Group Ltd. 195,204 658
  Credit Corp. Group Ltd. 42,032 647
^,* Bellamy's Australia Ltd. 69,840 644
^ Western Areas Ltd. 301,154 642
  WiseTech Global Ltd. 71,623 640
  Technology One Ltd. 161,074 622
  Brickworks Ltd. 55,982 609
  Tassal Group Ltd. 187,087 604
  SmartGroup Corp. Ltd. 80,653 601
  Estia Health Ltd. 223,991 597
^ Myer Holdings Ltd. 1,012,692 593
* Nanosonics Ltd. 248,053 571
  National Storage REIT 499,349 564
^,* Australian Agricultural Co. Ltd. 485,893 547
^ Inghams Group Ltd. 197,395 537
  IDP Education Ltd. 123,732 531
  Ausdrill Ltd. 316,271 526
  GWA Group Ltd. 268,761 525
^ Blue Sky Alternative Investments Ltd. 47,112 508
  Genworth Mortgage Insurance Australia Ltd. 231,944 505
  Collins Foods Ltd. 116,649 495
  Resolute Mining Ltd. 628,300 493
  oOh!media Ltd. 143,835 483
  Folkestone Education Trust 224,778 482
^,* Gold Road Resources Ltd. 909,328 479

 

25


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Sirtex Medical Ltd. 44,947 471
  Australian Pharmaceutical Industries Ltd. 405,455 468
  Rural Funds Group 274,678 465
  Seven West Media Ltd. 891,866 462
  Sims Metal Management Ltd. ADR 43,541 440
^ Gateway Lifestyle 289,780 438
  Asaleo Care Ltd. 374,110 424
* Elders Ltd. 107,784 418
^ BWX Ltd. 75,062 417
  GDI Property Group 419,090 383
^ HT&E Ltd. 282,436 376
^ Japara Healthcare Ltd. 239,690 371
^ Regis Healthcare Ltd. 131,205 366
^,* Starpharma Holdings Ltd. 348,157 365
  Arena REIT 212,535 365
  Centuria Industrial REIT 184,915 364
^,* Infigen Energy 633,664 355
  Ingenia Communities Group 174,462 355
  MACA Ltd. 218,927 351
^ Greencross Ltd. 85,791 349
  Hotel Property Investments 145,043 349
^,* Mesoblast Ltd. 338,735 347
  RCR Tomlinson Ltd. 105,198 347
* Westgold Resources Ltd. 238,256 341
* Nufarm Ltd. 46,907 326
^ SG Fleet Group Ltd. 98,188 307
^ Newcrest Mining Ltd. ADR 16,929 289
^ Tox Free Solutions Ltd. 153,874 289
* Senex Energy Ltd. 1,086,130 288
^,* Perseus Mining Ltd. 1,146,194 279
* Cardno Ltd. 271,661 276
^ FlexiGroup Ltd. 245,057 276
^ Superloop Ltd. 141,860 273
^ SeaLink Travel Group Ltd. 79,058 260
^ Select Harvests Ltd. 68,875 248
^,* Ainsworth Game Technology Ltd. 136,392 238
* Village Roadshow Ltd. 82,625 237
  Virtus Health Ltd. 56,162 236
  WPP AUNZ Ltd. 292,686 206
  OFX Group Ltd. 183,877 197
  Cedar Woods Properties Ltd. 44,675 196
^,* Highfield Resources Ltd. 242,885 195
* AWE Ltd. 463,513 181
^ Mount Gibson Iron Ltd. 620,315 181
^,* Karoon Gas Australia Ltd. 195,153 180
^ RCG Corp. Ltd. 280,509 161
^,* Beadell Resources Ltd. 1,172,066 160
^,* Liquefied Natural Gas Ltd. 416,316 150
^ Vita Group Ltd. 146,019 145
  Cabcharge Australia Ltd. 113,459 144
^ Reject Shop Ltd. 37,835 135
^ iSentia Group Ltd. 166,786 127
^ ERM Power Ltd. 120,801 126
  Decmil Group Ltd. 118,524 115
^,* CSG Ltd. 204,418 92
* Cash Converters International Ltd. 317,679 87
^ Thorn Group Ltd. 142,543 87
*,3 Quintis Ltd. 377,075 85
  NZME Ltd. 118,232 74
*,3 Paladin Energy Ltd. 1,369,635 49
^,*,3 ACN 004 410 833 Ltd. 2,773,644 47
^,*,3 Ten Network Holdings Ltd. 270,457 33
*,3 DSHE Holdings Ltd. 147,770

 

26


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
3 BGP Holdings PLC 15,642,708
      1,293,621
Hong Kong (8.4%)    
  AIA Group Ltd. 13,495,712 101,697
  Hong Kong Exchanges & Clearing Ltd. 1,367,664 38,109
^ CK Hutchison Holdings Ltd. 2,993,059 38,017
  Sun Hung Kai Properties Ltd. 1,585,474 25,937
* CK Asset Holdings Ltd. 3,007,498 24,751
  Link REIT 2,479,798 20,848
  Hang Seng Bank Ltd. 807,852 19,148
  BOC Hong Kong Holdings Ltd. 4,003,759 19,079
  CLP Holdings Ltd. 1,824,360 18,568
  Hong Kong & China Gas Co. Ltd. 9,043,611 17,143
  Galaxy Entertainment Group Ltd. 2,358,062 16,080
  Jardine Matheson Holdings Ltd. 231,252 14,814
  AAC Technologies Holdings Inc. 767,257 14,069
  Power Assets Holdings Ltd. 1,473,707 12,776
  Sands China Ltd. 2,675,936 12,624
  Wharf Holdings Ltd. 1,352,615 12,320
2 WH Group Ltd. 9,364,933 9,490
  Hongkong Land Holdings Ltd. 1,296,147 9,401
  New World Development Co. Ltd. 6,145,156 9,162
  MTR Corp. Ltd. 1,558,186 9,034
  Jardine Strategic Holdings Ltd. 204,151 8,563
  China Mengniu Dairy Co. Ltd. 3,010,500 8,343
  Techtronic Industries Co. Ltd. 1,397,156 8,202
  Henderson Land Development Co. Ltd. 1,187,687 7,751
  Wheelock & Co. Ltd. 925,668 6,449
  CK Infrastructure Holdings Ltd. 692,813 6,032
  Samsonite International SA 1,436,897 5,999
  Sino Land Co. Ltd. 3,386,443 5,837
  Bank of East Asia Ltd. 1,308,732 5,743
  Swire Pacific Ltd. Class A 561,752 5,551
  Hang Lung Properties Ltd. 2,261,841 5,194
  Want Want China Holdings Ltd. 6,319,220 5,174
^,* Semiconductor Manufacturing International Corp. 3,227,221 4,952
  ASM Pacific Technology Ltd. 302,336 4,411
  Wynn Macau Ltd. 1,634,029 4,195
  Minth Group Ltd. 766,783 4,142
  Swire Properties Ltd. 1,196,235 4,042
  Hang Lung Group Ltd. 991,920 3,485
  Hysan Development Co. Ltd. 715,726 3,458
  Tingyi Cayman Islands Holding Corp. 2,147,900 3,387
  Li & Fung Ltd. 6,610,213 3,331
  NWS Holdings Ltd. 1,602,887 3,244
  Yue Yuen Industrial Holdings Ltd. 823,658 3,155
^ Kingston Financial Group Ltd. 4,019,426 3,103
  Kerry Properties Ltd. 655,590 2,950
  Dairy Farm International Holdings Ltd. 332,801 2,722
  VTech Holdings Ltd. 184,050 2,617
  PCCW Ltd. 4,696,715 2,590
  Hopewell Holdings Ltd. 668,460 2,567
  Sun Art Retail Group Ltd. 2,535,731 2,563
  Melco International Development Ltd. 905,274 2,481
  Shangri-La Asia Ltd. 1,205,928 2,401
  Xinyi Glass Holdings Ltd. 2,154,640 2,088
  First Pacific Co. Ltd. 2,735,939 2,085
  Orient Overseas International Ltd. 213,910 2,060
  Vitasoy International Holdings Ltd. 888,304 2,054
  PRADA SPA 593,404 2,047
  MGM China Holdings Ltd. 857,336 1,934
  Fortune REIT 1,550,833 1,879
  SJM Holdings Ltd. 2,154,639 1,852
  Swire Pacific Ltd. Class B 1,025,686 1,773

 

27


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Nexteer Automotive Group Ltd. 904,211 1,771
  Great Eagle Holdings Ltd. 299,733 1,650
  Champion REIT 2,251,900 1,625
  Johnson Electric Holdings Ltd. 395,519 1,596
^,* Cathay Pacific Airways Ltd. 923,864 1,580
  Man Wah Holdings Ltd. 1,727,052 1,560
  United Co. RUSAL plc 2,337,339 1,509
  Luk Fook Holdings International Ltd. 355,406 1,503
  NagaCorp Ltd. 1,792,972 1,449
  Haitong International Securities Group Ltd. 2,516,891 1,427
  IGG Inc. 1,039,628 1,396
  SITC International Holdings Co. Ltd. 1,420,586 1,370
  Xinyi Solar Holdings Ltd. 3,952,001 1,369
2 BOC Aviation Ltd. 237,125 1,275
^,* MMG Ltd. 2,808,286 1,273
  Chow Tai Fook Jewellery Group Ltd. 1,195,818 1,250
  Dah Sing Financial Holdings Ltd. 183,860 1,236
* Esprit Holdings Ltd. 2,017,697 1,221
^ Value Partners Group Ltd. 1,199,665 1,190
  China Travel International Investment Hong Kong Ltd. 3,135,268 1,162
  Television Broadcasts Ltd. 301,847 1,142
  Uni-President China Holdings Ltd. 1,349,038 1,128
  Cafe de Coral Holdings Ltd. 346,447 1,066
  FIH Mobile Ltd. 3,279,581 1,030
  L'Occitane International SA 535,123 1,017
  Towngas China Co. Ltd. 1,215,140 997
  Shui On Land Ltd. 4,023,566 996
  Dah Sing Banking Group Ltd. 445,956 987
  HKBN Ltd. 958,157 973
  Shun Tak Holdings Ltd. 2,149,370 926
  Kerry Logistics Network Ltd. 656,611 905
* Pacific Basin Shipping Ltd. 3,923,236 896
  Shougang Fushan Resources Group Ltd. 4,057,281 875
^ China Goldjoy Group Ltd. 11,025,407 848
^,* KuangChi Science Ltd. 2,188,600 831
  Giordano International Ltd. 1,468,590 830
  Guotai Junan International Holdings Ltd. 2,592,336 829
  K Wah International Holdings Ltd. 1,431,843 823
  Yuexiu REIT 1,267,354 799
* Global Brands Group Holding Ltd. 6,517,747 760
  Sunlight REIT 1,037,089 703
* Freeman FinTech Corp. Ltd. 11,916,762 696
* China Baoli Technologies Holdings Ltd. 38,500,000 695
^,*,3 Brightoil Petroleum Holdings Ltd. 3,287,379 632
  Stella International Holdings Ltd. 386,715 630
  Hopewell Highway Infrastructure Ltd. 1,010,695 627
  Lifestyle International Holdings Ltd. 454,907 624
3 TCC International Holdings Ltd. 1,341,982 623
^,* Panda Green Energy Group Ltd. 4,086,273 618
  Gemdale Properties & Investment Corp. Ltd. 5,945,080 610
* Lai Sun Development Co. Ltd. 318,637 576
  Far East Consortium International Ltd. 1,005,493 549
  Chow Sang Sang Holdings International Ltd. 249,922 545
  Huabao International Holdings Ltd. 825,071 535
^ Truly International Holdings Ltd. 1,323,603 513
  Pacific Textiles Holdings Ltd. 484,697 510
  Prosperity REIT 1,175,661 502
  HKR International Ltd. 753,630 481
* GCL New Energy Holdings Ltd. 6,003,422 439
  Goodbaby International Holdings Ltd. 802,975 439
  Road King Infrastructure Ltd. 264,814 435
  SmarTone Telecommunications Holdings Ltd. 347,235 432
  CP Pokphand Co. Ltd. 5,304,204 429
  China Silver Group Ltd. 1,202,976 415

 

28


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Hutchison Telecommunications Hong Kong Holdings Ltd. 1,132,301 406
* United Laboratories International Holdings Ltd. 461,873 402
  Microport Scientific Corp. 404,219 399
  Dynam Japan Holdings Co. Ltd. 251,944 395
^,* China Harmony New Energy Auto Holding Ltd. 661,615 391
^ HC International Inc. 491,607 388
  Pou Sheng International Holdings Ltd. 2,074,253 380
  CITIC Telecom International Holdings Ltd. 1,316,470 376
  SA Sa International Holdings Ltd. 1,030,953 374
  Canvest Environmental Protection Group Co. Ltd. 663,675 370
  Emperor Capital Group Ltd. 4,205,145 362
^ Town Health International Medical Group Ltd. 3,721,659 358
  Sun Hung Kai & Co. Ltd. 555,182 357
* China Oceanwide Holdings Ltd. 4,275,081 356
^,*,2 IMAX China Holding Inc. 114,175 354
  Texwinca Holdings Ltd. 585,037 353
  Nan Hai Corp. Ltd. 11,392,146 345
* BEP International Holdings Ltd. 14,420,768 337
* COFCO Meat Holdings Ltd. 1,633,007 329
  Singamas Container Holdings Ltd. 1,569,323 326
  Chong Hing Bank Ltd. 154,236 316
2 Regina Miracle International Holdings Ltd. 315,395 303
* NewOcean Energy Holdings Ltd. 1,179,858 301
^,* Digital Domain Holdings Ltd. 10,358,031 299
  Spring REIT 666,427 293
  Ju Teng International Holdings Ltd. 818,334 292
^ China LNG Group Ltd. 1,674,344 279
^,* Macau Legend Development Ltd. 1,665,954 267
* G-Resources Group Ltd. 20,033,198 264
  Liu Chong Hing Investment Ltd. 151,145 260
^,* Convoy Global Holdings Ltd. 10,710,141 260
* Beijing Enterprises Medical & Health Group Ltd. 4,842,818 258
^,* Sino Oil And Gas Holdings Ltd. 12,760,097 247
  China Aerospace International Holdings Ltd. 1,783,189 224
  Parkson Retail Group Ltd. 1,415,650 216
  Lee's Pharmaceutical Holdings Ltd. 236,812 212
* China Strategic Holdings Ltd. 13,420,800 200
^,* China Financial International Investments Ltd. 6,670,113 197
* BOE Varitronix Ltd. 240,699 176
* China LotSynergy Holdings Ltd. 6,646,914 167
* CST Group Ltd. 24,009,916 151
^,* Honghua Group Ltd. 1,524,517 147
^ EVA Precision Industrial Holdings Ltd. 1,043,049 145
* Lifestyle China Group Ltd. 433,899 145
2 CGN New Energy Holdings Co. Ltd. 962,897 144
* Hong Kong Television Network Ltd. 388,142 139
  Shenwan Hongyuan HK Ltd. 378,136 137
* Mei Ah Entertainment Group Ltd. 3,025,022 134
* Technovator International Ltd. 409,938 128
* China Medical & HealthCare Group Ltd. 3,293,039 121
^,* Good Resources Holdings Ltd. 2,247,470 118
* Future World Financial Holdings Ltd. 5,633,507 114
* New Sports Group Ltd. 20,587,959 114
* Xinchen China Power Holdings Ltd. 744,362 110
^,* Anton Oilfield Services Group 906,022 108
^,* Summit Ascent Holdings Ltd. 774,173 106
* New World Department Store China Ltd. 479,820 106
  Emperor Watch & Jewellery Ltd. 1,924,532 95
^,* Qianhai Health Holdings Ltd. 6,485,080 93
  Yip's Chemical Holdings Ltd. 238,801 90
  TPV Technology Ltd. 526,218 90
^,* China Ocean Industry Group Ltd. 8,769,318 76
* Tou Rong Chang Fu Group Ltd. 4,020,486 72
^,* Vision Fame International Holding Ltd. 1,380,977 71

 

29


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Sunshine Oilsands Ltd. 1,664,106 58
* Silver Base Group Holdings Ltd. 532,160 56
AMVIG Holdings Ltd. 186,000 53
* Yanchang Petroleum International Ltd. 2,690,000 48
Henderson Investment Ltd. 518,863 45
* Sincere Watch Hong Kong Ltd. 1,710,000 36
* Suncorp Technologies Ltd. 6,350,000 33
* China Healthwise Holdings Ltd. 1,930,000 31
* SOCAM Development Ltd. 128,000 30
* 13 Holdings Ltd. 525,051 24
* China Huarong Energy Co. Ltd. 507,800 23
* I-CABLE Communications Ltd. 188,311 6
SEA Holdings Ltd. 5,408 6
    681,393
Japan (58.3%)    
Toyota Motor Corp. 2,922,870 181,294
Mitsubishi UFJ Financial Group Inc. 14,369,872 97,473
SoftBank Group Corp. 950,085 84,199
Honda Motor Co. Ltd. 1,989,386 62,342
Sumitomo Mitsui Financial Group Inc. 1,489,588 59,677
Sony Corp. 1,410,439 59,005
Keyence Corp. 100,733 55,929
KDDI Corp. 2,036,966 54,270
Mizuho Financial Group Inc. 28,315,370 51,446
FANUC Corp. 217,468 50,849
Takeda Pharmaceutical Co. Ltd. 854,924 48,205
Shin-Etsu Chemical Co. Ltd. 454,650 47,948
Nintendo Co. Ltd. 120,095 46,592
Japan Tobacco Inc. 1,335,869 44,218
Canon Inc. 1,148,011 43,127
Hitachi Ltd. 5,165,644 41,136
East Japan Railway Co. 415,345 40,280
Mitsubishi Electric Corp. 2,207,314 37,775
Central Japan Railway Co. 202,652 36,811
Nippon Telegraph & Telephone Corp. 747,743 36,152
Panasonic Corp. 2,378,835 35,919
NTT DOCOMO Inc. 1,447,329 35,053
Seven & i Holdings Co. Ltd. 863,349 34,797
Nidec Corp. 260,933 34,700
Tokio Marine Holdings Inc. 780,424 33,642
Mitsubishi Corp. 1,432,121 33,537
Murata Manufacturing Co. Ltd. 212,493 33,396
Bridgestone Corp. 698,028 33,345
Komatsu Ltd. 1,019,637 33,317
Recruit Holdings Co. Ltd. 1,335,712 32,749
Daikin Industries Ltd. 295,573 32,664
Kao Corp. 539,425 32,600
Astellas Pharma Inc. 2,306,801 30,701
Tokyo Electron Ltd. 173,784 30,600
Denso Corp. 546,303 30,087
Mitsui & Co. Ltd. 1,870,657 27,937
ITOCHU Corp. 1,576,992 27,624
Daiwa House Industry Co. Ltd. 726,970 26,646
Suzuki Motor Corp. 458,247 25,100
Mitsui Fudosan Co. Ltd. 1,059,360 24,727
SMC Corp. 64,429 24,648
ORIX Corp. 1,429,011 24,570
Dai-ichi Life Holdings Inc. 1,264,795 24,155
Mitsubishi Estate Co. Ltd. 1,318,959 23,919
Subaru Corp. 683,348 23,609
Kubota Corp. 1,247,705 23,476
Kyocera Corp. 347,492 23,243
Hoya Corp. 421,346 22,892
Kirin Holdings Co. Ltd. 932,501 22,384

 

30


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Nomura Holdings Inc. 3,742,114 21,415
Nissan Motor Co. Ltd. 2,146,930 20,880
Nippon Steel & Sumitomo Metal Corp. 869,389 20,844
Asahi Group Holdings Ltd. 426,741 19,484
Otsuka Holdings Co. Ltd. 466,021 19,468
Fast Retailing Co. Ltd. 57,230 19,148
MS&AD Insurance Group Holdings Inc. 557,568 18,942
JXTG Holdings Inc. 3,545,459 18,308
Sumitomo Corp. 1,245,201 18,011
Shiseido Co. Ltd. 433,838 17,895
FUJIFILM Holdings Corp. 435,587 17,819
Japan Post Holdings Co. Ltd. 1,506,120 17,423
Shionogi & Co. Ltd. 321,907 17,331
Toray Industries Inc. 1,692,478 17,131
Oriental Land Co. Ltd. 212,690 17,012
Fujitsu Ltd. 2,167,827 16,893
Daiichi Sankyo Co. Ltd. 730,449 16,777
Asahi Kasei Corp. 1,382,516 16,742
Sumitomo Mitsui Trust Holdings Inc. 420,736 16,606
Sompo Holdings Inc. 410,220 16,489
Secom Co. Ltd. 215,597 16,416
Eisai Co. Ltd. 294,934 16,415
Sumitomo Realty & Development Co. Ltd. 480,520 16,094
Nitto Denko Corp. 171,547 15,952
Mitsubishi Chemical Holdings Corp. 1,447,846 15,123
West Japan Railway Co. 205,580 14,497
Terumo Corp. 342,066 14,254
Sumitomo Electric Industries Ltd. 834,603 14,209
Daito Trust Construction Co. Ltd. 80,422 14,061
Resona Holdings Inc. 2,445,524 13,219
Taisei Corp. 236,790 13,120
Mitsubishi Heavy Industries Ltd. 319,039 12,483
Omron Corp. 220,289 12,344
JFE Holdings Inc. 573,604 12,327
MEIJI Holdings Co. Ltd. 149,999 12,262
* Toshiba Corp. 4,237,582 12,251
Sekisui House Ltd. 648,925 12,134
Aeon Co. Ltd. 783,938 12,126
Nitori Holdings Co. Ltd. 82,537 11,995
Shimano Inc. 87,333 11,951
Sumitomo Chemical Co. Ltd. 1,685,230 11,844
Olympus Corp. 315,280 11,733
Marubeni Corp. 1,747,843 11,719
Tokyo Gas Co. Ltd. 466,434 11,636
Makita Corp. 272,715 11,429
Daiwa Securities Group Inc. 1,822,476 11,426
Chugai Pharmaceutical Co. Ltd. 239,146 11,402
Ajinomoto Co. Inc. 566,034 11,387
Ono Pharmaceutical Co. Ltd. 493,501 11,311
Toyota Industries Corp. 181,672 11,182
Kansai Electric Power Co. Inc. 806,516 11,045
Sysmex Corp. 160,011 10,951
Inpex Corp. 1,017,132 10,891
Japan Exchange Group Inc. 603,784 10,885
Kajima Corp. 1,024,085 10,621
T&D Holdings Inc. 677,055 10,563
Dentsu Inc. 245,073 10,483
Aisin Seiki Co. Ltd. 201,552 10,441
Sumitomo Metal Mining Co. Ltd. 263,963 10,414
TDK Corp. 133,727 10,275
Chubu Electric Power Co. Inc. 787,802 10,160
Hankyu Hanshin Holdings Inc. 252,435 9,842
Obayashi Corp. 750,529 9,827
Unicharm Corp. 431,734 9,824

 

31


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Rakuten Inc. 892,265 9,548
Yakult Honsha Co. Ltd. 113,738 9,404
Yamaha Motor Co. Ltd. 311,844 9,359
Rohm Co. Ltd. 99,619 9,273
Mazda Motor Corp. 631,232 9,112
Toyota Tsusho Corp. 247,207 8,991
Yaskawa Electric Corp. 247,620 8,872
Isuzu Motors Ltd. 602,754 8,803
MINEBEA MITSUMI Inc. 471,799 8,650
Koito Manufacturing Co. Ltd. 127,221 8,531
Osaka Gas Co. Ltd. 438,665 8,497
Tokyu Corp. 552,401 8,356
Asahi Glass Co. Ltd. 212,924 8,345
MISUMI Group Inc. 304,311 8,337
Sekisui Chemical Co. Ltd. 409,560 8,267
Yamato Holdings Co. Ltd. 399,400 8,166
NTT Data Corp. 697,757 8,127
LIXIL Group Corp. 294,402 8,108
Dai Nippon Printing Co. Ltd. 329,880 7,907
TOTO Ltd. 161,066 7,888
Kintetsu Group Holdings Co. Ltd. 203,054 7,808
Kuraray Co. Ltd. 396,367 7,806
Ryohin Keikaku Co. Ltd. 26,190 7,726
NEC Corp. 279,059 7,657
Nikon Corp. 395,604 7,513
Shimizu Corp. 633,548 7,457
Bandai Namco Holdings Inc. 216,343 7,414
Yamaha Corp. 188,661 7,413
Seiko Epson Corp. 310,213 7,403
NSK Ltd. 508,710 7,325
Disco Corp. 30,671 7,107
* Tokyo Electric Power Co. Holdings Inc. 1,723,307 7,074
Ricoh Co. Ltd. 762,104 7,072
Concordia Financial Group Ltd. 1,332,533 7,057
Tohoku Electric Power Co. Inc. 530,840 6,964
* Renesas Electronics Corp. 534,364 6,909
Tosoh Corp. 318,173 6,866
Trend Micro Inc. 126,922 6,806
Kikkoman Corp. 195,699 6,717
M3 Inc. 224,494 6,696
Odakyu Electric Railway Co. Ltd. 337,256 6,597
Tobu Railway Co. Ltd. 222,299 6,522
NH Foods Ltd. 224,520 6,458
Yahoo Japan Corp. 1,444,488 6,458
Santen Pharmaceutical Co. Ltd. 403,807 6,417
Brother Industries Ltd. 263,557 6,413
Alps Electric Co. Ltd. 208,720 6,388
Suntory Beverage & Food Ltd. 138,214 6,360
Shimadzu Corp. 302,340 6,286
Mitsui Chemicals Inc. 203,188 6,265
Stanley Electric Co. Ltd. 169,249 6,248
Nippon Paint Holdings Co. Ltd. 173,679 6,127
* Nexon Co. Ltd. 225,157 6,057
Toppan Printing Co. Ltd. 585,430 5,956
Nissan Chemical Industries Ltd. 157,842 5,887
Oji Holdings Corp. 1,004,409 5,887
Kyushu Electric Power Co. Inc. 515,278 5,877
NGK Insulators Ltd. 295,405 5,849
Kyushu Railway Co. 182,670 5,838
Japan Post Bank Co. Ltd. 454,403 5,755
Shizuoka Bank Ltd. 590,399 5,746
Sumco Corp. 260,552 5,739
Keikyu Corp. 276,104 5,711
Kawasaki Heavy Industries Ltd. 162,855 5,682

 

32


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Mitsubishi Motors Corp. 704,191 5,639
  Keio Corp. 128,825 5,620
  Chiba Bank Ltd. 733,066 5,619
  Start Today Co. Ltd. 202,168 5,537
  Don Quijote Holdings Co. Ltd. 131,352 5,510
  Kansai Paint Co. Ltd. 214,286 5,508
  Hoshizaki Corp. 57,956 5,485
  Mitsubishi Tanabe Pharma Corp. 247,502 5,447
  Mitsubishi Materials Corp. 142,868 5,432
  Lion Corp. 279,921 5,386
  Taiheiyo Cement Corp. 134,736 5,385
  Kyowa Hakko Kirin Co. Ltd. 290,802 5,368
  Hirose Electric Co. Ltd. 35,568 5,351
  Nippon Express Co. Ltd. 83,651 5,308
  Sumitomo Heavy Industries Ltd. 126,303 5,307
  Yokogawa Electric Corp. 278,764 5,295
  Nabtesco Corp. 133,121 5,288
  FamilyMart UNY Holdings Co. Ltd. 93,033 5,288
  Aozora Bank Ltd. 132,421 5,183
  IHI Corp. 143,865 5,182
  Nisshin Seifun Group Inc. 293,805 5,163
  Konami Holdings Corp. 105,806 5,153
  Mitsubishi Gas Chemical Co. Inc. 209,990 5,137
^,* Sharp Corp. 161,108 5,125
  Obic Co. Ltd. 77,088 5,103
  Daifuku Co. Ltd. 104,164 5,079
  Nomura Research Institute Ltd. 119,413 5,063
  Fuji Electric Co. Ltd. 697,001 5,050
  Nissin Foods Holdings Co. Ltd. 79,325 4,995
  Tsuruha Holdings Inc. 40,031 4,963
  ANA Holdings Inc. 128,468 4,938
  USS Co. Ltd. 242,657 4,905
  NGK Spark Plug Co. Ltd. 214,287 4,890
  THK Co. Ltd. 131,099 4,782
  Idemitsu Kosan Co. Ltd. 162,908 4,762
  Persol Holdings Co. Ltd. 191,611 4,751
  Mebuki Financial Group Inc. 1,134,470 4,733
  Electric Power Development Co. Ltd. 186,908 4,710
  Keisei Electric Railway Co. Ltd. 155,652 4,702
  Hamamatsu Photonics KK 144,939 4,693
  Showa Denko KK 139,459 4,673
  Haseko Corp. 320,291 4,651
  Nagoya Railroad Co. Ltd. 205,750 4,622
  Coca-Cola Bottlers Japan Inc. 131,499 4,601
  Amada Holdings Co. Ltd. 368,669 4,581
  Hisamitsu Pharmaceutical Co. Inc. 82,603 4,548
^ Advantest Corp. 196,959 4,499
  Suruga Bank Ltd. 197,283 4,492
  Japan Airlines Co. Ltd. 130,940 4,482
  Isetan Mitsukoshi Holdings Ltd. 406,213 4,428
  Konica Minolta Inc. 503,241 4,415
  Toho Co. Ltd. (Tokyo Shares) 132,099 4,377
  Fukuoka Financial Group Inc. 843,623 4,354
  Furukawa Electric Co. Ltd. 71,473 4,351
  Seibu Holdings Inc. 241,704 4,321
  Yamada Denki Co. Ltd. 808,473 4,300
  Hulic Co. Ltd. 410,738 4,237
  Bank of Kyoto Ltd. 80,335 4,219
  J Front Retailing Co. Ltd. 284,238 4,219
  Teijin Ltd. 199,306 4,218
  JTEKT Corp. 254,210 4,212
  Pigeon Corp. 118,595 4,209
  Daicel Corp. 333,179 4,160
  Sojitz Corp. 1,371,265 4,139

 

33


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
JSR Corp. 210,668 4,084
Nippon Shinyaku Co. Ltd. 57,460 4,072
Ebara Corp. 112,430 4,046
JGC Corp. 239,414 4,016
Hitachi Construction Machinery Co. Ltd. 116,437 3,994
Toyo Suisan Kaisha Ltd. 103,275 3,973
Hino Motors Ltd. 308,656 3,973
Kobayashi Pharmaceutical Co. Ltd. 68,614 3,967
Kurita Water Industries Ltd. 123,164 3,914
Otsuka Corp. 57,387 3,912
Alfresa Holdings Corp. 204,400 3,906
Taisho Pharmaceutical Holdings Co. Ltd. 51,210 3,900
Kose Corp. 32,066 3,900
Tokyu Fudosan Holdings Corp. 594,658 3,899
Sumitomo Rubber Industries Ltd. 204,464 3,882
* Nippon Yusen KK 183,359 3,878
Ulvac Inc. 53,975 3,824
Hakuhodo DY Holdings Inc. 274,543 3,798
Credit Saison Co. Ltd. 187,525 3,776
Mitsui OSK Lines Ltd. 122,765 3,759
Casio Computer Co. Ltd. 250,760 3,700
Sohgo Security Services Co. Ltd. 76,789 3,700
Nippon Electric Glass Co. Ltd. 89,966 3,673
Ube Industries Ltd. 118,000 3,625
Marui Group Co. Ltd. 235,558 3,605
Chugoku Electric Power Co. Inc. 322,367 3,594
Lawson Inc. 53,871 3,518
SBI Holdings Inc. 221,472 3,495
Square Enix Holdings Co. Ltd. 86,454 3,486
Nihon M&A Center Inc. 72,006 3,447
Rinnai Corp. 40,036 3,430
DIC Corp. 92,319 3,427
Asahi Intecc Co. Ltd. 58,538 3,377
CyberAgent Inc. 109,053 3,377
Keihan Holdings Co. Ltd. 109,543 3,347
SCREEN Holdings Co. Ltd. 42,617 3,340
Sony Financial Holdings Inc. 200,510 3,331
Denka Co. Ltd. 99,571 3,327
Air Water Inc. 172,969 3,320
MediPal Holdings Corp. 178,251 3,310
Suzuken Co. Ltd. 91,393 3,295
Toyo Seikan Group Holdings Ltd. 186,131 3,292
Tokyo Tatemono Co. Ltd. 233,439 3,275
Azbil Corp. 74,698 3,262
Hikari Tsushin Inc. 24,895 3,223
Ezaki Glico Co. Ltd. 58,058 3,220
Mitsui Mining & Smelting Co. Ltd. 61,245 3,187
Matsumotokiyoshi Holdings Co. Ltd. 44,117 3,173
Sundrug Co. Ltd. 72,893 3,172
Nichirei Corp. 123,001 3,166
Hitachi Chemical Co. Ltd. 110,803 3,160
Shinsei Bank Ltd. 187,173 3,159
Gunma Bank Ltd. 490,572 3,158
Nankai Electric Railway Co. Ltd. 122,090 3,156
Sega Sammy Holdings Inc. 222,767 3,136
Kewpie Corp. 125,174 3,123
Hitachi High-Technologies Corp. 74,081 3,100
Iida Group Holdings Co. Ltd. 161,138 3,091
Asics Corp. 201,705 3,084
NOK Corp. 125,529 3,083
Takashimaya Co. Ltd. 330,114 3,037
Mabuchi Motor Co. Ltd. 57,761 3,031
Kagome Co. Ltd. 90,134 3,002
Hachijuni Bank Ltd. 477,706 2,992

 

34


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Yamaguchi Financial Group Inc. 245,804 2,977
  Nifco Inc. 45,405 2,964
  Oracle Corp. Japan 35,017 2,963
  Calbee Inc. 87,450 2,951
  COMSYS Holdings Corp. 116,514 2,951
  Nippon Kayaku Co. Ltd. 185,218 2,941
  Hiroshima Bank Ltd. 343,626 2,909
^,* Kobe Steel Ltd. 342,206 2,889
  DeNA Co. Ltd. 122,435 2,879
  Miraca Holdings Inc. 61,642 2,868
  Nomura Real Estate Holdings Inc. 130,020 2,862
  AEON Financial Service Co. Ltd. 132,731 2,851
  Hitachi Metals Ltd. 219,486 2,843
  Tsumura & Co. 75,965 2,823
  Chugoku Bank Ltd. 196,901 2,822
  Relo Group Inc. 113,116 2,800
  Sanwa Holdings Corp. 223,174 2,799
  TIS Inc. 89,625 2,789
  Kyushu Financial Group Inc. 438,391 2,786
  Seven Bank Ltd. 744,372 2,753
^,* PeptiDream Inc. 86,230 2,736
  Benesse Holdings Inc. 80,718 2,736
  Toho Gas Co. Ltd. 97,682 2,731
  Kamigumi Co. Ltd. 113,085 2,707
  Iyo Bank Ltd. 312,725 2,700
  Sumitomo Dainippon Pharma Co. Ltd. 187,962 2,683
  Mitsubishi UFJ Lease & Finance Co. Ltd. 506,619 2,673
  Fujikura Ltd. 303,522 2,649
  Park24 Co. Ltd. 114,212 2,640
  Kaneka Corp. 319,650 2,640
  Shimamura Co. Ltd. 23,651 2,635
  Pola Orbis Holdings Inc. 82,652 2,634
  Showa Shell Sekiyu KK 222,827 2,629
  Yamazaki Baking Co. Ltd. 145,341 2,616
  Yokohama Rubber Co. Ltd. 116,312 2,615
  Sumitomo Forestry Co. Ltd. 154,286 2,598
  Nippon Shokubai Co. Ltd. 34,252 2,584
  Miura Co. Ltd. 109,743 2,581
  Horiba Ltd. 43,220 2,575
  Morinaga & Co. Ltd. 45,110 2,563
  Seino Holdings Co. Ltd. 174,610 2,547
  Toyo Tire & Rubber Co. Ltd. 111,730 2,528
  House Foods Group Inc. 84,654 2,515
  Rohto Pharmaceutical Co. Ltd. 108,047 2,494
^,* Kawasaki Kisen Kaisha Ltd. 95,414 2,491
  Kinden Corp. 146,921 2,481
  Zenkoku Hosho Co. Ltd. 59,765 2,456
  Topcon Corp. 115,914 2,451
  Daido Steel Co. Ltd. 38,445 2,436
  Hokuhoku Financial Group Inc. 147,405 2,430
  Glory Ltd. 64,643 2,418
  Aeon Mall Co. Ltd. 134,801 2,410
  Shikoku Electric Power Co. Inc. 182,725 2,391
^ Ito En Ltd. 66,734 2,337
  Citizen Watch Co. Ltd. 317,681 2,336
  Sapporo Holdings Ltd. 73,208 2,320
  NTN Corp. 474,017 2,302
  DMG Mori Co. Ltd. 113,824 2,295
  Taiyo Yuden Co. Ltd. 130,581 2,280
  Tokyo Century Corp. 52,183 2,276
  Nishi-Nippon Railroad Co. Ltd. 85,047 2,274
  Izumi Co. Ltd. 43,815 2,272
  Sotetsu Holdings Inc. 87,238 2,251
  Welcia Holdings Co. Ltd. 59,282 2,250

 

35


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Sankyu Inc. 54,368 2,248
Itochu Techno-Solutions Corp. 57,607 2,244
Penta-Ocean Construction Co. Ltd. 336,675 2,227
NOF Corp. 76,672 2,216
Bic Camera Inc. 179,793 2,215
Nagase & Co. Ltd. 129,685 2,203
NHK Spring Co. Ltd. 191,541 2,192
Maruichi Steel Tube Ltd. 71,527 2,185
^ GS Yuasa Corp. 434,193 2,183
Daiichikosho Co. Ltd. 46,307 2,182
Zeon Corp. 163,314 2,174
TS Tech Co. Ltd. 60,661 2,173
^ Tokuyama Corp. 76,382 2,167
Aica Kogyo Co. Ltd. 61,955 2,167
Leopalace21 Corp. 287,876 2,150
Kyowa Exeo Corp. 98,584 2,147
Kakaku.com Inc. 155,469 2,135
Nishi-Nippon Financial Holdings Inc. 182,242 2,127
Nippon Paper Industries Co. Ltd. 106,309 2,115
Dowa Holdings Co. Ltd. 50,129 2,110
Tokai Carbon Co. Ltd. 209,486 2,093
Sawai Pharmaceutical Co. Ltd. 36,648 2,079
Aoyama Trading Co. Ltd. 56,082 2,078
Toyoda Gosei Co. Ltd. 84,959 2,077
Skylark Co. Ltd. 138,465 2,071
Sugi Holdings Co. Ltd. 40,731 2,067
Nipro Corp. 141,348 2,061
Nippon Light Metal Holdings Co. Ltd. 695,346 2,047
Tadano Ltd. 134,066 2,043
OKUMA Corp. 33,240 2,043
K's Holdings Corp. 88,930 2,041
Toda Corp. 249,920 2,036
Takara Holdings Inc. 207,779 2,033
Zensho Holdings Co. Ltd. 109,370 2,027
77 Bank Ltd. 79,670 2,025
Taiyo Nippon Sanso Corp. 168,432 2,022
SCSK Corp. 46,805 2,018
Nisshinbo Holdings Inc. 167,611 2,013
^ Cosmos Pharmaceutical Corp. 9,659 2,011
Ibiden Co. Ltd. 119,879 2,007
Japan Airport Terminal Co. Ltd. 55,783 1,983
Nihon Kohden Corp. 88,951 1,980
Amano Corp. 79,980 1,968
Toagosei Co. Ltd. 150,314 1,949
Kaken Pharmaceutical Co. Ltd. 38,339 1,943
Wacoal Holdings Corp. 67,067 1,917
ADEKA Corp. 110,938 1,916
Nippon Suisan Kaisha Ltd. 312,875 1,914
Toyobo Co. Ltd. 98,492 1,897
Mitsubishi Logistics Corp. 73,100 1,893
Sumitomo Osaka Cement Co. Ltd. 413,261 1,893
* Acom Co. Ltd. 453,126 1,884
^ MonotaRO Co. Ltd. 68,329 1,882
Nihon Parkerizing Co. Ltd. 114,651 1,880
Tokyo Seimitsu Co. Ltd. 47,221 1,877
^ H2O Retailing Corp. 100,800 1,865
Sankyo Co. Ltd. 57,378 1,852
Maeda Corp. 147,377 1,848
Kyudenko Corp. 41,818 1,846
Japan Steel Works Ltd. 72,781 1,845
Ushio Inc. 131,037 1,819
Cosmo Energy Holdings Co. Ltd. 79,001 1,815
Shima Seiki Manufacturing Ltd. 31,868 1,792
^ Daishi Bank Ltd. 35,549 1,741

 

36


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
OSG Corp. 80,197 1,736
TechnoPro Holdings Inc. 37,841 1,735
Hazama Ando Corp. 212,159 1,730
Kokuyo Co. Ltd. 96,207 1,725
Nishimatsu Construction Co. Ltd. 56,941 1,719
Kenedix Inc. 293,008 1,713
Jafco Co. Ltd. 34,455 1,703
Fuji Seal International Inc. 51,803 1,700
Fuji Machine Manufacturing Co. Ltd. 88,736 1,693
^ Hokuriku Electric Power Co. 191,442 1,692
Tokai Tokyo Financial Holdings Inc. 256,034 1,676
Morinaga Milk Industry Co. Ltd. 43,413 1,667
Lintec Corp. 59,367 1,650
San-In Godo Bank Ltd. 178,598 1,643
Hokkaido Electric Power Co. Inc. 208,270 1,641
* LINE Corp. 39,410 1,632
Japan Post Insurance Co. Ltd. 74,928 1,624
Tsubakimoto Chain Co. 186,220 1,605
Nikkon Holdings Co. Ltd. 62,453 1,600
Okumura Corp. 41,685 1,596
Tokyo Ohka Kogyo Co. Ltd. 43,616 1,595
Ship Healthcare Holdings Inc. 51,005 1,595
Nichias Corp. 122,479 1,595
Japan Lifeline Co. Ltd. 33,154 1,590
Anritsu Corp. 168,753 1,589
^ SHO-BOND Holdings Co. Ltd. 25,693 1,581
Shiga Bank Ltd. 272,821 1,566
Hanwa Co. Ltd. 41,029 1,557
Shochiku Co. Ltd. 10,456 1,557
Resorttrust Inc. 78,694 1,549
Shimachu Co. Ltd. 54,688 1,540
Rengo Co. Ltd. 234,126 1,533
Hitachi Kokusai Electric Inc. 55,270 1,531
^ Nippon Gas Co. Ltd. 48,117 1,531
Ariake Japan Co. Ltd. 20,017 1,530
Itoham Yonekyu Holdings Inc. 158,536 1,512
Tomy Co. Ltd. 93,286 1,509
Ain Holdings Inc. 21,607 1,478
Juroku Bank Ltd. 43,737 1,478
ABC-Mart Inc. 28,966 1,461
Fuji Oil Holdings Inc. 54,190 1,461
Duskin Co. Ltd. 53,195 1,459
Topre Corp. 49,312 1,452
Awa Bank Ltd. 211,116 1,432
Toyota Boshoku Corp. 70,626 1,422
Pilot Corp. 28,084 1,420
KYB Corp. 21,827 1,417
Capcom Co. Ltd. 55,684 1,417
Megmilk Snow Brand Co. Ltd. 50,606 1,417
Oki Electric Industry Co. Ltd. 101,110 1,412
Fuyo General Lease Co. Ltd. 21,411 1,400
PALTAC Corp. 35,152 1,396
Meitec Corp. 28,481 1,391
Kumagai Gumi Co. Ltd. 43,737 1,390
Sumitomo Bakelite Co. Ltd. 169,252 1,376
Canon Marketing Japan Inc. 54,589 1,373
Musashino Bank Ltd. 41,451 1,347
FP Corp. 25,493 1,340
Kanematsu Corp. 101,014 1,329
Asatsu-DK Inc. 39,795 1,319
Autobacs Seven Co. Ltd. 76,714 1,319
Takasago Thermal Engineering Co. Ltd. 74,798 1,317
Sangetsu Corp. 71,105 1,309
Maeda Road Construction Co. Ltd. 60,729 1,308

 

37


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Fujitec Co. Ltd. 87,240 1,299
Hitachi Transport System Ltd. 52,199 1,292
Hokkoku Bank Ltd. 28,184 1,290
Unipres Corp. 47,620 1,286
Tokai Rika Co. Ltd. 61,070 1,285
Keiyo Bank Ltd. 259,906 1,274
Iwatani Corp. 42,211 1,273
Inaba Denki Sangyo Co. Ltd. 28,980 1,272
GMO Payment Gateway Inc. 17,323 1,267
CKD Corp. 64,345 1,267
Open House Co. Ltd. 32,862 1,267
Hitachi Capital Corp. 51,502 1,259
Senshu Ikeda Holdings Inc. 325,264 1,256
^ Nissha Co. Ltd. 38,928 1,252
NTT Urban Development Corp. 120,697 1,249
Trusco Nakayama Corp. 48,818 1,249
HIS Co. Ltd. 37,248 1,247
Kiyo Bank Ltd. 72,400 1,245
Nihon Unisys Ltd. 74,499 1,234
Outsourcing Inc. 88,130 1,215
Maruha Nichiro Corp. 39,332 1,215
Iriso Electronics Co. Ltd. 21,507 1,213
Mitsui Engineering & Shipbuilding Co. Ltd. 91,857 1,202
Ryosan Co. Ltd. 29,578 1,201
Toho Holdings Co. Ltd. 60,960 1,198
Toyo Ink SC Holdings Co. Ltd. 203,111 1,196
Yoshinoya Holdings Co. Ltd. 71,902 1,196
NET One Systems Co. Ltd. 96,112 1,192
^ Colowide Co. Ltd. 63,137 1,185
Nachi-Fujikoshi Corp. 192,139 1,184
Nichiha Corp. 29,368 1,181
Ogaki Kyoritsu Bank Ltd. 41,219 1,177
Yamato Kogyo Co. Ltd. 43,754 1,170
TOKAI Holdings Corp. 145,275 1,162
Fujitsu General Ltd. 60,640 1,160
Koei Tecmo Holdings Co. Ltd. 58,073 1,153
Mandom Corp. 38,627 1,151
Kandenko Co. Ltd. 116,514 1,146
Heiwa Corp. 62,056 1,144
^ Exedy Corp. 37,963 1,138
^ Fukuyama Transporting Co. Ltd. 35,045 1,137
KYORIN Holdings Inc. 54,987 1,129
Tokyo Dome Corp. 119,967 1,126
Daikyonishikawa Corp. 66,245 1,126
Nippo Corp. 53,763 1,123
DCM Holdings Co. Ltd. 121,862 1,120
Okamura Corp. 99,223 1,113
Kissei Pharmaceutical Co. Ltd. 40,452 1,112
Nippon Seiki Co. Ltd. 47,791 1,107
Yaoko Co. Ltd. 22,501 1,104
Hosiden Corp. 63,834 1,102
Mitsubishi Pencil Co. Ltd. 46,392 1,100
^ Sanrio Co. Ltd. 66,276 1,098
Okasan Securities Group Inc. 177,256 1,093
Komeri Co. Ltd. 36,470 1,093
Sakata Seed Corp. 36,050 1,090
North Pacific Bank Ltd. 323,093 1,087
United Arrows Ltd. 28,978 1,086
Ai Holdings Corp. 44,036 1,081
Taikisha Ltd. 37,067 1,080
Yodogawa Steel Works Ltd. 36,770 1,077
GMO Internet Inc. 69,412 1,072
Daiseki Co. Ltd. 43,320 1,071
Hyakujushi Bank Ltd. 292,789 1,065

 

38


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Hitachi Zosen Corp. 201,634 1,062
GungHo Online Entertainment Inc. 394,550 1,062
* Aiful Corp. 302,842 1,056
cocokara fine Inc. 18,915 1,055
Valor Holdings Co. Ltd. 46,325 1,054
FCC Co. Ltd. 43,538 1,051
Nitto Boseki Co. Ltd. 31,269 1,051
Totetsu Kogyo Co. Ltd. 31,270 1,047
Onward Holdings Co. Ltd. 123,459 1,041
Takara Standard Co. Ltd. 59,981 1,026
Takuma Co. Ltd. 83,352 1,025
Hyakugo Bank Ltd. 218,038 1,024
Mochida Pharmaceutical Co. Ltd. 13,940 1,021
Nippon Television Holdings Inc. 56,462 1,019
Prima Meat Packers Ltd. 154,325 1,008
Okinawa Electric Power Co. Inc. 44,076 1,007
Maxell Holdings Ltd. 44,202 1,005
Hokuetsu Kishu Paper Co. Ltd. 156,456 1,004
Senko Group Holdings Co. Ltd. 137,810 999
^ Daio Paper Corp. 83,166 998
Tokyo Steel Manufacturing Co. Ltd. 115,449 997
TPR Co. Ltd. 28,172 996
Kureha Corp. 16,926 996
NS Solutions Corp. 40,848 993
Nanto Bank Ltd. 34,921 985
Noevir Holdings Co. Ltd. 16,327 985
Sumitomo Mitsui Construction Co. Ltd. 159,532 983
Daihen Corp. 107,536 969
Matsui Securities Co. Ltd. 114,823 966
^ Fancl Corp. 36,434 961
Orient Corp. 592,245 960
Arcs Co. Ltd. 42,841 958
Tokyo TY Financial Group Inc. 35,390 956
^ Chiyoda Corp. 161,408 955
^ KH Neochem Co. Ltd. 37,937 949
Makino Milling Machine Co. Ltd. 100,567 949
Central Glass Co. Ltd. 42,416 948
^ EDION Corp. 92,957 939
Paramount Bed Holdings Co. Ltd. 21,211 935
Nissin Kogyo Co. Ltd. 50,323 932
Digital Garage Inc. 43,348 932
Kusuri no Aoki Holdings Co. Ltd. 16,726 928
Alpine Electronics Inc. 41,813 928
Lasertec Corp. 42,123 927
Token Corp. 7,666 924
Nippon Soda Co. Ltd. 147,364 922
Bank of Okinawa Ltd. 22,580 921
Joyful Honda Co. Ltd. 33,957 917
ZERIA Pharmaceutical Co. Ltd. 52,305 917
^ Japan Aviation Electronics Industry Ltd. 49,791 911
Nippon Steel & Sumikin Bussan Corp. 16,435 907
TOMONY Holdings Inc. 188,108 906
Nomura Co. Ltd. 43,220 902
Round One Corp. 69,601 899
Kanamoto Co. Ltd. 27,275 897
Keihin Corp. 48,299 890
Seikagaku Corp. 48,822 888
Seiren Co. Ltd. 50,882 888
Taiyo Holdings Co. Ltd. 18,420 885
Shinmaywa Industries Ltd. 89,629 882
IBJ Leasing Co. Ltd. 33,766 882
Nippon Flour Mills Co. Ltd. 57,363 880
^ Infomart Corp. 114,816 868
Saizeriya Co. Ltd. 28,081 866

 

39


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Sakata INX Corp. 44,906 866
  UACJ Corp. 29,269 863
  Eizo Corp. 20,810 863
  Starts Corp. Inc. 31,760 861
  San-A Co. Ltd. 18,716 861
  Shibuya Corp. 22,404 860
^,* Japan Display Inc. 398,039 859
  Nitta Corp. 20,811 858
  Yamazen Corp. 74,192 848
  Okamoto Industries Inc. 77,655 845
  TSI Holdings Co. Ltd. 100,684 844
  MOS Food Services Inc. 27,586 844
  Nojima Corp. 36,150 843
  Chudenko Corp. 27,582 841
  Sumitomo Warehouse Co. Ltd. 122,472 841
  Ci:z Holdings Co. Ltd. 22,800 840
  NSD Co. Ltd. 41,926 839
  Transcosmos Inc. 35,977 839
  Kotobuki Spirits Co. Ltd. 20,313 836
^ Siix Corp. 19,618 835
  Gunze Ltd. 18,322 833
  Heiwado Co. Ltd. 38,062 831
  Funai Soken Holdings Inc. 22,504 827
  Kitz Corp. 96,488 827
  Hogy Medical Co. Ltd. 12,048 825
  JINS Inc. 15,830 823
  Mirait Holdings Corp. 62,938 822
  Kuroda Electric Co. Ltd. 46,027 822
  Nisshin Oillio Group Ltd. 24,890 817
* Nippon Sheet Glass Co. Ltd. 101,882 817
  Meidensha Corp. 206,076 815
  Kyoritsu Maintenance Co. Ltd. 25,788 814
* Macromill Inc. 26,887 812
  Takeuchi Manufacturing Co. Ltd. 38,241 810
  Japan Petroleum Exploration Co. Ltd. 39,137 808
  Toho Bank Ltd. 208,150 803
^,* euglena Co. Ltd. 79,108 801
^ V Technology Co. Ltd. 4,579 801
  Futaba Corp. 40,235 798
  Tokyo Broadcasting System Holdings Inc. 39,137 797
  Nichicon Corp. 63,114 796
  Fuji Media Holdings Inc. 51,484 794
  Toei Co. Ltd. 7,268 789
  Ichigo Inc. 221,643 788
  Bank of Nagoya Ltd. 19,718 788
^ Yamagata Bank Ltd. 33,058 779
  Wacom Co. Ltd. 159,231 778
  Justsystems Corp. 36,042 774
  Nippon Densetsu Kogyo Co. Ltd. 35,538 771
  Sanken Electric Co. Ltd. 122,484 770
  Kumiai Chemical Industry Co. Ltd. 113,137 769
^ J Trust Co. Ltd. 104,043 766
  Yamanashi Chuo Bank Ltd. 171,284 763
  SMS Co. Ltd. 25,084 756
  Furukawa Co. Ltd. 41,547 754
  Aeon Delight Co. Ltd. 20,114 753
  Seiko Holdings Corp. 30,093 751
  Nissan Shatai Co. Ltd. 70,010 749
  Kato Sangyo Co. Ltd. 23,999 749
  Toridoll Holdings Corp. 23,300 748
  Daiwabo Holdings Co. Ltd. 18,716 744
  Goldwin Inc. 9,558 743
  Ryobi Ltd. 28,677 739
  Piolax Inc. 26,488 733

 

40


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Toshiba TEC Corp. 125,438 732
Zenrin Co. Ltd. 22,997 731
San-Ai Oil Co. Ltd. 61,142 730
Bank of Iwate Ltd. 17,724 730
As One Corp. 13,242 728
Asahi Holdings Inc. 33,358 724
Aida Engineering Ltd. 61,934 722
^ Financial Products Group Co. Ltd. 62,218 722
Macnica Fuji Electronics Holdings Inc. 34,259 718
Doutor Nichires Holdings Co. Ltd. 29,871 709
Toho Zinc Co. Ltd. 14,538 708
Musashi Seimitsu Industry Co. Ltd. 22,202 708
Morita Holdings Corp. 41,116 708
^ Aomori Bank Ltd. 21,810 703
Fuso Chemical Co. Ltd. 21,912 701
Komori Corp. 49,787 701
Chiyoda Co. Ltd. 27,287 699
Toshiba Machine Co. Ltd. 111,469 692
Showa Corp. 52,772 692
Noritake Co. Ltd. 14,340 691
Ichibanya Co. Ltd. 17,824 691
Kintetsu World Express Inc. 39,935 687
Tsubaki Nakashima Co. Ltd. 29,802 687
Unizo Holdings Co. Ltd. 25,792 686
Inabata & Co. Ltd. 47,198 684
Gree Inc. 100,639 683
Nagaileben Co. Ltd. 27,183 678
Nippon Signal Company Ltd. 61,421 678
Jaccs Co. Ltd. 27,084 676
^ Showa Sangyo Co. Ltd. 25,886 675
Heiwa Real Estate Co. Ltd. 38,635 674
^ Obara Group Inc. 11,645 674
Toshiba Plant Systems & Services Corp. 39,031 673
Eiken Chemical Co. Ltd. 17,028 670
^ Atom Corp. 91,751 670
Oita Bank Ltd. 16,529 669
Earth Chemical Co. Ltd. 14,239 668
Nichi-iko Pharmaceutical Co. Ltd. 43,005 668
Kameda Seika Co. Ltd. 14,738 667
^ Royal Holdings Co. Ltd. 25,779 667
Fuji Soft Inc. 21,903 666
TOC Co. Ltd. 73,892 665
Dainichiseika Color & Chemicals Manufacturing Co. Ltd. 14,519 665
EPS Holdings Inc. 33,649 663
Star Micronics Co. Ltd. 37,343 658
Nisshin Steel Co. Ltd. 45,288 658
Hiday Hidaka Corp. 22,386 658
Monex Group Inc. 206,118 657
Takara Bio Inc. 49,286 656
Joshin Denki Co. Ltd. 18,914 655
Koa Corp. 31,369 655
Sekisui Jushi Corp. 28,971 647
Topy Industries Ltd. 18,918 646
Optex Group Co. Ltd. 15,534 643
Megachips Corp. 19,517 643
Benefit One Inc. 33,460 643
Fukui Bank Ltd. 23,996 641
Japan Wool Textile Co. Ltd. 71,200 640
Descente Ltd. 45,888 637
Noritz Corp. 34,541 635
^ Axial Retailing Inc. 15,434 631
Sanyo Special Steel Co. Ltd. 24,577 631
NEC Networks & System Integration Corp. 25,295 630
Daikyo Inc. 32,664 629

 

41


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
^ Tokyu Construction Co. Ltd. 71,380 629
Yuasa Trading Co. Ltd. 17,026 628
Kurabo Industries Ltd. 216,045 627
Max Co. Ltd. 44,218 625
^ ASKUL Corp. 23,205 625
Yokogawa Bridge Holdings Corp. 29,259 624
Idec Corp. 29,479 624
DTS Corp. 20,706 621
Adastria Co. Ltd. 28,472 621
Sintokogio Ltd. 53,278 620
Japan Material Co. Ltd. 21,312 619
* Sushiro Global Holdings Ltd. 19,717 619
Nippon Chemi-Con Corp. 17,796 618
Kohnan Shoji Co. Ltd. 28,877 617
Shikoku Chemicals Corp. 36,844 613
Nissin Electric Co. Ltd. 49,890 611
Belluna Co. Ltd. 53,677 610
Systena Corp. 19,620 608
Internet Initiative Japan Inc. 28,973 607
Create SD Holdings Co. Ltd. 24,099 607
Pacific Industrial Co. Ltd. 46,492 605
Milbon Co. Ltd. 9,657 603
Takasago International Corp. 17,333 603
Saibu Gas Co. Ltd. 23,992 600
Miyazaki Bank Ltd. 16,571 597
SKY Perfect JSAT Holdings Inc. 127,830 593
Sinfonia Technology Co. Ltd. 145,394 592
Sato Holdings Corp. 24,293 591
Mitsui Sugar Co. Ltd. 17,229 589
S Foods Inc. 15,436 587
Marudai Food Co. Ltd. 125,483 587
Aichi Bank Ltd. 9,459 583
Kaga Electronics Co. Ltd. 19,418 582
Nishimatsuya Chain Co. Ltd. 52,580 579
Dexerials Corp. 50,980 574
Futaba Industrial Co. Ltd. 58,929 573
Mitsui High-Tec Inc. 27,088 572
Nikkiso Co. Ltd. 60,820 571
Shinko Electric Industries Co. Ltd. 74,093 571
Nippon Koei Co. Ltd. 15,535 571
Asahi Diamond Industrial Co. Ltd. 58,660 569
Tachi-S Co. Ltd. 30,271 569
Hokuetsu Bank Ltd. 23,399 567
^ Shoei Foods Corp. 14,041 565
Marusan Securities Co. Ltd. 61,729 564
Oiles Corp. 28,471 560
Daibiru Corp. 47,487 560
Kisoji Co. Ltd. 23,200 560
Mitsuba Corp. 33,439 559
Sanyo Denki Co. Ltd. 8,359 555
^ Shikoku Bank Ltd. 35,436 554
Mani Inc. 19,305 553
Wakita & Co. Ltd. 44,899 552
^ Sodick Co. Ltd. 39,714 550
Life Corp. 20,610 548
Nippon Ceramic Co. Ltd. 19,210 548
Ricoh Leasing Co. Ltd. 15,237 548
Japan Securities Finance Co. Ltd. 97,181 547
Sanyo Chemical Industries Ltd. 10,352 544
Eagle Industry Co. Ltd. 27,976 543
Foster Electric Co. Ltd. 22,998 540
Plenus Co. Ltd. 26,490 540
Mizuno Corp. 18,915 538
Tsugami Corp. 55,762 537

 

42


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Mitsuboshi Belting Ltd. 42,803 534
  JCR Pharmaceuticals Co. Ltd. 13,533 534
  Bank of the Ryukyus Ltd. 35,042 534
  Fuji Kyuko Co. Ltd. 23,893 533
^ Fujimori Kogyo Co. Ltd. 15,330 530
  Dip Corp. 21,706 530
  JCU Corp. 12,249 530
  Riso Kagaku Corp. 27,583 529
  Raito Kogyo Co. Ltd. 51,588 527
  Create Restaurants Holdings Inc. 49,088 526
  AOKI Holdings Inc. 37,523 523
^ W-Scope Corp. 27,783 523
  Konoike Transport Co. Ltd. 33,959 523
  United Super Markets Holdings Inc. 55,835 521
  TKC Corp. 16,532 520
  Bunka Shutter Co. Ltd. 61,048 520
  Sanki Engineering Co. Ltd. 45,098 519
  kabu.com Securities Co. Ltd. 162,629 518
^ Osaka Soda Co. Ltd. 19,719 518
  Fujicco Co. Ltd. 22,901 517
^ Geo Holdings Corp. 31,664 515
  Kadokawa Dwango Corp. 44,444 513
  Chubu Shiryo Co. Ltd. 28,679 513
* Pioneer Corp. 263,941 511
  Chofu Seisakusho Co. Ltd. 20,911 510
  Doshisha Co. Ltd. 22,997 505
  Menicon Co. Ltd. 11,146 505
  Akita Bank Ltd. 15,724 503
  Modec Inc. 21,809 503
  Tocalo Co. Ltd. 12,339 498
  Shizuoka Gas Co. Ltd. 63,538 496
  Kyokuto Kaihatsu Kogyo Co. Ltd. 27,662 495
  COLOPL Inc. 44,582 495
  VT Holdings Co. Ltd. 90,694 494
^ Nishio Rent All Co. Ltd. 14,133 494
* Ishihara Sangyo Kaisha Ltd. 32,739 493
  Tamura Corp. 71,647 490
  Ichikoh Industries Ltd. 62,744 489
  Shindengen Electric Manufacturing Co. Ltd. 7,164 489
  Avex Group Holdings Inc. 35,255 487
  KOMEDA Holdings Co. Ltd. 28,558 487
  Sakai Moving Service Co. Ltd. 8,359 486
  Ringer Hut Co. Ltd. 22,198 481
^ Hibiya Engineering Ltd. 22,095 480
^,* KLab Inc. 27,264 479
  Yondoshi Holdings Inc. 17,418 479
  Tokai Corp. 10,659 478
  Belc Co. Ltd. 8,458 472
  LIFULL Co. Ltd. 61,339 471
  Iino Kaiun Kaisha Ltd. 99,595 470
  Sogo Medical Co. Ltd. 8,459 469
* Intage Holdings Inc. 35,650 468
  Itochu Enex Co. Ltd. 45,588 465
  Tochigi Bank Ltd. 101,542 463
  Relia Inc. 39,306 462
  Toppan Forms Co. Ltd. 44,616 462
  Fujimi Inc. 18,610 461
^ Press Kogyo Co. Ltd. 81,893 461
  Teikoku Sen-I Co. Ltd. 21,603 458
  CMK Corp. 44,081 458
  Konishi Co. Ltd. 26,280 457
  TV Asahi Holdings Corp. 22,700 457
  Chugoku Marine Paints Ltd. 53,736 457
  Prestige International Inc. 42,303 456

 

43


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Unitika Ltd. 51,643 456
F@N Communications Inc. 44,003 455
Fuji Co. Ltd. 19,216 455
Ehime Bank Ltd. 35,241 455
* Sanden Holdings Corp. 22,291 453
T-Gaia Corp. 22,204 452
Bando Chemical Industries Ltd. 40,803 450
Mitsubishi Shokuhin Co. Ltd. 15,135 449
Nippon Denko Co. Ltd. 106,176 449
Kanto Denka Kogyo Co. Ltd. 42,787 448
Tsukishima Kikai Co. Ltd. 37,137 446
Japan Pulp & Paper Co. Ltd. 10,549 445
Nitto Kogyo Corp. 25,777 442
Inageya Co. Ltd. 26,665 440
Arata Corp. 10,349 440
Arakawa Chemical Industries Ltd. 18,122 439
Maruwa Co. Ltd. 7,562 438
Juki Corp. 28,063 436
Aichi Steel Corp. 10,747 436
Sumitomo Seika Chemicals Co. Ltd. 8,159 433
Ohsho Food Service Corp. 10,350 433
Giken Ltd. 15,037 432
BML Inc. 19,503 432
Nippon Carbon Co. Ltd. 9,853 431
^ IDOM Inc. 59,053 431
^ Tokyotokeiba Co. Ltd. 14,130 430
Fukushima Industries Corp. 11,048 428
^ NichiiGakkan Co. Ltd. 41,320 426
* D.A. Consortium Holdings Inc. 25,592 425
Iseki & Co. Ltd. 19,031 424
Towa Pharmaceutical Co. Ltd. 8,160 422
Enplas Corp. 9,951 422
YAMABIKO Corp. 30,947 421
Nippon Thompson Co. Ltd. 71,494 416
G-Tekt Corp. 19,404 415
Riken Corp. 7,960 414
* Pacific Metals Co. Ltd. 13,833 414
Matsuya Co. Ltd. 38,219 413
Koshidaka Holdings Co. Ltd. 10,167 411
FULLCAST Holdings Co. Ltd. 22,296 411
Kura Corp. 9,155 410
Riken Keiki Co. Ltd. 18,920 409
Dai Nippon Toryo Co. Ltd. 26,686 408
Hamakyorex Co. Ltd. 14,529 408
Taihei Dengyo Kaisha Ltd. 15,930 407
Miroku Jyoho Service Co. Ltd. 17,412 407
Nittetsu Mining Co. Ltd. 5,472 406
Feed One Co. Ltd. 156,542 406
ESPEC Corp. 17,812 406
DyDo Group Holdings Inc. 8,259 405
T Hasegawa Co. Ltd. 19,899 404
Yellow Hat Ltd. 13,133 403
Takara Leben Co. Ltd. 87,412 402
Sanyo Electric Railway Co. Ltd. 15,723 399
Tekken Corp. 11,842 397
St. Marc Holdings Co. Ltd. 13,134 397
Sumida Corp. 22,655 395
Investors Cloud Co. Ltd. 6,473 395
Starzen Co. Ltd. 8,066 395
JVC Kenwood Corp. 125,675 394
Arcland Sakamoto Co. Ltd. 24,080 394
Sakai Chemical Industry Co. Ltd. 15,728 393
Pressance Corp. 29,063 391
^ Ichiyoshi Securities Co. Ltd. 33,938 390

 

44


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Takamatsu Construction Group Co. Ltd. 14,229 388
Tosho Co. Ltd. 13,931 385
Xebio Holdings Co. Ltd. 20,098 385
Tsurumi Manufacturing Co. Ltd. 22,604 383
^ Dai-Dan Co. Ltd. 14,869 381
Canon Electronics Inc. 16,916 381
Hosokawa Micron Corp. 5,971 378
Namura Shipbuilding Co. Ltd. 60,954 378
Hodogaya Chemical Co. Ltd. 5,373 378
^ Zojirushi Corp. 41,798 377
Yokohama Reito Co. Ltd. 39,527 376
Eighteenth Bank Ltd. 139,310 375
FIDEA Holdings Co. Ltd. 196,802 375
Jeol Ltd. 70,649 374
ASKA Pharmaceutical Co. Ltd. 19,704 374
^ Okabe Co. Ltd. 38,911 373
Toyo Tanso Co. Ltd. 13,135 371
Pack Corp. 10,646 370
^ Minato Bank Ltd. 19,504 370
Elecom Co. Ltd. 18,411 369
Daiho Corp. 75,624 367
^ Istyle Inc. 53,276 366
Gurunavi Inc. 28,384 366
Kamei Corp. 21,596 365
^ Kenko Mayonnaise Co. Ltd. 13,938 364
Mitsuuroko Group Holdings Co. Ltd. 49,800 364
Clarion Co. Ltd. 95,525 364
JSP Corp. 11,248 363
LEC Inc. 13,742 362
Toyo Kanetsu KK 9,560 362
Shin-Etsu Polymer Co. Ltd. 33,832 362
Kyoei Steel Ltd. 20,502 360
* Toa Corp. (Tokyo Shares) 16,518 359
Digital Arts Inc. 8,756 358
^ Sanshin Electronics Co. Ltd. 23,583 358
Tanseisha Co. Ltd. 30,049 357
Ryoyo Electro Corp. 19,006 357
Kasai Kogyo Co. Ltd. 23,383 352
Sinko Industries Ltd. 21,609 352
Broadleaf Co. Ltd. 42,813 352
Daiken Corp. 12,935 351
Trancom Co. Ltd. 5,772 351
Nissin Corp. 11,349 350
Roland DG Corp. 12,646 350
* M&A Capital Partners Co. Ltd. 6,672 349
OBIC Business Consultants Co. Ltd. 7,066 349
PIA Corp. 6,871 348
Nohmi Bosai Ltd. 20,600 348
YA-MAN Ltd. 29,870 348
^ Sankyo Tateyama Inc. 23,777 347
Maeda Kosen Co. Ltd. 20,000 347
Yorozu Corp. 17,013 346
Aisan Industry Co. Ltd. 30,051 344
Shinko Shoji Co. Ltd. 18,415 342
Toyo Construction Co. Ltd. 66,670 338
Neturen Co. Ltd. 32,940 336
* Hochiki Corp. 16,200 335
Anicom Holdings Inc. 12,934 334
Sumitomo Riko Co. Ltd. 34,333 333
Bell System24 Holdings Inc. 30,248 331
Bank of Saga Ltd. 13,244 331
Fujibo Holdings Inc. 10,449 330
Kanematsu Electronics Ltd. 10,545 329
Goldcrest Co. Ltd. 15,126 328

 

45


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
  Value
    Shares ($000)
  Towa Bank Ltd. 30,847 328
  Nissei ASB Machine Co. Ltd. 7,363 327
^ Link And Motivation Inc. 47,500 327
  Meisei Industrial Co. Ltd. 45,984 322
  Jimoto Holdings Inc. 164,489 322
  Toyo Engineering Corp. 26,894 321
  Sekisui Plastics Co. Ltd. 24,382 320
  Itoki Corp. 41,614 320
  Nippon Valqua Industries Ltd. 13,731 319
  Kato Works Co. Ltd. 10,150 317
  Tokushu Tokai Paper Co. Ltd. 7,860 317
  MCJ Co. Ltd. 30,054 316
  Torii Pharmaceutical Co. Ltd. 11,642 316
  Rock Field Co. Ltd. 17,912 315
^ Tsukui Corp. 43,784 315
  Kansai Urban Banking Corp. 24,380 312
  Hokuto Corp. 17,805 311
  Wowow Inc. 9,949 310
  Tonami Holdings Co. Ltd. 6,169 307
  J-Oil Mills Inc. 8,558 307
  Tamron Co. Ltd. 14,627 305
  Daido Metal Co. Ltd. 33,034 305
  Micronics Japan Co. Ltd. 30,647 305
  Warabeya Nichiyo Holdings Co. Ltd. 12,239 303
^ Stella Chemifa Corp. 7,859 303
  Alpen Co. Ltd. 15,228 303
  Union Tool Co. 9,356 302
  Denki Kogyo Co. Ltd. 11,746 302
  Tosei Corp. 30,673 302
  Nissei Build Kogyo Co. Ltd. 26,366 301
  OSJB Holdings Corp. 96,929 300
  Achilles Corp. 14,830 299
  Nichiden Corp. 13,940 299
  Shinko Plantech Co. Ltd. 34,623 299
  Kyokuto Securities Co. Ltd. 20,100 298
  Nippon Road Co. Ltd. 5,174 298
  Keiyo Co. Ltd. 44,214 298
  Shimizu Bank Ltd. 8,863 298
  Noritsu Koki Co. Ltd. 19,205 297
  Melco Holdings Inc. 9,459 297
  Cosel Co. Ltd. 21,397 296
  Nippon Yakin Kogyo Co. Ltd. 134,034 296
  Maruzen Showa Unyu Co. Ltd. 61,694 292
  Fukuda Corp. 4,776 292
  Matsuya Foods Co. Ltd. 7,563 290
  PAL GROUP Holdings Co. Ltd. 10,151 289
* Mitsui-Soko Holdings Co. Ltd. 92,500 288
  Daiwa Industries Ltd. 25,477 286
  Anest Iwata Corp. 28,150 286
  Qol Co. Ltd. 15,527 286
  Shinwa Co. Ltd. 12,549 285
^ Nagatanien Holdings Co. Ltd. 23,896 285
  Key Coffee Inc. 15,022 283
  eRex Co. Ltd. 28,561 283
  KFC Holdings Japan Ltd. 15,934 281
^ METAWATER Co. Ltd. 10,548 280
^,* Rorze Corp. 10,556 280
  Kyokuyo Co. Ltd. 8,657 279
^ Tenma Corp. 13,434 279
  Chiyoda Integre Co. Ltd. 11,446 279
  Yakuodo Co. Ltd. 9,952 279
  ST Corp. 11,249 279
* Kintetsu Department Store Co. Ltd. 8,458 278
  Komatsu Seiren Co. Ltd. 31,943 277

 

46


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Katakura Industries Co. Ltd. 22,201 277
  Arcland Service Holdings Co. Ltd. 12,536 277
^ Yushin Precision Equipment Co. Ltd. 9,752 276
  Daisan Bank Ltd. 16,319 275
  Mitani Sekisan Co. Ltd. 11,350 275
  SMK Corp. 57,740 273
  Toho Titanium Co. Ltd. 30,250 273
  Oyo Corp. 17,802 272
  Vector Inc. 20,494 271
  Nippon Kanzai Co. Ltd. 15,025 271
  Mitsubishi Steel Manufacturing Co. Ltd. 10,847 270
  Okura Industrial Co. Ltd. 39,821 270
  Sagami Chain Co. Ltd. 21,911 269
  Kansai Super Market Ltd. 21,812 267
  CONEXIO Corp. 14,424 266
  OSAKA Titanium Technologies Co. Ltd. 17,314 266
  Riken Technos Corp. 43,193 266
^ COOKPAD Inc. 39,391 264
  Advan Co. Ltd. 27,787 264
  Seika Corp. 9,954 264
  Itochu-Shokuhin Co. Ltd. 5,776 264
  Tsukuba Bank Ltd. 71,044 263
  Yurtec Corp. 29,851 261
^ Uchida Yoko Co. Ltd. 8,159 259
^ Marvelous Inc. 27,269 258
^ Daiichi Jitsugyo Co. Ltd. 8,757 257
  Chiba Kogyo Bank Ltd. 45,077 256
  T RAD Co. Ltd. 6,171 256
^ Michinoku Bank Ltd. 15,126 256
^ Nihon Nohyaku Co. Ltd. 44,081 255
  Osaki Electric Co. Ltd. 34,810 255
  Nitto Kohki Co. Ltd. 10,250 254
  Okuwa Co. Ltd. 24,877 252
  Cawachi Ltd. 10,246 251
  Daito Pharmaceutical Co. Ltd. 9,750 250
  Fuji Pharma Co. Ltd. 6,865 249
  Mimasu Semiconductor Industry Co. Ltd. 13,834 247
  Toho Co. Ltd. (Kobe Shares) 9,759 247
^ Yonex Co. Ltd. 33,828 247
  Rokko Butter Co. Ltd. 10,944 246
  Information Services International-Dentsu Ltd. 11,046 246
  Amuse Inc. 9,354 245
^ Osaka Steel Co. Ltd. 11,048 244
^ Riken Vitamin Co. Ltd. 6,364 244
  Yahagi Construction Co. Ltd. 26,986 244
  Sumitomo Densetsu Co. Ltd. 12,035 244
  Happinet Corp. 14,134 244
^ Denyo Co. Ltd. 14,429 242
  JAC Recruitment Co. Ltd. 13,034 242
^ KAWADA TECHNOLOGIES Inc. 4,080 242
^,* Kappa Create Co. Ltd. 21,493 241
  Mie Bank Ltd. 10,050 241
  Onoken Co. Ltd. 14,130 240
  Japan Transcity Corp. 55,776 239
* Akebono Brake Industry Co. Ltd. 70,151 239
  Keihanshin Building Co. Ltd. 34,031 239
  Kyodo Printing Co. Ltd. 7,165 239
  Kurimoto Ltd. 11,345 238
  UKC Holdings Corp. 13,727 236
  Ines Corp. 24,988 234
  Tatsuta Electric Wire and Cable Co. Ltd. 31,744 233
^ Vital KSK Holdings Inc. 28,642 233
  Sun Frontier Fudousan Co. Ltd. 19,304 232
  Ministop Co. Ltd. 11,444 232

 

47


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Kobe Bussan Co. Ltd. 5,375 232
  Hisaka Works Ltd. 24,702 230
^ GCA Corp. 25,096 230
  Ateam Inc. 8,657 229
^ Central Sports Co. Ltd. 6,346 228
  Kyosan Electric Manufacturing Co. Ltd. 39,783 228
  Chukyo Bank Ltd. 11,145 227
  Fujiya Co. Ltd. 9,951 226
  Asunaro Aoki Construction Co. Ltd. 24,800 225
  PC Depot Corp. 29,370 224
  Pronexus Inc. 18,431 224
  K&O Energy Group Inc. 13,336 222
^ Fujita Kanko Inc. 6,965 222
^ Pasona Group Inc. 15,720 221
  Tokyo Energy & Systems Inc. 18,910 220
  Kitano Construction Corp. 48,804 220
  Toa Corp. (Hyogo Shares) 20,697 219
  Mie Kotsu Group Holdings Inc. 49,736 215
  Nippon Beet Sugar Manufacturing Co. Ltd. 10,051 215
  CI Takiron Corp. 33,820 215
  Misawa Homes Co. Ltd. 23,905 212
^ Toyo Corp. 22,595 211
  Icom Inc. 9,055 211
  Zuken Inc. 11,835 210
  Torishima Pump Manufacturing Co. Ltd. 20,201 210
^ BRONCO BILLY Co. Ltd. 8,059 209
  Sac's Bar Holdings Inc. 17,116 209
^,* FDK Corp. 87,646 208
  Shibusawa Warehouse Co. Ltd. 11,156 207
^ Mito Securities Co. Ltd. 59,809 207
  Meiko Network Japan Co. Ltd. 17,815 206
  WATAMI Co. Ltd. 15,818 206
  Nippon Parking Development Co. Ltd. 139,410 204
  Aeon Fantasy Co. Ltd. 5,170 203
  Studio Alice Co. Ltd. 8,756 203
  Nihon Chouzai Co. Ltd. 6,169 202
^ Tokyo Individualized Educational Institute Inc. 22,804 201
  Fudo Tetra Corp. 117,716 201
  Taiho Kogyo Co. Ltd. 13,235 198
  AOI Electronics Co. Ltd. 4,179 196
  Koatsu Gas Kogyo Co. Ltd. 25,873 196
* SWCC Showa Holdings Co. Ltd. 20,899 195
  Sanyo Shokai Ltd. 10,548 194
  NS United Kaiun Kaisha Ltd. 8,355 193
  Toenec Corp. 6,568 192
  Jamco Corp. 9,155 191
  Parco Co. Ltd. 14,329 191
  Shinnihon Corp. 21,482 191
  Toyo Kohan Co. Ltd. 44,578 191
  Senshukai Co. Ltd. 30,450 188
  Aiphone Co. Ltd. 11,145 186
  Ryoden Corp. 11,940 185
  Godo Steel Ltd. 9,158 184
  Sanoh Industrial Co. Ltd. 20,698 183
  Chori Co. Ltd. 9,952 181
  Daikokutenbussan Co. Ltd. 3,977 181
^ Yusen Logistics Co. Ltd. 15,523 181
  Hioki EE Corp. 8,259 180
^ JP-Holdings Inc. 51,145 180
  Hakuto Co. Ltd. 11,645 180
  Tokyo Rope Manufacturing Co. Ltd. 11,544 180
^,* U-Shin Ltd. 26,587 180
  Aichi Corp. 24,182 179
* Mitsubishi Paper Mills Ltd. 26,469 179

 

48


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Toyo Securities Co. Ltd. 63,682 178
  Dai-ichi Seiko Co. Ltd. 6,966 177
  Taisei Lamick Co. Ltd. 6,474 177
  Kita-Nippon Bank Ltd. 5,664 176
* KNT-CT Holdings Co. Ltd. 10,149 176
  SRA Holdings 6,168 176
  Mitsubishi Logisnext Co. Ltd. 23,861 175
  Teikoku Electric Manufacturing Co. Ltd. 16,518 175
^ Mars Engineering Corp. 8,558 174
  Kanagawa Chuo Kotsu Co. Ltd. 5,170 172
^ Nihon Trim Co. Ltd. 4,379 171
  Mitsubishi Research Institute Inc. 5,771 171
  Weathernews Inc. 5,274 170
  Future Corp. 16,816 170
  Elematec Corp. 7,364 169
  Fujitsu Frontech Ltd. 9,551 167
* Nippon Sharyo Ltd. 58,689 166
  Wellnet Corp. 15,421 166
^,* Medical Data Vision Co. Ltd. 8,663 165
^ Hito Communications Inc. 9,253 163
  Organo Corp. 6,169 163
  Dunlop Sports Co. Ltd. 10,946 162
  Fukui Computer Holdings Inc. 6,469 162
  Krosaki Harima Corp. 3,781 162
  Fuji Oil Co. Ltd. 41,394 161
  Takaoka Toko Co. Ltd. 9,752 159
  MTI Ltd. 26,378 159
  Mitsui Matsushima Co. Ltd. 12,541 158
  Atsugi Co. Ltd. 13,834 157
  Cleanup Corp. 19,730 157
  Rhythm Watch Co. Ltd. 7,462 156
  Kitagawa Iron Works Co. Ltd. 5,664 154
  Japan Cash Machine Co. Ltd. 14,225 154
  Furuno Electric Co. Ltd. 22,289 153
  Hokkaido Gas Co. Ltd. 58,747 152
  Nippon Coke & Engineering Co. Ltd. 136,722 151
  Halows Co. Ltd. 6,661 151
  Honeys Holdings Co. Ltd. 14,230 151
  Tokyo Tekko Co. Ltd. 7,959 151
  Yushiro Chemical Industry Co. Ltd. 9,952 151
  Yomiuri Land Co. Ltd. 3,582 151
  Asahi Co. Ltd. 12,343 150
  CHIMNEY Co. Ltd. 5,968 150
^ Toda Kogyo Corp. 3,482 145
  France Bed Holdings Co. Ltd. 15,298 142
  Kanaden Corp. 12,316 141
  Pocket Card Co. Ltd. 14,727 139
  Mitsui Home Co. Ltd. 20,898 138
  Nihon Yamamura Glass Co. Ltd. 78,612 138
  Sinanen Holdings Co. Ltd. 6,160 138
  NEC Capital Solutions Ltd. 6,866 136
  Tosho Printing Co. Ltd. 13,922 134
  Tomoku Co. Ltd. 6,956 130
  Linical Co. Ltd. 9,651 127
  Cybozu Inc. 27,188 125
  Artnature Inc. 19,006 125
  NDS Co. Ltd. 3,676 124
  Tv Tokyo Holdings Corp. 5,874 123
^ Nihon Dempa Kogyo Co. Ltd. 15,722 123
  Fuso Pharmaceutical Industries Ltd. 4,867 122
  Chuetsu Pulp & Paper Co. Ltd. 6,259 121
  CMIC Holdings Co. Ltd. 8,158 120
  Hokkan Holdings Ltd. 30,775 118
  Corona Corp. Class A 9,840 118

 

49


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Zuiko Corp. 3,482 117
^ Kourakuen Holdings Corp. 5,857 117
  Fields Corp. 11,741 114
  CAC Holdings Corp. 11,347 114
^ Funai Electric Co. Ltd. 13,832 112
  Mitsubishi Kakoki Kaisha Ltd. 5,174 112
  Gecoss Corp. 9,850 111
  Tokyo Electron Device Ltd. 5,672 111
  Gun-Ei Chemical Industry Co. Ltd. 3,177 110
  Matsuda Sangyo Co. Ltd. 7,643 110
  Srg Takamiya Co. Ltd. 17,916 109
  Toli Corp. 28,795 105
^,* Japan Drilling Co. Ltd. 5,472 105
  Maezawa Kyuso Industries Co. Ltd. 6,258 103
  Nippon Chemiphar Co. Ltd. 2,189 101
  Sankyo Seiko Co. Ltd. 23,935 99
^ Toyo Denki Seizo KK 5,569 99
^ Daikoku Denki Co. Ltd. 6,368 97
  Fujikura Kasei Co. Ltd. 15,290 96
  Inaba Seisakusho Co. Ltd. 7,463 94
  Alpha Systems Inc. 4,267 94
^,* Aplus Financial Co. Ltd. 90,572 90
  ASAHI YUKIZAI Corp. 6,744 89
^,* Laox Co. Ltd. 20,983 88
  Tsutsumi Jewelry Co. Ltd. 4,967 88
  Sumitomo Precision Products Co. Ltd. 26,869 87
^ Right On Co. Ltd. 10,250 85
^,* Shin Nippon Biomedical Laboratories Ltd. 17,210 84
  Gakken Holdings Co. Ltd. 2,878 83
  Chuo Spring Co. Ltd. 2,482 83
  Shimojima Co. Ltd. 7,851 83
  Daisyo Corp. 5,358 81
  Chugai Ro Co. Ltd. 3,971 80
  Tokyo Rakutenchi Co. Ltd. 1,489 77
  Kinki Sharyo Co. Ltd. 3,184 75
  Showa Aircraft Industry Co. Ltd. 5,950 74
  Toa Oil Co. Ltd. 52,738 70
  Nakayama Steel Works Ltd. 9,829 68
  Maezawa Kasei Industries Co. Ltd. 6,043 67
* Yamada SxL Home Co. Ltd. 88,561 65
  Takihyo Co. Ltd. 2,776 57
^ Kojima Co. Ltd. 16,893 56
  Airport Facilities Co. Ltd. 9,815 54
  Paris Miki Holdings Inc. 12,696 53
  Kobelco Eco-Solutions Co. Ltd. 1,100 19
* CYBG plc 1
      4,727,234
 
 
New Zealand (0.7%)    
  Fisher & Paykel Healthcare Corp. Ltd. 615,704 5,585
  Spark New Zealand Ltd. 2,013,113 5,072
* a2 Milk Co. Ltd. 797,796 4,737
  Auckland International Airport Ltd. 1,033,332 4,404
  Fletcher Building Ltd. 763,082 3,849
  Contact Energy Ltd. 787,282 3,099
  Ryman Healthcare Ltd. 464,174 2,955
  Meridian Energy Ltd. 1,380,325 2,693
* Xero Ltd. 106,850 2,517
  Z Energy Ltd. 417,962 2,108
  SKYCITY Entertainment Group Ltd. 739,333 1,968

 

50


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Mercury NZ Ltd. 758,044 1,707
Mainfreight Ltd. 87,586 1,466
Trade Me Group Ltd. 456,931 1,411
Kiwi Property Group Ltd. 1,542,562 1,399
Chorus Ltd. 462,598 1,271
Air New Zealand Ltd. 547,605 1,237
EBOS Group Ltd. 101,480 1,222
Goodman Property Trust 1,205,049 1,081
Infratil Ltd. 472,060 1,039
Genesis Energy Ltd. 585,813 982
Precinct Properties New Zealand Ltd. 1,096,836 972
Summerset Group Holdings Ltd. 277,925 926
Freightways Ltd. 168,555 883
SKY Network Television Ltd. 447,701 766
Metlifecare Ltd. 178,294 706
Argosy Property Ltd. 774,567 549
Vital Healthcare Property Trust 346,570 524
Heartland Bank Ltd. 402,904 524
New Zealand Refining Co. Ltd. 199,365 344
Kathmandu Holdings Ltd. 152,767 251
* TOWER Ltd. 164,733 91
    58,338
Singapore (3.1%)    
DBS Group Holdings Ltd. 1,992,913 33,279
Oversea-Chinese Banking Corp. Ltd. 3,649,097 31,870
United Overseas Bank Ltd. 1,427,590 25,790
Singapore Telecommunications Ltd. 8,289,215 22,812
Keppel Corp. Ltd. 1,599,660 8,805
Global Logistic Properties Ltd. 3,227,991 7,863
CapitaLand Ltd. 2,809,005 7,565
Genting Singapore plc 6,472,794 5,794
Wilmar International Ltd. 2,170,322 5,401
Ascendas REIT 2,637,799 5,304
Singapore Exchange Ltd. 909,118 5,116
City Developments Ltd. 528,717 5,021
Singapore Technologies Engineering Ltd. 1,697,330 4,333
Singapore Airlines Ltd. 556,573 4,195
Venture Corp. Ltd. 288,316 4,121
Suntec REIT 2,828,466 4,049
CapitaLand Mall Trust 2,550,533 3,781
Singapore Press Holdings Ltd. 1,854,457 3,672
UOL Group Ltd. 547,797 3,633
ComfortDelGro Corp. Ltd. 2,265,304 3,358
CapitaLand Commercial Trust 2,610,247 3,325
Jardine Cycle & Carriage Ltd. 110,627 3,199
Mapletree Commercial Trust 2,200,692 2,510
SATS Ltd. 714,641 2,465
Hutchison Port Holdings Trust 5,651,099 2,430
Sembcorp Industries Ltd. 989,068 2,395
Golden Agri-Resources Ltd. 7,542,950 2,186
Mapletree Industrial Trust 1,516,527 2,158
Mapletree Logistics Trust 2,139,170 1,993
Keppel REIT 2,303,082 1,985
Mapletree Greater China Commercial Trust 2,131,700 1,838
^ Singapore Post Ltd. 1,712,429 1,614
^ Sembcorp Marine Ltd. 923,866 1,310
StarHub Ltd. 675,470 1,304
Ascott Residence Trust 1,334,915 1,171
Frasers Centrepoint Trust 662,445 1,055
CDL Hospitality Trusts 864,853 1,037
United Engineers Ltd. 517,733 1,003
Starhill Global REIT 1,756,401 992
Keppel Infrastructure Trust 2,387,189 972
Frasers Logistics & Industrial Trust 1,182,904 968

 

51


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Manulife US REIT 1,038,348 940
^ Raffles Medical Group Ltd. 1,112,137 922
  Parkway Life REIT 427,954 895
  First Resources Ltd. 545,389 788
  Keppel DC REIT 700,744 707
  CapitaLand Retail China Trust 577,727 703
  Wing Tai Holdings Ltd. 397,852 700
  Lippo Malls Indonesia Retail Trust 2,071,614 661
  Cache Logistics Trust 1,030,426 620
  Frasers Commercial Trust 609,269 619
  SIA Engineering Co. Ltd. 253,609 607
  Asian Pay Television Trust 1,414,774 602
  Frasers Centrepoint Ltd. 392,100 598
  OUE Hospitality Trust 987,491 583
  ESR-REIT 1,313,792 535
  Ascendas Hospitality Trust 832,021 534
  First REIT 504,189 512
^ Frasers Hospitality Trust 847,000 488
  SPH REIT 642,320 471
  Yoma Strategic Holdings Ltd. 1,022,447 439
  Far East Hospitality Trust 838,889 431
^ M1 Ltd. 315,689 417
  Accordia Golf Trust 719,138 396
  OUE Ltd. 257,145 389
  Soilbuild Business Space REIT 731,395 354
  Sabana Shari'ah Compliant Industrial REIT 1,013,059 342
  Silverlake Axis Ltd. 766,036 334
  RHT Health Trust 537,139 331
^ Sheng Siong Group Ltd. 415,299 288
^,*,3 Ezion Holdings Ltd. 1,739,519 251
^ Noble Group Ltd. 974,979 208
  Hyflux Ltd. 516,932 186
  Bumitama Agri Ltd. 289,847 168
  Indofood Agri Resources Ltd. 441,778 146
^ SIIC Environment Holdings Ltd. 277,900 108
  Boustead Singapore Ltd. 156,922 104
* Ying Li International Real Estate Ltd. 427,500 45
^,*,3 China Fishery Group Ltd. 754,600 42
^,* COSCO Shipping International Singapore Co. Ltd. 129,331 28
* Midas Holdings Ltd. 162,400 25
  China Everbright Water Ltd. 47,100 17
^,*,3 Ezra Holdings Ltd. 1,786,900 14
*,3 Ezion Holdings Ltd. Warrants Exp. 04/15/2020 276,736 4
* Halcyon Agri Corp. Ltd. 1
      251,224
South Korea (12.6%)    
  Samsung Electronics Co. Ltd. 106,921 263,572
  SK Hynix Inc. 594,536 43,837
  Samsung Electronics Co. Ltd. Preference Shares 18,772 37,597
  NAVER Corp. 29,626 23,679
  Hyundai Motor Co. 161,388 23,218
  Shinhan Financial Group Co. Ltd. 513,276 23,055
  KB Financial Group Inc. 439,180 22,962
  POSCO 76,675 22,350
  LG Chem Ltd. 50,803 18,317
  Hyundai Mobis Co. Ltd. 73,446 17,477
  Hana Financial Group Inc. 329,040 14,083
^,* Celltrion Inc. 86,088 13,308
  SK Innovation Co. Ltd. 67,136 12,316
  KT&G Corp. 124,466 11,786
  Samsung SDI Co. Ltd. 59,192 10,906
  Samsung C&T Corp. 80,063 10,591
  LG Household & Health Care Ltd. 9,733 10,229
  Korea Electric Power Corp. 286,859 10,057

 

52


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Amorepacific Corp. 35,670 10,009
  LG Electronics Inc. 119,710 9,745
  SK Holdings Co. Ltd. 36,874 9,542
  Kia Motors Corp. 285,891 9,049
  Samsung Fire & Marine Insurance Co. Ltd. 36,521 8,912
  Samsung Life Insurance Co. Ltd. 70,561 8,507
  Woori Bank 564,298 8,258
  LG Corp. 100,360 7,717
  NCSoft Corp. 19,283 7,352
  Samsung SDS Co. Ltd. 35,227 6,523
  LG Display Co. Ltd. 248,346 6,497
  SK Telecom Co. Ltd. 25,146 5,936
  Samsung Electro-Mechanics Co. Ltd. 61,462 5,719
  Lotte Chemical Corp. 16,340 5,397
* Hyundai Heavy Industries Co. Ltd. 38,385 5,369
  S-Oil Corp. 45,504 5,232
  Coway Co. Ltd. 59,071 5,136
^,*,2 Samsung Biologics Co. Ltd. 14,819 5,084
  Korea Zinc Co. Ltd. 11,016 5,039
* Hyundai Robotics Co. Ltd. 11,609 4,685
  Kakao Corp. 36,035 4,636
  E-MART Inc. 22,751 4,554
  Hyundai Steel Co. 83,637 4,299
  Mirae Asset Daewoo Co. Ltd. 467,524 4,243
  Hyundai Motor Co. 2nd Preference Shares 40,640 4,102
  AMOREPACIFIC Group 31,948 4,097
  Industrial Bank of Korea 296,125 4,057
  Hankook Tire Co. Ltd. 82,925 4,002
  Kangwon Land Inc. 118,602 3,635
  Korea Aerospace Industries Ltd. 71,339 3,621
  GS Holdings Corp. 57,005 3,375
^,* SillaJen Inc. 55,417 3,347
  Dongbu Insurance Co. Ltd. 52,107 3,281
* Samsung Heavy Industries Co. Ltd. 299,058 3,152
^,* Hanmi Pharm Co. Ltd. 7,587 3,141
  Hyosung Corp. 26,016 3,127
^,*,2 Netmarble Games Corp. 19,653 3,055
  BNK Financial Group Inc. 327,301 2,904
  Hyundai Engineering & Construction Co. Ltd. 82,121 2,778
  Hyundai Marine & Fire Insurance Co. Ltd. 67,943 2,753
  Hyundai Glovis Co. Ltd. 20,125 2,716
  CJ CheilJedang Corp. 8,096 2,649
  Hanwha Chemical Corp. 92,280 2,514
^,* Celltrion Healthcare Co. Ltd. 47,472 2,496
* Orion Corp. 26,136 2,478
  LG Uplus Corp. 214,826 2,467
  Korea Investment Holdings Co. Ltd. 43,207 2,446
  LG Innotek Co. Ltd. 15,369 2,366
^ Hotel Shilla Co. Ltd. 33,462 2,341
  Hyundai Motor Co. Preference Shares 25,172 2,315
  CJ Corp. 13,756 2,293
  Hyundai Development Co-Engineering & Construction 63,665 2,281
  Daelim Industrial Co. Ltd. 29,792 2,220
  Samsung Securities Co. Ltd. 69,740 2,218
^ Mando Corp. 7,497 2,188
  LG Chem Ltd. Preference Shares 9,423 2,184
  KCC Corp. 6,135 2,138
  Lotte Shopping Co. Ltd. 10,540 2,118
  Lotte Corp. 31,575 2,102
  Hanon Systems 180,387 2,098
  Hanwha Corp. 52,551 2,097
^,* ViroMed Co. Ltd. 15,597 2,064
^ OCI Co. Ltd. 19,821 2,003
  Amorepacific Corp. Preference Shares 11,720 1,867

 

53


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Hanwha Life Insurance Co. Ltd. 263,008 1,858
^,* Samsung Engineering Co. Ltd. 170,008 1,854
  S-1 Corp. 21,649 1,772
  NH Investment & Securities Co. Ltd. 140,673 1,767
  Medy-Tox Inc. 4,359 1,650
  Hanssem Co. Ltd. 10,667 1,624
3 BGF retail Co. Ltd. 14,550 1,596
  CJ E&M Corp. 20,984 1,584
  DGB Financial Group Inc. 167,562 1,563
  Yuhan Corp. 8,533 1,555
  Shinsegae Inc. 7,424 1,518
* Korean Air Lines Co. Ltd. 52,309 1,481
  Cheil Worldwide Inc. 77,532 1,440
  Hyundai Department Store Co. Ltd. 17,496 1,429
  Meritz Fire & Marine Insurance Co. Ltd. 61,924 1,421
* Hanwha Techwin Co. Ltd. 40,116 1,375
  LG Household & Health Care Ltd. Preference Shares 2,350 1,375
  Doosan Corp. 11,333 1,357
  Com2uSCorp 11,379 1,356
  LS Corp. 19,063 1,346
* Daewoo Engineering & Construction Co. Ltd. 203,528 1,337
  Kolon Industries Inc. 19,565 1,323
  SK Chemicals Co. Ltd. 19,641 1,297
  Kumho Petrochemical Co. Ltd. 20,078 1,245
  Meritz Securities Co. Ltd. 307,944 1,227
^,* Hanmi Science Co. ltd 14,855 1,218
^,* Hyundai Merchant Marine Co. Ltd. 184,136 1,216
* Doosan Infracore Co. Ltd. 146,138 1,208
^,* Komipharm International Co. Ltd. 33,058 1,184
^ Korea Kolmar Co. Ltd. 15,903 1,176
^,* GS Engineering & Construction Corp. 49,374 1,147
  Green Cross Corp. 6,054 1,141
* Hyundai Mipo Dockyard Co. Ltd. 11,693 1,134
  Samsung Card Co. Ltd. 34,589 1,133
^ Doosan Heavy Industries & Construction Co. Ltd. 71,749 1,123
* CJ Logistics Corp. 7,932 1,112
* Korea Gas Corp. 30,208 1,103
  Green Cross Holdings Corp. 32,100 1,085
  Youngone Corp. 34,764 1,068
  NongShim Co. Ltd. 3,427 1,064
  Korean Reinsurance Co. 105,796 1,058
  Seoul Semiconductor Co. Ltd. 42,931 1,054
* NHN Entertainment Corp. 17,069 1,046
^ SK Materials Co. Ltd. 5,973 1,001
^,* Pan Ocean Co. Ltd. 210,565 989
* WONIK IPS Co. Ltd. 30,395 987
  SK Networks Co. Ltd. 166,127 987
^ Hyundai Wia Corp. 17,101 986
^,* Kumho Tire Co. Inc. 168,001 983
^ Paradise Co. Ltd. 52,247 938
  Ottogi Corp. 1,379 935
* Hugel Inc. 2,397 920
  Doosan Bobcat Inc. 28,336 916
^ Cosmax Inc. 7,347 913
  Koh Young Technology Inc. 13,208 906
  Posco Daewoo Corp. 52,075 903
  KEPCO Plant Service & Engineering Co. Ltd. 24,428 901
  LS Industrial Systems Co. Ltd. 16,582 888
  Innocean Worldwide Inc. 12,943 888
* Hyundai Rotem Co. Ltd. 50,515 885
^ CJ CGV Co. Ltd. 14,196 883
  LG Electronics Inc. Preference Shares 21,954 881
  Poongsan Corp. 19,839 870
  Dongsuh Cos. Inc. 34,889 857

 

54


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^,* HLB Inc. 37,692 840
* Hyundai Construction Equipment Co. Ltd. 2,484 831
  GS Retail Co. Ltd. 27,773 828
  Hyundai Greenfood Co. Ltd. 57,450 820
  LOTTE Himart Co. Ltd. 12,282 813
^ Hana Tour Service Inc. 9,024 804
^ KIWOOM Securities Co. Ltd. 12,045 771
  Korea Petrochemical Ind Co. Ltd. 3,430 767
  Hite Jinro Co. Ltd. 32,231 766
  LIG Nex1 Co. Ltd. 11,878 762
  SFA Engineering Corp. 20,230 737
  Hyundai Home Shopping Network Corp. 6,737 734
^,* Yungjin Pharmaceutical Co. Ltd. 91,008 723
* Osstem Implant Co. Ltd. 11,132 715
^ Kolon Life Science Inc. 5,133 703
  SKC Co. Ltd. 19,722 701
  LG International Corp. 26,881 698
^ Eo Technics Co. Ltd. 8,533 694
  Loen Entertainment Inc. 7,054 670
^ Fila Korea Ltd. 11,057 668
^,* Interflex Co. Ltd. 11,573 662
  Chong Kun Dang Pharmaceutical Corp. 6,489 652
  LOTTE Fine Chemical Co. Ltd. 18,053 649
* Medipost Co. Ltd. 7,412 647
  Taekwang Industrial Co. Ltd. 624 636
^,* Hanjin Kal Corp. 32,724 633
  GS Home Shopping Inc. 3,326 625
  Hansol Chemical Co. Ltd. 9,332 616
^ POSCO Chemtech Co. Ltd. 24,432 612
  Hanwha General Insurance Co. Ltd. 83,683 610
  Dongkuk Steel Mill Co. Ltd. 62,092 603
^ Douzone Bizon Co. Ltd. 21,002 600
  JB Financial Group Co. Ltd. 112,669 592
^ Dongjin Semichem Co. Ltd. 31,969 589
  Soulbrain Co. Ltd. 9,335 574
  Young Poong Corp. 565 562
  Bukwang Pharmaceutical Co. Ltd. 28,357 561
  Grand Korea Leisure Co. Ltd. 22,405 560
  Lotte Chilsung Beverage Co. Ltd. 452 559
  Korea Real Estate Investment & Trust Co. Ltd. 184,181 546
^,* Hyundai Electric & Energy System Co. Ltd. 2,583 544
  Iljin Materials Co. Ltd. 18,833 543
  Hanil Cement Co. Ltd. 4,516 541
  Daewoong Pharmaceutical Co. Ltd. 5,326 540
  CJ O Shopping Co. Ltd. 3,027 535
  Toptec Co. Ltd. 21,199 533
  Halla Holdings Corp. 8,765 530
  Samyang Holdings Corp. 6,560 529
  TES Co. Ltd. 17,110 529
* Dongbu HiTek Co. Ltd. 41,205 528
  LG Hausys Ltd. 6,458 524
* SM Entertainment Co. 17,136 509
  LEENO Industrial Inc. 11,124 509
* Webzen Inc. 20,311 508
^ JW Pharmaceutical Corp. 13,647 508
  Hankook Tire Worldwide Co. Ltd. 28,152 505
  Huchems Fine Chemical Corp. 23,812 501
  Hyundai Elevator Co. Ltd. 10,230 501
* Genexine Co. Ltd. 12,925 494
^,* Chabiotech Co. Ltd. 42,021 492
  Samsung Fire & Marine Insurance Co. Ltd. Preference Shares 3,022 484
* Jusung Engineering Co. Ltd. 39,258 482
  Daesang Corp. 22,470 478
^,* Celltrion Pharm Inc. 15,950 477

 

55


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  DoubleUGames Co. Ltd. 10,400 477
^ Nexen Tire Corp. 40,974 470
  Modetour Network Inc. 17,879 470
  LF Corp. 20,375 470
* Foosung Co. Ltd. 58,737 469
  Meritz Financial Group Inc. 31,983 466
^ Kolon Corp. 6,659 458
3 KC Tech Co. Ltd. 8,503 457
  Korea Electric Terminal Co. Ltd. 7,263 454
  Daou Technology Inc. 27,564 452
^,* Homecast Co. Ltd. 37,009 446
^,* Seegene Inc. 17,491 444
  Ssangyong Cement Industrial Co. Ltd. 30,626 443
^ Hansae Co. Ltd. 19,028 443
  IS Dongseo Co. Ltd. 14,273 440
* Asiana Airlines Inc. 106,218 439
  Daishin Securities Co. Ltd. 36,349 439
  Ilyang Pharmaceutical Co. Ltd. 13,766 428
  Hanwha Corp. Preference Shares 25,129 424
  Handsome Co. Ltd. 15,643 419
^,* Jenax Inc. 16,614 416
^,* DIO Corp. 13,531 410
* Korea Line Corp. 13,850 405
  Dongwon Industries Co. Ltd. 1,584 404
* Advanced Process Systems Corp. 11,640 401
  Maeil Holdings Co. Ltd. 22,820 392
^,* Hanall Biopharma Co. Ltd. 36,876 386
  Seah Besteel Corp. 13,541 384
^,* CrystalGenomics Inc. 28,280 384
^,* ATGen Co. Ltd. 11,515 384
  AK Holdings Inc. 6,362 382
  Songwon Industrial Co. Ltd. 19,838 381
  Tongyang Inc. 216,659 377
  SK Gas Ltd. 4,479 374
* Jeil Pharmaceutical Co. Ltd. 6,620 374
* Taeyoung Engineering & Construction Co. Ltd. 48,569 372
  Silicon Works Co. Ltd. 9,198 369
* Korea Asset In Trust Co. Ltd. 48,901 369
  Hanjin Transportation Co. Ltd. 14,363 368
^ Dong-A ST Co. Ltd. 4,596 367
  Dong-A Socio Holdings Co. Ltd. 3,349 365
  Mirae Asset Life Insurance Co. Ltd. 67,421 352
  InBody Co. Ltd. 13,337 347
^,* Amicogen Inc. 8,614 343
^ YG Entertainment Inc. 12,812 342
^,* iNtRON Biotechnology Inc. 11,932 341
  Lotte Food Co. Ltd. 628 336
  Shinyoung Securities Co. Ltd. 6,228 330
  S&T Motiv Co. Ltd. 7,963 325
^,* Gamevil Inc. 5,731 324
^,* CMG Pharmaceutical Co. Ltd. 105,442 324
  Binggrae Co. Ltd. 5,938 322
^,* Taihan Electric Wire Co. Ltd. 283,191 321
^,* Peptron Inc. 7,235 317
  Orion Holdings Corp. 13,749 316
  Samyang Corp. 3,651 316
  Posco ICT Co. Ltd. 50,296 316
  Daewoong Co. Ltd. 22,255 310
  Hansol Paper Co. Ltd. 20,828 306
* Lotte Confectionery Co. Ltd. 1,842 306
  SPC Samlip Co. Ltd. 2,486 305
^,* GemVax & Kael Co. Ltd. 27,900 303
^ JW Holdings Corp. 41,914 301
  Lock&Lock Co. Ltd. 15,389 298

 

56


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Partron Co. Ltd. 37,918 296
  Youngone Holdings Co. Ltd. 5,862 293
  SL Corp. 13,785 282
^,* Hanjin Heavy Industries & Construction Co. Ltd. 82,463 281
^,* Naturalendo Tech Co. Ltd. 12,905 281
^,* CUROCOM Co. Ltd. 112,774 279
* Hanwha Investment & Securities Co. Ltd. 107,257 277
  Vieworks Co. Ltd. 8,021 273
* SK Securities Co. Ltd. 245,171 273
  Daeduck Electronics Co. 29,381 269
  WeMade Entertainment Co. Ltd. 7,992 261
  Caregen Co. Ltd. 3,866 253
* Hansol Technics Co. Ltd. 16,017 253
^ Ahnlab Inc. 5,603 250
  Namyang Dairy Products Co. Ltd. 425 249
^ ST Pharm Co. Ltd. 8,420 248
  DongKook Pharmaceutical Co. Ltd. 4,442 246
  Tongyang Life Insurance Co. Ltd. 31,110 246
  NICE Holdings Co. Ltd. 17,208 244
  NICE Information Service Co. Ltd. 31,728 242
  Samchully Co. Ltd. 2,633 241
^ Daeduck GDS Co. Ltd. 15,142 238
  Korea Kolmar Holdings Co. Ltd. 5,897 238
* Yuanta Securities Korea Co. Ltd. 78,425 237
^,* Aprogen pharmaceuticals Inc. 69,551 229
  Sebang Global Battery Co. Ltd. 7,567 229
  KISWIRE Ltd. 7,200 226
  Hansol Holdings Co. Ltd. 40,933 226
  Kwangju Bank Co. Ltd. 21,375 225
  Sindoh Co. Ltd. 3,962 223
^ Kumho Industrial Co. Ltd. 25,549 221
^,* Duk San Neolux Co. Ltd. 11,208 220
* SFA Semicon Co. Ltd. 97,638 219
^ It's Hanbul Co. Ltd. 5,498 219
  Green Cross Cell Corp. 5,374 216
* Wonik Holdings Co. Ltd. 31,912 216
^ KEPCO Engineering & Construction Co. Inc. 13,462 215
  Dae Hwa Pharmaceutical Co. Ltd. 10,363 215
  Muhak Co. Ltd. 13,199 214
  Kwang Dong Pharmaceutical Co. Ltd. 29,386 212
^,* Huons Co. Ltd. 3,538 212
  SeAH Steel Corp. 2,547 209
  Hyundai Livart Furniture Co. Ltd. 9,784 209
  Cuckoo Electronics Co. Ltd. 1,552 209
^ Huons Global Co. Ltd. 5,446 206
^ Seobu T&D 15,462 205
  Hankook Shell Oil Co. Ltd. 578 204
  Daekyo Co. Ltd. 27,547 202
^ NS Shopping Co. Ltd. 14,990 201
  Hancom Inc. 13,852 196
  Dongwon F&B Co. Ltd. 1,066 194
^ Able C&C Co. Ltd. 10,614 192
^,* Emerson Pacific Inc. 7,836 192
  Chongkundang Holdings Corp. 3,115 192
* Ssangyong Motor Co. 40,269 189
  Sungwoo Hitech Co. Ltd. 31,431 188
^,* Leaders Cosmetics Co. Ltd. 11,056 184
^,* NUTRIBIOTECH Co. Ltd. 9,356 183
  CJ CheilJedang Corp. Preference Shares 1,253 182
  Cell Biotech Co. Ltd. 5,481 182
^ Dawonsys Co. Ltd. 17,532 179
  Youlchon Chemical Co. Ltd. 12,047 179
^ iMarketKorea Inc. 20,930 179
* Pharmicell Co. Ltd. 47,087 177

 

57


 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  i-SENS Inc. 8,269 174
  KT Skylife Co. Ltd. 13,988 174
^,* Binex Co. Ltd. 21,825 170
^ ICD Co. Ltd. 12,547 169
^,* COSON Co. Ltd. 13,322 167
  CJ Hellovision Co. Ltd. 25,075 164
  Daishin Securities Co. Ltd. Preference Shares 19,354 162
* S&T Dynamics Co. Ltd. 21,412 160
  Humedix Co. Ltd. 5,006 156
  E1 Corp. 2,974 153
^ CJ Freshway Corp. 4,321 151
  SBS Media Holdings Co. Ltd. 55,748 151
  Namhae Chemical Corp. 18,610 151
* Eugene Investment & Securities Co. Ltd. 56,837 151
* Insun ENT Co. Ltd. 24,551 149
  KISCO Corp. 4,359 147
  CROWNHAITAI Holdings Co. Ltd. 9,170 146
  Lutronic Corp. 14,122 142
  Hyundai Corp. 7,187 142
^ Sung Kwang Bend Co. Ltd. 15,908 141
^,* G-SMATT GLOBAL Co. Ltd. 12,258 140
^ Coreana Cosmetics Co. Ltd. 22,740 139
  Cosmax BTI Inc 4,116 136
* KTB Investment & Securities Co. Ltd. 44,088 136
  Sam Young Electronics Co. Ltd. 11,192 136
  Interpark Holdings Corp. 36,083 135
  Kyobo Securities Co. Ltd. 16,417 134
^ KH Vatec Co. Ltd. 12,932 131
^,* Taewoong Co. Ltd. 8,132 130
  Seoyon E-Hwa Co. Ltd. 12,026 129
  Dae Han Flour Mills Co. Ltd. 842 127
^ Byucksan Corp. 41,431 126
  Humax Co. Ltd. 14,878 125
* NEPES Corp. 15,206 122
* Lumens Co. Ltd. 37,737 122
* Woongjin Thinkbig Co. Ltd. 19,431 120
^,* Agabang&Company 22,329 119
* Neowiz 11,282 118
  GOLFZON Co. Ltd. 2,849 118
  Kolao Holdings 25,107 112
  DY Corp. 16,308 111
  TK Corp. 12,269 110
^,* CrucialTec Co. Ltd. 43,362 110
^,* KONA I Co. Ltd. 11,398 108
* GNCO Co. Ltd. 65,482 108
  INTOPS Co. Ltd. 11,234 105
* Maeil Dairies Co. Ltd. 1,658 104
* Duksan Hi-Metal Co. Ltd. 12,546 99
^,* Cellumed Co. Ltd. 15,205 99
^,* APS Holdings Corp. 10,153 91
* Doosan Engine Co. Ltd. 23,830 90
^,* Samsung Pharmaceutical Co. Ltd. 28,069 88
  Eusu Holdings Co. Ltd. 15,078 87
^ Daewoo Shipbuilding & Marine Engineering Co. Ltd. 5,059 83
* Dongbu Securities Co. Ltd. 24,758 77
* Hyundai Construction Equipment Co. Ltd. Rights Exp. 11/07/2017 776 69
  MegaStudy Co. Ltd. 2,433 68
  Seoyon Co. Ltd. 9,429 68
^ Hyundai Corp. Holdings Inc. 5,099 66
* 3S Korea Co. Ltd. 38,610 66
^ Jeil Pharma Holdings Inc. 1,792 64
* Hyundai Electric & Energy System Co. Ltd. Rights 802 36
* Able C&C Co. Ltd. Rights Exp. 11/09/2017 4,151 25
  Hitejinro Holdings Co. Ltd. 1,062 10

 

58


 

Vanguard® Pacific Stock Index Fund        
Schedule of Investments        
October 31, 2017        
 
          Market
          Value
        Shares ($000)
* Crown Confectionery Co. Ltd.     534 8
*,3 BGF retail Co. Ltd.     7,794
*,3 KC Tech Co. Ltd.     12,447
 
          1,018,878
 
Total Common Stocks (Cost $7,847,777)       8,030,688
 
    Coupon      
Temporary Cash Investments (2.5%)1        
Money Market Fund (2.5%)        
4,5 Vanguard Market Liquidity Fund 1.246%   2,032,086 203,229
 
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.0%)        
6 United States Cash Management Bill 1.048% 1/2/18 1,000 998
6 United States Treasury Bill 1.089% 2/1/18 1,000 997
6 United States Treasury Bill 1.087% 3/1/18 1,500 1,494
 
          3,489
 
Total Temporary Cash Investments (Cost $206,738)       206,718
Total Investments (101.6%) (Cost $8,054,515)       8,237,406
Other Assets and Liabilities—Net (-1.6%)5,7       (129,663)
Net Assets (100%)       8,107,743

 

^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $154,882,000.
* Non-income-producing security.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund's effective common stock and temporary cash investment positions represent 99.9% and 1.7%, respectively, of net
assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate value of these securities was $20,875,000,
representing 0.3% of net assets.
3 Security value determined using significant unobservable inputs.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
5 Includes $166,488,000 of collateral received for securities on loan.
6 Securities with a value of $2,891,000 have been segregated as initial margin for open futures contracts.
7 Cash of $1,159,000 has been segregated as collateral for open forward currency contracts.
ADR—American Depositary Receipt.
REIT—Real Estate Investment Trust.
__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________
__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________

59


 

 

 

 

 

 

 

 

 

© 2017 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.

SNA720 122017


Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
 
Common Stocks (99.3%)1    
Australia (2.3%)    
Commonwealth Bank of Australia 469,482 27,927
Westpac Banking Corp. 920,935 23,327
Australia & New Zealand Banking Group Ltd. 796,995 18,290
National Australia Bank Ltd. 724,636 18,157
BHP Billiton Ltd. 876,869 18,054
CSL Ltd. 123,655 13,164
Wesfarmers Ltd. 308,487 9,881
Woolworths Ltd. 354,821 7,034
Macquarie Group Ltd. 84,147 6,348
Rio Tinto Ltd. 117,180 6,244
Transurban Group 568,527 5,285
Woodside Petroleum Ltd. 200,573 4,728
Scentre Group 1,412,944 4,357
Amcor Ltd. 322,805 3,918
South32 Ltd. 1,444,083 3,772
Suncorp Group Ltd. 355,148 3,697
Newcrest Mining Ltd. 212,623 3,635
AGL Energy Ltd. 180,221 3,489
Insurance Australia Group Ltd. 653,762 3,287
Brambles Ltd. 447,245 3,243
Westfield Corp. 536,855 3,200
Goodman Group 493,777 3,166
AMP Ltd. 825,052 3,144
Telstra Corp. Ltd. 1,150,599 3,123
QBE Insurance Group Ltd. 377,729 3,097
Aristocrat Leisure Ltd. 170,780 3,087
* Origin Energy Ltd. 481,894 2,935
Treasury Wine Estates Ltd. 197,705 2,373
Stockland 646,769 2,242
ASX Ltd. 51,800 2,143
Aurizon Holdings Ltd. 535,775 2,126
Cochlear Ltd. 15,333 2,065
Dexus 272,188 2,038
APA Group 298,294 1,958
GPT Group 482,253 1,883
LendLease Group 151,272 1,878
Sonic Healthcare Ltd. 112,107 1,872
Boral Ltd. 337,442 1,852
Oil Search Ltd. 325,906 1,847
Caltex Australia Ltd. 69,777 1,832
Mirvac Group 991,062 1,832
James Hardie Industries plc 117,880 1,800
Vicinity Centres 869,380 1,767
Ramsay Health Care Ltd. 34,248 1,756
Medibank Pvt Ltd. 737,684 1,736
* Santos Ltd. 497,194 1,718
Sydney Airport 295,241 1,609
Challenger Ltd. 152,686 1,557
Computershare Ltd. 130,033 1,554
Orica Ltd. 96,221 1,541
Fortescue Metals Group Ltd. 427,253 1,519
BlueScope Steel Ltd. 149,352 1,470
Incitec Pivot Ltd. 443,970 1,302
SEEK Ltd. 91,915 1,294
Alumina Ltd. 705,435 1,266
Qantas Airways Ltd. 237,276 1,120
Tatts Group Ltd. 345,635 1,105
Star Entertainment Grp Ltd. 247,491 1,091
Bank of Queensland Ltd. 104,952 1,074
Bendigo & Adelaide Bank Ltd. 123,045 1,073
CIMIC Group Ltd. 26,017 965
 
 
 
 
  1  

 


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Coca-Cola Amatil Ltd. 152,009 949
ALS Ltd. 150,435 903
Orora Ltd. 337,865 881
Downer EDI Ltd. 159,095 854
Iluka Resources Ltd. 111,163 801
Crown Resorts Ltd. 89,788 798
Link Administration Holdings Ltd. 126,255 797
Tabcorp Holdings Ltd. 223,713 770
REA Group Ltd. 13,776 764
IOOF Holdings Ltd. 90,703 748
carsales.com Ltd. 70,323 738
Macquarie Atlas Roads Group 159,747 730
Ansell Ltd. 37,517 691
DuluxGroup Ltd. 121,559 687
Healthscope Ltd. 448,463 674
Adelaide Brighton Ltd. 139,832 666
AusNet Services 473,030 641
Domino's Pizza Enterprises Ltd. 17,875 639
Magellan Financial Group Ltd. 33,525 623
^ JB Hi-Fi Ltd. 35,287 619
nib holdings Ltd. 126,265 610
Qube Holdings Ltd. 298,725 589
Northern Star Resources Ltd. 147,535 587
* Whitehaven Coal Ltd. 203,455 582
* WorleyParsons Ltd. 49,326 531
Sims Metal Management Ltd. 51,767 525
BT Investment Management Ltd. 63,230 523
Charter Hall Group 117,330 522
Flight Centre Travel Group Ltd. 14,447 518
Metcash Ltd. 247,646 512
OZ Minerals Ltd. 79,925 494
Mineral Resources Ltd. 36,837 492
CSR Ltd. 135,035 491
G8 Education Ltd. 138,748 485
Investa Office Fund 140,876 484
^ Harvey Norman Holdings Ltd. 165,211 479
Fairfax Media Ltd. 566,098 477
Evolution Mining Ltd. 263,063 473
Regis Resources Ltd. 155,747 463
GrainCorp Ltd. Class A 69,791 455
Nufarm Ltd. Ordinary Shares 64,742 451
Perpetual Ltd. 11,643 433
^ Blackmores Ltd. 3,503 428
^ TPG Telecom Ltd. 102,672 425
^ Platinum Asset Management Ltd. 76,033 425
Primary Health Care Ltd. 161,995 425
Beach Energy Ltd. 564,598 422
Independence Group NL 131,036 403
IRESS Ltd. 43,139 389
Costa Group Holdings Ltd. 80,223 382
Corporate Travel Management Ltd. 20,243 373
Shopping Centres Australasia Property Group 199,952 360
Reliance Worldwide Corp. Ltd. 123,386 353
St. Barbara Ltd. 157,627 348
Navitas Ltd. 91,551 335
Vocus Group Ltd. 150,966 333
InvoCare Ltd. 24,361 317
BWP Trust 133,644 316
* NEXTDC Ltd. 76,651 303
Cromwell Property Group 395,933 303
* Saracen Mineral Holdings Ltd. 270,201 299
Webjet Ltd. 33,512 296
* Galaxy Resources Ltd. 111,184 294
2 MYOB Group Ltd. 101,102 291

 

2


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Bapcor Ltd. 69,451 290
  Cleanaway Waste Management Ltd. 251,594 290
  Viva Energy REIT 172,615 283
  ARB Corp. Ltd. 19,394 271
  Aveo Group 139,512 270
  Bega Cheese Ltd. 46,740 263
  Steadfast Group Ltd. 123,785 254
  Washington H Soul Pattinson & Co. Ltd. 19,852 254
  Altium Ltd. 27,510 253
  Breville Group Ltd. 27,898 249
  Eclipx Group Ltd. 79,787 248
  Premier Investments Ltd. 23,993 243
  Monadelphous Group Ltd. 18,471 240
  Southern Cross Media Group Ltd. 276,821 238
  Mantra Group Ltd. 79,163 237
  Technology One Ltd. 59,623 230
* Pilbara Minerals Ltd. 363,234 225
  Charter Hall Retail REIT 70,558 219
  Folkestone Education Trust 102,041 219
  SpeedCast International Ltd. 68,230 218
  Sigma Healthcare Ltd. 353,007 204
*,^ Mayne Pharma Group Ltd. 376,918 198
  Seven Group Holdings Ltd. 19,431 198
  McMillan Shakespeare Ltd. 15,440 186
  Abacus Property Group 62,402 182
* Lynas Corp. Ltd. 1,314,005 182
  Pact Group Holdings Ltd. 40,730 181
  GUD Holdings Ltd. 19,592 179
  Super Retail Group Ltd. 29,644 176
  Growthpoint Properties Australia Ltd. 68,415 174
  Sandfire Resources NL 38,621 170
  Aventus Retail Property Fund Ltd. 95,328 169
* Bellamy's Australia Ltd. 18,315 169
  Charter Hall Long Wale REIT 51,456 164
  Estia Health Ltd. 60,540 161
  GDI Property Group 169,730 155
* Orocobre Ltd. 41,367 154
  Ingenia Communities Group 74,082 151
  Automotive Holdings Group Ltd. 60,314 150
  IDP Education Ltd. 34,158 147
  Tassal Group Ltd. 45,415 146
*,^ Syrah Resources Ltd. 56,182 145
  WiseTech Global Ltd. 15,960 143
*,^ Aconex Ltd. 36,255 141
  Ardent Leisure Group 97,717 140
  National Storage REIT 123,531 140
  Nine Entertainment Co. Holdings Ltd. 118,560 136
* Starpharma Holdings Ltd. 129,509 136
  Credit Corp. Group Ltd. 8,434 130
  GWA Group Ltd. 65,018 127
* Nanosonics Ltd. 54,585 126
  Brickworks Ltd. 11,518 125
  SmartGroup Corp. Ltd. 16,682 124
  APN Outdoor Group Ltd. 34,532 124
  Ausdrill Ltd. 73,605 122
* Australian Agricultural Co. Ltd. 106,617 120
  IPH Ltd. 26,274 118
  Arena REIT 68,505 117
  Centuria Industrial REIT 59,309 117
  BWX Ltd. 20,537 114
^ Blue Sky Alternative Investments Ltd. 10,502 113
  Myer Holdings Ltd. 192,568 113
  Western Areas Ltd. 52,834 113
  Gateway Lifestyle 74,362 112

 

3


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Rural Funds Group 66,378 112
  Retail Food Group Ltd. 33,135 112
  Inghams Group Ltd. 39,642 108
  Sirtex Medical Ltd. 9,804 103
* Nufarm Ltd. 14,388 100
^ Japara Healthcare Ltd. 64,092 99
  Seven West Media Ltd. 191,420 99
  Collins Foods Ltd. 22,331 95
  Genworth Mortgage Insurance Australia Ltd. 43,533 95
* Elders Ltd. 24,242 94
* Gold Road Resources Ltd. 176,515 93
  Tox Free Solutions Ltd. 48,450 91
  Australian Pharmaceutical Industries Ltd. 78,311 90
* Village Roadshow Ltd. 30,616 88
  MACA Ltd. 54,308 87
  SG Fleet Group Ltd. 27,592 86
* Ainsworth Game Technology Ltd. 49,373 86
  oOh!media Ltd. 25,588 86
* Senex Energy Ltd. 319,614 85
  Resolute Mining Ltd. 107,430 84
  FlexiGroup Ltd. 73,158 82
* Westgold Resources Ltd. 57,371 82
  Regis Healthcare Ltd. 27,703 77
* Highfield Resources Ltd. 94,587 76
* Infigen Energy 134,985 76
  Hotel Property Investments 30,663 74
  Asaleo Care Ltd. 64,802 73
*,^ Mesoblast Ltd. 70,592 72
  HT&E Ltd. 47,055 63
^ Superloop Ltd. 31,917 61
  RCR Tomlinson Ltd. 18,116 60
^ Select Harvests Ltd. 16,297 59
  SeaLink Travel Group Ltd. 17,794 59
*,^ Perseus Mining Ltd. 207,674 51
  Greencross Ltd. 10,999 45
* Liquefied Natural Gas Ltd. 123,849 45
  OFX Group Ltd. 39,620 42
^ RCG Corp. Ltd. 73,467 42
  WPP AUNZ Ltd. 58,559 41
* CSG Ltd. 85,730 39
*,^ Karoon Gas Australia Ltd. 40,339 37
* AWE Ltd. 93,461 37
* Cardno Ltd. 35,086 36
  Cedar Woods Properties Ltd. 7,313 32
^ iSentia Group Ltd. 40,814 31
  Mount Gibson Iron Ltd. 105,993 31
* Beadell Resources Ltd. 223,979 31
  Virtus Health Ltd. 7,125 30
  NZME Ltd. 47,055 30
  Vita Group Ltd. 27,685 27
  Reject Shop Ltd. 6,933 25
  ERM Power Ltd. 23,151 24
  Cabcharge Australia Ltd. 13,013 16
*,3 Quintis Ltd. 62,856 14
  Thorn Group Ltd. 17,486 11
* Cash Converters International Ltd. 29,337 8
*,3 ACN 004 410 833 Ltd. 450,831 8
* Billabong International Ltd. 14,358 7
* MMA Offshore Ltd. 40,368 6
  Decmil Group Ltd. 5,745 6
*,3 Paladin Energy Ltd. 153,176 5
*,3 Ten Network Holdings Ltd. 27,323 3
*,3 DSHE Holdings Ltd. 14,824

 

4


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
*,3 Jacana Minerals Ltd. 5,347
      314,869
Austria (0.1%)    
  Erste Group Bank AG 79,905 3,430
  OMV AG 37,932 2,276
  voestalpine AG 32,496 1,787
* Raiffeisen Bank International AG 35,021 1,218
  ANDRITZ AG 18,862 1,066
  Wienerberger AG 33,137 850
  BUWOG AG 28,624 825
  IMMOFINANZ AG 234,612 593
  CA Immobilien Anlagen AG 16,756 478
  Lenzing AG 3,334 451
  Oesterreichische Post AG 9,480 421
  RHI AG 7,981 354
  Telekom Austria AG Class A 35,662 334
  UNIQA Insurance Group AG 30,201 309
  S IMMO AG 16,526 291
  Mayr Melnhof Karton AG 1,666 242
  Vienna Insurance Group AG Wiener Versicherung Gruppe 7,914 232
* Schoeller-Bleckmann Oilfield Equipment AG 2,289 214
  Strabag SE 5,036 210
  Verbund AG 8,641 210
  Flughafen Wien AG 3,428 138
  Kapsch TrafficCom AG 2,165 126
  EVN AG 7,792 123
  Palfinger AG 2,713 120
  Zumtobel Group AG 6,626 113
^ Porr AG 2,073 65
^ DO & CO AG 1,150 61
^ Semperit AG Holding 2,008 59
      16,596
Belgium (0.4%)    
  Anheuser-Busch InBev SA/NV 206,315 25,299
  KBC Group NV 75,556 6,277
  Solvay SA Class A 18,533 2,753
  Ageas 51,402 2,493
  UCB SA 33,050 2,406
* Umicore SA 48,542 2,169
  Groupe Bruxelles Lambert SA 19,231 2,066
  Proximus SADP 41,510 1,378
  Ackermans & van Haaren NV 5,950 1,019
* Telenet Group Holding NV 14,476 1,001
  Colruyt SA 17,404 890
  bpost SA 27,562 777
  Ontex Group NV 21,845 768
  Cofinimmo SA 5,550 704
  Sofina SA 4,095 616
  KBC Ancora 9,536 569
  Elia System Operator SA/NV 8,714 506
  Melexis NV 4,369 438
  Aedifica SA 4,589 437
  Warehouses De Pauw CVA 4,042 437
  Bekaert SA 8,751 414
* Tessenderlo Chemie NV (Voting Shares) 6,754 324
  Befimmo SA 5,202 323
  Gimv NV 5,013 302
  Kinepolis Group NV 3,966 268
  Euronav NV 31,591 262
  D'ieteren SA/NV 5,632 258
  EVS Broadcast Equipment SA 6,818 256
  Cie d'Entreprises CFE 1,711 250
* AGFA-Gevaert NV 50,679 238
  Econocom Group SA/NV 30,696 236

 

5


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Barco NV 2,159 221
  Orange Belgium SA 9,214 213
*,^ Nyrstar (Voting Shares) 22,019 176
  Ion Beam Applications 5,029 154
  Van de Velde NV 2,344 130
^ Greenyard NV 3,834 91
  Wereldhave Belgium NV 674 72
      57,191
Brazil (0.8%)    
  Itau Unibanco Holding SA Preference Shares 543,518 6,986
  Banco Bradesco SA ADR 570,616 6,031
  Vale SA Class B ADR 522,648 5,117
* Petroleo Brasileiro SA Preference Shares 945,192 4,845
  Ambev SA ADR 745,048 4,716
  Itau Unibanco Holding SA ADR 311,375 3,989
  B3 SA - Brasil Bolsa Balcao 533,450 3,897
  Vale SA 355,652 3,490
  Itausa - Investimentos Itau SA Preference Shares 1,046,133 3,351
  Banco Bradesco SA Preference Shares 302,856 3,211
* Petroleo Brasileiro SA 592,046 3,153
  Banco do Brasil SA 292,193 3,076
  Ambev SA 466,637 2,981
  Ultrapar Participacoes SA 116,448 2,780
  Kroton Educacional SA 412,136 2,266
* BRF SA 155,224 2,100
  Cielo SA 304,288 2,082
  Lojas Renner SA 182,940 1,928
  Telefonica Brasil SA Preference Shares 110,964 1,713
  CCR SA 298,844 1,663
  Banco Bradesco SA 162,826 1,632
  BB Seguridade Participacoes SA 182,539 1,547
  Raia Drogasil SA 60,000 1,434
* Petroleo Brasileiro SA ADR 116,878 1,245
* Rumo SA 290,283 1,127
  WEG SA 161,422 1,050
  Hypermarcas SA 99,312 1,038
* Cia Brasileira de Distribuicao Grupo Pao de Acucar Preference Shares 44,121 1,028
  Klabin SA 176,700 1,021
  Banco Santander Brasil SA 111,700 977
  Lojas Americanas SA Preference Shares 177,158 952
  Fibria Celulose SA 58,700 939
  Equatorial Energia SA 50,200 936
  CPFL Energia SA 104,329 877
  BR Malls Participacoes SA 222,618 863
  Cia de Saneamento Basico do Estado de Sao Paulo 89,900 819
* Braskem SA Preference Shares 50,280 805
  Suzano Papel e Celulose SA Preference Shares Class A 120,734 750
  Localiza Rent a Car SA 41,045 726
  Qualicorp SA 58,800 629
  Estacio Participacoes SA 68,500 614
  Gerdau SA Preference Shares 183,400 614
  Centrais Eletricas Brasileiras SA Preference Shares 76,500 593
  Embraer SA ADR 29,863 572
  Multiplan Empreendimentos Imobiliarios SA 24,007 525
  TIM Participacoes SA 140,600 521
  JBS SA 217,898 502
  Cia Energetica de Minas Gerais Preference Shares 211,600 500
  Bradespar SA Preference Shares 67,900 498
  Lojas Americanas SA 110,729 484
  Engie Brasil Energia SA 43,100 472
  Natura Cosmeticos SA 49,500 469
  Cosan SA Industria e Comercio 40,800 466
* Centrais Eletricas Brasileiras SA 64,400 434
* Petroleo Brasileiro SA ADR Type A 40,650 417

 

6


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Fleury SA 46,600 411
CVC Brasil Operadora e Agencia de Viagens SA 31,000 409
Magazine Luiza SA 19,900 388
* Atacadao Distribuicao Comercio e Industria Ltda 78,571 386
* Banco BTG Pactual SA 56,492 380
M Dias Branco SA 25,200 371
TOTVS SA 36,100 360
Odontoprev SA 71,900 346
Cia Hering 38,400 343
Sul America SA 62,246 341
Embraer SA 69,300 332
* Smiles Fidelidade SA 12,600 329
Transmissora Alianca de Energia Eletrica SA 50,927 319
Cyrela Brazil Realty SA Empreendimentos e Participacoes 76,598 300
MRV Engenharia e Participacoes SA 75,200 291
EDP - Energias do Brasil SA 65,567 289
Gerdau SA ADR 82,126 272
Cia de Saneamento do Parana Preference Shares 79,300 263
* B2W Cia Digital 38,962 253
Iochpe Maxion SA 36,924 253
Porto Seguro SA 22,872 250
Iguatemi Empresa de Shopping Centers SA 21,200 249
* Usinas Siderurgicas de Minas Gerais SA Preference Shares 92,471 249
TIM Participacoes SA ADR 13,500 249
Cia de Saneamento de Minas Gerais-COPASA 20,489 247
* Via Varejo SA 33,500 231
* Cia Siderurgica Nacional SA ADR 89,670 227
* Cia Siderurgica Nacional SA 86,800 224
Arezzo Industria e Comercio SA 14,200 219
* Metalurgica Gerdau SA Preference Shares Class A 140,100 219
Banco do Estado do Rio Grande do Sul SA Preference Shares 46,698 218
Cia de Transmissao de Energia Eletrica Paulista Preference Shares 10,477 213
Cia Energetica de Minas Gerais Class A 95,422 213
EcoRodovias Infraestrutura e Logistica SA 56,200 210
Sao Martinho SA 35,700 201
Multiplus SA 16,200 188
Cia Energetica de Sao Paulo Preference Shares 46,585 185
Linx SA 29,400 185
AES Tiete Energia SA 46,361 184
* Aliansce Shopping Centers SA 34,069 183
Duratex SA 60,585 177
* Light SA 29,973 167
* Gol Linhas Aereas Inteligentes SA Preference Shares 37,300 158
Eletropaulo Metropolitana Eletricidade de Sao Paulo SA Preference Shares 34,808 157
Alpargatas SA Preference Shares 28,989 153
* Marfrig Global Foods SA 77,700 153
Randon Participacoes SA Preference Shares 71,064 151
Ez Tec Empreendimentos e Participacoes SA 21,859 144
BR Properties SA 44,276 141
Marcopolo SA Preference Shares 114,295 139
QGEP Participacoes SA 52,800 136
Wiz Solucoes e Corretagem de Seguros SA 27,200 136
Cia Paranaense de Energia Preference Shares 17,400 133
Grendene SA 15,600 131
GAEC Educacao SA 17,164 128
Tupy SA 23,300 124
Minerva SA 34,300 121
* Instituto Hermes Pardini SA 12,400 117
Cia de Gas de Sao Paulo COMGAS Preference Shares Class A 7,516 116
* Movida Participacoes SA 43,300 109
Alupar Investimento SA 18,958 105
Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA 18,538 104
Guararapes Confeccoes SA 2,000 96
SLC Agricola SA 13,300 89

 

7


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Direcional Engenharia SA 49,300 88
* Prumo Logistica SA 23,400 80
Mahle-Metal Leve SA 12,100 79
2 Ser Educacional SA Ordinary Shares 8,400 79
* Marisa Lojas SA 30,150 72
Cia Paranaense de Energia 10,000 66
* Even Construtora e Incorporadora SA 37,100 61
Magnesita Refratarios SA 3,660 51
* Construtora Tenda SA 9,686 51
Sonae Sierra Brasil SA 5,800 50
* Alliar Medicos A Frente SA 9,600 48
Cia Energetica do Ceara Preference Shares 2,819 45
Cia Energetica de Minas Gerais ADR 19,000 45
* Gafisa SA 9,686 44
* Santos Brasil Participacoes SA 35,000 37
* JSL SA 9,200 26
* Ser Educacional SA 947 9
* Cia Energetica de Minas Gerais Rights Preference Shares 21,066 7
* Cia Energetica de Minas Gerais Rights 15,160 4
* PPLA Participations Ltd. 7,899 4
* Iochpe Maxion SA Warrants Exp. 4/01/2019 672
    112,562
Canada (3.1%)    
Royal Bank of Canada 393,757 30,787
Toronto-Dominion Bank 502,897 28,589
Bank of Nova Scotia 326,321 21,065
Enbridge Inc. 444,875 17,097
Canadian National Railway Co. 203,167 16,348
Suncor Energy Inc. 454,932 15,445
Bank of Montreal 173,645 13,302
Canadian Natural Resources Ltd. 323,792 11,299
TransCanada Corp. 236,638 11,235
Manulife Financial Corp. 536,977 10,797
Canadian Imperial Bank of Commerce 112,633 9,914
Brookfield Asset Management Inc. Class A 230,497 9,669
Canadian Pacific Railway Ltd. 40,202 6,970
Sun Life Financial Inc. 167,852 6,538
Magna International Inc. 98,899 5,395
Alimentation Couche-Tard Inc. Class B 112,504 5,275
Rogers Communications Inc. Class B 98,894 5,131
Barrick Gold Corp. 321,803 4,650
Pembina Pipeline Corp. 140,405 4,642
National Bank of Canada 95,222 4,621
Potash Corp. of Saskatchewan Inc. 232,110 4,518
Fortis Inc. 116,249 4,281
Agrium Inc. 38,271 4,166
Restaurant Brands International Inc. 63,180 4,082
Franco-Nevada Corp. 50,267 3,995
Fairfax Financial Holdings Ltd. 7,447 3,922
* CGI Group Inc. Class A 73,572 3,909
BCE Inc. 82,261 3,798
Waste Connections Inc. 53,508 3,781
Thomson Reuters Corp. 78,579 3,674
Cenovus Energy Inc. 338,266 3,283
Dollarama Inc. 29,313 3,263
Constellation Software Inc. 5,566 3,167
Goldcorp Inc. 239,384 3,127
Encana Corp. 267,025 3,123
Loblaw Cos. Ltd. 56,869 2,935
Agnico Eagle Mines Ltd. 64,057 2,860
Intact Financial Corp. 34,900 2,853
Power Corp. of Canada 102,990 2,641
Shaw Communications Inc. Class B 115,020 2,627
Teck Resources Ltd. Class B 125,744 2,569

 

8


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Wheaton Precious Metals Corp. 119,492 2,480
Open Text Corp. 69,900 2,444
Imperial Oil Ltd. 69,090 2,240
Canadian Tire Corp. Ltd. Class A 17,942 2,202
Saputo Inc. 59,100 2,134
SNC-Lavalin Group Inc. 46,900 2,113
Great-West Lifeco Inc. 74,000 2,059
Onex Corp. 27,000 2,052
First Quantum Minerals Ltd. 181,923 2,035
Inter Pipeline Ltd. 98,600 2,005
Metro Inc. 60,850 1,915
TELUS Corp. 52,800 1,912
CCL Industries Inc. Class B 38,500 1,856
Power Financial Corp. 65,560 1,835
Gildan Activewear Inc. 59,100 1,809
RioCan REIT 86,800 1,646
* BlackBerry Ltd. 146,872 1,608
^ PrairieSky Royalty Ltd. 56,782 1,511
CI Financial Corp. 66,800 1,485
^ Keyera Corp. 49,496 1,457
2 Hydro One Ltd. 79,816 1,411
Crescent Point Energy Corp. 160,900 1,323
* Kinross Gold Corp. 331,249 1,310
Industrial Alliance Insurance & Financial Services Inc. 28,700 1,301
Lundin Mining Corp. 167,484 1,277
CAE Inc. 72,000 1,276
H&R REIT 76,703 1,274
West Fraser Timber Co. Ltd. 20,100 1,223
* Tourmaline Oil Corp. 66,782 1,222
WSP Global Inc. 27,103 1,215
* Seven Generations Energy Ltd. Class A 80,131 1,210
Methanex Corp. 24,100 1,174
ARC Resources Ltd. 94,000 1,146
* Valeant Pharmaceuticals International Inc. 94,408 1,103
Finning International Inc. 44,900 1,095
Algonquin Power & Utilities Corp. 100,485 1,076
* Husky Energy Inc. 81,899 1,061
George Weston Ltd. 12,300 1,033
AltaGas Ltd. 44,273 1,009
^ Canadian Apartment Properties REIT 36,100 953
Canadian Utilities Ltd. Class A 31,376 948
Vermilion Energy Inc. 27,300 932
TMX Group Ltd. 16,764 916
Toromont Industries Ltd. 20,200 890
Stantec Inc. 30,200 863
Cameco Corp. 104,336 848
Ritchie Bros Auctioneers Inc. 30,200 847
* Bombardier Inc. Class B 396,628 839
Element Fleet Management Corp. 107,300 827
* Turquoise Hill Resources Ltd. 265,009 809
Empire Co. Ltd. 46,429 804
Linamar Corp. 13,000 789
Quebecor Inc. Class B 20,800 785
IGM Financial Inc. 22,100 779
Yamana Gold Inc. 291,940 758
Allied Properties REIT 22,692 727
Atco Ltd. 20,000 725
* Stars Group Inc. 35,875 722
* IAMGOLD Corp. 131,494 722
Canadian REIT 19,500 704
^ Parkland Fuel Corp. 34,640 703
New Flyer Industries Inc. 16,500 700
SmartCentres REIT 31,000 696
^ Enbridge Income Fund Holdings Inc. 29,800 695

 

9


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Pan American Silver Corp. 42,224 690
  Enerplus Corp. 72,770 667
  Northland Power Inc. 34,152 653
* B2Gold Corp. 254,693 648
  Whitecap Resources Inc. 89,059 639
  First Capital Realty Inc. 39,600 628
* Maxar Technologies Ltd. 9,900 626
  Canadian Western Bank 21,600 608
  Maple Leaf Foods Inc. 23,000 597
^ Peyto Exploration & Development Corp. 42,800 584
  TFI International Inc. 24,030 580
  Chartwell Retirement Residences 48,500 577
  Kirkland Lake Gold Ltd. 48,800 572
* Ivanhoe Mines Ltd. 156,200 565
  Premium Brands Holdings Corp. 6,900 558
  Alamos Gold Inc. Class A 86,500 548
  Colliers International Group Inc. 9,276 544
* Detour Gold Corp. 50,400 537
  Emera Inc. 14,200 535
  FirstService Corp. 7,621 531
  Cominar REIT 49,040 526
  Osisko Gold Royalties Ltd. 41,447 522
  TransAlta Corp. 86,660 513
* New Gold Inc. 151,653 502
  Cott Corp. 33,036 495
  Hudbay Minerals Inc. 65,765 489
* Parex Resources Inc. 35,843 477
  Canadian Imperial Bank of Commerce (New York Shares) 5,342 470
^ Cineplex Inc. 15,500 469
  Gibson Energy Inc. 33,958 462
  Capital Power Corp. 24,317 460
  Granite REIT 11,300 437
* Centerra Gold Inc. 64,052 435
  ShawCor Ltd. 19,700 427
* Pretium Resources Inc. 37,529 422
  Norbord Inc. 11,672 421
  Tahoe Resources Inc. 87,681 421
  Laurentian Bank of Canada 9,015 419
  Enercare Inc. 26,500 413
  OceanaGold Corp. 152,408 409
  Stella-Jones Inc. 10,300 402
* Air Canada Class B 20,300 402
  Jean Coutu Group PJC Inc. Class A 20,500 389
  Pason Systems Inc. 26,654 387
  Artis REIT 35,500 383
  Russel Metals Inc. 16,400 367
  Dream Office REIT 20,828 353
* IMAX Corp. 14,500 352
  Mullen Group Ltd. 26,731 351
  Superior Plus Corp. 34,753 350
  CES Energy Solutions Corp. 64,600 348
  TransAlta Renewables Inc. 31,300 337
* Great Canadian Gaming Corp. 14,200 337
  Transcontinental Inc. Class A 15,200 337
*,^ MEG Energy Corp. 74,719 332
* Paramount Resources Ltd. Class A 19,353 331
* Canfor Corp. 16,500 328
^ Genworth MI Canada Inc. 10,500 326
^ Boardwalk REIT 10,400 321
* Kinaxis Inc. 6,377 318
* Raging River Exploration Inc. 53,900 318
  North West Co. Inc. 12,900 315
  Eldorado Gold Corp. 250,505 315
* Bombardier Inc. Class A 142,220 303

 

10


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* NovaGold Resources Inc. 73,600 300
* Maxar Technologies Ltd. (New York Shares) 4,620 292
* Endeavour Mining Corp. 16,300 290
  Winpak Ltd. 7,500 290
* Torex Gold Resources Inc. 20,858 288
  Martinrea International Inc. 29,300 287
* SSR Mining Inc. 29,594 284
* First Majestic Silver Corp. 41,900 282
* SEMAFO Inc. 112,000 281
* Celestica Inc. 27,401 275
* ATS Automation Tooling Systems Inc. 23,300 268
  Secure Energy Services Inc. 40,536 264
  ECN Capital Corp. 79,300 260
* NuVista Energy Ltd. 41,573 258
  Northview Apartment REIT 14,063 254
  Bank of Montreal (New York Shares) 3,309 254
  Enerflex Ltd. 18,505 252
  Westshore Terminals Investment Corp. 12,900 246
  Innergex Renewable Energy Inc. 22,500 246
* Advantage Oil & Gas Ltd. 44,700 237
  Corus Entertainment Inc. Class B 23,929 222
^ Hudson's Bay Co. 24,400 213
  Cogeco Communications Inc. 2,800 201
* Sierra Wireless Inc. 8,900 199
  Just Energy Group Inc. 34,800 194
* Precision Drilling Corp. 63,900 192
  Aecon Group Inc. 12,700 191
  Birchcliff Energy Ltd. 45,120 184
  Enghouse Systems Ltd. 4,200 178
  TORC Oil & Gas Ltd. 32,814 173
*,^ ProMetic Life Sciences Inc. 161,500 172
* Kelt Exploration Ltd. 31,251 171
  Cascades Inc. 13,600 164
^ Home Capital Group Inc. Class B 15,000 162
  Dorel Industries Inc. Class B 6,200 162
  Nevsun Resources Ltd. 60,900 144
  Extendicare Inc. 19,100 139
  Ensign Energy Services Inc. 26,400 136
*,^ Baytex Energy Corp. 46,309 127
* Crew Energy Inc. 36,800 125
* Gran Tierra Energy Inc. (Toronto Shares) 54,634 119
* Obsidian Energy Ltd. 105,500 112
* Alacer Gold Corp. 70,700 110
  Morguard REIT 9,540 105
^ First National Financial Corp. 4,600 102
* Athabasca Oil Corp. 90,600 81
* China Gold International Resources Corp. Ltd. 46,000 71
* Gran Tierra Energy Inc. 22,700 49
  Sprott Inc. 18,900 31
* Trisura Group Ltd. 1,297 29
* Osisko Gold Royalties Warrants Expire 2/26/2019 620 1
* Pengrowth Energy Corp. 200
      431,906
Chile (0.1%)    
  Empresas COPEC SA 113,027 1,742
  SACI Falabella 144,467 1,380
  Latam Airlines Group SA 92,681 1,278
  Cencosud SA 356,418 1,067
  Banco de Chile 6,875,211 1,055
  Empresas CMPC SA 314,713 1,003
  Enel Americas SA 4,147,031 892
  Sociedad Quimica y Minera de Chile SA ADR 13,980 835
  Enel Americas SA ADR 76,127 807
  Banco de Credito e Inversiones 11,333 762

 

11


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Banco Santander Chile 9,248,720 727
Sociedad Quimica y Minera de Chile SA Preference Shares Class B 10,958 655
Banco Santander Chile ADR 18,759 587
Cia Cervecerias Unidas SA 39,116 564
Enel Generacion Chile SA ADR 19,169 496
Empresa Nacional de Telecomunicaciones SA 39,628 461
Aguas Andinas SA Class A 693,062 452
Colbun SA 1,909,817 451
Itau CorpBanca 44,533,717 415
Parque Arauco SA 141,960 407
Enel Chile SA 2,979,486 347
Embotelladora Andina SA Preference Shares 60,078 308
AES Gener SA 823,686 284
CAP SA 25,734 280
Engie Energia Chile SA 127,686 272
Enel Generacion Chile SA 311,457 272
Ripley Corp. SA 238,372 250
Vina Concha y Toro SA 121,838 215
SONDA SA 103,961 202
* Cia Sud Americana de Vapores SA 3,186,583 185
Inversiones Aguas Metropolitanas SA 94,249 171
Inversiones La Construccion SA 9,475 161
Forus SA 34,712 151
* SMU SA 233,212 62
    19,196
China (2.6%)    
Tencent Holdings Ltd. 1,451,856 65,254
China Construction Bank Corp. 24,434,206 21,837
Industrial & Commercial Bank of China Ltd. 21,340,245 16,980
China Mobile Ltd. 1,455,861 14,644
* Alibaba Group Holding Ltd. ADR 73,493 13,588
Ping An Insurance Group Co. of China Ltd. 1,365,820 12,003
Bank of China Ltd. 20,969,800 10,480
China Life Insurance Co. Ltd. 2,054,000 6,810
CNOOC Ltd. 4,478,311 6,115
China Petroleum & Chemical Corp. 7,192,465 5,282
* Baidu Inc. ADR 18,744 4,572
Geely Automobile Holdings Ltd. 1,320,000 4,093
China Merchants Bank Co. Ltd. 1,048,378 4,003
PetroChina Co. Ltd. 6,018,000 3,934
China Pacific Insurance Group Co. Ltd. 721,400 3,562
China Overseas Land & Investment Ltd. 1,090,480 3,541
Agricultural Bank of China Ltd. 7,194,500 3,389
* China Evergrande Group 797,000 3,074
Sunac China Holdings Ltd. 531,400 2,707
Sunny Optical Technology Group Co. Ltd. 178,000 2,611
PICC Property & Casualty Co. Ltd. 1,250,887 2,482
Country Garden Holdings Co. Ltd. 1,433,230 2,272
China Shenhua Energy Co. Ltd. 927,000 2,218
China Resources Land Ltd. 715,909 2,137
* China Unicom Hong Kong Ltd. 1,457,574 2,068
CSPC Pharmaceutical Group Ltd. 1,118,000 1,945
China Telecom Corp. Ltd. 3,848,034 1,930
CITIC Ltd. 1,313,000 1,923
Hengan International Group Co. Ltd. 192,230 1,896
* JD.com Inc. ADR 50,300 1,887
Brilliance China Automotive Holdings Ltd. 734,000 1,860
* SINA Corp. 16,391 1,764
^ BYD Co. Ltd. 182,960 1,600
Bank of Communications Co. Ltd. 2,095,058 1,582
Guangzhou Automobile Group Co. Ltd. 633,857 1,576
ANTA Sports Products Ltd. 341,000 1,525
Fosun International Ltd. 611,964 1,518
Sino Biopharmaceutical Ltd. 1,282,000 1,499

 

12


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  China CITIC Bank Corp. Ltd. 2,293,525 1,478
  Haitong Securities Co. Ltd. 912,739 1,445
  China Communications Construction Co. Ltd. 1,165,875 1,416
  ENN Energy Holdings Ltd. 192,518 1,413
  China Minsheng Banking Corp. Ltd. 1,436,760 1,392
  Shenzhou International Group Holdings Ltd. 160,291 1,370
* Brighthouse Financial Inc. 21,969 1,366
  China Vanke Co. Ltd. 382,089 1,360
  Anhui Conch Cement Co. Ltd. 317,000 1,358
  CITIC Securities Co. Ltd. 610,500 1,356
  NetEase Inc. ADR 4,800 1,353
  New China Life Insurance Co. Ltd. 211,101 1,322
  China Taiping Insurance Holdings Co. Ltd. 389,259 1,284
  China Gas Holdings Ltd. 418,000 1,271
  Sinopharm Group Co. Ltd. 274,800 1,230
  China Resources Beer Holdings Co. Ltd. 422,681 1,220
2 Huatai Securities Co. Ltd. 525,164 1,134
  Future Land Holdings Co. Ltd. Class A 365,318 1,127
  Guangdong Investment Ltd. 772,000 1,118
* Ctrip.com International Ltd. ADR 22,900 1,097
  Dongfeng Motor Group Co. Ltd. 782,000 1,073
  Lenovo Group Ltd. 1,842,000 1,068
  CRRC Corp. Ltd. 1,075,800 1,061
  China Railway Group Ltd. 1,303,000 1,047
  Great Wall Motor Co. Ltd. 825,058 1,041
  Kingboard Chemical Holdings Ltd. 173,000 1,027
  Longfor Properties Co. Ltd. 434,500 1,015
2 People's Insurance Co. Group of China Ltd. 2,129,000 1,013
  China Merchants Port Holdings Co. Ltd. 312,000 976
  China Resources Power Holdings Co. Ltd. 503,400 968
  China Cinda Asset Management Co. Ltd. 2,489,000 967
2 China Galaxy Securities Co. Ltd. 1,100,500 960
2 Postal Savings Bank of China Co. Ltd. 1,567,000 946
  China Everbright International Ltd. 656,000 926
^ Fullshare Holdings Ltd. 2,160,000 924
  China Conch Venture Holdings Ltd. 434,998 887
  GF Securities Co. Ltd. 414,000 883
2 CGN Power Co. Ltd. 2,986,832 877
  China Resources Gas Group Ltd. 234,000 857
  Beijing Enterprises Water Group Ltd. 1,016,000 854
* Aluminum Corp. of China Ltd. 1,057,331 849
  China State Construction International Holdings Ltd. 593,750 834
  Haier Electronics Group Co. Ltd. 311,000 820
  Beijing Enterprises Holdings Ltd. 137,500 817
  TravelSky Technology Ltd. 307,000 796
* Zhuzhou CRRC Times Electric Co. Ltd. 127,909 749
2 China Huarong Asset Management Co. Ltd. 1,577,000 742
  New Oriental Education & Technology Group Inc. ADR 8,900 741
  Nine Dragons Paper Holdings Ltd. 402,000 739
* ZTE Corp. 209,014 726
  Huaneng Power International Inc. 1,072,000 717
2 Fuyao Glass Industry Group Co. Ltd. 179,600 685
^ China Molybdenum Co. Ltd. 1,050,000 683
  Shimao Property Holdings Ltd. 321,000 673
  China Jinmao Holdings Group Ltd. 1,476,000 663
  China Longyuan Power Group Corp. Ltd. 894,000 663
  Beijing Capital International Airport Co. Ltd. 402,000 660
  Weichai Power Co. Ltd. 520,400 648
  Shanghai Fosun Pharmaceutical Group Co. Ltd. 127,489 637
  China Medical System Holdings Ltd. 344,000 636
^ China National Building Material Co. Ltd. 752,000 635
*,^ GCL-Poly Energy Holdings Ltd. 3,669,800 631
  Kunlun Energy Co. Ltd. 680,000 631
  Guangzhou R&F Properties Co. Ltd. 289,800 618

 

13


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Yanzhou Coal Mining Co. Ltd. 616,000 615
  Shenzhen Investment Ltd. 1,317,953 588
  China Railway Construction Corp. Ltd. 466,626 586
  BYD Electronic International Co. Ltd. 215,500 584
  CIFI Holdings Group Co. Ltd. 1,038,000 579
  COSCO SHIPPING Ports Ltd. 496,000 575
  China Everbright Ltd. 240,000 569
  Far East Horizon Ltd. 562,000 558
  Sinopec Shanghai Petrochemical Co. Ltd. 936,000 558
*,2 Meitu Inc. 362,500 536
  Zijin Mining Group Co. Ltd. 1,537,301 532
  Sino-Ocean Group Holding Ltd. 797,500 521
  TAL Education Group ADR 18,800 517
  Air China Ltd. 540,000 515
  Kingsoft Corp. Ltd. 201,000 508
  Agile Group Holdings Ltd. 345,500 504
  Jiangsu Expressway Co. Ltd. 328,000 503
* Alibaba Pictures Group Ltd. 3,030,000 494
  Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class B 317,009 492
  Lee & Man Paper Manufacturing Ltd. 397,000 485
* Landing International Development Ltd. 17,485,000 485
  Shanghai Pharmaceuticals Holding Co. Ltd. 187,200 484
  China Oilfield Services Ltd. 542,000 481
* Li Ning Co. Ltd. 548,249 479
  Jiangxi Copper Co. Ltd. 299,000 477
  Chongqing Rural Commercial Bank Co. Ltd. 697,000 474
  Zhejiang Expressway Co. Ltd. 370,000 458
  Kingboard Laminates Holdings Ltd. 265,358 446
*,^ Alibaba Health Information Technology Ltd. 822,000 441
* China First Capital Group Ltd. 900,000 437
  Shenzhen International Holdings Ltd. 226,000 432
2 Dali Foods Group Co. Ltd. 549,500 426
  Huaneng Renewables Corp. Ltd. 1,228,000 422
  Haitian International Holdings Ltd. 141,000 422
  China Communications Services Corp. Ltd. 678,000 411
  Shanghai Jinqiao Export Processing Zone Development Co. Ltd. Class B 282,994 411
*,^,2 3SBio Inc. 228,000 408
  Sihuan Pharmaceutical Holdings Group Ltd. 1,108,000 401
^ Zhongsheng Group Holdings Ltd. 193,500 398
  China Reinsurance Group Corp. 1,782,000 396
* 58.com Inc. ADR 5,800 390
2 China International Capital Corp. Ltd. 184,800 381
  AviChina Industry & Technology Co. Ltd. 656,000 381
  China Southern Airlines Co. Ltd. 508,000 376
* COSCO SHIPPING Holdings Co. Ltd. 680,000 373
  Inner Mongolia Yitai Coal Co. Ltd. Class B 275,904 371
2 BAIC Motor Corp. Ltd. 316,400 371
  Tsingtao Brewery Co. Ltd. 88,322 370
  Skyworth Digital Holdings Ltd. 776,000 357
  Shanghai Industrial Holdings Ltd. 114,000 350
  Fufeng Group Ltd. 481,000 347
  China Everbright Bank Co. Ltd. 729,000 344
* Poly Property Group Co. Ltd. 705,000 342
*,2 China Merchants Securities Co. Ltd. 204,200 340
^ GOME Retail Holdings Ltd. 2,652,720 340
2 China Railway Signal & Communication Corp. Ltd. 428,500 337
  China Traditional Chinese Medicine Holdings Co. Ltd. 584,000 335
2 Sinopec Engineering Group Co. Ltd. 389,635 334
  KWG Property Holding Ltd. 334,000 332
* ZTO Express Cayman Inc. ADR 19,800 317
  Yuexiu Property Co. Ltd. 1,629,207 316
* Shanghai Electric Group Co. Ltd. 690,000 313
* Kaisa Group Holdings Ltd. 486,000 311
  China National Materials Co. Ltd. 446,000 308

 

14


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Luye Pharma Group Ltd. 458,000 305
  Chongqing Changan Automobile Co. Ltd. Class B 225,962 296
  BBMG Corp. 585,000 292
*,^ Health and Happiness H&H International Holdings Ltd. 55,000 287
  Shandong Weigao Group Medical Polymer Co. Ltd. 400,000 287
  Sinotruk Hong Kong Ltd. 215,500 287
^ Angang Steel Co. Ltd. 326,000 286
  Logan Property Holdings Co. Ltd. 306,000 283
  Greentown China Holdings Ltd. 226,879 283
  Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. 80,000 281
  China Resources Cement Holdings Ltd. 412,000 278
  SOHO China Ltd. 464,500 269
  China Coal Energy Co. Ltd. 581,000 266
* Datang International Power Generation Co. Ltd. 788,000 266
^ Chinasoft International Ltd. 454,000 265
*,2 Zhou Hei Ya International Holdings Co. Ltd. 274,000 264
  China ZhengTong Auto Services Holdings Ltd. 248,500 262
^ China Zhongwang Holdings Ltd. 442,800 261
* Coupa Software Inc. 7,500 261
  Metallurgical Corp. of China Ltd. 786,000 260
* Weibo Corp. ADR 2,762 256
  Lonking Holdings Ltd. 563,000 253
*,^ Kingdee International Software Group Co. Ltd. 470,000 252
  NetDragon Websoft Holdings Ltd. 76,000 251
  China International Marine Containers Group Co. Ltd. 125,500 250
2 Legend Holdings Corp. 95,000 250
  China Power International Development Ltd. 761,000 242
^ Tongda Group Holdings Ltd. 850,293 241
  Bank of Chongqing Co. Ltd. 295,500 240
  Shandong Chenming Paper Holdings Ltd. 127,500 232
2 CSC Financial Co. Ltd. 241,000 221
  Wuxi Little Swan Co. Ltd. Class B 40,175 216
  Tianneng Power International Ltd. 224,000 216
  China Water Affairs Group Ltd. 296,000 216
* China Lodging Group Ltd. ADR 1,600 214
2 Universal Medical Financial & Technical Advisory Services Co. Ltd. 202,500 214
* Autohome Inc. ADR 3,700 213
  China Agri-Industries Holdings Ltd. 431,800 211
* Q Technology Group Co. Ltd. 92,000 206
  Guangshen Railway Co. Ltd. 336,000 196
^ Zhaojin Mining Industry Co. Ltd. 234,000 192
* Momo Inc. ADR 6,300 192
2 Fu Shou Yuan International Group Ltd. 272,000 191
2 Orient Securities Co. Ltd. 186,000 190
*,^ Yashili International Holdings Ltd. 842,000 189
  Tong Ren Tang Technologies Co. Ltd. 134,000 188
  BOE Technology Group Co. Ltd. Class B 288,800 188
2 Qingdao Port International Co. Ltd. 266,000 188
2 Red Star Macalline Group Corp. Ltd. 156,796 188
  Sinotrans Ltd. 382,000 184
  Shanghai Jinjiang International Hotels Development Co. Ltd. Class B 76,815 183
  Dazhong Transportation Group Co. Ltd. Class B 264,350 183
* Hi Sun Technology China Ltd. 792,000 182
*,^ Digital China Holdings Ltd. 297,499 180
* Vipshop Holdings Ltd. ADR 22,700 179
*,^ COSCO SHIPPING Development Co. Ltd. 793,000 178
  China Eastern Airlines Corp. Ltd. 350,000 178
  Golden Eagle Retail Group Ltd. 142,000 172
* Maanshan Iron & Steel Co. Ltd. 366,000 172
*,2 Yangtze Optical Fibre and Cable Joint Stock Ltd. Co. 46,000 171
  Powerlong Real Estate Holdings Ltd. 356,000 169
  Future Land Development Holdings Ltd. 348,000 168
  China BlueChemical Ltd. 556,000 166
*,^ Lifetech Scientific Corp. 667,998 165

 

15


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  China Suntien Green Energy Corp. Ltd. 581,000 165
*,^ CAR Inc. 183,117 163
*,^ FDG Electric Vehicles Ltd. 3,675,000 160
^ China Resources Phoenix Healthcare Holdings Co. Ltd. 120,090 158
  China Maple Leaf Educational Systems Ltd. 144,000 156
  Lao Feng Xiang Co. Ltd. Class B 41,600 156
*,^,3 China Shanshui Cement Group Ltd. 267,000 151
  COSCO SHIPPING Energy Transportation Co. Ltd. 256,000 150
  Hopson Development Holdings Ltd. 144,000 147
  SSY Group Ltd. 298,336 142
  Shanghai Haixin Group Co. Class B 210,800 141
  Huadian Fuxin Energy Corp. Ltd. 538,000 140
^ Xinjiang Goldwind Science & Technology Co. Ltd. 110,499 140
  Inner Mongolia Eerduosi Resourses Co. Ltd. Class B 137,570 139
  Minmetals Land Ltd. 932,000 139
  Greentown Service Group Co. Ltd. 208,000 138
  Greatview Aseptic Packaging Co. Ltd. 219,000 137
2 Hua Hong Semiconductor Ltd. 78,000 136
  Zoomlion Heavy Industry Science and Technology Co. Ltd. 278,180 135
  Anhui Gujing Distillery Co. Ltd. Class B 23,900 135
  China South City Holdings Ltd. 480,000 134
  Shanghai Jin Jiang International Hotels Group Co. Ltd. 372,000 134
  Yuzhou Properties Co. Ltd. 268,122 132
  Greenland Hong Kong Holdings Ltd. 275,000 132
  Sinopec Kantons Holdings Ltd. 202,000 131
  China Dongxiang Group Co. Ltd. 701,000 130
  Livzon Pharmaceutical Group Inc. 19,097 130
  Hisense Kelon Electrical Holdings Co. Ltd. Class A 103,000 129
* CIMC Enric Holdings Ltd. 184,000 125
* SMI Holdings Group Ltd. 242,400 124
* Tibet Water Resources Ltd. 300,000 124
  China Oil & Gas Group Ltd. 1,812,000 123
  Shandong Chenming Paper Holdings Ltd. Class B 67,400 123
  China Machinery Engineering Corp. 200,000 123
  Shenzhen Expressway Co. Ltd. 118,000 121
  Concord New Energy Group Ltd. 2,440,000 119
2 Redco Properties Group Ltd. 238,000 118
  Central China Securities Co. Ltd. 256,988 118
* Sinofert Holdings Ltd. 668,000 118
* China Water Industry Group Ltd. 544,000 118
  China Lesso Group Holdings Ltd. 175,000 117
*,2 Haichang Ocean Park Holdings Ltd. 484,000 116
*,2 Ozner Water International Holding Ltd. 366,000 116
  Beijing Jingneng Clean Energy Co. Ltd. 414,000 116
  Huadian Power International Corp. Ltd. 266,000 111
  Texhong Textile Group Ltd. 79,500 110
  Xinhua Winshare Publishing and Media Co. Ltd. 126,000 109
  China National Accord Medicines Corp. Ltd. Class B 20,760 109
* North Mining Shares Co. Ltd. 5,110,000 105
  Guangdong Electric Power Development Co. Ltd. Class B 239,743 105
  Xingda International Holdings Ltd. 269,000 103
* Capital Environment Holdings Ltd. 2,152,000 101
  China SCE Property Holdings Ltd. 222,000 100
* C C Land Holdings Ltd. 453,000 99
  China Foods Ltd. 156,000 99
  Shanghai Mechanical and Electrical Industry Co. Ltd. Class B 47,573 98
  China Overseas Grand Oceans Group Ltd. 165,000 97
  Huangshan Tourism Development Co. Ltd. Class B 63,626 95
  Anhui Expressway Co. Ltd. 116,000 93
  Jiangling Motors Corp. Ltd. Class B 48,400 93
^ CSSC Offshore and Marine Engineering Group Co. Ltd. 54,000 92
  CSG Holding Co. Ltd. Class B 148,471 92
  Shandong Airlines Co. Ltd. Class B 49,300 92
  Yantai Changyu Pioneer Wine Co. Ltd. Class B 34,833 90

 

16


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
*,^ Huayi Tencent Entertainment Co. Ltd. 1,480,000 90
* Hangzhou Steam Turbine Co. Ltd. Class B 87,657 90
*,3 Hybrid Kinetic Group Ltd. 3,574,000 89
  Shanghai Jinjiang International Travel Co. Ltd. Class B 28,772 87
* West China Cement Ltd. 530,000 84
  Yuexiu Transport Infrastructure Ltd. 114,000 84
  Launch Tech Co. Ltd. 73,500 83
  Beijing Capital Land Ltd. 152,000 82
  Weifu High-Technology Group Co. Ltd. Class B 34,600 81
  Shanghai Dasheng Agricultural Finance Technology Co. Ltd. 968,000 81
* Carnival Group International Holdings Ltd. 1,588,114 80
  China High Speed Transmission Equipment Group Co. Ltd. 73,000 80
  Sinotrans Shipping Ltd. 278,000 79
  Vinda International Holdings Ltd. 38,599 78
  Dah Chong Hong Holdings Ltd. 166,000 78
  Sinosoft Technology Group Ltd. 252,000 77
2 Tian Ge Interactive Holdings Ltd. 105,000 77
2 Everbright Securities Co. Ltd. 55,000 76
*,^ O-Net Technologies Group Ltd. 104,000 75
  INESA Intelligent Tech Inc. Class B 103,700 75
* China Minsheng Drawin Technology Group Ltd. 2,240,000 75
  Shanghai Shibei Hi-Tech Co. Ltd. Class B 125,576 74
*,^ Grand Baoxin Auto Group Ltd. 136,383 73
2 Cogobuy Group 121,000 73
*,2 China Metal Resources Utilization Ltd. 184,000 72
2 Cosmo Lady China Holdings Co. Ltd. 179,998 72
  Shanghai Zhenhua Heavy Industries Co. Ltd. Class B 130,500 72
  Tianjin Port Development Holdings Ltd. 450,000 70
  Guangdong Provincial Expressway Development Co. Ltd. Class B 75,700 69
  Sichuan Expressway Co. Ltd. 166,000 66
  Ajisen China Holdings Ltd. 140,000 66
  Poly Culture Group Corp. Ltd. 27,200 65
^ CT Environmental Group Ltd. 424,000 65
  China All Access Holdings Ltd. 220,000 65
  China Overseas Property Holdings Ltd. 267,493 65
* Renhe Commercial Holdings Co. Ltd. 2,742,000 64
* Huadian Energy Co. Ltd. Class B 131,400 63
* Baozun Inc. ADR 2,000 63
  Shanghai Baosight Software Co. Ltd. Class B 40,000 61
* China Logistics Property Holdings Co. Ltd. 179,000 61
* China Chengtong Development Group Ltd. 816,000 61
  Guorui Properties Ltd. 205,000 60
  Shanghai Huayi Group Corp. Ltd. Class B 63,200 60
^ PAX Global Technology Ltd. 118,000 60
  China Electronics Optics Valley Union Holding Co. Ltd. 624,000 59
  Dawnrays Pharmaceutical Holdings Ltd. 100,000 59
  Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co. Ltd. 107,000 58
* Sinolink Worldwide Holdings Ltd. 386,000 58
  China Electronics Huada Technology Co. Ltd. 322,000 58
^ Dongjiang Environmental Co. Ltd. 37,500 58
  Bosideng International Holdings Ltd. 650,000 57
*,2,3 Tianhe Chemicals Group Ltd. 383,088 57
  Xtep International Holdings Ltd. 173,000 57
  Dalian Port PDA Co. Ltd. 326,600 57
  China Lilang Ltd. 73,000 57
  361 Degrees International Ltd. 146,000 56
  Wasion Group Holdings Ltd. 108,000 56
*,^ Sinopec Oilfield Service Corp. 316,000 54
  Fantasia Holdings Group Co. Ltd. 375,000 53
  Shanghai Industrial Urban Development Group Ltd. 246,000 53
*,3 Hua Han Health Industry Holdings Ltd. 778,708 53
  Fiyta Holdings Ltd. Class B 57,840 52
* Shanghai Zhongyida Co. Ltd. Class B 118,300 52
2 Beijing Urban Construction Design & Development Group Co. Ltd. 88,000 51

 

17


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
*,3 Coolpad Group Ltd. 547,400 51
* Shanghai Chlor-Alkali Chemical Co. Ltd. Class B 61,900 50
*,3 Hanergy Thin Film Power Group Ltd. 1,810,000 49
* Kama Co. Ltd. Class B 46,500 49
* China Modern Dairy Holdings Ltd. 238,500 49
  Chaowei Power Holdings Ltd. 86,000 49
  Qingling Motors Co. Ltd. 140,000 48
* Xinjiang Xinxin Mining Industry Co. Ltd. 346,000 48
  China Fangda Group Co. Ltd. Class B 74,700 47
2 Shengjing Bank Co. Ltd. 59,854 47
  Tianjin Development Holdings Ltd. 90,000 46
*,^ Chiho Environmental Group Ltd. 92,000 46
  CPMC Holdings Ltd. 55,000 46
  Weiqiao Textile Co. 88,000 46
  Tianjin Capital Environmental Protection Group Co. Ltd. 72,000 46
* China Beidahuang Industry Group Holdings Ltd. 952,000 46
*,^ Rentian Technology Holdings Ltd. 950,000 46
  Enerchina Holdings Ltd. 2,254,500 45
  Harbin Electric Co. Ltd. 96,000 45
  Beijing North Star Co. Ltd. 118,000 44
* Dongfang Electric Corp. Ltd. 44,800 44
  Shanghai Waigaoqiao Free Trade Zone Group Co. Ltd. Class B 26,900 44
* Shang Gong Group Co. Ltd. Class B 42,600 43
  Shanghai Highly Group Co. Ltd. Class B 47,700 42
  Huaxin Cement Co. Ltd. Class B 36,200 42
*,3 Zhonglu Co. Ltd. Class B 26,400 41
* AVIC International Holding HK Ltd. 604,000 40
* Lianhua Supermarket Holdings Co. Ltd. 94,000 40
  Luthai Textile Co. Ltd. Class B 35,800 40
  Xiamen International Port Co. Ltd. 204,000 39
* Shanghai Phoenix Enterprise Group Co. Ltd. Class B 40,300 39
  Shanghai Jinjiang International Industrial Investment Co. Ltd. Class B 27,700 39
* Glorious Property Holdings Ltd. 355,000 39
*,3 National Agricultural Holdings Ltd. 246,000 38
* China Power Clean Energy Development Co. Ltd. 62,000 37
  Shanghai Diesel Engine Co. Ltd. Class B 46,100 37
  Comba Telecom Systems Holdings Ltd. 190,039 35
* PW Medtech Group Ltd. 159,000 33
  Colour Life Services Group Co. Ltd. 55,000 33
* MIE Holdings Corp. 384,000 32
* Shanghai Greencourt Investment Group Co. Ltd. Class B 55,200 32
  Welling Holding Ltd. 156,000 32
  China Merchants Land Ltd. 168,000 32
* China Rare Earth Holdings Ltd. 421,113 31
  TCL Multimedia Technology Holdings Ltd. 58,000 31
*,3 China Fiber Optic Network System Group Ltd. 348,000 31
* Loudong General Nice Resources China Holdings Ltd. 810,000 31
  China Shineway Pharmaceutical Group Ltd. 33,000 31
  Tiangong International Co. Ltd. 258,000 30
  CITIC Resources Holdings Ltd. 278,000 30
  Eastern Communications Co. Ltd. Class B 45,100 30
  Jinzhou Port Co. Ltd. Class B 56,400 30
  Phoenix Satellite Television Holdings Ltd. 200,000 29
* Shougang Concord International Enterprises Co. Ltd. 994,000 29
  Foshan Electrical and Lighting Co. Ltd. Class B 33,900 27
* China Soft Power Technology Holdings Ltd. 1,464,540 26
* China Huiyuan Juice Group Ltd. 77,500 25
* China Yurun Food Group Ltd. 195,000 23
  Shanghai Bailian Group Co. Ltd. Class B 15,500 23
  Shenzhen Chiwan Wharf Holdings Ltd. Class B 12,900 22
^ China Singyes Solar Technologies Holdings Ltd. 56,400 20
*,^ Munsun Capital Group Ltd. 1,926,000 18
  First Tractor Co. Ltd. 36,000 18
* Sany Heavy Equipment International Holdings Co. Ltd. 95,000 17

 

18


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
*,3 Anxin-China Holdings Ltd. 312,000 15
2 Kangda International Environmental Co. Ltd. 59,998 15
  Hengdeli Holdings Ltd. 284,000 15
  Hilong Holding Ltd. 87,000 14
*,^ Boer Power Holdings Ltd. 51,000 13
* SRE Group Ltd. 490,000 13
* V1 Group Ltd. 370,000 12
* China Dynamics Holdings Ltd. 420,000 11
^ Wisdom Sports Group 64,000 9
* Qinqin Foodstuffs Group Cayman Co. Ltd. 33,285 9
* Tech Pro Technology Development Ltd. 833,600 8
*,3 China Lumena New Materials Corp. 476,000 8
*,3 Mingfa Group International Co. Ltd. 30,971 7
* Real Nutriceutical Group Ltd. 143,000 6
* Daphne International Holdings Ltd. 78,000 5
  Shenguan Holdings Group Ltd. 86,000 5
*,^,3 China Huishan Dairy Holdings Co. Ltd. 822,401
  CMBC Capital Holdings Ltd.  
      361,804
Colombia (0.0%)    
  Bancolombia SA ADR 45,866 1,732
  Grupo de Inversiones Suramericana SA 56,345 715
  Grupo Aval Acciones y Valores Preference Shares 1,232,442 513
  Grupo de Inversiones Suramericana SA Preference Shares 41,308 510
  Cementos Argos SA 130,960 478
  Interconexion Electrica SA ESP 98,988 433
  Ecopetrol SA 666,735 365
  Ecopetrol SA ADR 31,110 345
  Almacenes Exito SA 44,355 238
  Banco Davivienda SA Preference Shares 23,252 229
  Corp Financiera Colombiana SA 21,770 205
  Cementos Argos SA Preference Shares 53,095 170
  Bancolombia SA Preference Shares 14,574 139
  Avianca Holdings SA Preference Shares 138,294 121
* CEMEX Latam Holdings SA 32,512 115
      6,308
Czech Republic (0.0%)    
  Komercni banka as 20,789 894
  CEZ AS 40,515 888
2 Moneta Money Bank AS 133,559 457
  Philip Morris CR AS 205 152
  O2 Czech Republic AS 10,040 122
      2,513
Denmark (0.6%)    
  Novo Nordisk A/S Class B 477,971 23,798
  Danske Bank A/S 191,535 7,310
  Vestas Wind Systems A/S 56,909 5,024
  DSV A/S 50,699 3,920
  AP Moller - Maersk A/S Class B 1,860 3,566
  Carlsberg A/S Class B 29,635 3,386
  Novozymes A/S 58,134 3,212
  Coloplast A/S Class B 35,698 3,142
* Genmab A/S 15,352 3,100
  Pandora A/S 29,469 2,783
2 Orsted A/S 44,612 2,500
  Chr Hansen Holding A/S 24,709 2,162
  AP Moller - Maersk A/S Class A 1,158 2,146
  ISS A/S 49,299 2,088
  TDC A/S 216,424 1,279
  GN Store Nord A/S 35,988 1,191
  Jyske Bank A/S 18,201 1,028
  H Lundbeck A/S 16,056 954
  FLSmidth & Co. A/S 13,147 901

 

19


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* William Demant Holding A/S 28,807 831
*,2 Nets A/S 32,363 826
  Royal Unibrew A/S 13,680 788
  Sydbank A/S 19,827 774
  Ambu A/S Class B 7,633 704
  Tryg A/S 27,517 655
  SimCorp A/S 9,822 600
* Topdanmark A/S 14,420 593
  Rockwool International A/S Class B 1,691 459
  Dfds A/S 7,170 416
* Bavarian Nordic A/S 8,899 361
* Nilfisk Holding A/S 7,256 349
  Schouw & Co. AB 3,067 319
* NKT A/S 7,256 311
2 Scandinavian Tobacco Group A/S 18,050 305
  Spar Nord Bank A/S 21,626 275
* Bang & Olufsen A/S 10,812 251
  ALK-Abello A/S 1,538 241
  Alm Brand A/S 18,659 193
* D/S Norden A/S 5,082 106
  Solar A/S Class B 1,427 92
  Matas A/S 7,874 88
* OW Bunker A/S 3,210
      83,027
Egypt (0.0%)    
  Commercial International Bank Egypt SAE 280,686 1,255
* Global Telecom Holding SAE 608,896 234
  ElSewedy Electric Co. 29,618 191
  Egyptian Financial Group-Hermes Holding Co. 113,387 151
* Six of October Development & Investment 132,125 139
  Talaat Moustafa Group 193,125 105
* Pioneers Holding for Financial Investments SAE 184,108 99
  Sidi Kerir Petrochemicals Co. 79,618 96
* Orascom Construction Ltd. (Dubai Shares) 10,791 81
  Heliopolis Housing 43,756 76
  Medinet Nasr Housing 111,018 66
  Telecom Egypt Co. 55,015 41
* Orascom Construction Ltd. 3,826 31
  Oriental Weavers 24,535 25
* South Valley Cement 74,684 25
* Ezz Steel 24,554 24
  Orascom Telecom Media And Technology Holding SAE GDR 126,005 24
* Citadel Capital SAE 263,431 20
* Palm Hills Developments SAE 71,385 17
      2,700
Finland (0.4%)    
  Nokia Oyj 1,542,979 7,588
  Sampo Oyj Class A 125,402 6,562
  Kone Oyj Class B 103,513 5,603
  UPM-Kymmene Oyj 145,263 4,363
  Wartsila OYJ Abp 41,328 2,660
  Fortum Oyj 116,846 2,480
  Stora Enso Oyj 155,945 2,437
  Neste Oyj 33,081 1,842
  Nokian Renkaat Oyj 35,691 1,636
  Elisa Oyj 40,474 1,630
  Metso Oyj 31,446 1,142
  Huhtamaki Oyj 26,624 1,134
  Orion Oyj Class B 26,791 1,098
  Kesko Oyj Class B 17,194 878
  Konecranes Oyj Class A 17,531 807
  Outokumpu Oyj 84,783 801
  Amer Sports Oyj 32,201 801
  Valmet Oyj 37,315 723

 

20


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Cargotec Oyj Class B 11,689 690
  Tieto Oyj 20,503 628
  Uponor Oyj 20,800 419
  Metsa Board Oyj 53,803 399
*,^ Outotec Oyj 43,506 346
  Kemira Oyj 23,535 332
  Sanoma Oyj 24,619 292
  Finnair Oyj 21,067 275
  YIT Oyj 31,462 239
* DNA Oyj 12,703 219
  Cramo Oyj 9,778 217
* Caverion Oyj 25,972 197
  Ramirent Oyj 20,779 191
  Citycon Oyj 77,979 190
  Raisio Oyj 30,159 125
  F-Secure Oyj 23,948 123
  Oriola Oyj 29,369 110
* Stockmann OYJ Abp Class B 12,229 79
      49,256
France (3.1%)    
  TOTAL SA 596,141 33,228
  Sanofi 296,385 28,064
  BNP Paribas SA 292,808 22,854
  LVMH Moet Hennessy Louis Vuitton SE 67,387 20,099
  AXA SA 509,781 15,390
  Airbus SE 148,457 15,234
  Danone SA 158,892 12,987
  Schneider Electric SE 144,305 12,679
  Air Liquide SA 98,511 12,543
^ Vinci SA 126,549 12,399
  L'Oreal SA 52,871 11,767
  Societe Generale SA 199,476 11,102
  Kering 20,192 9,260
  Pernod Ricard SA 57,949 8,689
  Orange SA 522,881 8,590
  Safran SA 78,952 8,315
  Cie de Saint-Gobain 136,554 8,007
  Engie SA 443,300 7,493
  Vivendi SA 292,823 7,271
  Essilor International SA 55,474 7,023
  Cie Generale des Etablissements Michelin 48,355 6,999
  Legrand SA 74,998 5,566
  Capgemini SE 42,933 5,216
  Credit Agricole SA 283,817 4,954
  Renault SA 46,981 4,659
  Valeo SA 65,529 4,437
  Hermes International 8,464 4,394
  STMicroelectronics NV 172,488 4,061
  Atos SE 25,187 3,912
  Dassault Systemes SE 35,834 3,804
  Publicis Groupe SA 57,059 3,714
  Veolia Environnement SA 133,324 3,159
  Sodexo SA 23,747 3,021
  Carrefour SA 149,076 3,000
  Peugeot SA 117,821 2,795
  Thales SA 26,652 2,777
  L'Oreal SA Loyalty Line 12,108 2,695
  Bouygues SA 53,137 2,550
  Arkema SA 19,047 2,406
  Accor SA 46,628 2,326
  Teleperformance 15,291 2,233
  Klepierre SA 54,986 2,189
* TechnipFMC plc 79,171 2,153
  Gecina SA 12,813 2,081

 

21


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Eiffage SA 19,139 1,999
  Air Liquide SA (Prime de fidelite) 15,269 1,944
  Bureau Veritas SA 68,111 1,824
  Natixis SA 226,933 1,780
  Edenred 60,609 1,747
  SCOR SE 41,678 1,730
  Suez 97,158 1,709
  Alstom SA 40,732 1,648
  Eurofins Scientific SE 2,570 1,608
  Electricite de France SA 120,898 1,582
  SES SA Class A 96,050 1,562
  Iliad SA 6,184 1,544
  Groupe Eurotunnel SE 122,211 1,536
  Zodiac Aerospace 53,718 1,535
* Ubisoft Entertainment SA 19,912 1,519
  Ingenico Group SA 15,348 1,490
  Rexel SA 81,691 1,457
  Faurecia 19,625 1,427
* TechnipFMC plc (USD Denominated) 50,111 1,373
  Orpea 11,302 1,354
* Rubis SCA 20,949 1,315
  Wendel SA 7,600 1,282
  Aeroports de Paris 7,584 1,277
  SEB SA 6,589 1,228
  Bollore SA 252,897 1,222
2 Euronext NV 19,026 1,130
  Eutelsat Communications SA 44,880 1,124
  Eurazeo SA 11,635 1,082
  Ipsen SA 8,880 1,074
  Fonciere Des Regions 10,479 1,067
2 Amundi SA 12,347 1,046
  Lagardere SCA 30,814 1,015
  CNP Assurances 42,472 988
2 Elior Group SA 34,406 977
  Dassault Aviation SA 617 962
  Christian Dior SE 2,718 933
  Casino Guichard Perrachon SA 15,789 902
* BioMerieux 11,328 889
  Imerys SA 9,235 841
  Elis SA 32,031 835
  ICADE 9,450 826
  Remy Cointreau SA 6,016 781
  Societe BIC SA 7,379 779
  Altran Technologies SA 40,386 747
  Nexity SA 12,101 744
  Alten SA 7,990 699
  JCDecaux SA 18,246 698
  Sopra Steria Group 3,212 603
* Air France-KLM 37,247 583
  SPIE SA 21,658 570
  Cie Plastic Omnium SA 13,336 556
  Nexans SA 7,979 522
*,2 Worldline SA 10,275 502
2 Maisons du Monde SA 10,734 464
* Fnac Darty SA 4,856 459
  Euler Hermes Group 3,879 450
  Credit Agricole SA Loyalty Line 25,664 448
  Television Francaise 1 30,649 436
  Sartorius Stedim Biotech 6,373 434
  Korian SA 12,978 422
  Metropole Television SA 18,015 416
  SOITEC 5,077 400
*,^ Vallourec SA 71,941 393
  Tarkett SA 9,079 386

 

22


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Technicolor SA 97,769 346
  Vicat SA 4,456 345
  Neopost SA 8,928 329
2 Europcar Groupe SA 22,705 325
  Trigano SA 1,902 307
  IPSOS 7,959 294
  Coface SA 25,157 275
* DBV Technologies SA 5,817 264
  Gaztransport Et Technigaz SA 4,719 231
  Mercialys SA 11,167 217
  Beneteau SA 11,337 204
* Genfit 7,467 196
  Derichebourg SA 18,005 192
  Bonduelle SCA 3,988 188
  Mersen SA 4,185 184
* Eramet 2,198 181
  Vilmorin & Cie SA 1,799 173
  Interparfums SA 4,217 157
  Manitou BF SA 3,706 147
  Albioma SA 5,973 142
  Jacquet Metal Service 4,253 138
* Etablissements Maurel et Prom 31,465 133
* Virbac SA 1,008 130
  SEB SA Loyalty Line 643 120
  FFP 992 119
  Guerbet 1,179 106
  Boiron SA 1,048 95
  GL Events 3,030 92
  Electricite de France SA Loyalty Line 6,661 87
^ Bourbon Corp. 9,593 86
  Rallye SA 4,682 80
  Direct Energie 1,645 76
^ Havas SA 6,026 65
  Haulotte Group SA 2,872 52
  MGI Coutier 1,213 49
  Groupe Crit 316 30
*,^ Parrot SA 2,373 30
* Esso SA Francaise 389 27
*,^ CGG SA 5,291 25
* Stallergenes Greer plc 274 14
  Union Financiere de France BQE SA 130 5
      431,226
Germany (3.1%)    
  Siemens AG 206,430 29,650
  Bayer AG 224,964 29,263
  SAP SE 246,318 28,145
  Allianz SE 119,973 28,009
  BASF SE 247,915 27,111
  Daimler AG 260,946 21,786
  Deutsche Telekom AG 876,124 15,864
  adidas AG 53,869 11,990
  Deutsche Post AG 261,147 11,971
  Volkswagen AG Preference Shares 51,829 9,490
  Fresenius SE & Co. KGaA 110,731 9,270
  Bayerische Motoren Werke AG 85,890 8,809
  Infineon Technologies AG 312,080 8,632
  Deutsche Bank AG 506,655 8,304
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen 36,615 8,220
  Continental AG 29,331 7,465
  Henkel AG & Co. KGaA Preference Shares 49,901 7,007
  E.ON SE 560,302 6,637
  Vonovia SE 133,122 5,881
  Fresenius Medical Care AG & Co. KGaA 58,785 5,692
  Linde AG - Tender Line 25,990 5,591

 

23


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Deutsche Boerse AG 51,401 5,323
  Linde AG 24,640 5,321
  HeidelbergCement AG 41,379 4,234
  Deutsche Wohnen SE 97,721 4,183
* Commerzbank AG 285,570 3,958
  Merck KGaA 35,659 3,826
  Henkel AG & Co. KGaA 29,399 3,708
  thyssenkrupp AG 128,968 3,460
2 Covestro AG 35,259 3,389
  Porsche Automobil Holding SE Preference Shares 42,278 3,094
  Wirecard AG 30,568 3,037
  Beiersdorf AG 26,674 3,001
* RWE AG 116,591 2,932
  Symrise AG 32,366 2,522
  MTU Aero Engines AG 14,225 2,407
  GEA Group AG 48,534 2,345
  Brenntag AG 41,070 2,330
  ProSiebenSat.1 Media SE 63,025 2,220
* QIAGEN NV 61,455 2,085
  Deutsche Lufthansa AG 64,012 2,057
  Hannover Rueck SE 16,054 2,020
  United Internet AG 31,173 1,977
  LANXESS AG 25,136 1,971
  OSRAM Licht AG 25,626 1,962
  LEG Immobilien AG 16,441 1,675
2 Innogy SE 34,940 1,625
  HUGO BOSS AG 17,245 1,542
  KION Group AG 18,849 1,510
  Uniper SE 52,295 1,469
  Evonik Industries AG 39,981 1,454
  Bayerische Motoren Werke AG Preference Shares 16,188 1,420
*,2 Zalando SE 27,962 1,408
  Rheinmetall AG 10,850 1,289
  K&S AG 50,148 1,219
  Freenet AG 34,384 1,151
  FUCHS PETROLUB SE 22,619 1,126
  Volkswagen AG 5,820 1,087
  MAN SE 9,418 1,043
* Dialog Semiconductor plc 20,383 1,018
  Telefonica Deutschland Holding AG 185,553 946
  Duerr AG 6,824 944
^ HOCHTIEF AG 5,183 916
  Drillisch AG 12,416 881
  Fraport AG Frankfurt Airport Services Worldwide 9,166 871
  Sartorius AG Preference Shares 9,150 854
* METRO AG 43,527 825
  Axel Springer SE 11,702 788
  RTL Group SA 10,225 760
  Aurubis AG 9,031 740
  Hella GmbH & Co. KGaA 12,197 737
* Siltronic AG 4,800 716
  Gerresheimer AG 8,840 707
* Evotec AG 32,995 702
  Aareal Bank AG 16,768 697
  RWE AG Preference Shares 36,402 690
  TAG Immobilien AG 39,412 679
  STADA Arzneimittel AG 6,775 654
  alstria office REIT-AG 43,779 622
*,^ MorphoSys AG 7,163 622
  Fielmann AG 7,065 621
  CTS Eventim AG & Co. KGaA 14,619 605
  Stabilus SA 6,588 602
* Software AG 11,832 601
  GRENKE AG 6,048 592

 

24


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Bechtle AG 7,287 583
  Wacker Chemie AG 3,678 574
  Rational AG 854 563
  Jungheinrich AG Preference Shares 12,355 563
  Norma Group SE 8,214 560
  Leoni AG 8,267 550
  CECONOMY AG 39,292 513
  TLG Immobilien AG 22,089 512
*,2 Rocket Internet SE 19,014 489
  Deutsche EuroShop AG 12,945 473
  Nemetschek SE 5,198 465
  Krones AG 3,647 461
  Salzgitter AG 9,449 457
  Fuchs Petrolub SE Preference Shares 7,881 444
*,2 Tele Columbus AG 41,643 434
*,2 Hapag-Lloyd AG 9,805 431
  TUI AG 23,341 423
  Talanx AG 10,705 421
  Stroeer SE & Co. KGaA 6,559 419
2 ADO Properties SA 8,450 418
* AIXTRON SE 26,556 415
  Jenoptik AG 12,265 413
  Suedzucker AG 19,420 385
2 Deutsche Pfandbriefbank AG 25,874 372
  Deutz AG 42,585 361
  Sixt SE 3,725 349
  Carl Zeiss Meditec AG 6,207 331
  Pfeiffer Vacuum Technology AG 2,059 331
  CompuGroup Medical SE 5,668 326
  Indus Holding AG 4,580 321
  Puma SE 708 320
*,^ zooplus AG 1,876 310
* Heidelberger Druckmaschinen AG 76,327 305
  Schaeffler AG Preference Shares 18,887 301
  DMG Mori AG 5,149 298
  XING SE 985 293
  Koenig & Bauer AG 3,654 285
^ Bilfinger SE 6,899 278
  DIC Asset AG 22,594 266
  RHOEN-KLINIKUM AG 7,525 263
  Sixt SE Preference Shares 3,954 257
  KWS Saat SE 581 245
  Wacker Neuson SE 7,364 240
  Kloeckner & Co. SE 19,462 230
* PATRIZIA Immobilien AG 9,971 211
* SGL Carbon SE 13,210 208
  Hamburger Hafen und Logistik AG 6,220 199
*,^ Nordex SE 17,970 187
  Draegerwerk AG & Co. KGaA Preference Shares 1,599 184
  VTG AG 3,093 179
  Draegerwerk AG & Co. KGaA 1,848 164
^ Biotest AG 4,823 153
  Diebold Nixdorf AG 1,798 151
  Takkt AG 7,223 150
  Deutsche Beteiligungs AG 2,883 147
* Vossloh AG 2,023 128
^ ElringKlinger AG 6,460 113
^ Bertrandt AG 1,140 108
  Biotest AG Preference Shares 3,969 105
  BayWa AG 2,533 99
  comdirect bank AG 7,126 99
  Wuestenrot & Wuerttembergische AG 3,550 95
^ SMA Solar Technology AG 1,946 91
  CropEnergies AG 7,938 84

 

25


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Hornbach Baumarkt AG 2,055 75
  H&R GmbH & Co. KGaA 3,176 56
  Gerry Weber International AG 4,199 52
      426,843
Greece (0.0%)    
* Alpha Bank AE 407,612 813
  OPAP SA 57,162 641
  Hellenic Telecommunications Organization SA 42,113 500
* National Bank of Greece SA 1,331,166 440
  JUMBO SA 24,207 389
* Eurobank Ergasias SA 432,628 353
  Motor Oil Hellas Corinth Refineries SA 14,637 351
* Mytilineos Holdings SA 26,080 273
  Hellenic Telecommunications Organization SA ADR 45,305 265
  Piraeus Bank SA 77,791 224
  Titan Cement Co. SA 9,212 223
  Grivalia Properties REIC AE 21,026 219
  Hellenic Petroleum SA 24,209 214
* GEK Terna Holding Real Estate Construction SA 31,563 156
* FF Group 6,714 141
  Aegean Airlines SA 12,797 116
  Hellenic Exchanges SA 17,966 101
  Terna Energy SA 15,404 75
* Public Power Corp. SA 29,269 63
* HOLDING CO ADMIE IPTO SA 29,269 63
* Ellaktor SA 29,150 55
  Fourlis Holdings SA 8,497 55
  Athens Water Supply & Sewage Co. SA 7,022 50
      5,780
Hong Kong (1.2%)    
  AIA Group Ltd. 3,290,382 24,795
  Hong Kong Exchanges & Clearing Ltd. 337,484 9,404
  CK Hutchison Holdings Ltd. 737,927 9,373
  Sun Hung Kai Properties Ltd. 383,003 6,266
* CK Asset Holdings Ltd. 742,927 6,114
  Link REIT 618,860 5,203
  Hang Seng Bank Ltd. 200,812 4,760
  CLP Holdings Ltd. 461,445 4,697
  BOC Hong Kong Holdings Ltd. 985,500 4,696
  Hong Kong & China Gas Co. Ltd. 2,255,665 4,276
  Galaxy Entertainment Group Ltd. 591,000 4,030
  Jardine Matheson Holdings Ltd. 57,265 3,668
  AAC Technologies Holdings Inc. 190,500 3,493
  Sands China Ltd. 668,000 3,151
  Power Assets Holdings Ltd. 360,000 3,121
  Wharf Holdings Ltd. 336,600 3,066
2 WH Group Ltd. 2,313,684 2,345
  Hongkong Land Holdings Ltd. 311,900 2,262
  New World Development Co. Ltd. 1,470,224 2,192
  MTR Corp. Ltd. 373,500 2,165
  Techtronic Industries Co. Ltd. 345,000 2,025
  Jardine Strategic Holdings Ltd. 47,995 2,013
  China Mengniu Dairy Co. Ltd. 715,000 1,981
  Henderson Land Development Co. Ltd. 278,089 1,815
  Wheelock & Co. Ltd. 227,000 1,581
  CK Infrastructure Holdings Ltd. 172,500 1,502
  Samsonite International SA 335,396 1,400
  Bank of East Asia Ltd. 317,072 1,391
  Sino Land Co. Ltd. 792,279 1,366
  Swire Pacific Ltd. Class A 132,142 1,306
  Hang Lung Properties Ltd. 542,000 1,245
*,^ Semiconductor Manufacturing International Corp. 773,100 1,186
  Want Want China Holdings Ltd. 1,404,467 1,150
  ASM Pacific Technology Ltd. 74,822 1,092

 

26


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Wynn Macau Ltd. 413,200 1,061
  Minth Group Ltd. 194,000 1,048
  Swire Properties Ltd. 285,046 963
  Li & Fung Ltd. 1,626,000 819
  Tingyi Cayman Islands Holding Corp. 498,000 785
  Hysan Development Co. Ltd. 160,000 773
  Hang Lung Group Ltd. 220,000 773
^ Kingston Financial Group Ltd. 992,000 766
  Kerry Properties Ltd. 158,500 713
  NWS Holdings Ltd. 348,500 705
  Yue Yuen Industrial Holdings Ltd. 181,500 695
  Shangri-La Asia Ltd. 331,519 660
  Dairy Farm International Holdings Ltd. 80,000 654
  Hopewell Holdings Ltd. 168,500 647
  PCCW Ltd. 1,124,000 620
  Melco International Development Ltd. 218,000 597
  VTech Holdings Ltd. 38,900 553
  Sun Art Retail Group Ltd. 541,079 547
*,2 China Resources Pharmaceutical Group Ltd. 443,000 540
  PRADA SPA 149,500 516
  Orient Overseas International Ltd. 52,802 509
  Vitasoy International Holdings Ltd. 214,000 495
  Xinyi Glass Holdings Ltd. 498,000 483
  Haitong International Securities Group Ltd. 828,038 470
  Johnson Electric Holdings Ltd. 110,250 445
  First Pacific Co. Ltd. 575,200 438
  Fortune REIT 353,923 429
  Nexteer Automotive Group Ltd. 217,000 425
^ MGM China Holdings Ltd. 188,000 424
  Man Wah Holdings Ltd. 469,200 424
  Swire Pacific Ltd. Class B 245,000 424
  SJM Holdings Ltd. 467,000 401
* Cathay Pacific Airways Ltd. 228,000 390
  Dah Sing Financial Holdings Ltd. 55,744 375
  United Co. RUSAL plc 577,000 372
  Luk Fook Holdings International Ltd. 83,000 351
  Champion REIT 482,000 348
  Great Eagle Holdings Ltd. 61,000 336
*,^ CMBC Capital Holdings Ltd. 3,780,000 330
*,^ MMG Ltd. 690,117 313
^ IGG Inc. 232,000 311
* Esprit Holdings Ltd. 510,346 309
  Chow Tai Fook Jewellery Group Ltd. 273,000 285
  K Wah International Holdings Ltd. 490,000 282
  Yuexiu REIT 438,940 277
  NagaCorp Ltd. 342,000 276
  Towngas China Co. Ltd. 332,000 272
  L'Occitane International SA 138,250 263
2 BOC Aviation Ltd. 45,600 245
*,^ HengTen Networks Group Ltd. 4,524,000 241
  Guotai Junan International Holdings Ltd. 746,000 239
  Xinyi Solar Holdings Ltd. 684,200 237
  SITC International Holdings Co. Ltd. 240,000 232
  Uni-President China Holdings Ltd. 272,800 228
  Cafe de Coral Holdings Ltd. 74,000 228
  Television Broadcasts Ltd. 59,100 224
  Gemdale Properties & Investment Corp. Ltd. 2,166,000 222
* Pacific Basin Shipping Ltd. 959,000 219
  Shun Tak Holdings Ltd. 472,000 203
  Giordano International Ltd. 354,000 200
  HKBN Ltd. 193,689 197
* Lai Sun Development Co. Ltd. 106,080 192
  China Travel International Investment Hong Kong Ltd. 516,000 191
  FIH Mobile Ltd. 607,000 191

 

27


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Value Partners Group Ltd. 190,000 189
* Freeman FinTech Corp. Ltd. 3,160,000 184
  Kerry Logistics Network Ltd. 128,000 176
  Shui On Land Ltd. 690,000 171
*,^ Panda Green Energy Group Ltd. 1,110,000 168
  Huabao International Holdings Ltd. 256,000 166
* Global Brands Group Holding Ltd. 1,414,000 165
  Shougang Fushan Resources Group Ltd. 760,000 164
  Henderson Investment Ltd. 1,891,000 163
  Canvest Environmental Protection Group Co. Ltd. 291,000 162
*,^ KuangChi Science Ltd. 427,000 162
  Stella International Holdings Ltd. 99,000 161
  Dah Sing Banking Group Ltd. 71,137 157
3 TCC International Holdings Ltd. 337,000 156
  China Goldjoy Group Ltd. 1,988,000 153
  Goodbaby International Holdings Ltd. 267,464 146
  Sunlight REIT 215,000 146
* China Minsheng Financial Holding Corp. Ltd. 2,560,000 140
^ Truly International Holdings Ltd. 360,000 139
* China Harmony New Energy Auto Holding Ltd. 231,000 136
  HC International Inc. 170,000 134
  Chong Hing Bank Ltd. 64,000 131
  Far East Consortium International Ltd. 225,000 123
*,^ GCL New Energy Holdings Ltd. 1,670,000 122
  Prosperity REIT 279,000 119
  HKR International Ltd. 183,200 117
*,^,3 Superb Summit International Group Ltd. 620,000 116
  Singamas Container Holdings Ltd. 548,000 114
  Dynam Japan Holdings Co. Ltd. 72,400 113
  Lifestyle International Holdings Ltd. 81,500 112
  Spring REIT 251,000 110
  CP Pokphand Co. Ltd. 1,350,000 109
*,3 Brightoil Petroleum Holdings Ltd. 566,000 109
  Parkson Retail Group Ltd. 706,000 108
* China Baoli Technologies Holdings Ltd. 5,875,000 106
  Sun Hung Kai & Co. Ltd. 165,000 106
  Hutchison Telecommunications Hong Kong Holdings Ltd. 290,000 104
  Pacific Textiles Holdings Ltd. 97,000 102
* New World Department Store China Ltd. 459,000 101
  Chow Sang Sang Holdings International Ltd. 46,000 100
  Hopewell Highway Infrastructure Ltd. 156,300 97
*,^ Digital Domain Holdings Ltd. 3,220,000 93
  China Silver Group Ltd. 264,000 91
* BOE Varitronix Ltd. 124,000 91
2 Regina Miracle International Holdings Ltd. 94,000 90
  Texwinca Holdings Ltd. 146,000 88
*,^ China Oceanwide Holdings Ltd. 1,050,000 87
  Road King Infrastructure Ltd. 53,000 87
  CITIC Telecom International Holdings Ltd. 302,500 87
  Pou Sheng International Holdings Ltd. 458,000 84
*,^,2 IMAX China Holding Inc. 27,100 84
  Town Health International Medical Group Ltd. 870,000 84
  Microport Scientific Corp. 83,852 83
  SA Sa International Holdings Ltd. 219,995 80
  SmarTone Telecommunications Holdings Ltd. 63,000 78
* COFCO Meat Holdings Ltd. 385,000 78
* Anton Oilfield Services Group 648,000 77
* Convoy Global Holdings Ltd. 3,102,000 75
* United Laboratories International Holdings Ltd. 86,000 75
  Nan Hai Corp. Ltd. 2,450,000 74
*,^ Sino Oil And Gas Holdings Ltd. 3,795,000 74
* Technovator International Ltd. 222,000 69
* Beijing Enterprises Medical & Health Group Ltd. 1,242,000 66
* Yanchang Petroleum International Ltd. 3,680,000 66

 

28


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* BEP International Holdings Ltd. 2,630,000 61
* Hong Kong Television Network Ltd. 164,000 59
* G-Resources Group Ltd. 4,329,600 57
*,^ Honghua Group Ltd. 587,000 57
  Emperor Capital Group Ltd. 654,000 56
  Liu Chong Hing Investment Ltd. 31,982 55
* China Strategic Holdings Ltd. 3,500,000 52
^ China Aerospace International Holdings Ltd. 382,000 48
  Ju Teng International Holdings Ltd. 126,000 45
* Mei Ah Entertainment Group Ltd. 960,000 42
* NewOcean Energy Holdings Ltd. 162,000 41
  China LNG Group Ltd. 240,000 40
  Lee's Pharmaceutical Holdings Ltd. 43,500 39
  TPV Technology Ltd. 224,000 38
  EVA Precision Industrial Holdings Ltd. 272,000 38
*,^ China Ocean Industry Group Ltd. 4,325,000 38
2 CGN New Energy Holdings Co. Ltd. 250,000 38
* China Medical & HealthCare Group Ltd. 929,488 34
  Emperor Watch & Jewellery Ltd. 660,000 33
* Silver Base Group Holdings Ltd. 294,000 31
*,^ Macau Legend Development Ltd. 186,000 30
  Shenwan Hongyuan HK Ltd. 75,000 27
* Lifestyle China Group Ltd. 81,500 27
* CST Group Ltd. 4,128,000 26
* Good Resources Holdings Ltd. 479,978 25
* Tou Rong Chang Fu Group Ltd. 1,348,000 24
* China LotSynergy Holdings Ltd. 940,000 24
* 13 Holdings Ltd. 525,000 24
* China Financial International Investments Ltd. 790,000 23
*,^ Summit Ascent Holdings Ltd. 145,948 20
* Xinchen China Power Holdings Ltd. 128,000 19
* Future World Financial Holdings Ltd. 834,251 17
* Vision Fame International Holding Ltd. 318,000 16
* SOCAM Development Ltd. 60,000 14
* New Sports Group Ltd. 2,440,000 13
* Trinity Ltd. 156,000 13
* Sincere Watch Hong Kong Ltd. 560,000 12
* Sunshine Oilsands Ltd. 317,500 11
* China Huarong Energy Co. Ltd. 232,300 11
* Suncorp Technologies Ltd. 1,910,000 10
* China Healthwise Holdings Ltd. 301,115 5
* Qianhai Health Holdings Ltd. 327,500 5
* I-CABLE Communications Ltd. 35,269 1
* Shougang Concord International Enterprises Co. Ltd. Rights Exp. 11/08/2017 994,000 1
      167,229
Hungary (0.0%)    
  OTP Bank plc 69,927 2,819
* MOL Hungarian Oil & Gas plc 115,424 1,382
  Richter Gedeon Nyrt 40,778 1,015
  Magyar Telekom Telecommunications plc 106,612 185
      5,401
India (1.2%)    
  Housing Development Finance Corp. Ltd. 430,256 11,347
2 Reliance Industries Ltd. GDR 318,197 9,134
  Infosys Ltd. ADR 361,432 5,367
  Tata Consultancy Services Ltd. 123,848 5,020
  Maruti Suzuki India Ltd. 32,374 4,107
  Reliance Industries Ltd. 255,407 3,713
  Hindustan Unilever Ltd. 193,557 3,699
  Axis Bank Ltd. 448,532 3,626
  ITC Ltd. 800,523 3,287
  Bharti Airtel Ltd. 353,649 2,717
  Sun Pharmaceutical Industries Ltd. 295,537 2,525
  Oil & Natural Gas Corp. Ltd. 825,174 2,438

 

29


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Vedanta Ltd. 445,488 2,287
Bharat Petroleum Corp. Ltd. 267,377 2,237
Infosys Ltd. 149,029 2,122
* Yes Bank Ltd. 421,695 2,050
Indian Oil Corp. Ltd. 300,773 1,931
State Bank of India GDR 40,012 1,894
HCL Technologies Ltd. 140,967 1,863
* Tata Motors Ltd. 269,546 1,785
Eicher Motors Ltd. 3,481 1,734
Indiabulls Housing Finance Ltd. 88,855 1,708
Larsen & Toubro Ltd. 90,054 1,701
Mahindra & Mahindra Ltd. 78,879 1,639
Grasim Industries Ltd. 86,298 1,636
UltraTech Cement Ltd. 22,132 1,505
Hero MotoCorp Ltd. 25,180 1,499
Coal India Ltd. 338,498 1,498
NTPC Ltd. 519,727 1,455
Adani Ports & Special Economic Zone Ltd. 215,583 1,434
Bharti Infratel Ltd. 208,186 1,423
ICICI Bank Ltd. 300,861 1,410
Asian Paints Ltd. 77,125 1,408
JSW Steel Ltd. 317,417 1,268
Bajaj Finance Ltd. 44,215 1,230
Hindustan Petroleum Corp. Ltd. 174,061 1,202
Zee Entertainment Enterprises Ltd. 142,581 1,194
UPL Ltd. 94,020 1,162
Hindalco Industries Ltd. 270,099 1,116
Motherson Sumi Systems Ltd. 173,189 977
Tech Mahindra Ltd. 131,019 975
Piramal Enterprises Ltd. 22,123 939
Bajaj Auto Ltd. 18,641 938
Lupin Ltd. 57,936 920
Ambuja Cements Ltd. 207,626 903
Cipla Ltd. 92,768 899
Godrej Consumer Products Ltd. 61,732 891
Wipro Ltd. 185,844 845
Bajaj Finserv Ltd. 10,810 837
Aurobindo Pharma Ltd. 68,712 807
Shriram Transport Finance Co. Ltd. 42,661 770
IndusInd Bank Ltd. 30,520 767
Titan Co. Ltd. 77,768 763
Dr Reddy's Laboratories Ltd. 20,348 759
Kotak Mahindra Bank Ltd. 46,769 741
GAIL India Ltd. 102,912 740
Ashok Leyland Ltd. 364,793 739
Dabur India Ltd. 142,823 734
Federal Bank Ltd. 385,376 726
* United Spirits Ltd. 15,299 721
Nestle India Ltd. 6,099 681
Wipro Ltd. ADR 126,451 678
LIC Housing Finance Ltd. 71,431 661
eClerx Services Ltd. 32,935 651
Tata Steel Ltd. 58,957 641
Power Grid Corp. of India Ltd. 185,904 608
Vakrangee Ltd. 69,361 603
Bosch Ltd. 1,812 588
Shree Cement Ltd. 2,000 585
* Idea Cellular Ltd. 397,005 570
Marico Ltd. 110,755 539
Britannia Industries Ltd. 7,294 523
Mahindra & Mahindra Financial Services Ltd. 74,030 494
* Bharat Financial Inclusion Ltd. 32,231 486
Cadila Healthcare Ltd. 61,802 481
Container Corp. Of India Ltd. 22,250 475

 

30


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Rural Electrification Corp. Ltd. 177,160 474
* Tata Motors Ltd. Class A 126,659 471
  Dewan Housing Finance Corp. Ltd. 46,759 465
  Rajesh Exports Ltd. 37,342 451
  Bharat Forge Ltd. 41,464 448
  Siemens Ltd. 21,549 424
2 ICICI Prudential Life Insurance Co. Ltd. 66,447 416
  Havells India Ltd. 55,138 413
  NMDC Ltd. 203,655 403
  Edelweiss Financial Services Ltd. 92,416 402
  Pidilite Industries Ltd. 33,072 400
  Power Finance Corp. Ltd. 183,340 394
  TVS Motor Co. Ltd. 35,146 393
  Colgate-Palmolive India Ltd. 23,624 388
  State Bank of India 81,983 387
  Crompton Greaves Consumer Electricals Ltd. 106,481 364
  L&T Finance Holdings Ltd. 116,831 363
  Glenmark Pharmaceuticals Ltd. 38,015 363
  Natco Pharma Ltd. 23,911 358
  DLF Ltd. 112,856 351
  MRF Ltd. 331 340
  ACC Ltd. 12,109 339
  Mindtree Ltd. 45,360 336
  Page Industries Ltd. 1,090 336
  Apollo Hospitals Enterprise Ltd. 20,142 323
* Steel Authority of India Ltd. 268,026 323
  CESC Ltd. 20,476 322
  Tata Power Co. Ltd. 243,302 319
  Bank of Baroda 120,949 317
*,2   17,732 312
  GlaxoSmithKline Consumer Healthcare Ltd. 3,942 309
* Jindal Steel & Power Ltd. 120,970 305
  Alkem Laboratories Ltd. 10,482 303
  Info Edge India Ltd. 17,176 302
* Punjab National Bank 98,620 301
  Voltas Ltd. 34,114 299
  Mphasis Ltd. 27,839 298
  NBCC India Ltd. 72,674 292
* Indiabulls Real Estate Ltd. 83,885 292
  NHPC Ltd. 656,926 290
  Oracle Financial Services Software Ltd. 5,219 282
  Bharat Heavy Electricals Ltd. 184,981 280
  KRBL Ltd. 28,058 280
* Max Financial Services Ltd. 30,805 279
  Oil India Ltd. 48,939 279
  Jubilant Foodworks Ltd. 11,022 278
  Kansai Nerolac Paints Ltd. 35,036 278
  IDFC Bank Ltd. 306,933 269
  Sun TV Network Ltd. 20,137 266
  Kajaria Ceramics Ltd. 25,055 264
  Bharat Electronics Ltd. 91,014 260
  Bajaj Holdings & Investment Ltd. 5,656 259
  Reliance Capital Ltd. 29,023 259
  Berger Paints India Ltd. 62,801 258
  United Breweries Ltd. 16,015 254
  Divi's Laboratories Ltd. 18,333 250
  Muthoot Finance Ltd. 32,648 249
* Suzlon Energy Ltd. 946,139 248
* Future Retail Ltd. 30,394 245
  ABB India Ltd. 11,390 244
  Emami Ltd. 12,037 234
  Reliance Infrastructure Ltd. 30,091 234
  Indraprastha Gas Ltd. 9,418 230
  Hindustan Zinc Ltd. 47,157 230

 

31


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Sadbhav Engineering Ltd. 46,439 227
Gillette India Ltd. 2,396 221
Cox & Kings Ltd. 53,979 218
Arvind Ltd. 35,132 218
Manappuram Finance Ltd. 139,248 217
* TI Financial Holdings Ltd. 16,493 212
NCC Ltd. 124,641 210
Dalmia Bharat Ltd. 4,462 206
Balkrishna Industries Ltd. 7,811 206
Canara Bank 32,748 205
* Bank of India 68,499 202
AIA Engineering Ltd. 9,421 200
Petronet LNG Ltd. 49,296 198
Ramco Cements Ltd. 17,456 194
Care Ratings Ltd. 8,295 193
Cummins India Ltd. 13,668 191
National Aluminium Co. Ltd. 129,187 191
Escorts Ltd. 16,201 191
PI Industries Ltd. 14,988 190
JSW Energy Ltd. 144,094 190
Tata Communications Ltd. 17,873 189
Engineers India Ltd. 65,466 188
Gujarat Gas Ltd. 13,314 188
Adani Enterprises Ltd. 91,233 187
IRB Infrastructure Developers Ltd. 48,800 183
GRUH Finance Ltd. 23,649 182
* CG Power and Industrial Solutions Ltd. 141,656 182
Whirlpool of India Ltd. 8,466 180
Apollo Tyres Ltd. 46,583 177
Oberoi Realty Ltd. 23,982 176
Coromandel International Ltd. 21,928 174
Jain Irrigation Systems Ltd. 108,444 172
ICICI Bank Ltd. ADR 18,742 172
Biocon Ltd. 30,687 170
Jubilant Life Sciences Ltd. 17,164 170
* GMR Infrastructure Ltd. 570,405 169
Indian Hotels Co. Ltd. 96,294 169
Gujarat State Petronet Ltd. 53,161 168
South Indian Bank Ltd. 343,838 163
Torrent Pharmaceuticals Ltd. 8,262 162
Ceat Ltd. 6,232 161
Century Textiles & Industries Ltd. 7,450 157
Prestige Estates Projects Ltd. 32,922 155
* Jet Airways India Ltd. 17,084 154
Srei Infrastructure Finance Ltd. 85,989 152
Karur Vysya Bank Ltd. 77,696 152
Castrol India Ltd. 24,456 151
Hexaware Technologies Ltd. 33,864 149
Tata Global Beverages Ltd. 42,253 148
* Housing Development & Infrastructure Ltd. 162,170 148
* Union Bank of India 53,892 147
* Godrej Properties Ltd. 13,999 147
PTC India Ltd. 76,646 146
Repco Home Finance Ltd. 15,230 146
Supreme Industries Ltd. 8,322 145
Indian Bank 29,873 145
2 InterGlobe Aviation Ltd. 7,456 144
* IDBI Bank Ltd. 147,071 142
Balrampur Chini Mills Ltd. 53,447 142
Karnataka Bank Ltd. 55,925 140
Sundaram Finance Ltd. 5,136 139
Cholamandalam Investment and Finance Co. Ltd. 7,762 138
Godrej Industries Ltd. 14,509 133
Exide Industries Ltd. 40,848 132

 

32


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
WABCO India Ltd. 1,338 132
* JM Financial Ltd. 51,633 131
Blue Dart Express Ltd. 2,017 131
PVR Ltd. 6,051 130
* Adani Power Ltd. 255,923 130
* Syndicate Bank 101,228 129
* Jammu & Kashmir Bank Ltd. 100,097 128
GlaxoSmithKline Pharmaceuticals Ltd. 3,178 127
* Andhra Bank 123,225 126
Persistent Systems Ltd. 12,422 125
Bajaj Corp. Ltd. 16,912 122
Strides Shasun Ltd. 9,442 121
* Sintex Plastics Technology Ltd. 83,541 120
* Just Dial Ltd. 16,622 120
Mahanagar Gas Ltd. 6,429 119
Jindal Saw Ltd. 61,019 118
* Reliance Power Ltd. 185,943 117
Symphony Ltd. 5,172 117
Bayer CropScience Ltd. 1,959 117
PC Jeweller Ltd. 21,484 116
Raymond Ltd. 8,316 115
GE T&D India Ltd. 18,902 114
Sanofi India Ltd. 1,742 112
Pfizer Ltd. 4,184 112
Vijaya Bank 106,806 109
Kaveri Seed Co. Ltd. 11,523 102
Ajanta Pharma Ltd. 5,388 102
IDFC Ltd. 103,749 101
* Equitas Holdings Ltd. 44,263 101
2 Laurus Labs Ltd. 12,108 101
McLeod Russel India Ltd. 39,170 100
Gujarat Fluorochemicals Ltd. 6,978 100
Mangalore Refinery & Petrochemicals Ltd. 45,416 100
* Central Bank of India 79,029 100
* Allahabad Bank 81,980 99
* Oriental Bank of Commerce 45,611 99
Gujarat Pipavav Port Ltd. 44,750 98
Torrent Power Ltd. 23,118 97
* Sun Pharma Advanced Research Co. Ltd. 14,830 96
* Jaiprakash Associates Ltd. 332,131 95
Redington India Ltd. 38,482 94
* IFCI Ltd. 247,622 93
Ipca Laboratories Ltd. 11,247 93
* TV18 Broadcast Ltd. 137,341 93
Welspun India Ltd. 88,190 91
* Shree Renuka Sugars Ltd. 404,761 90
Amara Raja Batteries Ltd. 8,322 90
* Aditya Birla Fashion and Retail Ltd. 35,555 86
* Shipping Corp. of India Ltd. 59,488 85
Welspun Corp. Ltd. 36,272 82
* Fortis Healthcare Ltd. 36,791 82
Gateway Distriparks Ltd. 19,308 79
* Adani Transmission Ltd. 24,446 79
Thermax Ltd. 5,117 78
SRF Ltd. 2,950 77
Chambal Fertilizers and Chemicals Ltd. 32,741 76
India Cements Ltd. 24,791 74
Motilal Oswal Financial Services Ltd. 3,496 74
VA Tech Wabag Ltd. 8,071 73
2 Syngene International Ltd. 9,331 73
Varun Beverages Ltd. 9,232 72
* Thomas Cook India Ltd. 18,762 69
KPIT Technologies Ltd. 30,090 69
Alembic Pharmaceuticals Ltd. 8,754 68

 

33


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Mahindra CIE Automotive Ltd. 17,526 68
Gujarat Mineral Development Corp. Ltd. 24,509 66
* Reliance Communications Ltd. 245,174 65
Great Eastern Shipping Co. Ltd. 10,667 64
* Hindustan Construction Co. Ltd. 103,619 64
* Dish TV India Ltd. 50,292 60
Marksans Pharma Ltd. 86,069 60
Sintex Industries Ltd. 128,392 53
Sobha Ltd. 6,672 52
Wockhardt Ltd. 5,121 51
* RattanIndia Power Ltd. 553,078 49
2 Dr Lal PathLabs Ltd. 3,618 43
Multi Commodity Exchange of India Ltd. 2,593 42
* Reliance Home Finance Ltd. 29,023 39
GE Power India Ltd. 3,629 38
* Corp Bank 49,046 34
* Indian Hotels Co. Ltd. Rights Receipt Line 19,258 34
* Bajaj Hindusthan Sugar Ltd. 139,539 32
Radico Khaitan Ltd. 8,653 29
Indiabulls Ventures Ltd. 6,248 28
* Unitech Ltd. 198,930 21
* Rolta India Ltd. 18,714 16
* DEN Networks Ltd. 10,752 14
* Videocon Industries Ltd. 54,258 13
* Indian Overseas Bank 27,269 11
* Karur Vysya Bank Ltd. Rights Exp. 11/10/2017 12,949 10
* UCO Bank 17,873 9
* Amtek Auto Ltd. 19,970 8
    166,277
Indonesia (0.2%)    
Bank Central Asia Tbk PT 2,635,328 4,060
Telekomunikasi Indonesia Persero Tbk PT 12,939,340 3,861
Bank Rakyat Indonesia Persero Tbk PT 2,898,178 3,334
Astra International Tbk PT 5,587,830 3,296
Bank Mandiri Persero Tbk PT 5,113,532 2,656
Unilever Indonesia Tbk PT 306,300 1,120
Bank Negara Indonesia Persero Tbk PT 1,977,630 1,109
United Tractors Tbk PT 419,460 1,072
Indofood Sukses Makmur Tbk PT 1,223,800 740
Gudang Garam Tbk PT 133,400 688
Indocement Tunggal Prakarsa Tbk PT 396,900 657
Hanjaya Mandala Sampoerna Tbk PT 2,137,800 627
Semen Indonesia Persero Tbk PT 735,200 591
Kalbe Farma Tbk PT 4,633,200 547
Adaro Energy Tbk PT 3,993,500 537
Indofood CBP Sukses Makmur Tbk PT 699,300 454
Charoen Pokphand Indonesia Tbk PT 1,837,600 447
Matahari Department Store Tbk PT 577,800 366
Perusahaan Gas Negara Persero Tbk 2,666,200 362
Pakuwon Jati Tbk PT 7,083,400 329
Bank Danamon Indonesia Tbk PT 866,000 326
Jasa Marga Persero Tbk PT 677,017 324
Ciputra Development Tbk PT 3,585,330 320
Surya Citra Media Tbk PT 1,789,200 284
Lippo Karawaci Tbk PT 5,076,000 258
Bumi Serpong Damai Tbk PT 1,980,200 251
Tower Bersama Infrastructure Tbk PT 477,300 240
Summarecon Agung Tbk PT 2,915,900 223
* XL Axiata Tbk PT 890,300 222
AKR Corporindo Tbk PT 359,800 198
Japfa Comfeed Indonesia Tbk PT 1,833,500 186
Indo Tambangraya Megah Tbk PT 108,800 178
Bank Tabungan Negara Persero Tbk PT 743,100 151
Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT 812,600 147

 

34


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Tambang Batubara Bukit Asam Persero Tbk PT 168,200 142
  Ace Hardware Indonesia Tbk PT 1,449,000 134
  Semen Baturaja Persero TBK PT 648,400 133
  Waskita Karya Persero Tbk PT 838,374 131
  Media Nusantara Citra Tbk PT 1,051,100 121
* Aneka Tambang Persero Tbk PT 2,541,300 121
  Mitra Adiperkasa Tbk PT 240,500 116
  Kawasan Industri Jababeka Tbk PT 5,172,557 116
  Pembangunan Perumahan Persero Tbk PT 528,300 111
  Link Net Tbk PT 246,700 91
  Wijaya Karya Persero Tbk PT 623,745 91
* Vale Indonesia Tbk PT 414,700 90
  Astra Agro Lestari Tbk PT 82,055 88
  Perusahaan Perkebunan London Sumatra Indonesia Tbk PT 725,400 81
  Ramayana Lestari Sentosa Tbk PT 1,190,900 80
  Alam Sutera Realty Tbk PT 2,431,200 73
  Wijaya Karya Beton Tbk PT 1,298,600 63
  Adhi Karya Persero Tbk PT 348,200 56
* Panin Financial Tbk PT 3,164,200 55
  Global Mediacom Tbk PT 1,211,000 52
* Medco Energi Internasional Tbk PT 746,000 43
  Intiland Development Tbk PT 1,328,600 38
* Eagle High Plantations Tbk PT 2,054,500 37
  Gajah Tunggal Tbk PT 720,000 37
* Matahari Putra Prima Tbk PT 838,300 36
* Tiga Pilar Sejahtera Food Tbk 480,600 35
* Siloam International Hospitals Tbk PT 43,483 31
  Surya Semesta Internusa Tbk PT 704,600 31
  Agung Podomoro Land Tbk PT 1,547,500 30
* Krakatau Steel Persero Tbk PT 810,647 29
  Timah Persero Tbk PT 473,400 29
  Bekasi Fajar Industrial Estate Tbk PT 1,002,100 21
* Lippo Cikarang Tbk PT 69,300 19
*,3 Berlian Laju Tanker Tbk PT 968,000 14
  BISI International Tbk PT 92,500 11
      32,547
Ireland (0.1%)    
  Kerry Group plc Class A 40,047 4,033
  Bank of Ireland Group plc 251,903 1,974
* ICON plc 14,500 1,723
  Kingspan Group plc 39,810 1,664
  Glanbia plc 55,659 1,077
* Allied Irish Banks plc 177,737 1,051
* Prothena Corp. plc 11,900 691
* Ryanair Holdings plc 22,790 449
* Cairn Homes plc 183,790 382
  Green REIT plc 192,362 338
  Irish Continental Group plc 49,543 330
  Hibernia REIT plc 186,006 319
  C&C Group plc 91,201 312
  Origin Enterprises plc 28,396 225
* Permanent TSB Group Holdings plc 26,375 60
* Ryanair Holdings plc ADR 23 3
*,3 Irish Bank Resolution Corp. Ltd. 14,385
      14,631
Israel (0.2%)    
  Teva Pharmaceutical Industries Ltd. 248,651 3,429
  Bank Leumi Le-Israel BM 399,592 2,209
  Bank Hapoalim BM 285,567 2,022
  Nice Ltd. 16,073 1,338
  Elbit Systems Ltd. 6,314 937
* Tower Semiconductor Ltd. 25,792 854
* Israel Discount Bank Ltd. Class A 311,734 828
  Frutarom Industries Ltd. 9,453 778

 

35


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Bezeq The Israeli Telecommunication Corp. Ltd. 521,009 778
  Israel Chemicals Ltd. 152,841 637
  Mizrahi Tefahot Bank Ltd. 34,394 621
* Mellanox Technologies Ltd. 12,739 596
  Azrieli Group Ltd. 7,943 449
  First International Bank Of Israel Ltd. 21,249 403
* Mazor Robotics Ltd. 10,701 344
  Paz Oil Co. Ltd. 1,815 296
  Alony Hetz Properties & Investments Ltd. 26,745 277
  Harel Insurance Investments & Financial Services Ltd. 36,575 250
  Strauss Group Ltd. 11,068 225
  Gazit-Globe Ltd. 23,638 225
* Nova Measuring Instruments Ltd. 7,371 225
* Airport City Ltd. 16,887 216
* Cellcom Israel Ltd. (Registered) 21,946 212
  Reit 1 Ltd. 52,803 212
  Oil Refineries Ltd. 346,880 178
  Delek Group Ltd. 997 164
  Shufersal Ltd. 23,960 152
* Jerusalem Economy Ltd. 55,259 149
  Melisron Ltd. 2,819 147
* Israel Corp. Ltd. 774 145
* Partner Communications Co. Ltd. 25,426 135
* Jerusalem Oil Exploration 2,482 134
* Brack Capital Properties NV 1,128 123
  Amot Investments Ltd. 18,840 111
  Sella Capital Real Estate Ltd. 44,991 90
  Matrix IT Ltd. 8,201 90
  IDI Insurance Co. Ltd. 1,332 89
  Shikun & Binui Ltd. 35,075 83
  Rami Levy Chain Stores Hashikma Marketing 2006 Ltd. 1,678 82
* Phoenix Holdings Ltd. 16,138 80
  Delek Automotive Systems Ltd. 9,988 75
* Clal Insurance Enterprises Holdings Ltd. 3,854 74
  Naphtha Israel Petroleum Corp. Ltd. 11,590 67
  Menora Mivtachim Holdings Ltd. 4,821 60
  Norstar Holdings Inc. 3,315 60
* Africa Israel Properties Ltd. 2,364 56
  Migdal Insurance & Financial Holding Ltd. 47,854 56
  Electra Ltd. 237 54
* Gilat Satellite Networks Ltd. 7,449 53
* B Communications Ltd. 3,139 49
  Formula Systems 1985 Ltd. 1,047 43
  Delta-Galil Industries Ltd. 1,206 39
  Bayside Land Corp. 79 37
  Big Shopping Centers Ltd. 452 33
* Allot Communications Ltd. 4,912 27
* Kenon Holdings Ltd. 1,533 26
* Kamada Ltd. 5,171 26
  Teva Pharmaceutical Industries Ltd. ADR 1,664 23
* Ceragon Networks Ltd. 6,042 13
* Evogene Ltd. 2,628 11
* AudioCodes Ltd. 1,391 10
      21,205
Italy (0.9%)    
  Enel SPA 2,111,179 13,093
  Intesa Sanpaolo SPA (Registered) 3,461,192 11,636
* UniCredit SPA 606,782 11,596
  Eni SPA 678,728 11,096
  Assicurazioni Generali SPA 356,558 6,489
* Fiat Chrysler Automobiles NV 296,945 5,135
  Atlantia SPA 146,385 4,772
  Ferrari NV 34,336 4,111
  Snam SPA 658,615 3,363

 

36


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  CNH Industrial NV 257,402 3,284
* Telecom Italia SPA (Registered) 3,356,976 2,905
  Luxottica Group SPA 41,527 2,381
  Terna Rete Elettrica Nazionale SPA 377,281 2,276
  Prysmian SPA 56,592 1,947
  EXOR NV 28,553 1,830
  Mediobanca SPA 161,650 1,771
  Leonardo SPA 100,660 1,738
* Banco BPM SPA 398,634 1,388
  Moncler SPA 46,429 1,318
  Recordati SPA 26,668 1,239
  Unione di Banche Italiane SPA 260,700 1,224
  Davide Campari-Milano SPA 151,551 1,214
  FinecoBank Banca Fineco SPA 113,470 1,061
2 Poste Italiane SPA 137,550 1,005
  Tenaris SA ADR 35,578 970
  Telecom Italia SPA (Bearer) 1,296,780 921
  Intesa Sanpaolo SPA 289,788 913
  Interpump Group SPA 23,147 779
  Italgas SPA 130,650 763
*,2 Pirelli & C SPA 95,718 753
  Tenaris SA 54,450 743
  A2A SPA 416,111 715
  Hera SPA 214,052 689
* Brembo SPA 41,072 678
  Cerved Information Solutions SPA 47,228 607
  Saipem SPA 141,266 594
  Banca Mediolanum SPA 66,757 569
  BPER Banca 115,051 560
  Azimut Holding SPA 27,947 552
*,^ Yoox Net-A-Porter Group SPA 14,600 545
  Unipol Gruppo SPA 119,962 541
  DiaSorin SPA 5,622 511
  Buzzi Unicem SPA 18,356 511
  UnipolSai Assicurazioni SPA 223,410 508
  Banca Generali SPA 15,105 497
  Societa Cattolica di Assicurazioni SC 45,070 488
  Amplifon SPA 31,378 477
  De' Longhi SPA 14,156 464
  Banca Popolare di Sondrio SCPA 110,129 436
2 Anima Holding SPA 56,609 430
2 Infrastrutture Wireless Italiane SPA 60,570 414
2 Enav SPA 86,759 413
  Autogrill SPA 31,088 407
*,^ Mediaset SPA 104,006 382
  Iren SPA 136,998 377
  Societa Iniziative Autostradali e Servizi SPA 21,961 374
  Salvatore Ferragamo SPA 13,689 359
  Industria Macchine Automatiche SPA 4,004 359
  Saras SPA 129,276 345
  Banca IFIS SPA 6,213 339
  Brunello Cucinelli SPA 9,797 329
  Tod's SPA 4,506 300
2 OVS SPA 38,302 286
* Reply SPA 5,184 276
  Ei Towers SPA 4,587 268
* LivaNova plc 3,590 265
2 Technogym SPA 24,840 242
  Astaldi SPA 31,595 219
* Fincantieri SPA 172,262 214
  ASTM SPA 7,472 207
  Credito Emiliano SPA 23,562 206
  Beni Stabili SpA SIIQ 229,643 203
2 RAI Way SPA 33,424 203

 

37


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Piaggio & C SPA 59,240 194
*,^ Credito Valtellinese SPA 53,482 189
  Buzzi Unicem SPA Savings Shares 11,877 188
  ERG SPA 11,221 187
  ACEA SPA 11,236 183
  Datalogic SPA 4,466 177
  MARR SPA 6,935 177
  Salini Impregilo SPA 41,504 175
  Maire Tecnimont SPA 28,657 161
  Parmalat SPA 42,053 159
  Immobiliare Grande Distribuzione SIIQ SPA 135,706 157
  Danieli & C Officine Meccaniche SPA 5,775 138
  CIR-Compagnie Industriali Riunite SPA 86,471 130
  Zignago Vetro SPA 13,478 126
* Italmobiliare SPA 4,572 123
  Danieli & C Officine Meccaniche SPA RSP 6,539 109
*,^ Juventus Football Club SPA 113,088 98
  Cementir Holding SPA 10,694 91
  Cairo Communication SPA 15,486 79
* Arnoldo Mondadori Editore SPA 24,213 63
^ Geox SPA 10,796 47
* Rizzoli Corriere Della Sera Mediagroup SPA 29,726 45
  Cofide SPA 48,461 35
* GEDI Gruppo Editoriale SPA 36,169 32
*,^ Banca Carige SPA 121,503 30
  Esprinet SPA 4,334 21
* Safilo Group SPA 3,221 20
      124,207
Japan (8.3%)    
  Toyota Motor Corp. 709,794 44,026
  Mitsubishi UFJ Financial Group Inc. 3,491,960 23,686
  SoftBank Group Corp. 231,625 20,527
  Honda Motor Co. Ltd. 484,541 15,184
  Sumitomo Mitsui Financial Group Inc. 363,348 14,557
  Sony Corp. 344,500 14,412
  Keyence Corp. 24,366 13,529
  KDDI Corp. 495,800 13,209
  Mizuho Financial Group Inc. 6,909,207 12,553
  FANUC Corp. 53,104 12,417
  Takeda Pharmaceutical Co. Ltd. 208,653 11,765
  Shin-Etsu Chemical Co. Ltd. 111,094 11,716
  Nintendo Co. Ltd. 29,196 11,327
  Japan Tobacco Inc. 325,382 10,770
  Canon Inc. 282,700 10,620
  Hitachi Ltd. 1,262,688 10,055
  East Japan Railway Co. 101,185 9,813
  Mitsubishi Electric Corp. 541,715 9,271
  Central Japan Railway Co. 49,317 8,958
  Nippon Telegraph & Telephone Corp. 182,000 8,799
  Panasonic Corp. 581,644 8,782
  Seven & i Holdings Co. Ltd. 212,300 8,557
  Nidec Corp. 64,006 8,512
  NTT DOCOMO Inc. 350,348 8,485
  Mitsubishi Corp. 353,200 8,271
  Tokio Marine Holdings Inc. 191,133 8,239
  Murata Manufacturing Co. Ltd. 51,908 8,158
  Komatsu Ltd. 249,615 8,156
  Bridgestone Corp. 170,734 8,156
  Daikin Industries Ltd. 72,879 8,054
  Recruit Holdings Co. Ltd. 325,610 7,983
  Kao Corp. 131,848 7,968
  Astellas Pharma Inc. 568,800 7,570
  Tokyo Electron Ltd. 42,900 7,554
  Denso Corp. 133,200 7,336

 

38


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Mitsui & Co. Ltd. 466,900 6,973
ITOCHU Corp. 390,700 6,844
Daiwa House Industry Co. Ltd. 177,900 6,521
Suzuki Motor Corp. 112,181 6,145
ORIX Corp. 354,760 6,100
Mitsui Fudosan Co. Ltd. 259,300 6,052
SMC Corp. 15,800 6,044
Dai-ichi Life Holdings Inc. 310,200 5,924
Mitsubishi Estate Co. Ltd. 323,891 5,874
Subaru Corp. 167,500 5,787
Kyocera Corp. 86,300 5,772
Kubota Corp. 306,600 5,769
Hoya Corp. 102,900 5,591
Kirin Holdings Co. Ltd. 230,700 5,538
Nomura Holdings Inc. 927,200 5,306
Nippon Steel & Sumitomo Metal Corp. 215,874 5,176
Nissan Motor Co. Ltd. 524,201 5,098
Otsuka Holdings Co. Ltd. 117,300 4,900
Asahi Group Holdings Ltd. 105,200 4,803
Fast Retailing Co. Ltd. 14,100 4,718
MS&AD Insurance Group Holdings Inc. 136,901 4,651
Sumitomo Corp. 315,000 4,556
JXTG Holdings Inc. 876,807 4,528
FUJIFILM Holdings Corp. 108,300 4,430
Shiseido Co. Ltd. 106,100 4,376
Shionogi & Co. Ltd. 80,600 4,339
Toray Industries Inc. 420,200 4,253
Eisai Co. Ltd. 76,100 4,235
Japan Post Holdings Co. Ltd. 365,015 4,223
Fujitsu Ltd. 539,406 4,203
Oriental Land Co. Ltd. 52,400 4,191
Daiichi Sankyo Co. Ltd. 181,900 4,178
Secom Co. Ltd. 54,800 4,173
Asahi Kasei Corp. 343,300 4,157
Sumitomo Mitsui Trust Holdings Inc. 104,546 4,126
Sompo Holdings Inc. 100,175 4,027
Sumitomo Realty & Development Co. Ltd. 118,846 3,980
Nitto Denko Corp. 42,800 3,980
Mitsubishi Chemical Holdings Corp. 356,684 3,726
West Japan Railway Co. 51,200 3,610
Sumitomo Electric Industries Ltd. 210,700 3,587
Terumo Corp. 86,000 3,584
Daito Trust Construction Co. Ltd. 20,052 3,506
Resona Holdings Inc. 592,106 3,201
Taisei Corp. 57,503 3,186
Mitsubishi Heavy Industries Ltd. 80,887 3,165
JFE Holdings Inc. 142,000 3,052
Sekisui House Ltd. 160,400 2,999
* Toshiba Corp. 1,036,000 2,995
MEIJI Holdings Co. Ltd. 36,534 2,987
Aeon Co. Ltd. 192,800 2,982
Omron Corp. 52,700 2,953
Nitori Holdings Co. Ltd. 20,300 2,950
Shimano Inc. 21,400 2,928
Olympus Corp. 76,600 2,851
Tokyo Gas Co. Ltd. 113,800 2,839
Sumitomo Chemical Co. Ltd. 402,492 2,829
Chugai Pharmaceutical Co. Ltd. 59,300 2,827
Marubeni Corp. 418,228 2,804
Ajinomoto Co. Inc. 138,100 2,778
Daiwa Securities Group Inc. 439,000 2,752
Ono Pharmaceutical Co. Ltd. 120,000 2,750
Makita Corp. 65,200 2,732
Toyota Industries Corp. 43,800 2,696

 

39


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Sysmex Corp. 38,934 2,665
Kansai Electric Power Co. Inc. 194,400 2,662
Inpex Corp. 244,200 2,615
Japan Exchange Group Inc. 143,900 2,594
Dentsu Inc. 60,349 2,581
Chubu Electric Power Co. Inc. 198,970 2,566
T&D Holdings Inc. 163,900 2,557
Kajima Corp. 245,000 2,541
Sumitomo Metal Mining Co. Ltd. 63,000 2,485
Aisin Seiki Co. Ltd. 47,700 2,471
TDK Corp. 32,000 2,459
Hankyu Hanshin Holdings Inc. 61,200 2,386
Obayashi Corp. 179,900 2,355
Yamaha Motor Co. Ltd. 77,600 2,329
Rakuten Inc. 217,600 2,329
Unicharm Corp. 102,300 2,328
Yakult Honsha Co. Ltd. 27,200 2,249
Rohm Co. Ltd. 23,600 2,197
Isuzu Motors Ltd. 149,120 2,178
Toyota Tsusho Corp. 59,500 2,164
Mazda Motor Corp. 149,200 2,154
Yaskawa Electric Corp. 58,963 2,113
Koito Manufacturing Co. Ltd. 31,100 2,085
Tokyu Corp. 137,000 2,072
MINEBEA MITSUMI Inc. 112,084 2,055
MISUMI Group Inc. 75,000 2,055
Osaka Gas Co. Ltd. 105,400 2,042
Asahi Glass Co. Ltd. 51,400 2,014
Dai Nippon Printing Co. Ltd. 82,000 1,966
NTT Data Corp. 167,900 1,956
Sekisui Chemical Co. Ltd. 96,300 1,944
LIXIL Group Corp. 69,500 1,914
Yamato Holdings Co. Ltd. 93,200 1,906
Kuraray Co. Ltd. 96,100 1,893
TOTO Ltd. 38,500 1,886
Kintetsu Group Holdings Co. Ltd. 48,000 1,846
Ryohin Keikaku Co. Ltd. 6,207 1,831
Concordia Financial Group Ltd. 342,279 1,813
* Tokyo Electric Power Co. Holdings Inc. 437,900 1,797
NEC Corp. 65,100 1,786
Disco Corp. 7,700 1,784
Shimizu Corp. 151,200 1,780
Bandai Namco Holdings Inc. 51,200 1,755
NSK Ltd. 121,600 1,751
Seiko Epson Corp. 72,200 1,723
Yamaha Corp. 43,800 1,721
Nikon Corp. 89,700 1,703
Ricoh Co. Ltd. 181,700 1,686
Tohoku Electric Power Co. Inc. 125,900 1,652
* Renesas Electronics Corp. 127,700 1,651
Kikkoman Corp. 48,050 1,649
Trend Micro Inc. 30,600 1,641
Tosoh Corp. 75,490 1,629
NH Foods Ltd. 56,000 1,611
Mitsui Chemicals Inc. 52,200 1,610
M3 Inc. 53,569 1,598
Odakyu Electric Railway Co. Ltd. 81,500 1,594
Tobu Railway Co. Ltd. 53,800 1,578
Yahoo Japan Corp. 349,300 1,562
Suntory Beverage & Food Ltd. 33,500 1,541
Alps Electric Co. Ltd. 50,300 1,539
Brother Industries Ltd. 63,000 1,533
Stanley Electric Co. Ltd. 41,100 1,517
Nippon Paint Holdings Co. Ltd. 43,000 1,517

 

40


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Santen Pharmaceutical Co. Ltd. 94,900 1,508
  Shimadzu Corp. 71,800 1,493
  Nissan Chemical Industries Ltd. 38,900 1,451
* Nexon Co. Ltd. 53,900 1,450
  Sumco Corp. 64,626 1,423
  Kyushu Railway Co. 44,424 1,420
  Toppan Printing Co. Ltd. 139,000 1,414
  Kyushu Electric Power Co. Inc. 123,900 1,413
  NGK Insulators Ltd. 70,700 1,400
  Mitsubishi Motors Corp. 173,400 1,389
  Keikyu Corp. 67,000 1,386
  Kansai Paint Co. Ltd. 53,800 1,383
  Nabtesco Corp. 34,800 1,382
  Japan Post Bank Co. Ltd. 108,535 1,375
  Shizuoka Bank Ltd. 141,000 1,372
  Kawasaki Heavy Industries Ltd. 38,900 1,357
  Keio Corp. 30,800 1,344
  Lion Corp. 69,800 1,343
  Chiba Bank Ltd. 175,000 1,341
  Oji Holdings Corp. 226,000 1,325
  Don Quijote Holdings Co. Ltd. 31,300 1,313
  Start Today Co. Ltd. 47,600 1,304
  Mitsubishi Tanabe Pharma Corp. 59,200 1,303
  FamilyMart UNY Holdings Co. Ltd. 22,871 1,300
  Hoshizaki Corp. 13,582 1,285
  Hirose Electric Co. Ltd. 8,530 1,283
  Sumitomo Heavy Industries Ltd. 30,200 1,269
  Mitsubishi Materials Corp. 33,334 1,268
  Nippon Express Co. Ltd. 19,900 1,263
  Taiheiyo Cement Corp. 31,400 1,255
  Mitsubishi Gas Chemical Co. Inc. 51,100 1,250
  IHI Corp. 34,700 1,250
  Kyowa Hakko Kirin Co. Ltd. 67,300 1,242
  Konami Holdings Corp. 25,300 1,232
  Obic Co. Ltd. 18,600 1,231
*,^ Sharp Corp. 38,631 1,229
  Nisshin Seifun Group Inc. 69,720 1,225
  Aozora Bank Ltd. 31,290 1,225
  Daifuku Co. Ltd. 25,000 1,219
  Fuji Electric Co. Ltd. 166,388 1,206
  Yokogawa Electric Corp. 63,200 1,201
  ANA Holdings Inc. 31,200 1,199
  Nomura Research Institute Ltd. 28,123 1,192
  Tsuruha Holdings Inc. 9,600 1,190
  Persol Holdings Co. Ltd. 47,200 1,170
  Mebuki Financial Group Inc. 278,650 1,163
  Nissin Foods Holdings Co. Ltd. 18,400 1,159
  Showa Denko KK 34,500 1,156
  NGK Spark Plug Co. Ltd. 50,200 1,146
  Keisei Electric Railway Co. Ltd. 37,200 1,124
  Hamamatsu Photonics KK 34,500 1,117
  THK Co. Ltd. 30,500 1,113
  Idemitsu Kosan Co. Ltd. 37,500 1,096
  Hisamitsu Pharmaceutical Co. Inc. 19,900 1,096
  USS Co. Ltd. 54,100 1,094
  Haseko Corp. 74,900 1,088
  Amada Holdings Co. Ltd. 87,100 1,082
  Coca-Cola Bottlers Japan Inc. 30,875 1,080
  Isetan Mitsukoshi Holdings Ltd. 99,000 1,079
  Japan Airlines Co. Ltd. 31,500 1,078
  Electric Power Development Co. Ltd. 42,300 1,066
  Pigeon Corp. 29,900 1,061
  Suruga Bank Ltd. 46,500 1,059
  Seibu Holdings Inc. 59,188 1,058

 

41


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Daicel Corp. 84,400 1,054
Nagoya Railroad Co. Ltd. 46,400 1,042
J Front Retailing Co. Ltd. 69,000 1,024
Bank of Kyoto Ltd. 19,400 1,019
Advantest Corp. 44,400 1,014
Konica Minolta Inc. 115,600 1,014
Toho Co. Ltd. 30,600 1,014
Sojitz Corp. 334,748 1,010
Yamada Denki Co. Ltd. 189,460 1,008
Fukuoka Financial Group Inc. 195,000 1,006
Teijin Ltd. 47,400 1,003
JTEKT Corp. 60,300 999
Furukawa Electric Co. Ltd. 16,300 992
Alfresa Holdings Corp. 51,700 988
JSR Corp. 50,100 971
Hitachi Construction Machinery Co. Ltd. 28,300 971
Ebara Corp. 26,900 968
Tokyu Fudosan Holdings Corp. 145,186 952
Ube Industries Ltd. 30,900 949
Kobayashi Pharmaceutical Co. Ltd. 16,400 948
JGC Corp. 56,100 941
Kose Corp. 7,700 936
Kurita Water Industries Ltd. 29,400 934
Hakuhodo DY Holdings Inc. 67,500 934
Hulic Co. Ltd. 90,500 934
Taisho Pharmaceutical Holdings Co. Ltd. 12,200 929
Toyo Suisan Kaisha Ltd. 24,100 927
* Nippon Yusen KK 42,900 907
Mitsui OSK Lines Ltd. 29,539 905
Hino Motors Ltd. 70,200 904
Nippon Electric Glass Co. Ltd. 22,100 902
Casio Computer Co. Ltd. 60,900 899
Nippon Shinyaku Co. Ltd. 12,600 893
Otsuka Corp. 12,900 879
Sumitomo Rubber Industries Ltd. 46,000 873
Credit Saison Co. Ltd. 42,900 864
Sohgo Security Services Co. Ltd. 17,800 858
Chugoku Electric Power Co. Inc. 76,900 857
Ulvac Inc. 12,100 857
SBI Holdings Inc. 53,440 843
Rinnai Corp. 9,800 840
Lawson Inc. 12,800 836
Sega Sammy Holdings Inc. 58,500 824
Hitachi Chemical Co. Ltd. 28,600 816
Mabuchi Motor Co. Ltd. 15,500 813
Asahi Intecc Co. Ltd. 14,000 808
Suzuken Co. Ltd. 22,360 806
CyberAgent Inc. 26,000 805
Nihon M&A Center Inc. 16,800 804
Marui Group Co. Ltd. 52,500 804
Denka Co. Ltd. 23,800 795
Hitachi High-Technologies Corp. 18,900 791
Toyo Seikan Group Holdings Ltd. 44,400 785
Square Enix Holdings Co. Ltd. 19,400 782
NOK Corp. 31,800 781
Gunma Bank Ltd. 121,200 780
SCREEN Holdings Co. Ltd. 9,800 768
MediPal Holdings Corp. 41,000 761
Tsumura & Co. 20,300 754
Kamigumi Co. Ltd. 31,500 754
Asics Corp. 49,200 752
Keihan Holdings Co. Ltd. 24,600 752
Air Water Inc. 39,100 750
DIC Corp. 20,200 750

 

42


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Hiroshima Bank Ltd. 88,500 749
  Oracle Corp. Japan 8,800 745
  Kewpie Corp. 29,800 743
  Ezaki Glico Co. Ltd. 13,400 743
  Yamaguchi Financial Group Inc. 61,000 739
  Mitsui Mining & Smelting Co. Ltd. 14,200 739
  DeNA Co. Ltd. 31,400 738
  Azbil Corp. 16,800 734
  Takashimaya Co. Ltd. 79,000 727
  Sony Financial Holdings Inc. 43,600 724
  Seven Bank Ltd. 195,300 722
  Iida Group Holdings Co. Ltd. 37,381 717
  Nomura Real Estate Holdings Inc. 32,300 711
  TIS Inc. 22,800 710
  Park24 Co. Ltd. 30,600 707
  Matsumotokiyoshi Holdings Co. Ltd. 9,800 705
*,^ PeptiDream Inc. 22,200 704
  COMSYS Holdings Corp. 27,800 704
  Sundrug Co. Ltd. 16,100 701
  Shinsei Bank Ltd. 41,500 700
  Hikari Tsushin Inc. 5,400 699
  Nippon Kayaku Co. Ltd. 44,000 699
  Fujikura Ltd. 79,400 693
  Relo Group Inc. 27,900 691
  Shimamura Co. Ltd. 6,200 691
  Tokyo Tatemono Co. Ltd. 49,200 690
  Hachijuni Bank Ltd. 109,900 688
  Nichirei Corp. 26,700 687
  Hitachi Metals Ltd. 52,800 684
  Nankai Electric Railway Co. Ltd. 26,400 683
  Calbee Inc. 20,200 682
  Miraca Holdings Inc. 14,600 679
  AEON Financial Service Co. Ltd. 31,600 679
  Horiba Ltd. 11,300 673
*,^ Kobe Steel Ltd. 79,500 671
  Kagome Co. Ltd. 20,000 666
  Toho Gas Co. Ltd. 23,800 665
  Sumitomo Dainippon Pharma Co. Ltd. 45,900 655
  Yamazaki Baking Co. Ltd. 36,000 648
  Nifco Inc. 9,901 646
  Topcon Corp. 30,500 645
  Kinden Corp. 38,000 642
  NTN Corp. 132,000 641
  Kaneka Corp. 77,000 636
  Toyo Tire & Rubber Co. Ltd. 28,000 634
  Iyo Bank Ltd. 72,800 628
  Nippon Shokubai Co. Ltd. 8,300 626
  Rohto Pharmaceutical Co. Ltd. 27,100 626
  OKUMA Corp. 10,000 615
  Zenkoku Hosho Co. Ltd. 14,900 612
  Chugoku Bank Ltd. 42,600 611
  Kyushu Financial Group Inc. 95,170 605
  Sanwa Holdings Corp. 47,900 601
  Benesse Holdings Inc. 17,600 597
  Yokohama Rubber Co. Ltd. 26,300 591
  Kyowa Exeo Corp. 26,700 582
  Morinaga & Co. Ltd. 10,200 579
  Miura Co. Ltd. 24,600 579
  Toda Corp. 71,000 578
*,^ Kawasaki Kisen Kaisha Ltd. 22,101 577
  Pola Orbis Holdings Inc. 18,100 577
  House Foods Group Inc. 19,400 576
  Citizen Watch Co. Ltd. 77,800 572
  Tokai Carbon Co. Ltd. 56,700 567

 

43


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Aeon Mall Co. Ltd. 31,672 566
Mitsubishi UFJ Lease & Finance Co. Ltd. 106,900 564
Leopalace21 Corp. 75,300 562
Hokuhoku Financial Group Inc. 34,000 560
Zeon Corp. 42,000 559
* Acom Co. Ltd. 133,400 555
Daishi Bank Ltd. 11,300 553
Seino Holdings Co. Ltd. 37,900 553
Glory Ltd. 14,700 550
NOF Corp. 19,000 549
Daido Steel Co. Ltd. 8,600 545
Skylark Co. Ltd. 36,401 544
77 Bank Ltd. 21,400 544
Showa Shell Sekiyu KK 46,000 543
Sumitomo Forestry Co. Ltd. 32,200 542
Bic Camera Inc. 44,000 542
Welcia Holdings Co. Ltd. 14,200 539
Dowa Holdings Co. Ltd. 12,800 539
Sotetsu Holdings Inc. 20,800 537
Aoyama Trading Co. Ltd. 14,200 526
Sankyu Inc. 12,600 521
GS Yuasa Corp. 103,000 518
DMG Mori Co. Ltd. 25,600 516
Nishi-Nippon Financial Holdings Inc. 44,000 513
Shikoku Electric Power Co. Inc. 38,700 506
H2O Retailing Corp. 27,300 505
Ito En Ltd. 14,400 504
Izumi Co. Ltd. 9,700 503
Nagase & Co. Ltd. 29,500 501
Maruichi Steel Tube Ltd. 16,400 501
Daiichikosho Co. Ltd. 10,500 495
NHK Spring Co. Ltd. 43,100 493
Sugi Holdings Co. Ltd. 9,700 492
ADEKA Corp. 28,500 492
Nihon Kohden Corp. 22,000 490
Aica Kogyo Co. Ltd. 14,000 490
TS Tech Co. Ltd. 13,600 487
Tokyo Seimitsu Co. Ltd. 12,200 485
Amano Corp. 19,700 485
Kakaku.com Inc. 34,968 480
Toyoda Gosei Co. Ltd. 19,600 479
^ MonotaRO Co. Ltd. 17,290 476
K's Holdings Corp. 20,584 472
Sawai Pharmaceutical Co. Ltd. 8,300 471
Nishi-Nippon Railroad Co. Ltd. 17,600 471
Nippon Paper Industries Co. Ltd. 23,600 470
Sapporo Holdings Ltd. 14,800 469
Tokyo Century Corp. 10,700 467
Mitsubishi Logistics Corp. 18,000 466
Nippon Light Metal Holdings Co. Ltd. 157,600 464
Itochu Techno-Solutions Corp. 11,900 464
Penta-Ocean Construction Co. Ltd. 69,800 462
Nihon Parkerizing Co. Ltd. 28,000 459
Taiyo Nippon Sanso Corp. 38,200 459
Wacoal Holdings Corp. 16,000 457
Japan Steel Works Ltd. 18,000 456
Zensho Holdings Co. Ltd. 24,600 456
Tokuyama Corp. 16,000 454
Sumitomo Osaka Cement Co. Ltd. 99,000 453
Toyobo Co. Ltd. 23,400 451
SCSK Corp. 10,400 448
Taiyo Yuden Co. Ltd. 25,600 447
Kaken Pharmaceutical Co. Ltd. 8,800 446
Sankyo Co. Ltd. 13,700 442

 

44


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Cosmos Pharmaceutical Corp. 2,100 437
Toagosei Co. Ltd. 33,500 434
Ushio Inc. 31,300 434
Tokyo Ohka Kogyo Co. Ltd. 11,800 432
Kenedix Inc. 73,400 429
Ibiden Co. Ltd. 25,500 427
Maeda Corp. 34,000 426
Japan Lifeline Co. Ltd. 8,800 422
Kokuyo Co. Ltd. 23,500 421
Nipro Corp. 28,800 420
Canon Marketing Japan Inc. 16,500 415
Japan Airport Terminal Co. Ltd. 11,500 409
Kyudenko Corp. 9,200 406
Ariake Japan Co. Ltd. 5,300 405
Takara Holdings Inc. 41,100 402
Shochiku Co. Ltd. 2,700 402
Nisshinbo Holdings Inc. 33,400 401
Fuji Seal International Inc. 12,200 400
Cosmo Energy Holdings Co. Ltd. 17,400 400
Tadano Ltd. 26,000 396
Hitachi Kokusai Electric Inc. 14,300 396
Shima Seiki Manufacturing Ltd. 7,000 394
Morinaga Milk Industry Co. Ltd. 10,200 392
Trusco Nakayama Corp. 15,200 389
Nippon Suisan Kaisha Ltd. 63,300 387
Kanematsu Corp. 29,400 387
Jafco Co. Ltd. 7,800 386
Toyota Boshoku Corp. 19,100 385
Pilot Corp. 7,600 384
KYB Corp. 5,900 383
PALTAC Corp. 9,600 381
Nichias Corp. 29,000 378
* LINE Corp. 9,094 377
Nikkon Holdings Co. Ltd. 14,700 376
Toyo Ink SC Holdings Co. Ltd. 63,000 371
Tsubakimoto Chain Co. 43,000 371
Lintec Corp. 13,300 370
Fuji Machine Manufacturing Co. Ltd. 19,300 368
TechnoPro Holdings Inc. 8,000 367
Ain Holdings Inc. 5,300 363
Resorttrust Inc. 18,400 362
Shiga Bank Ltd. 63,000 362
Okumura Corp. 9,400 360
^ Nissha Co. Ltd. 11,100 357
Hanwa Co. Ltd. 9,400 357
Fuji Oil Holdings Inc. 13,200 356
Japan Post Insurance Co. Ltd. 16,380 355
Hitachi Capital Corp. 14,500 354
^ GungHo Online Entertainment Inc. 130,700 352
Tomy Co. Ltd. 21,700 351
Ship Healthcare Holdings Inc. 11,200 350
Sumitomo Bakelite Co. Ltd. 43,000 350
^ Hokuriku Electric Power Co. 39,500 349
OSG Corp. 16,100 348
Outsourcing Inc. 25,000 345
Hazama Ando Corp. 42,100 343
NTT Urban Development Corp. 32,600 337
Nippon Gas Co. Ltd. 10,500 334
Fuyo General Lease Co. Ltd. 5,100 334
Itoham Yonekyu Holdings Inc. 34,872 333
SHO-BOND Holdings Co. Ltd. 5,400 332
Rengo Co. Ltd. 50,500 331
^ Sanrio Co. Ltd. 19,892 329
Anritsu Corp. 34,700 327

 

45


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Colowide Co. Ltd. 17,400 327
Nishimatsu Construction Co. Ltd. 10,800 326
FP Corp. 6,200 326
* Aiful Corp. 92,800 324
Maeda Road Construction Co. Ltd. 15,000 323
Awa Bank Ltd. 47,000 319
Hokkoku Bank Ltd. 6,900 316
CKD Corp. 16,000 315
Tokai Tokyo Financial Holdings Inc. 47,900 314
Open House Co. Ltd. 8,100 312
Megmilk Snow Brand Co. Ltd. 11,100 311
ABC-Mart Inc. 6,100 308
Hokkaido Electric Power Co. Inc. 39,000 307
Duskin Co. Ltd. 10,900 299
Tokyo Dome Corp. 31,500 296
San-In Godo Bank Ltd. 32,000 294
Takuma Co. Ltd. 23,800 293
Japan Aviation Electronics Industry Ltd. 16,000 293
GMO Payment Gateway Inc. 4,000 293
Fujitsu General Ltd. 15,300 293
Capcom Co. Ltd. 11,300 288
Hitachi Transport System Ltd. 11,600 287
Onward Holdings Co. Ltd. 34,000 287
NET One Systems Co. Ltd. 23,000 285
HIS Co. Ltd. 8,500 285
Shimachu Co. Ltd. 10,100 284
Iwatani Corp. 9,400 283
Mandom Corp. 9,400 280
Takasago Thermal Engineering Co. Ltd. 15,900 280
Alpine Electronics Inc. 12,600 280
Juroku Bank Ltd. 8,200 277
Kiyo Bank Ltd. 16,007 275
GMO Internet Inc. 17,700 273
Autobacs Seven Co. Ltd. 15,800 272
Nippo Corp. 13,000 271
Kissei Pharmaceutical Co. Ltd. 9,848 271
Mochida Pharmaceutical Co. Ltd. 3,671 269
Starts Corp. Inc. 9,900 269
Sangetsu Corp. 14,500 267
Keihin Corp. 14,400 265
Eizo Corp. 6,400 265
Topre Corp. 9,000 265
Nippon Koei Co. Ltd. 7,200 264
Oki Electric Industry Co. Ltd. 18,900 264
Meitec Corp. 5,400 264
SMS Co. Ltd. 8,700 262
Kumagai Gumi Co. Ltd. 8,200 261
Sakata Seed Corp. 8,600 260
Infomart Corp. 34,400 260
Hyakujushi Bank Ltd. 71,000 258
Internet Initiative Japan Inc. 12,300 258
Toho Holdings Co. Ltd. 13,100 258
Nissan Shatai Co. Ltd. 24,000 257
Nippon Seiki Co. Ltd. 11,000 255
Prima Meat Packers Ltd. 39,000 255
Gunze Ltd. 5,600 255
Nippon Steel & Sumikin Bussan Corp. 4,600 254
North Pacific Bank Ltd. 75,300 253
Fujimori Kogyo Co. Ltd. 7,300 253
Mitsubishi Pencil Co. Ltd. 10,600 251
Yoshinoya Holdings Co. Ltd. 15,000 249
Hosiden Corp. 14,400 249
Hokuetsu Kishu Paper Co. Ltd. 38,700 248
Ogaki Kyoritsu Bank Ltd. 8,700 248

 

46


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Iriso Electronics Co. Ltd. 4,400 248
Seiren Co. Ltd. 14,200 248
Maxell Holdings Ltd. 10,900 248
Ryosan Co. Ltd. 6,100 248
Kotobuki Spirits Co. Ltd. 6,000 247
Fukuyama Transporting Co. Ltd. 7,600 247
TOKAI Holdings Corp. 30,800 246
Nippon Television Holdings Inc. 13,600 245
Maruha Nichiro Corp. 7,900 244
Nisshin Oillio Group Ltd. 7,400 243
Heiwa Corp. 13,100 242
Piolax Inc. 8,700 241
Yaoko Co. Ltd. 4,900 241
Unipres Corp. 8,900 240
Descente Ltd. 17,300 240
Keiyo Bank Ltd. 49,000 240
^ Daio Paper Corp. 19,900 239
Fujitec Co. Ltd. 16,000 238
Nippon Soda Co. Ltd. 38,000 238
Nichiha Corp. 5,900 237
Yamato Kogyo Co. Ltd. 8,800 235
Fuji Kyuko Co. Ltd. 10,500 234
Nachi-Fujikoshi Corp. 38,000 234
Justsystems Corp. 10,800 232
Dip Corp. 9,500 232
Shibuya Corp. 6,000 230
Kanamoto Co. Ltd. 7,000 230
Toshiba Machine Co. Ltd. 37,000 230
Token Corp. 1,900 229
Nitto Boseki Co. Ltd. 6,800 229
Shikoku Bank Ltd. 14,600 228
V Technology Co. Ltd. 1,300 228
Musashino Bank Ltd. 7,000 227
Nihon Unisys Ltd. 13,700 227
Showa Corp. 17,300 227
Daiwabo Holdings Co. Ltd. 5,700 227
Kandenko Co. Ltd. 23,000 226
Nomura Co. Ltd. 10,800 225
Yuasa Trading Co. Ltd. 6,100 225
Ci:z Holdings Co. Ltd. 6,100 225
Inaba Denki Sangyo Co. Ltd. 5,100 224
KYORIN Holdings Inc. 10,900 224
Asahi Holdings Inc. 10,300 224
cocokara fine Inc. 4,000 223
EPS Holdings Inc. 11,300 222
Joyful Honda Co. Ltd. 8,194 221
Sumitomo Mitsui Construction Co. Ltd. 35,820 221
Saibu Gas Co. Ltd. 8,800 220
Sanki Engineering Co. Ltd. 19,100 220
Totetsu Kogyo Co. Ltd. 6,500 218
Daikyonishikawa Corp. 12,800 218
Yondoshi Holdings Inc. 7,900 217
Nissin Kogyo Co. Ltd. 11,700 217
Kusuri no Aoki Holdings Co. Ltd. 3,900 216
TOMONY Holdings Inc. 44,900 216
Yokogawa Bridge Holdings Corp. 10,100 215
FCC Co. Ltd. 8,900 215
Koei Tecmo Holdings Co. Ltd. 10,800 214
Megachips Corp. 6,500 214
Ai Holdings Corp. 8,700 214
Axial Retailing Inc. 5,199 213
SKY Perfect JSAT Holdings Inc. 45,600 211
Bank of Okinawa Ltd. 5,180 211
Tokai Rika Co. Ltd. 10,000 210

 

47


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
^ BRONCO BILLY Co. Ltd. 8,100 210
Heiwado Co. Ltd. 9,600 210
Mitsui Engineering & Shipbuilding Co. Ltd. 16,000 209
Senshu Ikeda Holdings Inc. 54,200 209
Tokyo TY Financial Group Inc. 7,749 209
Miyazaki Bank Ltd. 5,800 209
Asatsu-DK Inc. 6,300 209
KH Neochem Co. Ltd. 8,300 208
Paramount Bed Holdings Co. Ltd. 4,700 207
United Arrows Ltd. 5,500 206
Hiday Hidaka Corp. 6,998 206
Okasan Securities Group Inc. 33,000 204
Goldwin Inc. 2,600 202
Hyakugo Bank Ltd. 43,000 202
Ryoden Corp. 13,000 202
Yamazen Corp. 17,600 201
Avex Group Holdings Inc. 14,500 200
Valor Holdings Co. Ltd. 8,800 200
Kato Sangyo Co. Ltd. 6,400 200
Oita Bank Ltd. 4,900 198
TPR Co. Ltd. 5,600 198
As One Corp. 3,600 198
Fancl Corp. 7,500 198
Daiseki Co. Ltd. 8,000 198
Gree Inc. 29,100 198
Seikagaku Corp. 10,800 196
* Macromill Inc. 6,500 196
Okamura Corp. 17,500 196
Belc Co. Ltd. 3,500 195
Takeuchi Manufacturing Co. Ltd. 9,200 195
Funai Soken Holdings Inc. 5,300 195
Arcs Co. Ltd. 8,700 195
Kureha Corp. 3,300 194
Noevir Holdings Co. Ltd. 3,200 193
Eagle Industry Co. Ltd. 9,900 192
Sekisui Jushi Corp. 8,600 192
France Bed Holdings Co. Ltd. 20,700 192
Nanto Bank Ltd. 6,800 192
UACJ Corp. 6,500 192
Fuji Media Holdings Inc. 12,400 191
Orient Corp. 117,800 191
Weathernews Inc. 5,900 191
MOS Food Services Inc. 6,200 190
^ Chiyoda Corp. 32,000 189
Tokyo Broadcasting System Holdings Inc. 9,300 189
Daihen Corp. 21,000 189
Bank of the Ryukyus Ltd. 12,400 189
^ IDOM Inc. 25,900 189
Makino Milling Machine Co. Ltd. 20,000 189
Financial Products Group Co. Ltd. 16,200 188
Central Glass Co. Ltd. 8,400 188
^ COOKPAD Inc. 27,800 187
Iino Kaiun Kaisha Ltd. 39,400 186
NSD Co. Ltd. 9,290 186
Japan Pulp & Paper Co. Ltd. 4,400 186
DCM Holdings Co. Ltd. 20,200 186
Kyoritsu Maintenance Co. Ltd. 5,872 185
Seiko Holdings Corp. 7,400 185
Nippon Flour Mills Co. Ltd. 12,000 184
Okinawa Electric Power Co. Inc. 8,057 184
Tamron Co. Ltd. 8,800 184
^ EDION Corp. 18,100 183
Sanken Electric Co. Ltd. 29,000 182
Airport Facilities Co. Ltd. 32,900 182

 

48


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Saizeriya Co. Ltd. 5,900 182
  Sakata INX Corp. 9,400 181
  Create SD Holdings Co. Ltd. 7,200 181
  Nippon Signal Company Ltd. 16,400 181
  Lasertec Corp. 8,200 180
  Modec Inc. 7,800 180
  Komeri Co. Ltd. 6,000 180
  Takara Standard Co. Ltd. 10,500 180
  Hitachi Zosen Corp. 34,000 179
  Sanyo Chemical Industries Ltd. 3,400 179
  Ichibanya Co. Ltd. 4,600 178
  Roland DG Corp. 6,400 177
  Tokyo Steel Manufacturing Co. Ltd. 20,500 177
  Exedy Corp. 5,900 177
  Asahi Co. Ltd. 14,500 176
  Bank of Nagoya Ltd. 4,400 176
  Yodogawa Steel Works Ltd. 6,000 176
  San-A Co. Ltd. 3,800 175
  Atom Corp. 23,949 175
  Sanyo Special Steel Co. Ltd. 6,800 175
  Sakai Moving Service Co. Ltd. 3,000 174
  Shizuoka Gas Co. Ltd. 22,300 174
  Okamoto Industries Inc. 16,000 174
  Toho Bank Ltd. 45,000 174
  Chugoku Marine Paints Ltd. 20,400 173
  Kyodo Printing Co. Ltd. 5,200 173
  Royal Holdings Co. Ltd. 6,700 173
  Benefit One Inc. 9,000 173
*,^ Japan Display Inc. 79,700 172
  Round One Corp. 13,300 172
  Komori Corp. 12,200 172
  Nichiden Corp. 8,000 172
  Matsui Securities Co. Ltd. 20,400 172
  Mitsui Sugar Co. Ltd. 5,000 171
  Mitsui High-Tec Inc. 8,100 171
  Topy Industries Ltd. 5,000 171
  ESPEC Corp. 7,500 171
  Meidensha Corp. 43,000 170
  Kyokuto Kaihatsu Kogyo Co. Ltd. 9,500 170
  Plenus Co. Ltd. 8,300 169
  Hodogaya Chemical Co. Ltd. 2,400 169
  Noritake Co. Ltd. 3,500 169
  Taiyo Holdings Co. Ltd. 3,500 168
  Inabata & Co. Ltd. 11,600 168
  Chudenko Corp. 5,500 168
  Shinmaywa Industries Ltd. 17,000 167
^ JP-Holdings Inc. 47,500 167
  Senko Group Holdings Co. Ltd. 23,000 167
  Dexerials Corp. 14,800 167
  Futaba Corp. 8,400 167
  Riken Corp. 3,200 166
  Shinko Shoji Co. Ltd. 8,900 165
  Icom Inc. 7,100 165
  Nitta Corp. 4,000 165
  Nihon Dempa Kogyo Co. Ltd. 21,100 165
  Tochigi Bank Ltd. 36,100 165
  Hogy Medical Co. Ltd. 2,400 164
  Futaba Industrial Co. Ltd. 16,800 163
  NS Solutions Corp. 6,700 163
  TSI Holdings Co. Ltd. 19,400 163
  Hokuetsu Bank Ltd. 6,700 162
  Kitz Corp. 18,900 162
  Prestige International Inc. 15,000 162
*,^ KLab Inc. 9,200 162

 

49


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Tokushu Tokai Paper Co. Ltd. 4,000 161
Relia Inc. 13,700 161
JINS Inc. 3,100 161
Nojima Corp. 6,900 161
G-Tekt Corp. 7,500 161
Fukui Bank Ltd. 6,000 160
Kohnan Shoji Co. Ltd. 7,500 160
Kansai Super Market Ltd. 13,100 160
Jaccs Co. Ltd. 6,400 160
Kasai Kogyo Co. Ltd. 10,600 159
Sumitomo Seika Chemicals Co. Ltd. 3,000 159
Star Micronics Co. Ltd. 9,000 159
Kadokawa Dwango Corp. 13,736 158
Noritz Corp. 8,600 158
Taikisha Ltd. 5,400 157
Mirait Holdings Corp. 12,000 157
Sinanen Holdings Co. Ltd. 7,000 157
Gun-Ei Chemical Industry Co. Ltd. 4,500 156
Transcosmos Inc. 6,700 156
Max Co. Ltd. 11,000 156
Kuroda Electric Co. Ltd. 8,700 155
Earth Chemical Co. Ltd. 3,300 155
Morita Holdings Corp. 9,000 155
Nippon Densetsu Kogyo Co. Ltd. 7,100 154
Nichicon Corp. 12,200 154
Alpha Systems Inc. 7,000 154
Fuso Chemical Co. Ltd. 4,800 154
Organo Corp. 5,800 153
Asunaro Aoki Construction Co. Ltd. 16,900 153
Digital Garage Inc. 7,100 153
Ichigo Inc. 42,900 153
* Mitsui-Soko Holdings Co. Ltd. 49,000 152
ZERIA Pharmaceutical Co. Ltd. 8,700 152
Maruzen Showa Unyu Co. Ltd. 32,000 152
Toshiba TEC Corp. 26,000 152
Geo Holdings Corp. 9,300 151
Nippon Ceramic Co. Ltd. 5,300 151
Nisshin Steel Co. Ltd. 10,400 151
Sumitomo Warehouse Co. Ltd. 22,000 151
United Super Markets Holdings Inc. 16,160 151
Arcland Sakamoto Co. Ltd. 9,200 150
Nichi-iko Pharmaceutical Co. Ltd. 9,650 150
Siix Corp. 3,500 149
Hamakyorex Co. Ltd. 5,300 149
Chiyoda Co. Ltd. 5,800 149
Mitsubishi Shokuhin Co. Ltd. 5,000 148
Toridoll Holdings Corp. 4,600 148
Kinki Sharyo Co. Ltd. 6,300 148
* Sushiro Global Holdings Ltd. 4,700 147
Tokyu Construction Co. Ltd. 16,700 147
Zenrin Co. Ltd. 4,600 146
Yamagata Bank Ltd. 6,200 146
Aeon Delight Co. Ltd. 3,900 146
Uchida Yoko Co. Ltd. 4,600 146
Daiho Corp. 30,000 146
Mitsuba Corp. 8,700 145
Kisoji Co. Ltd. 6,000 145
S Foods Inc. 3,800 145
Tsugami Corp. 15,000 144
Osaka Steel Co. Ltd. 6,500 144
Matsuya Co. Ltd. 13,300 144
Tosho Co. Ltd. 5,200 144
Yokohama Reito Co. Ltd. 15,100 144
J Trust Co. Ltd. 19,500 143

 

50


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Nissei Build Kogyo Co. Ltd. 12,500 143
  Yamanashi Chuo Bank Ltd. 32,000 143
  Nippon Chemi-Con Corp. 4,100 142
  F@N Communications Inc. 13,700 142
  Toei Co. Ltd. 1,300 141
  Rock Field Co. Ltd. 8,000 141
  Menicon Co. Ltd. 3,100 141
^ Minato Bank Ltd. 7,400 140
  Musashi Seimitsu Industry Co. Ltd. 4,400 140
  Nagaileben Co. Ltd. 5,600 140
  Towa Pharmaceutical Co. Ltd. 2,700 140
  Ryobi Ltd. 5,400 139
  Obara Group Inc. 2,400 139
  Ringer Hut Co. Ltd. 6,400 139
  Joshin Denki Co. Ltd. 4,000 138
  Okabe Co. Ltd. 14,400 138
  Daibiru Corp. 11,700 138
  Eiken Chemical Co. Ltd. 3,500 138
  Dainichiseika Color & Chemicals Manufacturing Co. Ltd. 3,000 137
  Milbon Co. Ltd. 2,200 137
^ Shoei Foods Corp. 3,400 137
  Wacom Co. Ltd. 28,000 137
  Ehime Bank Ltd. 10,600 137
  Taisei Lamick Co. Ltd. 5,000 136
  Toho Zinc Co. Ltd. 2,800 136
  Toyo Kanetsu KK 3,600 136
  Nippon Coke & Engineering Co. Ltd. 123,200 136
  Bank of Iwate Ltd. 3,300 136
  IBJ Leasing Co. Ltd. 5,200 136
  Takasago International Corp. 3,900 136
  Enplas Corp. 3,200 136
  Cleanup Corp. 17,000 135
  Belluna Co. Ltd. 11,900 135
  Nippon Valqua Industries Ltd. 5,800 135
  Adastria Co. Ltd. 6,140 134
  Sato Holdings Corp. 5,500 134
  Aichi Steel Corp. 3,300 134
  Koa Corp. 6,400 134
* Pioneer Corp. 68,800 133
  NichiiGakkan Co. Ltd. 12,900 133
* Nippon Sheet Glass Co. Ltd. 16,574 133
  Ichikoh Industries Ltd. 17,000 133
  Aomori Bank Ltd. 4,100 132
  Starzen Co. Ltd. 2,700 132
  San-Ai Oil Co. Ltd. 11,000 131
  Nagatanien Holdings Co. Ltd. 11,000 131
  Kenko Mayonnaise Co. Ltd. 5,000 131
  Sanshin Electronics Co. Ltd. 8,600 131
  Doutor Nichires Holdings Co. Ltd. 5,500 131
  JCU Corp. 3,000 130
  Aichi Bank Ltd. 2,100 129
  Toshiba Plant Systems & Services Corp. 7,500 129
  Chofu Seisakusho Co. Ltd. 5,300 129
  Hokuto Corp. 7,400 129
  DTS Corp. 4,300 129
*,^ euglena Co. Ltd. 12,700 129
  YA-MAN Ltd. 11,000 128
  Fuji Soft Inc. 4,200 128
  Katakura Industries Co. Ltd. 10,200 127
  NEC Networks & System Integration Corp. 5,100 127
  Dai-ichi Seiko Co. Ltd. 5,000 127
  Ateam Inc. 4,800 127
  Kamei Corp. 7,500 127
  PIA Corp. 2,500 127

 

51


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Eighteenth Bank Ltd. 47,000 127
  Giken Ltd. 4,400 126
  Takara Bio Inc. 9,500 126
  Marudai Food Co. Ltd. 27,000 126
  Monex Group Inc. 39,500 126
  Macnica Fuji Electronics Holdings Inc. 6,000 126
  Sintokogio Ltd. 10,800 126
  Kintetsu World Express Inc. 7,300 126
  Kanto Denka Kogyo Co. Ltd. 12,000 126
  Heiwa Real Estate Co. Ltd. 7,200 126
  COLOPL Inc. 11,300 125
  Showa Sangyo Co. Ltd. 4,800 125
  Pack Corp. 3,600 125
  Torii Pharmaceutical Co. Ltd. 4,600 125
  Daisan Bank Ltd. 7,400 125
^ Yushin Precision Equipment Co. Ltd. 4,400 125
  Kameda Seika Co. Ltd. 2,749 125
  Towa Bank Ltd. 11,700 124
  Kumiai Chemical Industry Co. Ltd. 18,263 124
  Chubu Shiryo Co. Ltd. 6,900 123
  AOKI Holdings Inc. 8,800 123
  SRA Holdings 4,300 123
  Aida Engineering Ltd. 10,500 122
  TOC Co. Ltd. 13,600 122
  Asahi Diamond Industrial Co. Ltd. 12,600 122
  Konishi Co. Ltd. 7,000 122
  Nitto Kogyo Corp. 7,100 122
  Sanyo Electric Railway Co. Ltd. 4,781 121
  Yusen Logistics Co. Ltd. 10,400 121
^ ASKUL Corp. 4,500 121
  Tocalo Co. Ltd. 3,000 121
  Mani Inc. 4,200 120
  Hisaka Works Ltd. 12,900 120
  Sankyo Tateyama Inc. 8,200 120
  Sanyo Denki Co. Ltd. 1,800 120
  Mitsubishi Steel Manufacturing Co. Ltd. 4,800 120
  Zuken Inc. 6,700 119
  Matsuda Sangyo Co. Ltd. 8,300 119
  Key Coffee Inc. 6,300 119
  Dunlop Sports Co. Ltd. 8,000 119
  LEC Inc. 4,500 119
  Neturen Co. Ltd. 11,600 118
  NS United Kaiun Kaisha Ltd. 5,100 118
  T Hasegawa Co. Ltd. 5,800 118
  Noritsu Koki Co. Ltd. 7,600 118
  Sankyo Seiko Co. Ltd. 28,400 118
  Nissin Corp. 3,800 117
  KFC Holdings Japan Ltd. 6,600 117
  Shikoku Chemicals Corp. 7,000 117
  Tamura Corp. 17,000 116
  Optex Group Co. Ltd. 2,800 116
  Toyo Kohan Co. Ltd. 27,100 116
  Linical Co. Ltd. 8,800 116
  Sumida Corp. 6,634 116
  Japan Petroleum Exploration Co. Ltd. 5,600 116
^ Osaka Soda Co. Ltd. 4,400 116
  Dai-Dan Co. Ltd. 4,500 115
*,^ M&A Capital Partners Co. Ltd. 2,200 115
  Kita-Nippon Bank Ltd. 3,700 115
  VT Holdings Co. Ltd. 21,100 115
  Sinfonia Technology Co. Ltd. 28,000 114
  Mizuno Corp. 4,000 114
  Nikkiso Co. Ltd. 12,100 114
  Daikyo Inc. 5,900 114

 

52


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Tokyo Electron Device Ltd. 5,800 113
Kyokuyo Co. Ltd. 3,500 113
* Intage Holdings Inc. 8,600 113
Wakita & Co. Ltd. 9,100 112
Systena Corp. 3,600 112
Nitto Kohki Co. Ltd. 4,500 112
Meiko Network Japan Co. Ltd. 9,600 111
Hibiya Engineering Ltd. 5,100 111
Sodick Co. Ltd. 8,000 111
Japan Material Co. Ltd. 3,800 110
Kurabo Industries Ltd. 38,000 110
Shinko Electric Industries Co. Ltd. 14,300 110
Nissin Electric Co. Ltd. 9,000 110
Keihanshin Building Co. Ltd. 15,700 110
Nishimatsuya Chain Co. Ltd. 10,000 110
Sakai Chemical Industry Co. Ltd. 4,400 110
Inageya Co. Ltd. 6,647 110
Oiles Corp. 5,560 109
KOMEDA Holdings Co. Ltd. 6,400 109
Arakawa Chemical Industries Ltd. 4,500 109
Life Corp. 4,100 109
Akita Bank Ltd. 3,400 109
Parco Co. Ltd. 8,100 108
Teikoku Electric Manufacturing Co. Ltd. 10,200 108
Ichiyoshi Securities Co. Ltd. 9,400 108
Takihyo Co. Ltd. 5,200 107
Tachi-S Co. Ltd. 5,700 107
Japan Securities Finance Co. Ltd. 19,000 107
^ Link And Motivation Inc. 15,500 107
Chukyo Bank Ltd. 5,200 106
Mie Bank Ltd. 4,400 105
Furukawa Co. Ltd. 5,800 105
Senshukai Co. Ltd. 17,000 105
Toenec Corp. 3,600 105
Nishio Rent All Co. Ltd. 3,000 105
Pacific Industrial Co. Ltd. 8,000 104
Tekken Corp. 3,100 104
Tsubaki Nakashima Co. Ltd. 4,500 104
Unizo Holdings Co. Ltd. 3,900 104
* Hochiki Corp. 5,000 103
* Yamada SxL Home Co. Ltd. 141,000 103
Fujitsu Frontech Ltd. 5,900 103
Doshisha Co. Ltd. 4,700 103
Foster Electric Co. Ltd. 4,400 103
* D.A. Consortium Holdings Inc. 6,200 103
Kaga Electronics Co. Ltd. 3,400 102
Kyoei Steel Ltd. 5,800 102
Artnature Inc. 15,500 102
* Unitika Ltd. 11,500 102
Okuwa Co. Ltd. 10,000 101
Shinko Plantech Co. Ltd. 11,700 101
Godo Steel Ltd. 5,000 101
Hokkaido Gas Co. Ltd. 39,000 101
Tosei Corp. 10,200 100
^ Stella Chemifa Corp. 2,600 100
Sogo Medical Co. Ltd. 1,800 100
Kanagawa Chuo Kotsu Co. Ltd. 3,000 100
^ W-Scope Corp. 5,300 100
CMK Corp. 9,600 100
T RAD Co. Ltd. 2,400 100
Qol Co. Ltd. 5,400 99
Mitsui Home Co. Ltd. 15,000 99
ST Corp. 4,000 99
Press Kogyo Co. Ltd. 17,600 99

 

53


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
GCA Corp. 10,800 99
Feed One Co. Ltd. 37,900 98
Cawachi Ltd. 4,000 98
Tokyo Rope Manufacturing Co. Ltd. 6,300 98
Iseki & Co. Ltd. 4,400 98
Daiken Corp. 3,600 98
Investors Cloud Co. Ltd. 1,600 98
Fujiya Co. Ltd. 4,300 98
Ricoh Leasing Co. Ltd. 2,700 97
ASKA Pharmaceutical Co. Ltd. 5,100 97
Canon Electronics Inc. 4,300 97
Corona Corp. Class A 8,100 97
Raito Kogyo Co. Ltd. 9,400 96
Jeol Ltd. 18,000 95
Osaki Electric Co. Ltd. 13,000 95
Idec Corp. 4,500 95
Yellow Hat Ltd. 3,100 95
TKC Corp. 3,000 94
^ Pasona Group Inc. 6,700 94
Fujimi Inc. 3,800 94
Toli Corp. 25,900 94
Bando Chemical Industries Ltd. 8,500 94
Miroku Jyoho Service Co. Ltd. 4,000 93
Tsurumi Manufacturing Co. Ltd. 5,500 93
DyDo Group Holdings Inc. 1,900 93
Konoike Transport Co. Ltd. 6,000 92
Ohsho Food Service Corp. 2,200 92
Nippon Carbon Co. Ltd. 2,100 92
* Ishihara Sangyo Kaisha Ltd. 6,100 92
Itochu-Shokuhin Co. Ltd. 2,000 91
Aisan Industry Co. Ltd. 7,900 90
Fujicco Co. Ltd. 4,000 90
^ Zojirushi Corp. 10,000 90
Create Restaurants Holdings Inc. 8,400 90
* Pacific Metals Co. Ltd. 3,000 90
T-Gaia Corp. 4,400 90
Kansai Urban Banking Corp. 7,000 89
Taihei Dengyo Kaisha Ltd. 3,500 89
Warabeya Nichiyo Holdings Co. Ltd. 3,600 89
Nittetsu Mining Co. Ltd. 1,200 89
Paris Miki Holdings Inc. 21,300 89
Shindengen Electric Manufacturing Co. Ltd. 1,300 89
Hosokawa Micron Corp. 1,400 89
Mitsuuroko Group Holdings Co. Ltd. 12,100 88
Elecom Co. Ltd. 4,400 88
Meisei Industrial Co. Ltd. 12,500 88
Mitsuboshi Belting Ltd. 7,000 87
Nippon Thompson Co. Ltd. 15,000 87
Takamatsu Construction Group Co. Ltd. 3,200 87
JAC Recruitment Co. Ltd. 4,700 87
JCR Pharmaceuticals Co. Ltd. 2,200 87
Inaba Seisakusho Co. Ltd. 6,900 87
Maruwa Co. Ltd. 1,500 87
Aeon Fantasy Co. Ltd. 2,200 86
Kyosan Electric Manufacturing Co. Ltd. 15,000 86
Denyo Co. Ltd. 5,100 86
FIDEA Holdings Co. Ltd. 44,900 85
^ Anicom Holdings Inc. 3,300 85
Kura Corp. 1,900 85
Bank of Saga Ltd. 3,400 85
METAWATER Co. Ltd. 3,200 85
Hakuto Co. Ltd. 5,492 85
Nohmi Bosai Ltd. 5,000 84
Riso Kagaku Corp. 4,400 84

 

54


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Jimoto Holdings Inc. 43,000 84
  Yakuodo Co. Ltd. 3,000 84
  Kourakuen Holdings Corp. 4,200 84
  Studio Alice Co. Ltd. 3,600 83
  Fuji Pharma Co. Ltd. 2,300 83
^ Hito Communications Inc. 4,700 83
  LIFULL Co. Ltd. 10,800 83
  Hioki EE Corp. 3,800 83
  Gurunavi Inc. 6,400 83
  Toa Oil Co. Ltd. 62,000 82
  Tomoku Co. Ltd. 4,400 82
  Digital Arts Inc. 2,000 82
  Shinwa Co. Ltd. 3,600 82
  Okura Industrial Co. Ltd. 12,000 81
  Takara Leben Co. Ltd. 17,600 81
  Japan Wool Textile Co. Ltd. 9,000 81
  Pressance Corp. 6,000 81
  Ryoyo Electro Corp. 4,300 81
  Arata Corp. 1,900 81
  Fuji Co. Ltd. 3,400 81
  Fukui Computer Holdings Inc. 3,200 80
  Tonami Holdings Co. Ltd. 1,600 80
  OSJB Holdings Corp. 25,600 79
  kabu.com Securities Co. Ltd. 24,800 79
  Amuse Inc. 3,000 79
  Takaoka Toko Co. Ltd. 4,800 78
  Nippon Denko Co. Ltd. 18,500 78
  Kanematsu Electronics Ltd. 2,500 78
  Shibusawa Warehouse Co. Ltd. 4,200 78
  Advan Co. Ltd. 8,200 78
  Fukushima Industries Corp. 2,000 77
*,^ U-Shin Ltd. 11,400 77
  Mimasu Semiconductor Industry Co. Ltd. 4,300 77
  Keiyo Co. Ltd. 11,400 77
  Kitagawa Iron Works Co. Ltd. 2,800 76
  Tokai Corp. 1,700 76
  Tsukui Corp. 10,600 76
  Tokyotokeiba Co. Ltd. 2,500 76
  Shin-Etsu Polymer Co. Ltd. 7,100 76
  CHIMNEY Co. Ltd. 3,000 75
  Chuetsu Pulp & Paper Co. Ltd. 3,900 75
  Tanseisha Co. Ltd. 6,300 75
  Maeda Kosen Co. Ltd. 4,300 75
  Juki Corp. 4,800 75
  Toyo Construction Co. Ltd. 14,700 74
  Itochu Enex Co. Ltd. 7,300 74
  JSP Corp. 2,300 74
  Atsugi Co. Ltd. 6,500 74
  JVC Kenwood Corp. 23,600 74
  Shimojima Co. Ltd. 7,000 74
  Fukuda Corp. 1,200 73
  Oyo Corp. 4,800 73
* Sanden Holdings Corp. 3,600 73
  Trancom Co. Ltd. 1,200 73
  Toyo Corp. 7,800 73
  Sekisui Plastics Co. Ltd. 5,500 72
^ Marvelous Inc. 7,600 72
  Tokyo Tekko Co. Ltd. 3,800 72
  MCJ Co. Ltd. 6,800 72
  Onoken Co. Ltd. 4,200 71
  Daisyo Corp. 4,700 71
  Elematec Corp. 3,100 71
  Toho Co. Ltd. 2,800 71
  YAMABIKO Corp. 5,200 71

 

55


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Toyo Tanso Co. Ltd. 2,500 71
Tokyo Energy & Systems Inc. 6,000 70
Micronics Japan Co. Ltd. 7,000 70
Fujibo Holdings Inc. 2,200 69
Chiba Kogyo Bank Ltd. 12,200 69
Ines Corp. 7,400 69
OBIC Business Consultants Co. Ltd. 1,400 69
Seika Corp. 2,600 69
Sumitomo Densetsu Co. Ltd. 3,400 69
Kato Works Co. Ltd. 2,200 69
Mie Kotsu Group Holdings Inc. 15,900 69
Honeys Holdings Co. Ltd. 6,460 68
Toppan Forms Co. Ltd. 6,600 68
Bunka Shutter Co. Ltd. 8,000 68
Teikoku Sen-I Co. Ltd. 3,200 68
Namura Shipbuilding Co. Ltd. 10,900 68
Tatsuta Electric Wire and Cable Co. Ltd. 9,200 67
Dai Nippon Toryo Co. Ltd. 4,400 67
Taiho Kogyo Co. Ltd. 4,500 67
Anest Iwata Corp. 6,600 67
Achilles Corp. 3,300 67
St. Marc Holdings Co. Ltd. 2,200 66
BML Inc. 3,000 66
Marusan Securities Co. Ltd. 7,200 66
Toho Titanium Co. Ltd. 7,300 66
Matsuya Foods Co. Ltd. 1,700 65
Kobe Bussan Co. Ltd. 1,500 65
Clarion Co. Ltd. 17,000 65
Union Tool Co. 2,000 65
TV Asahi Holdings Corp. 3,200 64
* KNT-CT Holdings Co. Ltd. 3,700 64
Nippon Parking Development Co. Ltd. 43,500 64
UKC Holdings Corp. 3,700 64
CI Takiron Corp. 10,000 63
eRex Co. Ltd. 6,400 63
Nippon Road Co. Ltd. 1,100 63
Chiyoda Integre Co. Ltd. 2,600 63
Yorozu Corp. 3,100 63
^ OSAKA Titanium Technologies Co. Ltd. 4,100 63
Tv Tokyo Holdings Corp. 3,000 63
Cosel Co. Ltd. 4,500 62
Arcland Service Holdings Co. Ltd. 2,800 62
^ Yonex Co. Ltd. 8,400 61
^ Istyle Inc. 8,900 61
Yurtec Corp. 7,000 61
CONEXIO Corp. 3,300 61
AOI Electronics Co. Ltd. 1,300 61
Vector Inc. 4,600 61
Itoki Corp. 7,900 61
Tsukishima Kikai Co. Ltd. 5,000 60
CAC Holdings Corp. 6,000 60
Riken Technos Corp. 9,700 60
Alpen Co. Ltd. 3,000 60
Michinoku Bank Ltd. 3,500 59
Bell System24 Holdings Inc. 5,400 59
Komatsu Seiren Co. Ltd. 6,800 59
Sagami Chain Co. Ltd. 4,800 59
Vital KSK Holdings Inc. 7,200 58
Sanoh Industrial Co. Ltd. 6,600 58
Yushiro Chemical Industry Co. Ltd. 3,858 58
Tenma Corp. 2,800 58
Yahagi Construction Co. Ltd. 6,400 58
ASAHI YUKIZAI Corp. 4,400 58
Riken Vitamin Co. Ltd. 1,500 58

 

56


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
J-Oil Mills Inc. 1,600 57
Sumitomo Riko Co. Ltd. 5,900 57
Mars Engineering Corp. 2,800 57
Chuo Spring Co. Ltd. 1,700 57
SMK Corp. 12,000 57
Melco Holdings Inc. 1,800 57
Goldcrest Co. Ltd. 2,600 56
Wowow Inc. 1,800 56
WATAMI Co. Ltd. 4,300 56
Japan Transcity Corp. 13,000 56
* Kintetsu Department Store Co. Ltd. 1,700 56
Nippon Kanzai Co. Ltd. 3,000 54
Tsukuba Bank Ltd. 14,600 54
Rokko Butter Co. Ltd. 2,400 54
Daiwa Industries Ltd. 4,800 54
Shimizu Bank Ltd. 1,600 54
Daito Pharmaceutical Co. Ltd. 2,100 54
Xebio Holdings Co. Ltd. 2,800 54
Fudo Tetra Corp. 31,300 53
^ KAWADA TECHNOLOGIES Inc. 900 53
Koatsu Gas Kogyo Co. Ltd. 7,000 53
Ministop Co. Ltd. 2,600 53
Toyo Engineering Corp. 4,400 53
Broadleaf Co. Ltd. 6,400 53
* Toa Corp. 2,400 52
Toa Corp. 4,900 52
Happinet Corp. 3,000 52
PC Depot Corp. 6,720 51
Information Services International-Dentsu Ltd. 2,300 51
PAL GROUP Holdings Co. Ltd. 1,800 51
Mitani Sekisan Co. Ltd. 2,100 51
Fujikura Kasei Co. Ltd. 8,000 50
Kurimoto Ltd. 2,400 50
Kitano Construction Corp. 11,000 50
* Mitsubishi Paper Mills Ltd. 7,300 49
* SWCC Showa Holdings Co. Ltd. 5,200 49
Mitsubishi Logisnext Co. Ltd. 6,600 49
Aiphone Co. Ltd. 2,900 48
K&O Energy Group Inc. 2,900 48
^ Right On Co. Ltd. 5,800 48
Sanyo Shokai Ltd. 2,600 48
Misawa Homes Co. Ltd. 5,400 48
NDS Co. Ltd. 1,400 47
Daiichi Jitsugyo Co. Ltd. 1,600 47
Nippon Beet Sugar Manufacturing Co. Ltd. 2,200 47
Shinnihon Corp. 5,200 46
Yomiuri Land Co. Ltd. 1,100 46
Daido Metal Co. Ltd. 5,000 46
Hokkan Holdings Ltd. 12,000 46
Pronexus Inc. 3,800 46
Mitsubishi Kakoki Kaisha Ltd. 2,100 46
Nissei ASB Machine Co. Ltd. 1,000 44
Nihon Yamamura Glass Co. Ltd. 25,000 44
Torishima Pump Manufacturing Co. Ltd. 4,200 44
Koshidaka Holdings Co. Ltd. 1,076 44
Sun Frontier Fudousan Co. Ltd. 3,600 43
Tosho Printing Co. Ltd. 4,500 43
Nippon Yakin Kogyo Co. Ltd. 19,500 43
Nihon Chouzai Co. Ltd. 1,300 43
MTI Ltd. 7,000 42
FULLCAST Holdings Co. Ltd. 2,266 42
Mito Securities Co. Ltd. 12,000 42
Aichi Corp. 5,600 41
^ Fujita Kanko Inc. 1,300 41

 

57


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Tokyo Rakutenchi Co. Ltd. 800 41
  Maezawa Kyuso Industries Co. Ltd. 2,500 41
  Daikokutenbussan Co. Ltd. 900 41
  Halows Co. Ltd. 1,800 41
  Kyokuto Securities Co. Ltd. 2,700 40
  Japan Cash Machine Co. Ltd. 3,600 39
  Riken Keiki Co. Ltd. 1,800 39
  Maezawa Kasei Industries Co. Ltd. 3,500 39
  Wellnet Corp. 3,500 38
  Showa Aircraft Industry Co. Ltd. 3,000 37
  Zuiko Corp. 1,100 37
  Sac's Bar Holdings Inc. 3,000 37
* Akebono Brake Industry Co. Ltd. 10,700 37
  Gecoss Corp. 3,200 36
  Denki Kogyo Co. Ltd. 1,400 36
  Furuno Electric Co. Ltd. 5,100 35
  Nihon Nohyaku Co. Ltd. 6,000 35
  Nippon Chemiphar Co. Ltd. 752 35
  Chori Co. Ltd. 1,900 35
* Nippon Sharyo Ltd. 12,000 34
  Sumitomo Precision Products Co. Ltd. 10,000 32
  Future Corp. 3,200 32
  Sinko Industries Ltd. 1,959 32
  NEC Capital Solutions Ltd. 1,600 32
*,^ Kappa Create Co. Ltd. 2,800 31
  Rhythm Watch Co. Ltd. 1,500 31
^ Nihon Trim Co. Ltd. 800 31
  Cybozu Inc. 6,600 30
  Fuso Pharmaceutical Industries Ltd. 1,100 28
  Central Sports Co. Ltd. 750 27
  Jamco Corp. 1,100 23
  Chugai Ro Co. Ltd. 1,100 22
*,^ Japan Drilling Co. Ltd. 900 17
* Laox Co. Ltd. 3,900 16
^ Funai Electric Co. Ltd. 2,000 16
* Tabuchi Electric Co. Ltd. 4,200 11
  Kobelco Eco-Solutions Co. Ltd. 400 7
      1,150,603
Malaysia (0.3%)    
  Public Bank Bhd. (Local) 829,266 4,008
  Tenaga Nasional Bhd. 1,095,770 3,883
  Malayan Banking Bhd. 1,582,782 3,458
  CIMB Group Holdings Bhd. 1,704,352 2,472
  Sime Darby Bhd. 942,875 2,049
  Axiata Group Bhd. 1,162,751 1,481
  Petronas Chemicals Group Bhd. 755,489 1,315
  Genting Bhd. 602,900 1,289
  DiGi.Com Bhd. 1,037,400 1,225
  Maxis Bhd. 732,300 1,029
  IHH Healthcare Bhd. 725,020 966
  IOI Corp. Bhd. 868,040 915
  Petronas Gas Bhd. 209,300 892
  Genting Malaysia Bhd. 744,100 884
  Kuala Lumpur Kepong Bhd. 149,500 869
  Gamuda Bhd. 555,900 689
  Hong Leong Bank Bhd. 181,700 684
  MISC Bhd. 406,856 667
  IJM Corp. Bhd. 792,420 597
  Dialog Group Bhd. 1,113,948 595
  PPB Group Bhd. 140,000 555
  AMMB Holdings Bhd. 511,700 518
  Telekom Malaysia Bhd. 303,200 455
  Press Metal Aluminium Holdings Bhd. 430,880 451
  Sapura Energy Bhd. 1,151,995 436

 

58


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Malaysia Airports Holdings Bhd. 220,400 431
Hartalega Holdings Bhd. 226,100 407
Petronas Dagangan Bhd. 68,600 388
RHB Bank Bhd. (Common Shares) 313,450 376
Top Glove Corp. Bhd. 238,700 361
British American Tobacco Malaysia Bhd. 38,900 360
YTL Corp. Bhd. 1,161,235 348
HAP Seng Consolidated Bhd. 137,400 301
AirAsia Bhd. 375,500 296
2 Astro Malaysia Holdings Bhd. 432,787 287
My EG Services Bhd. 523,650 271
IOI Properties Group Bhd. 560,800 264
Inari Amertron Bhd. 379,650 252
YTL Power International Bhd. 783,786 241
Malaysian Resources Corp. Bhd. 951,600 238
Bursa Malaysia Bhd. 99,300 234
Alliance Bank Malaysia Bhd. 257,600 225
Westports Holdings Bhd. 254,500 223
Genting Plantations Bhd. 87,700 221
* UMW Holdings Bhd. 176,000 218
Mah Sing Group Bhd. 589,950 215
* Bumi Armada Bhd. 1,238,050 214
* UEM Sunrise Bhd. 780,000 205
IGB REIT 514,400 201
SP Setia Bhd Group 254,700 197
Felda Global Ventures Holdings Bhd. 430,800 194
KLCCP Stapled Group 102,000 193
Sunway REIT 466,000 189
TIME dotCom Bhd. 86,600 188
* UMW Oil & Gas Corp. Bhd. 2,425,863 184
Hong Leong Financial Group Bhd. 45,442 179
Malaysia Building Society Bhd. 667,700 175
Sunway Bhd. 417,230 170
Berjaya Sports Toto Bhd. 272,531 155
Bermaz Auto Bhd. 320,120 154
QL Resources Bhd. 166,660 153
Kossan Rubber Industries 81,600 139
Supermax Corp. Bhd. 329,300 138
Malakoff Corp. Bhd. 557,800 136
Unisem M Bhd. 143,400 136
Capitaland Malaysia Mall Trust 384,800 135
Fraser & Neave Holdings Bhd. 22,300 133
KPJ Healthcare Bhd. 496,800 120
Sunway Construction Group Bhd. 217,094 118
Datasonic Group Bhd. 398,200 116
Yinson Holdings Bhd. 121,600 114
VS Industry Bhd. 154,600 113
* Scientex Bhd. 50,900 107
* WCT Holdings Bhd. 266,022 104
Cahya Mata Sarawak Bhd. 115,100 101
Pos Malaysia Bhd. 77,300 100
Syarikat Takaful Malaysia Bhd. 97,000 88
* Berjaya Corp. Bhd. 1,104,263 87
Pavilion REIT 203,500 82
Eastern & Oriental Bhd. 221,804 81
Muhibbah Engineering M Bhd. 115,500 78
* KNM Group Bhd. 1,137,200 75
* Eco World Development Group Bhd. 194,600 71
MMC Corp. Bhd. 144,100 68
* AirAsia X Bhd. 759,600 67
DRB-Hicom Bhd. 145,200 58
* Dayang Enterprise Holdings Bhd. 177,900 36
* Malaysia Marine and Heavy Engineering Holdings Bhd. 139,900 27
* Mulpha International Bhd. 37,680 22

 

59


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* UMW Oil & Gas Corp. Bhd. Warrants 467,367 20
  Coastal Contracts Bhd. 47,000 14
* Sunway Bhd. Warrants 53,643 8
* BIMB Holdings Bhd. Warrants Exp. 12/4/2023 63,800 4
* WCT Holdings Bhd. Warrants Expire 8/24/2020 52,360 4
* KPJ Healthcare Warrants Expire 1/23/2019 48,000 3
* OSK Holdings Bhd. Warrants Expire 7/22/2020 34,850 2
* Puncak Niaga Holding Bhd. Warrants Exp. 07/20/2018 28,250 2
*,3 RHB Bank Bhd. 116,200 1
* CB Industrial Product Holding Bhd Warrants Expire 10/31/2019 15,733 1
* KNM Group Bhd. Warrants Expire 4/21/2020 40,650 1
* Eastern & Oriental Bhd Warrants Exp. 7/21/2019 16,400 1
* Mah Sing Group Bhd. Warrants Exp. 3/18/2018 23,257 1
* Mah Sing Group Warrants Expire 1/15/2026 15,015 1
* Malaysian Resources Corp. Bhd. Warrants Exp. 12/31/2027 95,160
      44,003
Malta (0.0%)    
3 BGP Holdings PLC 197,753
 
Mexico (0.4%)    
  America Movil SAB de CV 8,028,109 6,926
  Fomento Economico Mexicano SAB de CV 580,448 5,067
  Grupo Financiero Banorte SAB de CV 617,637 3,666
  Wal-Mart de Mexico SAB de CV 1,408,668 3,148
  Grupo Televisa SAB 697,300 3,053
* Cemex SAB de CV 3,718,126 3,022
  Grupo Mexico SAB de CV Class B 903,362 2,937
  Grupo Bimbo SAB de CV Class A 640,000 1,479
  Fibra Uno Administracion SA de CV 826,273 1,300
  Grupo Aeroportuario del Pacifico SAB de CV Class B 112,550 1,067
  Grupo Financiero Inbursa SAB de CV 607,600 1,044
  Grupo Aeroportuario del Sureste SAB de CV Class B 54,346 969
  Alfa SAB de CV Class A 858,900 897
  Coca-Cola Femsa SAB de CV 130,000 878
  Infraestructura Energetica Nova SAB de CV 167,509 855
  Industrias Penoles SAB de CV 34,783 809
  Grupo Financiero Santander Mexico SAB de CV Class B 454,165 765
  Gruma SAB de CV Class B 56,015 734
  Mexichem SAB de CV 265,894 685
  Grupo Elektra SAB DE CV 16,664 668
  Arca Continental SAB de CV 89,900 572
  Promotora y Operadora de Infraestructura SAB de CV 53,317 506
* Elis SA (London Shares) 17,164 443
  Alsea SAB de CV 136,700 414
* Cemex SAB de CV ADR 50,007 406
  Grupo Aeroportuario del Centro Norte SAB de CV Class B 73,500 371
  El Puerto de Liverpool SAB de CV 54,100 368
  Banregio Grupo Financiero SAB de CV 68,100 362
  Kimberly-Clark de Mexico SAB de CV Class A 206,900 356
  Megacable Holdings SAB de CV 80,862 320
  Gentera SAB de CV 287,100 291
  Grupo Carso SAB de CV 87,430 284
  Macquarie Mexico Real Estate Management SA de CV 231,400 278
  Corp Inmobiliaria Vesta SAB de CV 184,001 228
  PLA Administradora Industrial S de RL de CV 141,986 219
  Grupo Lala SAB de CV 140,500 217
  Industrias Bachoco SAB de CV Class B 43,000 211
* Telesites SAB de CV 278,439 206
  Bolsa Mexicana de Valores SAB de CV 112,700 188
* Hoteles City Express SAB de CV 146,700 179
* Genomma Lab Internacional SAB de CV Class B 153,563 179
  Prologis Property Mexico SA de CV 90,270 177
* Becle SAB de CV 106,900 171
* Controladora Vuela Cia de Aviacion SAB de CV Class A 157,000 160

 

60


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Consorcio ARA SAB de CV 372,582 132
2 Concentradora Fibra Hotelera Mexicana SA de CV 186,916 125
  Grupo Financiero Interacciones SA de CV 26,377 121
  Promotora y Operadora de Infraestructura SAB de CV Class L 16,170 121
* Industrias CH SAB de CV Class B 30,347 121
* Organizacion Soriana SAB de CV Class B 57,125 120
  Qualitas Controladora SAB de CV 68,064 113
* Grupo Aeromexico SAB de CV 70,353 112
  Grupo Comercial Chedraui SA de CV 53,100 103
  Grupo Rotoplas SAB de CV 60,100 95
  Unifin Financiera SAB de CV SOFOM ENR 27,100 92
  TV Azteca SAB de CV 507,500 92
  Concentradora Fibra Danhos SA de CV 53,076 90
2 Nemak SAB de CV 119,300 90
  Grupo Herdez SAB de CV 41,400 89
* La Comer SAB de CV 83,080 81
  Credito Real SAB de CV SOFOM ER 47,600 76
* Grupo GICSA SA de CV 122,600 74
  Alpek SAB de CV 59,100 62
*,2 Elementia SAB de CV 45,250 59
  Rassini SAB de CV 13,422 51
* Axtel SAB de CV 212,700 46
* Grupo Simec SAB de CV Class B 13,000 43
  OHL Mexico SAB de CV 13,100 23
      49,206
Netherlands (1.1%)    
  Unilever NV 414,296 24,067
  ING Groep NV 1,049,505 19,395
  ASML Holding NV (Amsterdam Shares) 84,987 15,334
  Koninklijke Philips NV 255,305 10,405
  Unibail-Rodamco SE 27,368 6,850
  Koninklijke Ahold Delhaize NV 348,066 6,549
  Heineken NV 63,727 6,209
  Akzo Nobel NV 68,491 6,183
  RELX NV 247,085 5,578
  ArcelorMittal 164,958 4,724
  Koninklijke DSM NV 48,523 4,140
  Wolters Kluwer NV 81,850 4,012
  NN Group NV 92,437 3,871
2 ABN AMRO Group NV 112,225 3,466
* Altice NV Class A 166,661 3,143
  Koninklijke KPN NV 847,415 2,916
  Aegon NV 462,084 2,728
  Heineken Holding NV 28,470 2,643
  Randstad Holding NV 29,449 1,812
  ASR Nederland NV 39,006 1,599
  Aalberts Industries NV 25,751 1,270
* Galapagos NV 10,872 1,057
  IMCD Group NV 15,758 991
  Gemalto NV 21,857 865
2 Philips Lighting NV 21,620 819
  SBM Offshore NV 45,404 810
  Koninklijke Vopak NV 17,709 767
  ASM International NV 11,066 742
  APERAM SA 13,319 716
  TKH Group NV 10,533 709
  Boskalis Westminster 19,750 706
  BE Semiconductor Industries NV 8,145 640
*,^ OCI NV 26,611 631
* Altice NV Class B 31,714 598
  Eurocommercial Properties NV 14,144 589
  Corbion NV 16,656 557
  PostNL NV 106,999 456
2 Refresco Group NV 19,171 443

 

61


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Arcadis NV 19,149 443
  Wereldhave NV 9,602 437
2 GrandVision NV 16,627 415
  Koninklijke BAM Groep NV 66,202 374
* TomTom NV 29,775 339
* Constellium NV Class A 29,700 333
  Wessanen 15,812 300
  Vastned Retail NV 5,721 251
2 Intertrust NV 15,411 237
* Fugro NV 18,323 236
  NSI NV 6,011 228
  Accell Group 7,384 226
2 Flow Traders 6,726 167
  BinckBank NV 31,706 162
*,2 Takeaway.com NV 3,409 161
* ForFarmers NV 12,056 147
  ASML Holding NV 775 140
*,2 Basic-Fit NV 5,200 119
  Brunel International NV 4,071 69
      153,774
New Zealand (0.1%)    
  Fisher & Paykel Healthcare Corp. Ltd. 163,599 1,484
  Spark New Zealand Ltd. 490,026 1,235
* a2 Milk Co. Ltd. 199,240 1,183
  Auckland International Airport Ltd. 247,883 1,056
  Fletcher Building Ltd. 195,071 984
  Contact Energy Ltd. 205,926 810
  Ryman Healthcare Ltd. 102,735 654
  Meridian Energy Ltd. 328,883 642
* Xero Ltd. 22,633 533
  SKYCITY Entertainment Group Ltd. 167,460 446
  Z Energy Ltd. 87,205 440
  Mercury NZ Ltd. 171,365 386
  Chorus Ltd. 134,610 370
  Air New Zealand Ltd. 150,439 340
  Kiwi Property Group Ltd. 350,127 318
  Mainfreight Ltd. 18,429 308
  Goodman Property Trust 330,776 297
  Infratil Ltd. 134,679 296
  Trade Me Group Ltd. 88,361 273
  Freightways Ltd. 48,884 256
  Genesis Energy Ltd. 126,986 213
  Argosy Property Ltd. 299,714 212
  EBOS Group Ltd. 17,526 211
  Vital Healthcare Property Trust 137,358 208
  Precinct Properties New Zealand Ltd. 225,936 200
  New Zealand Refining Co. Ltd. 111,835 193
  SKY Network Television Ltd. 91,193 156
  Metlifecare Ltd. 36,540 144
  Summerset Group Holdings Ltd. 41,195 137
  New Zealand Oil & Gas Ltd. 239,762 119
  Heartland Bank Ltd. 87,755 114
  Kathmandu Holdings Ltd. 32,196 53
* TOWER Ltd. 26,604 15
      14,286
Norway (0.3%)    
  DNB ASA 294,298 5,680
^ Statoil ASA 263,658 5,357
^ Telenor ASA 187,034 3,971
  Norsk Hydro ASA 363,839 2,815
  Yara International ASA 47,472 2,255
  Marine Harvest ASA 108,038 2,110
  Orkla ASA 207,525 2,033
  Subsea 7 SA 64,485 1,087

 

62


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Storebrand ASA 122,830 1,052
  Gjensidige Forsikring ASA 44,412 836
  Schibsted ASA Class B 32,655 766
  TGS NOPEC Geophysical Co. ASA 32,019 736
  Aker BP ASA 27,153 625
  Golar LNG Ltd. 24,500 518
  Tomra Systems ASA 36,614 511
  Bakkafrost P/F 11,138 498
* Norwegian Finans Holding ASA 38,403 480
  SpareBank 1 SR-Bank ASA 39,928 442
  Salmar ASA 14,790 441
2 Entra ASA 29,267 403
  Veidekke ASA 34,585 388
  SpareBank 1 SMN 37,232 387
  Leroy Seafood Group ASA 63,310 380
  Schibsted ASA Class A 14,356 370
  Aker ASA 6,302 286
  Atea ASA 21,815 275
^,2 XXL ASA 24,440 264
  Austevoll Seafood ASA 23,772 238
  Grieg Seafood ASA 23,697 225
  Borregaard ASA 22,132 213
* DNO ASA 145,158 176
*,2 Aker Solutions ASA 29,567 163
* Nordic Semiconductor ASA 32,248 162
* Wallenius Wilhelmsen Logistics 23,155 133
  Opera Software ASA 42,243 121
* Akastor ASA 50,339 116
*,^ Petroleum Geo-Services ASA 67,163 110
  Ocean Yield ASA 10,516 94
*,2 BW LPG Ltd. 23,866 90
  Frontline Ltd. 14,000 85
  Norway Royal Salmon ASA 4,287 83
*,^ Norwegian Air Shuttle ASA 2,898 82
  Hoegh LNG Holdings Ltd. 6,871 54
  Stolt-Nielsen Ltd. 3,357 47
* REC Silicon ASA 292,534 38
*,^ Seadrill Ltd. 84,727 23
      37,219
Other (0.0%)4    
* Banco Santander Rights Temp Line 27,243 185
 
Pakistan (0.0%)    
  Habib Bank Ltd. 183,600 280
  Lucky Cement Ltd. 52,200 241
  Pakistan Petroleum Ltd. 132,400 226
  Pakistan State Oil Co. Ltd. 65,040 210
  Engro Fertilizers Ltd. 317,340 196
  Oil & Gas Development Co. Ltd. 122,500 167
  United Bank Ltd. 95,600 162
  Hub Power Co. Ltd. 164,500 160
  Engro Corp. Ltd. 54,700 144
  Nishat Mills Ltd. 116,000 143
  Pakistan Oilfields Ltd. 22,800 128
  MCB Bank Ltd. 63,500 120
  Fauji Cement Co. Ltd. 448,621 119
  DG Khan Cement Co. Ltd. 90,500 117
  Searle Co. Ltd. 37,768 110
  Thal Ltd. 21,750 105
  Fauji Fertilizer Co. Ltd. 120,900 92
  Kot Addu Power Co. Ltd. 130,000 79
* SUI Southern Gas Co. Ltd. 206,500 59
  Mari Petroleum Co. Ltd. 3,990 55
  Millat Tractors Ltd. 4,470 48

 

63


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  National Bank of Pakistan 103,000 43
* SUI Northern Gas Pipeline 20,700 22
* Bank Alfalah Ltd. 13,500 5
      3,031
Peru (0.0%)    
  Credicorp Ltd. 14,338 3,003
  Credicorp Ltd. Lima Shares 4,368 916
  Cia de Minas Buenaventura SAA ADR 50,613 698
  Volcan Cia Minera SAA Class B 541,580 267
      4,884
Philippines (0.2%)    
  SM Investments Corp. 158,518 2,936
  SM Prime Holdings Inc. 2,408,450 1,728
  Ayala Land Inc. 1,830,000 1,533
  BDO Unibank Inc. 522,694 1,393
  Ayala Corp. 64,740 1,292
  JG Summit Holdings Inc. 789,250 1,177
  PLDT Inc. 31,060 1,030
  Aboitiz Equity Ventures Inc. 625,080 908
  Bank of the Philippine Islands 416,485 791
  Universal Robina Corp. 249,610 691
  GT Capital Holdings Inc. 25,833 591
  International Container Terminal Services Inc. 273,470 560
  Security Bank Corp. 111,750 533
  Metropolitan Bank & Trust Co. 310,474 521
  Jollibee Foods Corp. 104,570 505
  Metro Pacific Investments Corp. 3,531,900 465
  DMCI Holdings Inc. 1,475,900 438
  Manila Electric Co. 68,115 385
* Alliance Global Group Inc. 999,500 310
  Semirara Mining & Power Corp. Class A 367,836 303
  Aboitiz Power Corp. 362,120 298
  Globe Telecom Inc. 7,195 285
  Robinsons Retail Holdings Inc. 149,000 280
  Megaworld Corp. 2,702,900 279
  LT Group Inc. 785,600 274
  Manila Water Co. Inc. 427,700 257
  Pilipinas Shell Petroleum Corp. 182,260 220
  Puregold Price Club Inc. 214,200 212
  Robinsons Land Corp. 401,800 196
* Bloomberry Resorts Corp. 925,300 169
* DoubleDragon Properties Corp. 203,900 160
  Cosco Capital Inc. 887,400 146
  Vista Land & Lifescapes Inc. 1,181,800 139
  Filinvest Land Inc. 3,219,000 124
  Century Pacific Food Inc. 394,200 116
  Petron Corp. 586,300 111
  First Gen Corp. 278,700 95
  D&L Industries Inc. 422,700 85
* Melco Resorts And Entertainment Philippines Corp. 590,500 78
  Cebu Air Inc. 36,440 77
  First Philippine Holdings Corp. 55,160 68
  Lopez Holdings Corp. 440,600 50
  Energy Development Corp. 331,819 37
  Nickel Asia Corp. 168,600 23
      21,869
Poland (0.2%)    
  Polski Koncern Naftowy ORLEN SA 86,454 3,058
* Powszechna Kasa Oszczednosci Bank Polski SA 231,015 2,459
  Powszechny Zaklad Ubezpieczen SA 149,677 1,932
  Bank Pekao SA 41,867 1,368
  KGHM Polska Miedz SA 36,524 1,234
  LPP SA 402 947

 

64


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Polskie Gornictwo Naftowe i Gazownictwo SA 454,349 835
* PGE Polska Grupa Energetyczna SA 220,704 791
  Bank Zachodni WBK SA 7,698 772
  CD Projekt SA 18,195 603
* Alior Bank SA 22,879 454
  Grupa Lotos SA 24,908 452
* mBank SA 3,120 394
  CCC SA 5,210 391
* Jastrzebska Spolka Weglowa SA 13,779 370
* Bank Millennium SA 157,377 345
  KRUK SA 4,048 310
  Cyfrowy Polsat SA 44,317 309
* Tauron Polska Energia SA 300,511 290
*,2 PLAY Communications SA 28,229 285
  Grupa Azoty SA 13,602 273
  Eurocash SA 25,626 259
  Energa SA 71,262 248
* Orange Polska SA 151,454 233
  Asseco Poland SA 16,833 221
  Enea SA 55,620 213
  Kernel Holding SA 11,514 155
  Synthos SA 108,677 147
  Bank Handlowy w Warszawie SA 6,584 135
  Budimex SA 2,399 123
  Warsaw Stock Exchange 9,251 117
* PKP Cargo SA 7,179 102
* Ciech SA 5,603 95
  Lubelski Wegiel Bogdanka SA 4,449 90
  UNIWHEELS AG 1,005 82
*,^ Medicalgorithmics SA 1,278 71
* Boryszew SA 20,968 58
  Neuca SA 465 31
* Getin Holding SA 53,314 24
* Getin Noble Bank SA 48,231 21
      20,297
Portugal (0.1%)    
  Galp Energia SGPS SA 143,214 2,663
  EDP - Energias de Portugal SA 626,674 2,235
  Jeronimo Martins SGPS SA 65,183 1,184
* Banco Comercial Portugues SA 2,198,731 657
  EDP Renovaveis SA 57,842 478
  REN - Redes Energeticas Nacionais SGPS SA 148,379 471
  Sonae SGPS SA 292,736 351
  NOS SGPS SA 57,895 347
  Navigator Co. SA 56,123 286
  CTT-Correios de Portugal SA 47,438 279
  Corticeira Amorim SGPS SA 8,976 125
  Altri SGPS SA 13,342 85
  Semapa-Sociedade de Investimento e Gestao 3,913 78
* Banco BPI SA 38,977 53
  Mota-Engil SGPS SA 12,362 50
  Sonaecom SGPS SA 15,610 42
* Banco Espirito Santo SA 428,634 1
      9,385
Qatar (0.1%)    
  Qatar National Bank QPSC 61,803 2,066
  Masraf Al Rayan QSC 114,484 1,126
  Industries Qatar QSC 40,485 1,061
  Ooredoo QPSC 22,140 521
  Qatar Insurance Co. SAQ 36,850 450
* Commercial Bank PQSC 61,073 441
  Qatar Islamic Bank SAQ 15,816 421
  Qatar Electricity & Water Co. QSC 7,451 374
  Doha Bank QPSC 40,734 315

 

65


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Qatar Gas Transport Co. Ltd. 72,777 303
Barwa Real Estate Co. 20,090 165
* Vodafone Qatar QSC 75,270 145
Qatar International Islamic Bank QSC 10,164 135
United Development Co. QSC 36,814 135
Aamal Co. 52,700 110
* Gulf Warehousing Co. 7,703 86
Ezdan Holding Group QSC 32,804 86
Medicare Group 3,191 60
Al Meera Consumer Goods Co. QSC 1,346 53
Qatari Investors Group QSC 6,410 52
Gulf International Services QSC 9,215 44
Salam International Investment Ltd. QSC 21,199 41
Qatar Navigation QSC 1,414 21
    8,211
Russia (0.4%)    
Sberbank of Russia PJSC ADR 538,894 7,734
Lukoil PJSC ADR 128,231 6,811
Gazprom PJSC ADR 1,135,392 4,877
Novatek PJSC 286,546 3,190
Sberbank of Russia PJSC 783,021 2,595
Tatneft PJSC ADR 55,043 2,478
Magnit PJSC GDR 84,842 2,401
MMC Norilsk Nickel PJSC ADR 122,704 2,258
Surgutneftegas OJSC ADR (London Shares) 392,922 1,964
Rosneft Oil Co. PJSC GDR 308,412 1,691
AK Transneft OAO Preference Shares 430 1,360
Mobile TeleSystems PJSC 270,142 1,300
Gazprom PJSC 573,171 1,234
Alrosa PJSC 668,000 859
Moscow Exchange MICEX-RTS PJSC 406,415 820
VTB Bank PJSC 765,146,460 785
Severstal PJSC 46,537 715
2 VTB Bank PJSC GDR 302,201 626
Tatneft PJSC 73,240 546
Inter RAO UES PJSC 8,665,172 530
Novolipetsk Steel PJSC 228,169 520
RusHydro PJSC 29,234,242 408
PhosAgro PJSC GDR 27,995 385
MegaFon PJSC GDR 34,790 364
Aeroflot PJSC 105,600 325
Magnitogorsk Iron & Steel Works PJSC 374,031 282
Rostelecom PJSC 239,573 280
Tatneft PAO Preference Shares 42,152 228
Federal Grid Co. Unified Energy System PJSC 78,720,000 213
* M.Video PJSC 25,520 184
* DIXY Group PJSC 31,640 181
Mosenergo PJSC 3,281,038 172
* Bashneft PJSC 3,712 140
LSR Group PJSC GDR 47,842 138
* Uralkali PJSC 59,676 133
ROSSETI PJSC 7,635,193 124
Unipro Pjcontainer corpSC 2,787,900 122
Sistema PJSC FC GDR 24,816 117
* Novorossiysk Commercial Sea Port PJSC 759,000 112
* RussNeft PJSC 11,177 107
2 Detsky Mir PJSC 58,720 102
* Mechel PJSC 38,802 99
* Safmar Financial Investment 7,460 98
Acron PJSC 1,471 91
TGC-1 PJSC 340,600,000 82
* Raspadskaya OJSC 41,689 64
TMK PJSC 43,750 59
* OGK-2 PJSC 5,963,000 56

 

66


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Surgutneftegas OJSC ADR 8,300 41
TMK PJSC GDR 6,181 34
Sistema PJSC FC 106,900 24
Rosneft Oil Co. PJSC 3,288 18
    50,077
Singapore (0.5%)    
DBS Group Holdings Ltd. 491,200 8,202
Oversea-Chinese Banking Corp. Ltd. 905,938 7,912
United Overseas Bank Ltd. 356,900 6,448
Singapore Telecommunications Ltd. 2,074,900 5,710
Keppel Corp. Ltd. 410,113 2,257
Global Logistic Properties Ltd. 800,800 1,951
CapitaLand Ltd. 672,900 1,812
Genting Singapore plc 1,552,100 1,389
Ascendas REIT 635,273 1,277
Wilmar International Ltd. 497,873 1,239
Singapore Exchange Ltd. 219,610 1,236
City Developments Ltd. 125,500 1,192
Singapore Technologies Engineering Ltd. 407,900 1,041
Suntec REIT 676,700 969
Venture Corp. Ltd. 67,700 968
Singapore Airlines Ltd. 126,420 953
CapitaLand Mall Trust 616,400 914
Singapore Press Holdings Ltd. 426,400 844
UOL Group Ltd. 126,955 842
ComfortDelGro Corp. Ltd. 547,400 812
CapitaLand Commercial Trust 626,853 798
Jardine Cycle & Carriage Ltd. 26,588 769
Hutchison Port Holdings Trust 1,616,500 695
Yangzijiang Shipbuilding Holdings Ltd. 537,136 621
Mapletree Commercial Trust 508,398 580
SATS Ltd. 152,700 527
Sembcorp Industries Ltd. 208,831 506
Golden Agri-Resources Ltd. 1,698,019 492
Mapletree Industrial Trust 335,800 478
Keppel REIT 515,188 444
Mapletree Greater China Commercial Trust 509,600 439
^ Singapore Post Ltd. 397,500 375
Frasers Centrepoint Trust 216,000 344
Parkway Life REIT 164,286 343
Mapletree Logistics Trust 357,699 333
Wing Tai Holdings Ltd. 187,400 330
Manulife US REIT 359,000 325
Yanlord Land Group Ltd. 194,600 256
^ Sembcorp Marine Ltd. 172,489 245
Ascott Residence Trust 277,209 243
CDL Hospitality Trusts 196,688 236
SIA Engineering Co. Ltd. 98,500 236
Starhill Global REIT 413,000 233
^ Keppel DC REIT 229,475 231
StarHub Ltd. 117,600 227
Keppel Infrastructure Trust 550,300 224
First Resources Ltd. 128,000 185
United Engineers Ltd. 94,200 183
Frasers Logistics & Industrial Trust 211,700 173
Asian Pay Television Trust 397,600 169
Frasers Commercial Trust 151,518 154
Boustead Singapore Ltd. 232,900 154
Cache Logistics Trust 249,765 150
Ascendas Hospitality Trust 225,000 144
Far East Hospitality Trust 279,700 144
Frasers Centrepoint Ltd. 94,000 143
Lippo Malls Indonesia Retail Trust 442,600 141
^ Raffles Medical Group Ltd. 168,000 139

 

67


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  OUE Hospitality Trust 232,100 137
^ Yoma Strategic Holdings Ltd. 310,430 133
  SPH REIT 175,700 129
  ESR-REIT 316,400 129
  CapitaLand Retail China Trust 103,600 126
  Frasers Hospitality Trust 204,000 118
  Genting Hong Kong Ltd. 439,898 106
^ M1 Ltd. 79,200 105
  First REIT 101,800 103
  Sabana Shari'ah Compliant Industrial REIT 293,300 99
  RHT Health Trust 147,100 91
  OUE Ltd. 57,600 87
  Accordia Golf Trust 158,100 87
  Soilbuild Business Space REIT 172,040 83
  Silverlake Axis Ltd. 177,499 78
  SIIC Environment Holdings Ltd. 180,320 70
*,^,3 Ezion Holdings Ltd. 445,506 64
^ Sheng Siong Group Ltd. 87,100 60
* Beijing Gas Blue Sky Holdings Ltd. 872,000 59
  Noble Group Ltd. 192,460 41
* Midas Holdings Ltd. 223,900 35
*,^ COSCO Shipping International Singapore Co. Ltd. 92,000 20
^ Hyflux Ltd. 54,000 19
  China Everbright Water Ltd. 47,300 17
*,^,3 Ezra Holdings Ltd. 344,056 3
*,3 Ezion Holdings Ltd Warrants Expire 04/15/2020 102,200 2
  Ascendas India Trust 300
*,3 China Animal Healthcare Ltd. 84,000
      62,378
South Africa (0.7%)    
  Naspers Ltd. 115,766 28,204
  Sasol Ltd. 152,133 4,445
  MTN Group Ltd. 499,729 4,339
  Standard Bank Group Ltd. 352,230 4,090
  FirstRand Ltd. 908,044 3,296
  Steinhoff International Holdings NV (Johannesburg Shares) 700,622 3,041
  Sanlam Ltd. 462,940 2,317
  Remgro Ltd. 140,914 2,133
  Aspen Pharmacare Holdings Ltd. 91,776 2,074
  Bid Corp. Ltd. 89,872 1,976
  Shoprite Holdings Ltd. 123,787 1,772
  Vodacom Group Ltd. 159,307 1,731
  Barclays Africa Group Ltd. 173,586 1,720
  Growthpoint Properties Ltd. 730,340 1,267
  Tiger Brands Ltd. 43,481 1,188
  Bidvest Group Ltd. 97,625 1,185
  Sappi Ltd. 161,219 1,080
  AngloGold Ashanti Ltd. 115,121 1,062
  Redefine Properties Ltd. 1,356,129 1,019
  Woolworths Holdings Ltd. 254,859 1,017
  Discovery Ltd. 91,305 947
  Capitec Bank Holdings Ltd. 14,127 939
  Gold Fields Ltd. 223,503 890
  Mr Price Group Ltd. 67,369 835
  Nedbank Group Ltd. 56,432 827
  Resilient REIT Ltd. 81,213 809
  Mondi Ltd. 33,073 793
  RMB Holdings Ltd. 177,567 785
  Life Healthcare Group Holdings Ltd. 410,769 762
  Netcare Ltd. 429,935 757
  Imperial Holdings Ltd. 50,209 720
  Clicks Group Ltd. 63,233 708
  Fortress Income Fund Ltd. Class B 216,216 614
  AVI Ltd. 86,978 606

 

68


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  SPAR Group Ltd. 51,414 605
^ Truworths International Ltd. 107,629 573
  Sibanye Gold Ltd. 439,495 569
  Foschini Group Ltd. 58,522 561
  Exxaro Resources Ltd. 54,681 556
  Investec Ltd. 77,790 531
  Rand Merchant Investment Holdings Ltd. 180,815 506
  Barloworld Ltd. 51,384 485
* Impala Platinum Holdings Ltd. 170,978 474
  Hyprop Investments Ltd. 59,915 450
  PSG Group Ltd. 23,989 445
* Anglo American Platinum Ltd. 14,871 414
  Pick n Pay Stores Ltd. 93,244 391
  Coronation Fund Managers Ltd. 72,411 365
* Northam Platinum Ltd. 93,536 348
  MMI Holdings Ltd. 260,004 345
  EOH Holdings Ltd. 43,545 325
* Super Group Ltd. 112,906 319
  Pioneer Foods Group Ltd. 37,173 312
  Brait SE 82,074 307
  Fortress Income Fund Ltd. Class A 252,150 302
  DataTec Ltd. 67,690 287
  Telkom SA SOC Ltd. 74,605 279
  African Rainbow Minerals Ltd. 27,614 242
* PPC Ltd. 464,396 242
  Kumba Iron Ore Ltd. 12,476 240
  KAP Industrial Holdings Ltd. 391,340 235
  Tongaat Hulett Ltd. 28,436 232
  Vukile Property Fund Ltd. 160,479 224
  Liberty Holdings Ltd. 28,356 223
  SA Corporate Real Estate Ltd. 642,314 218
  Assore Ltd. 9,574 209
* Nampak Ltd. 154,905 204
  Santam Ltd. 11,134 198
*,2 Steinhoff Africa Retail Ltd. 121,070 197
  Advtech Ltd. 155,798 195
  JSE Ltd. 18,876 179
  Tsogo Sun Holdings Ltd. 121,136 178
* Attacq Ltd. 133,198 176
*,^ Curro Holdings Ltd. 60,826 173
  Omnia Holdings Ltd. 16,576 171
  AECI Ltd. 22,863 171
  Reunert Ltd. 34,476 170
  Massmart Holdings Ltd. 22,001 167
  Murray & Roberts Holdings Ltd. 126,635 143
  Arrowhead Properties Ltd. 254,555 143
  MAS Real Estate Inc. 64,750 142
  Harmony Gold Mining Co. Ltd. 77,382 132
  Cashbuild Ltd. 5,045 130
*,2 Dis-Chem Pharmacies Ltd. 53,653 126
* Famous Brands Ltd. 15,624 113
  Wilson Bayly Holmes-Ovcon Ltd. 10,537 113
* Grindrod Ltd. 98,088 108
  Astral Foods Ltd. 7,639 105
  Trencor Ltd. 32,873 102
  Rebosis Property Fund Ltd. 132,655 100
  Hosken Consolidated Investments Ltd. 10,953 96
  Blue Label Telecoms Ltd. 74,154 90
  Ascendis Health Ltd. 71,819 89
  Alexander Forbes Group Holdings Ltd. 171,753 89
  Steinhoff International Holdings NV (Frankfurt Shares) 19,964 88
  Zeder Investments Ltd. 192,785 85
  Emira Property Fund Ltd. 90,821 84
  City Lodge Hotels Ltd. 9,147 82

 

69


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Adcock Ingram Holdings Ltd. 18,877 78
  Delta Property Fund Ltd. 143,041 75
  Mpact Ltd. 38,733 71
  Peregrine Holdings Ltd. 35,263 71
* Sun International Ltd. 17,958 64
  Invicta Holdings Ltd. 15,867 62
  Adcorp Holdings Ltd. 57,923 58
  Merafe Resources Ltd. 433,790 55
  Metair Investments Ltd. 38,433 52
  DRDGOLD Ltd. 143,105 49
  Hudaco Industries Ltd. 5,387 48
*,^ Stadio Holdings Ltd. 95,616 41
* ArcelorMittal South Africa Ltd. 85,605 39
  Raubex Group Ltd. 24,403 35
  Lewis Group Ltd. 17,093 33
  Oceana Group Ltd. 5,057 32
  Clover Industries Ltd. 31,279 32
* Alviva Holdings Ltd. 18,929 26
* Consolidated Infrastructure Group Ltd. 27,550 22
  Group Five Ltd. 15,342 14
* Adbee Rf Ltd. 3,376 11
* Aveng Ltd. 60,206 11
* Royal Bafokeng Platinum Ltd. 3,748 9
* Adcock Ingram Holdings Ltd. Warrants Expires 7/26/2019 1,045 1
* Novus Holdings Ltd. 238
*,3 Rockcastle Global Real Estate Co. Ltd. (Temporary Line) 116,559
*,3 New Europe Property Investments plc (Temporary Line) 57,861
      97,090
South Korea (1.8%)    
  Samsung Electronics Co. Ltd. GDR 41,582 51,268
  Samsung Electronics Co. Ltd. Preference Shares 6,055 12,127
  SK Hynix Inc. 145,054 10,695
  Samsung Electronics Co. Ltd. 4,057 10,001
  NAVER Corp. 7,147 5,712
  Hyundai Motor Co. 36,943 5,315
  LG Chem Ltd. 11,736 4,232
  Hyundai Mobis Co. Ltd. 17,523 4,170
  KB Financial Group Inc. ADR 73,319 3,850
  Shinhan Financial Group Co. Ltd. 81,992 3,683
  Hana Financial Group Inc. 81,278 3,479
  POSCO 11,113 3,239
*,^ Celltrion Inc. 20,810 3,217
  SK Innovation Co. Ltd. 15,772 2,893
  KT&G Corp. 29,477 2,791
  Samsung SDI Co. Ltd. 13,994 2,578
  Samsung C&T Corp. 19,219 2,542
  LG Electronics Inc. 30,529 2,485
  Amorepacific Corp. 8,785 2,465
  Korea Electric Power Corp. 68,272 2,394
  POSCO ADR 32,617 2,380
  SK Holdings Co. Ltd. 8,692 2,249
  Kia Motors Corp. 68,886 2,180
  Samsung Life Insurance Co. Ltd. 17,451 2,104
  Samsung Fire & Marine Insurance Co. Ltd. 8,535 2,083
  LG Household & Health Care Ltd. 1,966 2,066
  Woori Bank 131,747 1,928
  Shinhan Financial Group Co. Ltd. ADR 39,991 1,810
  LG Corp. 23,240 1,787
  KB Financial Group Inc. 33,784 1,766
  NCSoft Corp. 4,561 1,739
  LG Display Co. Ltd. 59,555 1,558
  Samsung SDS Co. Ltd. 8,280 1,533
  Samsung Electro-Mechanics Co. Ltd. 15,747 1,465
  Coway Co. Ltd. 15,395 1,338

 

70


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Lotte Chemical Corp. 4,052 1,338
* Hyundai Heavy Industries Co. Ltd. 9,188 1,285
  S-Oil Corp. 11,170 1,284
  Korea Zinc Co. Ltd. 2,710 1,240
  Kakao Corp. 9,620 1,238
*,^,2 Samsung Biologics Co. Ltd. 3,462 1,188
  E-MART Inc. 5,612 1,123
* Hyundai Robotics Co. Ltd. 2,775 1,120
  Hankook Tire Co. Ltd. 22,102 1,067
  Hyundai Steel Co. 19,945 1,025
  Mirae Asset Daewoo Co. Ltd. 111,867 1,015
  Hyundai Motor Co. Preference Shares 11,020 1,014
  AMOREPACIFIC Group 7,801 1,000
  Korea Aerospace Industries Ltd. 17,879 908
  Industrial Bank of Korea 66,134 906
  Dongbu Insurance Co. Ltd. 14,047 884
* Samsung Heavy Industries Co. Ltd. 77,717 819
  Hyundai Motor Co. 2nd Preference Shares 8,048 812
  Kangwon Land Inc. 26,039 798
  SK Telecom Co. Ltd. ADR 30,122 787
*,^ SillaJen Inc. 13,012 786
  Hyosung Corp. 6,327 760
  GS Holdings Corp. 12,379 733
  BNK Financial Group Inc. 81,851 726
* Celltrion Healthcare Co. Ltd. 13,574 714
  Hyundai Engineering & Construction Co. Ltd. 21,022 711
* Hanmi Pharm Co. Ltd. 1,707 707
*,^,2 Netmarble Games Corp. 4,350 676
  Hotel Shilla Co. Ltd. 9,587 671
  LG Chem Ltd. Preference Shares 2,829 656
  LG Household & Health Care Ltd. Preference Shares 1,090 638
  LG Uplus Corp. 55,029 632
  SK Telecom Co. Ltd. 2,584 610
  Samsung Securities Co. Ltd. 19,087 607
  Korea Investment Holdings Co. Ltd. 10,723 607
  Hyundai Glovis Co. Ltd. 4,474 604
* Orion Corp. 6,329 600
  Hyundai Marine & Fire Insurance Co. Ltd. 14,746 597
  Hanwha Chemical Corp. 21,819 594
  Daelim Industrial Co. Ltd. 7,898 589
  Hyundai Development Co-Engineering & Construction 16,406 588
  Hanwha Corp. 13,518 539
  CJ Corp. 3,197 533
  CJ CheilJedang Corp. 1,606 526
  KCC Corp. 1,496 521
  LG Innotek Co. Ltd. 3,342 515
*,^ ViroMed Co. Ltd. 3,848 509
^ Mando Corp. 1,724 503
  Yuhan Corp. 2,706 493
  OCI Co. Ltd. 4,823 487
  S-1 Corp. 5,939 486
  Lotte Shopping Co. Ltd. 2,374 477
  DGB Financial Group Inc. 48,829 455
  Amorepacific Corp. Preference Shares 2,853 455
  Hanon Systems 38,351 446
  NH Investment & Securities Co. Ltd. 34,715 436
  Medy-Tox Inc. 1,144 433
  Lotte Corp. 6,430 428
*,^ Samsung Engineering Co. Ltd. 38,325 418
  Doosan Corp. 3,475 416
  CJ E&M Corp. 5,447 411
  Shinsegae Inc. 1,929 394
  Hanwha Life Insurance Co. Ltd. 55,767 394
  Hyundai Department Store Co. Ltd. 4,642 379

 

71


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Cheil Worldwide Inc. 20,329 378
* Hyundai Mipo Dockyard Co. Ltd. 3,873 376
3 BGF retail Co. Ltd. Ordinary Shares 3,363 369
* Korean Air Lines Co. Ltd. 12,848 364
  Hanssem Co. Ltd. 2,371 361
  Meritz Securities Co. Ltd. 89,383 356
* CJ Logistics Corp. 2,507 351
* Daewoo Engineering & Construction Co. Ltd. 52,895 348
*,^ Hanmi Science Co. ltd 4,160 341
* Hanwha Techwin Co. Ltd. 9,335 320
^ Korea Kolmar Co. Ltd. 4,041 299
*,^ Hyundai Merchant Marine Co. Ltd. 44,119 291
^ SK Chemicals Co. Ltd. 4,290 283
  Meritz Fire & Marine Insurance Co. Ltd. 12,244 281
  Com2uSCorp 2,322 277
* WONIK IPS Co. Ltd. 8,495 276
  Green Cross Holdings Corp. 8,097 274
  Koh Young Technology Inc. 3,972 272
  LS Corp. 3,811 269
  SFA Engineering Corp. 7,090 258
* NHN Entertainment Corp. 4,148 254
^ Cosmax Inc. 2,006 249
*,^ Komipharm International Co. Ltd. 6,925 248
  Hyundai Home Shopping Network Corp. 2,274 248
  SK Materials Co. Ltd. 1,471 247
*,^ Hyundai Construction Equipment Co. Ltd. 734 246
  NongShim Co. Ltd. 772 240
*,^ GS Engineering & Construction Corp. 10,113 235
*,^ Doosan Infracore Co. Ltd. 28,117 232
  Kolon Industries Inc. 3,387 229
  Kumho Petrochemical Co. Ltd. 3,686 229
  Samsung Card Co. Ltd. 6,838 224
  Hyundai Greenfood Co. Ltd. 15,539 222
  Kolon Corp. 3,096 213
  LF Corp. 9,230 213
* Medipost Co. Ltd. 2,408 210
^ KIWOOM Securities Co. Ltd. 3,278 210
*,^ Pan Ocean Co. Ltd. 44,379 208
  Ottogi Corp. 307 208
  Doosan Heavy Industries & Construction Co. Ltd. 13,264 208
  CJ O Shopping Co. Ltd. 1,159 205
* Seegene Inc. 8,047 204
  Taekwang Industrial Co. Ltd. 199 203
* Hugel Inc. 528 203
  Green Cross Corp. 1,066 201
* Korea Gas Corp. 5,413 198
*,^ Kumho Tire Co. Inc. 33,480 196
  Youngone Corp. 6,334 195
  Korea Petrochemical Ind Co. Ltd. 862 193
^ Hyundai Wia Corp. 3,336 192
  Korean Reinsurance Co. 19,191 192
  GS Home Shopping Inc. 1,014 190
  Seoul Semiconductor Co. Ltd. 7,662 188
  Chong Kun Dang Pharmaceutical Corp. 1,842 185
  Soulbrain Co. Ltd. 2,999 185
* Hyundai Rotem Co. Ltd. 10,412 182
  SK Networks Co. Ltd. 30,571 182
  Meritz Financial Group Inc. 12,474 182
  Loen Entertainment Inc. 1,895 180
^ Innocean Worldwide Inc. 2,612 179
* Osstem Implant Co. Ltd. 2,787 179
  Samyang Holdings Corp. 2,219 179
  Daishin Securities Co. Ltd. 14,831 179
  Posco Daewoo Corp. 10,261 178

 

72


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  LIG Nex1 Co. Ltd. 2,755 177
  Dongsuh Cos. Inc. 7,129 175
  Poongsan Corp. 3,950 173
* Ssangyong Motor Co. 36,443 171
^ Paradise Co. Ltd. 9,485 170
*,^ HLB Inc. 7,620 170
  Songwon Industrial Co. Ltd. 8,706 167
  Samsung Fire & Marine Insurance Co. Ltd. Preference Shares 1,043 167
^ CJ CGV Co. Ltd. 2,668 166
  LS Industrial Systems Co. Ltd. 3,095 166
  Daewoong Co. Ltd. 11,845 165
  KEPCO Plant Service & Engineering Co. Ltd. 4,453 164
  Doosan Bobcat Inc. 5,059 164
  GS Retail Co. Ltd. 5,485 164
*,^ Interflex Co. Ltd. 2,840 162
  DoubleUGames Co. Ltd. 3,487 160
  Huchems Fine Chemical Corp. 7,579 160
  LG Hausys Ltd. 1,962 159
* Webzen Inc. 6,346 159
  CJ CheilJedang Corp. Preference Shares 1,090 158
  Hite Jinro Co. Ltd. 6,473 154
  Hanwha General Insurance Co. Ltd. 21,067 154
  Lock&Lock Co. Ltd. 7,912 153
^ Hana Tour Service Inc. 1,714 153
  LOTTE Himart Co. Ltd. 2,295 152
  Dongkuk Steel Mill Co. Ltd. 15,616 152
  LOTTE Fine Chemical Co. Ltd. 4,172 150
^ Eo Technics Co. Ltd. 1,839 150
*,^ Leaders Cosmetics Co. Ltd. 8,684 145
  SKC Co. Ltd. 4,069 145
* Taeyoung Engineering & Construction Co. Ltd. 18,812 144
  Modetour Network Inc. 5,428 143
  Kolon Life Science Inc. 1,039 142
  Dongjin Semichem Co. Ltd. 7,670 141
* Yungjin Pharmaceutical Co. Ltd. 17,777 141
*,^ SK Securities Co. Ltd. 126,052 140
  SL Corp. 6,678 137
^ Cosmax BTI Inc 4,084 135
*,^ Gamevil Inc. 2,389 135
  AK Holdings Inc. 2,228 134
  Douzone Bizon Co. Ltd. 4,685 134
  Daou Technology Inc. 7,947 130
  Iljin Materials Co. Ltd. 4,510 130
  SK Gas Ltd. 1,550 130
* Jusung Engineering Co. Ltd. 10,459 128
*,^ Hanjin Kal Corp. 6,454 125
  Hansol Chemical Co. Ltd. 1,859 123
  Ssangyong Cement Industrial Co. Ltd. 8,466 122
  Dong-A ST Co. Ltd. 1,528 122
  Bukwang Pharmaceutical Co. Ltd. 6,141 121
^ Fila Korea Ltd. 1,985 120
* Hanall Biopharma Co. Ltd. 11,383 119
* Wonik Holdings Co. Ltd. 17,538 119
* Yuanta Securities Korea Co. Ltd. 38,496 116
  Daeduck Electronics Co. 12,627 116
*,^ Foosung Co. Ltd. 14,322 114
  JB Financial Group Co. Ltd. 21,715 114
  Korea Electric Terminal Co. Ltd. 1,823 114
  Hanil Cement Co. Ltd. 947 113
  Hyundai Corp. Holdings Inc. 8,688 113
  Nexen Tire Corp. 9,585 110
  Daesang Corp. 5,170 110
  Youlchon Chemical Co. Ltd. 7,368 110
  Ilyang Pharmaceutical Co. Ltd. 3,501 109

 

73


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
3 KC Tech Co. Ltd. Ordinary Shares 2,009 108
  Dongwon Industries Co. Ltd. 415 106
  LG International Corp. 3,990 104
^ JW Pharmaceutical Corp. 2,773 103
* Dongbu HiTek Co. Ltd. 8,062 103
  MegaStudy Co. Ltd. 3,710 103
  Daewoong Pharmaceutical Co. Ltd. 1,015 103
*,^ Hyundai Electric & Energy System Co. Ltd. 485 102
*,^ Homecast Co. Ltd. 8,376 101
  Hyundai Elevator Co. Ltd. 2,055 101
  POSCO Chemtech Co. Ltd. 4,011 101
  Toptec Co. Ltd. 3,884 98
  Sam Young Electronics Co. Ltd. 8,042 98
  Lotte Chilsung Beverage Co. Ltd. 79 98
  Seah Besteel Corp. 3,350 95
  LEENO Industrial Inc. 2,065 94
  Halla Holdings Corp. 1,555 94
^ Able C&C Co. Ltd. 5,167 93
  LG Electronics Inc. Preference Shares 2,321 93
  SPC Samlip Co. Ltd. 758 93
  TES Co. Ltd. 2,989 92
  Sebang Global Battery Co. Ltd. 3,049 92
  Hankook Tire Worldwide Co. Ltd. 5,128 92
* Advanced Process Systems Corp. 2,646 91
^ Ahnlab Inc. 2,032 91
  Young Poong Corp. 91 91
  Samyang Corp. 1,042 90
* Binex Co. Ltd. 11,366 89
* Amicogen Inc. 2,224 89
  Interpark Holdings Corp. 23,623 88
  Tongyang Inc. 50,362 88
* Korea Asset In Trust Co. Ltd. 11,626 88
^ YG Entertainment Inc. 3,272 87
  Caregen Co. Ltd. 1,328 87
* Insun ENT Co. Ltd. 14,296 87
  Lotte Food Co. Ltd. 162 87
^ It's Hanbul Co. Ltd. 2,175 86
*,^ KONA I Co. Ltd. 9,122 86
  NS Shopping Co. Ltd. 6,400 86
*,^ iNtRON Biotechnology Inc. 2,985 85
^ IS Dongseo Co. Ltd. 2,765 85
^ KEPCO Engineering & Construction Co. Inc. 5,282 84
* Duk San Neolux Co. Ltd. 4,300 84
^ Korea Real Estate Investment & Trust Co. Ltd. 28,386 84
  NICE Information Service Co. Ltd. 10,929 83
*,^ DIO Corp. 2,745 83
  Partron Co. Ltd. 10,577 83
  CJ Hellovision Co. Ltd. 12,615 82
*,^ Chabiotech Co. Ltd. 7,025 82
^ Coreana Cosmetics Co. Ltd. 13,463 82
  Daekyo Co. Ltd. 11,162 82
*,^ Celltrion Pharm Inc. 2,648 79
* Jenax Inc. 3,125 78
^ Daeduck GDS Co. Ltd. 4,953 78
  Silicon Works Co. Ltd. 1,927 77
*,^ ATGen Co. Ltd. 2,320 77
  Maeil Holdings Co. Ltd. 4,477 77
^ S&T Motiv Co. Ltd. 1,871 76
  Binggrae Co. Ltd. 1,397 76
  Orion Holdings Corp. 3,290 76
  Kwangju Bank Co. Ltd. 7,106 75
* Hanwha Investment & Securities Co. Ltd. 28,944 75
^ JW Holdings Corp. 10,165 73
*,^ SM Entertainment Co. 2,434 72

 

74


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Kumho Industrial Co. Ltd. 8,282 71
^ CJ Freshway Corp. 2,037 71
  Namhae Chemical Corp. 8,782 71
* Genexine Co. Ltd. 1,845 71
* Emerson Pacific Inc. 2,866 70
* Korea Line Corp. 2,370 69
  Hankook Shell Oil Co. Ltd. 194 69
  Hansae Co. Ltd. 2,942 68
  NICE Holdings Co. Ltd. 4,789 68
  Mirae Asset Life Insurance Co. Ltd. 12,832 67
  Seoyon E-Hwa Co. Ltd. 6,227 67
* Neowiz 6,330 66
*,^ Taihan Electric Wire Co. Ltd. 58,282 66
  INTOPS Co. Ltd. 7,008 66
*,^ Peptron Inc. 1,499 66
  Hansol Paper Co. Ltd. 4,347 64
  Cell Biotech Co. Ltd. 1,908 63
* CrystalGenomics Inc. 4,601 63
  Grand Korea Leisure Co. Ltd. 2,480 62
  Namyang Dairy Products Co. Ltd. 105 62
*,^ GemVax & Kael Co. Ltd. 5,608 61
* Pharmicell Co. Ltd. 16,212 61
  Handsome Co. Ltd. 2,264 61
^ iMarketKorea Inc. 7,080 61
  Sindoh Co. Ltd. 1,039 58
  Dawonsys Co. Ltd. 5,674 58
*,^ COSON Co. Ltd. 4,633 58
  Lutronic Corp. 5,622 57
* Asiana Airlines Inc. 13,664 57
* Lotte Confectionery Co. Ltd. 340 56
  ICD Co. Ltd. 4,187 56
  InBody Co. Ltd. 2,162 56
* GNCO Co. Ltd. 33,968 56
* Jeil Pharmaceutical Co. Ltd. 982 55
^ ST Pharm Co. Ltd. 1,875 55
* KTB Investment & Securities Co. Ltd. 17,627 54
  Hanjin Transportation Co. Ltd. 2,100 54
  DongKook Pharmaceutical Co. Ltd. 967 54
*,^ CUROCOM Co. Ltd. 21,142 52
*,^ Aprogen pharmaceuticals Inc. 15,801 52
*,^ CMG Pharmaceutical Co. Ltd. 16,869 52
  Green Cross Cell Corp. 1,282 51
  Vieworks Co. Ltd. 1,505 51
*,^ Naturalendo Tech Co. Ltd. 2,354 51
  Dong-A Socio Holdings Co. Ltd. 464 51
  Dae Han Flour Mills Co. Ltd. 334 51
  Dae Hwa Pharmaceutical Co. Ltd. 2,420 50
  Kwang Dong Pharmaceutical Co. Ltd. 6,830 49
*,^ 3S Korea Co. Ltd. 28,794 49
  WeMade Entertainment Co. Ltd. 1,456 48
*,^ NUTRIBIOTECH Co. Ltd. 2,426 47
  KISWIRE Ltd. 1,499 47
* Huons Co. Ltd. 781 47
  Shinyoung Securities Co. Ltd. 878 47
  SeAH Steel Corp. 566 46
* Eugene Investment & Securities Co. Ltd. 17,472 46
^ CROWNHAITAI Holdings Co. Ltd. 2,878 46
  i-SENS Inc. 2,173 46
* Woongjin Thinkbig Co. Ltd. 7,243 45
  Humax Co. Ltd. 5,217 44
*,2 CEMEX Holdings Philippines Inc. 493,900 44
  Posco ICT Co. Ltd. 6,926 44
  Hansol Holdings Co. Ltd. 7,639 42
  KT Skylife Co. Ltd. 3,297 41

 

75


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Byucksan Corp. 13,450 41
  Samchully Co. Ltd. 442 40
  Tongyang Life Insurance Co. Ltd. 4,930 39
^ Seobu T&D 2,903 39
  SBS Media Holdings Co. Ltd. 14,100 38
*,^ CrucialTec Co. Ltd. 14,707 37
  Youngone Holdings Co. Ltd. 745 37
  Korea Kolmar Holdings Co. Ltd. 919 37
  Dongwon F&B Co. Ltd. 196 36
  Eusu Holdings Co. Ltd. 6,136 36
  Hyundai Livart Furniture Co. Ltd. 1,592 34
  Kyobo Securities Co. Ltd. 4,032 33
  Humedix Co. Ltd. 1,026 32
  KISCO Corp. 937 32
  Muhak Co. Ltd. 1,944 32
* S&T Dynamics Co. Ltd. 4,215 32
  Hancom Inc. 2,196 31
*,^ G-SMATT GLOBAL Co. Ltd. 2,714 31
* Hansol Technics Co. Ltd. 1,961 31
^ Cuckoo Electronics Co. Ltd. 223 30
*,^ Taewoong Co. Ltd. 1,783 28
^ TK Corp. 3,025 27
  Huons Global Co. Ltd. 708 27
^ KH Vatec Co. Ltd. 2,613 27
* SFA Semicon Co. Ltd. 11,646 26
  Chongkundang Holdings Corp. 389 24
  Sungwoo Hitech Co. Ltd. 3,981 24
^ Daewoo Shipbuilding & Marine Engineering Co. Ltd. 1,448 24
  Kolao Holdings 5,310 24
  GOLFZON Co. Ltd. 566 23
*,^ Cellumed Co. Ltd. 3,487 23
* Hanjin Heavy Industries & Construction Co. Ltd. 6,504 22
  DY Corp. 3,238 22
* APS Holdings Corp. 2,307 21
*,^ Agabang&Company 3,825 20
^ Sung Kwang Bend Co. Ltd. 2,178 19
  Hyundai Corp. 941 19
* Lumens Co. Ltd. 5,290 17
* Samsung Pharmaceutical Co. Ltd. 5,105 16
^ Jeil Pharma Holdings Inc. 404 14
* Hyundai Construction Equipment Co. Ltd. Rights Exp. 11/07/2017 145 13
* Able C&C Co. Ltd. Rights Exp. 11/09/2017 2,021 12
* Hyundai Electric & Energy System Co. Ltd. Rights 150 7
  Seoyon Co. Ltd. 864 6
* Dongbu Securities Co. Ltd. 1,113 3
* Crown Confectionery Co. Ltd. 168 3
  KT Corp. ADR 25
*,3 Shenglong PV-Tech Investment Co. Ltd. 1,034,191
*,3 BGF retail Co. Ltd. 1,802
*,3 KC Tech Co. Ltd. 2,941
*,3 CNK International Co. Ltd. 78
      247,441
Spain (1.1%)    
  Banco Santander SA 3,893,160 26,393
  Banco Bilbao Vizcaya Argentaria SA 1,817,623 15,894
  Telefonica SA 1,199,684 12,579
  Iberdrola SA 1,514,558 12,239
  Industria de Diseno Textil SA 287,623 10,751
  Amadeus IT Group SA 112,757 7,651
* Repsol SA 317,850 5,956
  CaixaBank SA 985,811 4,612
  Grifols SA 125,837 3,938
  Abertis Infraestructuras SA 170,536 3,689
2 Aena SME SA 17,731 3,253

 

76


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Banco de Sabadell SA 1,541,948 3,087
* Ferrovial SA 131,363 2,853
  Banco Santander SA ADR 405,151 2,731
* ACS Actividades de Construccion y Servicios SA 65,638 2,587
  Red Electrica Corp. SA 115,349 2,554
  Endesa SA 84,777 1,940
  Gas Natural SDG SA 82,663 1,769
  Enagas SA 60,726 1,749
  Bankinter SA 183,491 1,732
* Bankia SA 323,275 1,543
  Merlin Properties Socimi SA 97,934 1,293
2 Cellnex Telecom SA 42,659 1,059
  Siemens Gamesa Renewable Energy SA 59,636 865
  Mapfre SA 264,284 864
  Distribuidora Internacional de Alimentacion SA 163,811 801
  Bolsas y Mercados Espanoles SHMSF SA 21,845 750
  Inmobiliaria Colonial Socimi SA 67,220 640
  Viscofan SA 10,241 620
  Mediaset Espana Comunicacion SA 52,714 573
  Acciona SA 6,185 512
  Zardoya Otis SA 46,341 502
  Ebro Foods SA 20,594 495
  Acerinox SA 33,954 488
  Prosegur Cia de Seguridad SA 63,100 482
  Cia de Distribucion Integral Logista Holdings SA 20,103 471
  NH Hotel Group SA 73,365 464
  Grifols SA Preference Shares 18,721 440
  Grupo Catalana Occidente SA 10,331 435
* Indra Sistemas SA 30,159 433
  Applus Services SA 30,183 422
  Hispania Activos Inmobiliarios SOCIMI SA 23,661 408
*,2 Neinor Homes SA 18,580 383
  Melia Hotels International SA 25,911 354
*,2 Prosegur Cash SA 100,619 328
  Axiare Patrimonio SOCIMI SA 16,772 315
  CIE Automotive SA 10,155 302
  Corp Financiera Alba SA 4,718 276
* Fomento de Construcciones y Contratas SA 23,977 254
2 Euskaltel SA 29,552 237
^ Tecnicas Reunidas SA 7,101 229
  Faes Farma SA 63,889 217
* Sacyr SA 77,444 199
  Atresmedia Corp. de Medios de Comunicacion SA 18,821 193
  Ence Energia y Celulosa SA 32,440 188
* Obrascon Huarte Lain SA 33,048 185
  Construcciones y Auxiliar de Ferrocarriles SA 4,390 181
* Pharma Mar SA 40,605 155
  Almirall SA 14,904 144
  Papeles y Cartones de Europa SA 11,846 123
* Codere SA 245,376 109
* Ferrovial SA Rights 131,363 63
*,^ Promotora de Informaciones SA 7,163 25
* Liberbank SA 40,147 19
* Liberbank SA Rights Exp. 11/10/2017 40,147 15
* Papeles y Cartones de Europa SA Rights 11,846 5
*,3 Let's GOWEX SA 3,921
      147,016
Sweden (1.1%)    
  Nordea Bank AB 863,217 10,432
  Volvo AB Class B 425,462 8,427
  Swedbank AB Class A 286,819 7,118
  Hennes & Mauritz AB Class B 258,902 6,497
  Investor AB Class B 123,666 6,127
  Atlas Copco AB Class A 136,575 5,989

 

77


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Svenska Handelsbanken AB Class A 409,429 5,868
^ Atlas Copco AB Class B 139,869 5,553
  Assa Abloy AB Class B 257,824 5,436
  Sandvik AB 296,074 5,404
  Telefonaktiebolaget LM Ericsson Class B 819,620 5,158
  Skandinaviska Enskilda Banken AB Class A 397,628 4,900
* Essity AB Class B 162,619 4,861
  Hexagon AB Class B 68,694 3,522
^ Telia Co. AB 720,479 3,335
  Boliden AB 75,672 2,648
  SKF AB 101,507 2,359
  Skanska AB Class B 98,391 2,158
  Alfa Laval AB 85,105 2,155
  Electrolux AB Class B 59,248 2,094
  Kinnevik AB 62,012 2,034
  Swedish Match AB 48,495 1,827
  Trelleborg AB Class B 64,971 1,609
  Svenska Cellulosa AB SCA Class B 161,654 1,518
  Securitas AB Class B 85,858 1,506
  Industrivarden AB Class A 54,822 1,487
  Getinge AB 61,803 1,216
  Tele2 AB 93,060 1,184
  Industrivarden AB 45,520 1,170
^ Castellum AB 72,094 1,157
* Lundin Petroleum AB 44,622 1,050
  Nibe Industrier AB Class B 99,710 997
  Husqvarna AB 96,126 939
  Elekta AB Class B 96,373 927
  BillerudKorsnas AB 52,366 901
  Fabege AB 37,461 791
^ ICA Gruppen AB 20,843 769
  L E Lundbergforetagen AB Class B 9,847 769
  Loomis AB Class B 18,858 757
* Fastighets AB Balder Class B 28,952 754
^ Intrum Justitia AB 20,385 714
  Hexpol AB 70,176 710
* SSAB AB Class B 175,656 708
  Indutrade AB 24,742 686
  Com Hem Holding AB 45,266 680
2 Dometic Group AB 74,054 644
  AAK AB 7,941 642
  Holmen AB 12,333 606
*,2 Ahlsell AB 91,508 606
* Swedish Orphan Biovitrum AB 39,826 590
  Peab AB 59,143 574
2 Thule Group AB 25,341 567
  Wihlborgs Fastigheter AB 23,665 562
  NCC AB Class B 24,919 538
  Saab AB Class B 10,439 533
  Modern Times Group MTG AB Class B 13,486 514
  Axfood AB 27,828 503
  Wallenstam AB 49,435 462
  JM AB 17,389 459
  Lifco AB Class B 11,674 418
  Hufvudstaden AB Class A 25,221 415
* NetEnt AB 51,187 406
* Investment AB Latour Class B 27,184 378
  AF AB 17,778 366
  Sweco AB Class B 16,941 362
2 Bravida Holding AB 52,533 359
  Bonava AB Class B 24,050 350
  Kungsleden AB 48,400 345
* Betsson AB 43,587 342
2 Attendo AB 27,393 322

 

78


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Vitrolife AB 3,878 310
  Hemfosa Fastigheter AB 23,704 288
  Pandox AB 14,129 257
^ Mycronic AB 21,331 253
  Oriflame Holding AG 6,960 251
2 Scandic Hotels Group AB 19,107 246
  Nobia AB 27,851 228
*,^ SAS AB 72,872 225
  Cloetta AB Class B 65,209 220
  Hemfosa Fastigheter AB Preference Shares 10,228 220
  Avanza Bank Holding AB 5,824 219
  Klovern AB 153,834 207
  Clas Ohlson AB 11,122 192
* SSAB AB Class A 38,727 190
  Ratos AB 36,738 176
  Klovern AB Preference Shares 4,687 174
  Investment AB Oresund 10,840 172
* Bilia AB 17,722 159
* Collector AB 14,330 151
  Atrium Ljungberg AB 8,932 148
  Melker Schorling AB 2,096 145
  Concentric AB 8,391 141
*,^ Fingerprint Cards AB Class B 56,047 139
  Lindab International AB 16,386 135
  Bure Equity AB 10,810 134
2 Resurs Holding AB 19,200 133
* Haldex AB 11,512 128
  Mekonomen AB 5,851 118
  SkiStar AB 4,733 103
  Rezidor Hotel Group AB 19,442 70
  SAS AB Preference Shares 698 45
  NCC AB Class A 1,486 32
  Bonava AB 1,921 28
  Sagax AB 2,796 10
  Svenska Handelsbanken AB Class B 76 1
      144,412
Switzerland (2.6%)    
  Nestle SA 840,925 70,754
  Novartis AG 638,422 52,657
  Roche Holding AG 185,394 42,850
  UBS Group AG 941,275 16,014
  ABB Ltd. 526,961 13,762
  Cie Financiere Richemont SA 139,225 12,835
  Zurich Insurance Group AG 40,739 12,432
  Credit Suisse Group AG 696,609 10,978
  Swiss Re AG 84,617 7,963
  Givaudan SA 2,546 5,686
  LafargeHolcim Ltd. 97,225 5,490
  Lonza Group AG 20,382 5,415
  Geberit AG 10,192 4,614
  Sika AG 582 4,308
  Swatch Group AG (Bearer) 10,822 4,242
  Adecco Group AG 46,672 3,703
  Julius Baer Group Ltd. 60,323 3,568
  SGS SA 1,395 3,445
  Swiss Life Holding AG 9,058 3,148
  Swisscom AG 5,985 3,024
  Partners Group Holding AG 4,418 2,971
  Sonova Holding AG 13,565 2,449
  Kuehne & Nagel International AG 13,614 2,379
  Roche Holding AG (Bearer) 10,028 2,330
  Schindler Holding AG 10,106 2,290
  Baloise Holding AG 12,350 1,947
  LafargeHolcim Ltd. (Paris Shares) 34,256 1,931

 

79


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Chocoladefabriken Lindt & Sprungli AG Registered Shares 27 1,874
  Straumann Holding AG 2,656 1,854
  Clariant AG 73,376 1,846
  Temenos Group AG 15,736 1,817
* Vifor Pharma AG 13,518 1,739
  Swiss Prime Site AG 20,238 1,728
  Chocoladefabriken Lindt & Sprungli AG Participation Certificates 282 1,632
* Actelion Ltd. 5,536 1,547
  Schindler Holding AG (Registered) 6,712 1,482
  ams AG 14,922 1,361
* Dufry AG 9,029 1,344
  Georg Fischer AG 1,077 1,327
  Logitech International SA 35,908 1,284
  EMS-Chemie Holding AG 1,896 1,243
  Flughafen Zurich AG 5,066 1,102
*,^ Transocean Ltd. 103,601 1,088
  PSP Swiss Property AG 10,505 925
^ BB Biotech AG 13,803 882
  Helvetia Holding AG 1,618 870
2 VAT Group AG 6,283 818
  Barry Callebaut AG 510 797
  OC Oerlikon Corp. AG 49,015 786
  dormakaba Holding AG 754 746
  Tecan Group AG 3,272 692
2 Sunrise Communications Group AG 8,258 687
  GAM Holding AG 44,025 686
  Bucher Industries AG 1,714 671
  Aryzta AG 20,839 662
  Allreal Holding AG 3,822 639
  Cembra Money Bank AG 7,063 633
  Pargesa Holding SA 7,549 632
  DKSH Holding AG 7,003 587
  Belimo Holding AG 125 536
  Banque Cantonale Vaudoise 730 525
  SFS Group AG 4,231 502
* Idorsia Ltd. 24,683 486
^ Panalpina Welttransport Holding AG 3,534 486
  Forbo Holding AG 282 426
  Sulzer AG 3,315 425
  Mobimo Holding AG 1,642 415
  u-blox Holding AG 2,049 402
  Valiant Holding AG 3,655 376
  Vontobel Holding AG 6,024 375
  COSMO Pharmaceuticals NV 2,263 328
  Inficon Holding AG 508 316
  Schweiter Technologies AG 253 310
  Bobst Group SA 2,817 301
  Emmi AG 462 288
  Daetwyler Holding AG 1,664 279
^ Burckhardt Compression Holding AG 924 275
  St. Galler Kantonalbank AG 608 274
  Komax Holding AG 937 268
  Valora Holding AG 810 260
  Huber & Suhner AG 4,778 259
  Autoneum Holding AG 940 254
  Conzzeta AG 253 249
  Siegfried Holding AG 782 245
  Implenia AG 3,487 220
^ Ypsomed Holding AG 1,264 220
*,^ Meyer Burger Technology AG 114,777 214
* Arbonia AG 11,977 210
  Rieter Holding AG 883 206
  VZ Holding AG 578 200
* Basilea Pharmaceutica AG 2,299 187

 

80


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Ascom Holding AG 8,010 183
  Interroll Holding AG 121 173
  BKW AG 2,930 171
  Bachem Holding AG 1,300 164
  Intershop Holding AG 331 163
  Bossard Holding AG 682 161
  Vetropack Holding AG 78 148
  EFG International AG 15,830 145
  Zehnder Group AG 3,869 142
  APG SGA SA 321 130
  LEM Holding SA 98 128
* Schmolz & Bickenbach AG 129,951 120
  Bell Food Group AG 270 117
*,^ Leonteq AG 1,507 95
  Swissquote Group Holding SA 2,287 79
  ALSO Holding AG 582 79
  Kudelski SA 6,259 77
  Plazza AG 223 52
* Alpiq Holding AG 434 28
* Transocean Ltd. (Switzerland Shares) 1,000 10
      351,848
Taiwan (1.5%)    
  Taiwan Semiconductor Manufacturing Co. Ltd. ADR 842,452 35,661
  Taiwan Semiconductor Manufacturing Co. Ltd. 2,148,000 17,365
  Hon Hai Precision Industry Co. Ltd. 4,053,151 15,065
  Largan Precision Co. Ltd. 28,020 5,311
  MediaTek Inc. 393,086 4,473
  Formosa Plastics Corp. 1,296,873 3,953
  Nan Ya Plastics Corp. 1,526,423 3,767
  Cathay Financial Holding Co. Ltd. 2,080,549 3,438
  Chunghwa Telecom Co. Ltd. ADR 96,570 3,285
  CTBC Financial Holding Co. Ltd. 4,981,715 3,190
  Fubon Financial Holding Co. Ltd. 1,981,880 3,159
  Formosa Chemicals & Fibre Corp. 939,283 2,854
  Delta Electronics Inc. 588,471 2,832
  China Steel Corp. 3,302,390 2,689
  Uni-President Enterprises Corp. 1,281,992 2,679
  Mega Financial Holding Co. Ltd. 2,903,769 2,283
  Catcher Technology Co. Ltd. 193,310 2,057
  Advanced Semiconductor Engineering Inc. 1,624,273 1,964
  First Financial Holding Co. Ltd. 2,568,939 1,657
  Quanta Computer Inc. 695,450 1,638
  Asustek Computer Inc. 187,169 1,621
  E.Sun Financial Holding Co. Ltd. 2,578,457 1,569
  Taiwan Mobile Co. Ltd. 425,800 1,518
  Yuanta Financial Holding Co. Ltd. 3,334,965 1,483
  President Chain Store Corp. 152,137 1,368
  Pegatron Corp. 526,954 1,365
  Hotai Motor Co. Ltd. 113,000 1,312
  United Microelectronics Corp. 2,492,180 1,286
  Formosa Petrochemical Corp. 364,140 1,275
  Taiwan Cooperative Financial Holding Co. Ltd. 2,340,288 1,265
  Hua Nan Financial Holdings Co. Ltd. 2,189,579 1,198
  China Development Financial Holding Corp. 3,708,580 1,137
  Taishin Financial Holding Co. Ltd. 2,528,535 1,107
  Innolux Corp. 2,332,885 1,023
  Far EasTone Telecommunications Co. Ltd. 426,000 1,000
  Cheng Shin Rubber Industry Co. Ltd. 487,379 962
  Taiwan Cement Corp. 852,210 947
  Far Eastern New Century Corp. 1,052,279 902
  Win Semiconductors Corp. 107,151 878
  Foxconn Technology Co. Ltd. 273,514 872
* Macronix International 467,000 854
  Chang Hwa Commercial Bank Ltd. 1,565,711 849

 

81


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
SinoPac Financial Holdings Co. Ltd. 2,737,193 840
China Life Insurance Co. Ltd. 878,542 831
Pou Chen Corp. 650,524 820
Lite-On Technology Corp. 524,988 741
Compal Electronics Inc. 998,323 735
Airtac International Group 42,884 695
Yageo Corp. 86,891 690
Chailease Holding Co. Ltd. 266,892 688
Advantech Co. Ltd. 99,266 678
Shin Kong Financial Holding Co. Ltd. 2,073,612 663
Hiwin Technologies Corp. 65,940 662
Globalwafers Co. Ltd. 53,000 615
Inventec Corp. 790,554 614
Eclat Textile Co. Ltd. 51,166 612
Wistron Corp. 717,091 599
Winbond Electronics Corp. 657,000 570
^ AU Optronics Corp. ADR 137,718 566
WPG Holdings Ltd. 408,000 559
Asia Cement Corp. 618,264 552
Powertech Technology Inc. 176,000 551
Novatek Microelectronics Corp. 146,025 541
Vanguard International Semiconductor Corp. 278,000 528
Chroma ATE Inc. 107,000 522
Nanya Technology Corp. 191,324 520
Tripod Technology Corp. 136,000 501
General Interface Solution Holding Ltd. 54,000 496
Teco Electric and Machinery Co. Ltd. 527,000 492
Accton Technology Corp. 148,000 477
Siliconware Precision Industries Co. Ltd. 300,655 477
Synnex Technology International Corp. 359,498 456
* Taiwan High Speed Rail Corp. 556,000 444
Phison Electronics Corp. 37,000 440
* HTC Corp. 192,491 432
Realtek Semiconductor Corp. 114,420 431
Sino-American Silicon Products Inc. 154,000 430
* Epistar Corp. 264,044 428
United Microelectronics Corp. ADR 164,278 427
Nien Made Enterprise Co. Ltd. 39,000 406
Feng TAY Enterprise Co. Ltd. 87,235 394
Walsin Technology Corp. 150,968 390
Chicony Electronics Co. Ltd. 154,459 387
Siliconware Precision Industries Co. Ltd. ADR 48,641 383
Eva Airways Corp. 767,014 378
* TaiMed Biologics Inc. 52,000 377
Walsin Lihwa Corp. 733,000 375
Micro-Star International Co. Ltd. 151,000 369
Compeq Manufacturing Co. Ltd. 306,000 360
Giant Manufacturing Co. Ltd. 69,881 359
E Ink Holdings Inc. 254,000 355
Acer Inc. 665,551 344
Bizlink Holding Inc. 32,933 330
Chipbond Technology Corp. 167,000 326
Qisda Corp. 433,000 316
Zhen Ding Technology Holding Ltd. 125,700 315
AU Optronics Corp. 756,000 310
Long Chen Paper Co. Ltd. 209,564 309
Merry Electronics Co. Ltd. 39,850 305
Silergy Corp. 14,000 302
China Synthetic Rubber Corp. 215,365 300
Taiwan Business Bank 1,075,836 297
Elite Material Co. Ltd. 74,000 295
* Ruentex Development Co. Ltd. 274,987 282
Merida Industry Co. Ltd. 60,400 282
* Tatung Co. Ltd. 610,000 282

 

82


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
FLEXium Interconnect Inc. 73,154 280
* China Airlines Ltd. 686,000 280
CTCI Corp. 179,000 277
Parade Technologies Ltd. 17,000 277
Standard Foods Corp. 111,400 276
Poya International Co. Ltd. 21,450 275
* China Petrochemical Development Corp. 606,350 271
St. Shine Optical Co. Ltd. 11,000 269
Highwealth Construction Corp. 199,540 267
King's Town Bank Co. Ltd. 244,000 267
King Yuan Electronics Co. Ltd. 246,000 261
LCY Chemical Corp. 190,000 260
Radiant Opto-Electronics Corp. 116,314 259
Taiwan Fertilizer Co. Ltd. 195,000 255
TSRC Corp. 220,925 253
Nan Kang Rubber Tire Co. Ltd. 268,493 243
Asia Optical Co. Inc. 59,000 241
Tong Yang Industry Co. Ltd. 115,000 240
Kenda Rubber Industrial Co. Ltd. 180,413 239
Taiwan Secom Co. Ltd. 80,675 238
* PharmaEssentia Corp. 50,000 236
TCI Co. Ltd. 34,521 235
China Motor Corp. 262,000 235
* TPK Holding Co. Ltd. 70,958 234
Elite Semiconductor Memory Technology Inc. 142,000 234
Ruentex Industries Ltd. 146,268 234
eMemory Technology Inc. 19,000 233
Chunghwa Telecom Co. Ltd. 67,000 229
Hota Industrial Manufacturing Co. Ltd. 48,936 229
Taiwan PCB Techvest Co. Ltd. 204,000 223
Chin-Poon Industrial Co. Ltd. 105,000 219
Primax Electronics Ltd. 84,000 218
* Evergreen Marine Corp. Taiwan Ltd. 362,940 217
TA Chen Stainless Pipe 338,753 215
* Asia Pacific Telecom Co. Ltd. 646,152 214
Formosa Taffeta Co. Ltd. 208,000 213
Waterland Financial Holdings Co. Ltd. 695,109 211
ASPEED Technology Inc. 9,000 208
Masterlink Securities Corp. 743,013 208
Greatek Electronics Inc. 112,000 207
Taiwan Paiho Ltd. 50,000 207
Simplo Technology Co. Ltd. 35,640 205
Yulon Motor Co. Ltd. 244,000 204
Oriental Union Chemical Corp. 236,000 203
Yungtay Engineering Co. Ltd. 101,000 201
* Genius Electronic Optical Co. Ltd. 17,714 200
Land Mark Optoelectronics Corp. 15,600 199
Advanced Ceramic X Corp. 18,000 198
HannStar Display Corp. 508,265 197
Taichung Commercial Bank Co. Ltd. 608,322 195
Grand Pacific Petrochemical 257,000 195
Flytech Technology Co. Ltd. 68,853 194
Gigabyte Technology Co. Ltd. 124,000 192
Taiwan Hon Chuan Enterprise Co. Ltd. 105,772 191
Eternal Materials Co. Ltd. 187,859 190
Clevo Co. 182,628 188
* Wafer Works Corp. 149,000 186
* Taiwan Glass Industry Corp. 357,842 185
Voltronic Power Technology Corp. 9,615 181
Taiwan Acceptance Corp. 50,000 179
Great Wall Enterprise Co. Ltd. 157,100 179
* Mercuries Life Insurance Co. Ltd. 337,417 178
* OBI Pharma Inc. 31,000 177
* Lealea Enterprise Co. Ltd. 470,000 176

 

83


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Lien Hwa Industrial Corp. 165,074 175
Evergreen International Storage & Transport Corp. 377,000 175
TTY Biopharm Co. Ltd. 56,541 175
King Slide Works Co. Ltd. 13,000 174
UPC Technology Corp. 309,550 172
ITEQ Corp. 82,000 172
Firich Enterprises Co. Ltd. 104,012 168
Getac Technology Corp. 120,000 168
Asia Polymer Corp. 267,800 167
Feng Hsin Steel Co. Ltd. 96,000 166
* Ho Tung Chemical Corp. 547,141 165
Far Eastern Department Stores Ltd. 335,115 165
Ennoconn Corp. 11,556 165
Cub Elecparts Inc. 16,387 162
Wistron NeWeb Corp. 56,275 162
Makalot Industrial Co. Ltd. 34,712 161
Global Unichip Corp. 16,000 160
United Integrated Services Co. Ltd. 89,000 159
Charoen Pokphand Enterprise 75,000 158
Casetek Holdings Ltd. 42,000 157
Kinsus Interconnect Technology Corp. 62,000 156
Transcend Information Inc. 55,000 156
Gourmet Master Co. Ltd. 13,585 156
Cleanaway Co. Ltd. 27,000 155
Tainan Spinning Co. Ltd. 345,543 155
Capital Securities Corp. 446,000 155
Far Eastern International Bank 495,703 154
Unimicron Technology Corp. 269,000 154
Mitac Holdings Corp. 122,667 153
Prince Housing & Development Corp. 412,050 152
Taiwan Union Technology Corp. 59,000 151
Syncmold Enterprise Corp. 65,000 151
Chong Hong Construction Co. Ltd. 61,152 150
Lingsen Precision Industries Ltd. 278,000 149
Global Brands Manufacture Ltd. 321,000 148
Sinbon Electronics Co. Ltd. 51,499 147
ScinoPharm Taiwan Ltd. 133,245 147
China General Plastics Corp. 156,560 147
Huaku Development Co. Ltd. 65,000 146
Chunghwa Precision Test Tech Co. Ltd. 4,000 145
Visual Photonics Epitaxy Co. Ltd. 65,250 145
U-Ming Marine Transport Corp. 121,000 144
Pan Jit International Inc. 142,000 142
Tung Ho Steel Enterprise Corp. 176,000 142
WT Microelectronics Co. Ltd. 88,549 140
Holtek Semiconductor Inc. 60,000 139
Career Technology MFG. Co. Ltd. 119,000 139
Globe Union Industrial Corp. 205,000 137
Sanyang Motor Co. Ltd. 188,000 136
A-DATA Technology Co. Ltd. 46,190 135
Hu Lane Associate Inc. 23,000 131
Dynapack International Technology Corp. 77,000 131
PChome Online Inc. 22,587 131
Federal Corp. 276,612 130
Namchow Holdings Co. Ltd. 64,000 129
Taiwan Styrene Monomer 190,450 129
Coretronic Corp. 107,400 129
BES Engineering Corp. 560,000 128
Tong Hsing Electronic Industries Ltd. 30,000 128
* Foxsemicon Integrated Technology Inc. 18,000 128
Shinkong Synthetic Fibers Corp. 396,000 128
* China Man-Made Fiber Corp. 437,950 128
Elan Microelectronics Corp. 82,000 126
Adlink Technology Inc. 55,168 126

 

84


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Sercomm Corp. 44,000 126
China Steel Chemical Corp. 31,000 124
Everlight Electronics Co. Ltd. 81,000 124
Rechi Precision Co. Ltd. 120,000 123
Taiwan Cogeneration Corp. 155,000 121
Grape King Bio Ltd. 21,000 121
Depo Auto Parts Ind Co. Ltd. 45,000 120
China Chemical & Pharmaceutical Co. Ltd. 202,000 120
Pixart Imaging Inc. 27,000 120
Yung Chi Paint & Varnish Manufacturing Co. Ltd. 45,000 119
momo.com Inc. 16,000 118
Chun Yuan Steel 315,000 118
Cheng Uei Precision Industry Co. Ltd. 70,000 114
* Chilisin Electronics Corp. 33,000 113
Elite Advanced Laser Corp. 27,648 112
* YFY Inc. 287,000 112
Yieh Phui Enterprise Co. Ltd. 290,440 111
* Gintech Energy Corp. 216,573 110
Pharmally International Holding Co. Ltd. 7,000 108
Cheng Loong Corp. 185,000 108
YungShin Global Holding Corp. 81,400 108
USI Corp. 218,280 108
Mercuries & Associates Holding Ltd. 133,268 108
Sinyi Realty Inc. 91,387 106
Hung Sheng Construction Ltd. 134,000 106
Wowprime Corp. 20,665 104
Sunplus Technology Co. Ltd. 171,000 103
* Wei Chuan Foods Corp. 152,000 102
Taiwan Semiconductor Co. Ltd. 41,000 101
* President Securities Corp. 212,549 101
* Egis Technology Inc. 13,000 97
* Unitech Printed Circuit Board Corp. 206,000 97
Supreme Electronics Co. Ltd. 90,000 97
Hong Pu Real Estate Development Co. Ltd. 144,000 97
PharmaEngine Inc. 17,037 96
* King's Town Construction Co. Ltd. 126,000 95
* Goldsun Building Materials Co. Ltd. 315,000 94
Kinik Co. 36,000 94
Kindom Construction Corp. 147,000 94
Xxentria Technology Materials Corp. 44,000 93
China Metal Products 101,000 93
Taiwan TEA Corp. 174,000 93
Lung Yen Life Service Corp. 38,000 92
Advanced Wireless Semiconductor Co. 46,000 92
* Yang Ming Marine Transport Corp. 223,831 92
Bank of Kaohsiung Co. Ltd. 294,085 90
Aten International Co. Ltd. 35,000 90
Tyntek Corp. 194,000 90
Kinpo Electronics 254,000 88
* Center Laboratories Inc. 54,883 88
FocalTech Systems Co. Ltd. 80,923 87
Lotes Co. Ltd. 14,000 86
* Dynamic Electronics Co. Ltd. 222,000 86
Formosa International Hotels Corp. 17,058 86
* Ritek Corp. 515,147 86
Asia Vital Components Co. Ltd. 90,000 85
Wan Hai Lines Ltd. 141,000 85
* CMC Magnetics Corp. 575,021 85
Sporton International Inc. 16,636 84
Senao International Co. Ltd. 49,000 84
IEI Integration Corp. 60,380 84
* Phihong Technology Co. Ltd. 193,000 83
Advanced Semiconductor Engineering Inc. ADR 13,400 83
Gemtek Technology Corp. 102,000 82

 

85


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Sunny Friend Environmental Technology Co. Ltd. 13,000 82
* Taiwan Land Development Corp. 243,731 82
L&K Engineering Co. Ltd. 65,000 81
Nan Ya Printed Circuit Board Corp. 89,000 81
* Microbio Co. Ltd. 116,000 80
Yulon Nissan Motor Co. Ltd. 10,000 80
Darwin Precisions Corp. 73,000 79
AmTRAN Technology Co. Ltd. 154,000 79
Tung Thih Electronic Co. Ltd. 12,000 78
* Shining Building Business Co. Ltd. 224,343 78
Quanta Storage Inc. 59,000 77
Farglory Land Development Co. Ltd. 70,000 76
Sitronix Technology Corp. 27,000 76
Sigurd Microelectronics Corp. 87,000 76
China Bills Finance Corp. 150,000 75
* Silicon Integrated Systems Corp. 249,000 75
Wisdom Marine Lines Co. Ltd. 83,706 75
* AGV Products Corp. 299,440 75
OptoTech Corp. 107,427 74
Tong-Tai Machine & Tool Co. Ltd. 108,560 74
TXC Corp. 55,000 74
Rich Development Co. Ltd. 236,000 73
Cathay Real Estate Development Co. Ltd. 130,200 73
Test Research Inc. 51,000 71
Systex Corp. 36,000 71
* Etron Technology Inc. 127,000 71
Run Long Construction Co. Ltd. 57,000 70
D-Link Corp. 184,212 69
* Radium Life Tech Co. Ltd. 152,393 68
Advanced International Multitech Co. Ltd. 55,000 68
Pan-International Industrial Corp. 80,000 68
Kung Long Batteries Industrial Co. Ltd. 14,000 68
Darfon Electronics Corp. 77,000 68
Taiyen Biotech Co. Ltd. 72,000 67
Posiflex Technology Inc. 15,169 67
Sincere Navigation Corp. 93,000 67
* Motech Industries Inc. 85,447 67
Chaun-Choung Technology Corp. 20,000 67
Wah Lee Industrial Corp. 38,000 67
* ALI Corp. 105,000 67
Hsin Kuang Steel Co. Ltd. 66,000 66
Taiflex Scientific Co. Ltd. 40,800 65
FSP Technology Inc. 84,000 65
* Chimei Materials Technology Corp. 143,000 65
* HannsTouch Solution Inc. 186,000 65
International Games System Co. Ltd. 12,000 63
Ginko International Co. Ltd. 9,000 63
Sheng Yu Steel Co. Ltd. 56,000 62
Ardentec Corp. 64,903 62
Topco Scientific Co. Ltd. 24,203 61
Everlight Chemical Industrial Corp. 97,240 61
TYC Brother Industrial Co. Ltd. 53,000 61
Holy Stone Enterprise Co. Ltd. 32,200 60
Altek Corp. 61,600 60
Long Bon International Co. Ltd. 127,000 59
Gigasolar Materials Corp. 6,400 58
* Solartech Energy Corp. 110,000 57
YC INOX Co. Ltd. 67,000 57
* Elitegroup Computer Systems Co. Ltd. 73,000 57
Huang Hsiang Construction Corp. 55,000 57
Swancor Holding Co. Ltd. 22,000 55
Nien Hsing Textile Co. Ltd. 54,945 55
Chung Hwa Pulp Corp. 152,421 54
* Orient Semiconductor Electronics Ltd. 176,000 54

 

86


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Taigen Biopharmaceuticals Holdings Ltd. 77,872 53
  Weltrend Semiconductor 52,000 53
  Shin Zu Shing Co. Ltd. 19,000 53
* CSBC Corp. Taiwan 122,000 52
  Formosan Rubber Group Inc. 100,890 50
* TWi Pharmaceuticals Inc. 23,000 49
  Gloria Material Technology Corp. 74,000 49
  Jess-Link Products Co. Ltd. 42,750 48
  Ability Enterprise Co. Ltd. 69,000 48
  Sonix Technology Co. Ltd. 39,000 48
  Lite-On Semiconductor Corp. 38,000 48
  Iron Force Industrial Co. Ltd. 11,000 47
  Nan Liu Enterprise Co. Ltd. 9,000 47
  Sunrex Technology Corp. 79,800 47
  Infortrend Technology Inc. 100,000 46
  KEE TAI Properties Co. Ltd. 131,000 46
  Test Rite International Co. Ltd. 60,000 46
* Lextar Electronics Corp. 74,000 45
  Basso Industry Corp. 16,200 45
  ITE Technology Inc. 37,000 44
* Concord Securities Co. Ltd. 157,000 44
  WUS Printed Circuit Co. Ltd. 69,700 44
  Unizyx Holding Corp. 91,000 43
  Zinwell Corp. 43,000 43
  Alpha Networks Inc. 55,000 43
  Tsann Kuen Enterprise Co. Ltd. 55,000 42
  Li Cheng Enterprise Co. Ltd. 23,064 42
  Sampo Corp. 90,000 41
  Jentech Precision Industrial Co. Ltd. 16,000 41
  Faraday Technology Corp. 25,800 40
  Ton Yi Industrial Corp. 86,000 39
  Brogent Technologies Inc. 4,389 38
  Zeng Hsing Industrial Co. Ltd. 9,000 38
  Toung Loong Textile Manufacturing 14,000 37
  Soft-World International Corp. 16,000 35
* GeoVision Inc. 24,776 35
* Gintech Energy Corp. 55,340 35
  Yeong Guan Energy Technology Group Co. Ltd. 15,000 35
  Universal Cement Corp. 43,124 33
* Ta Ya Electric Wire & Cable 107,000 33
  AcBel Polytech Inc. 43,000 33
  Chlitina Holding Ltd. 8,400 30
  CHC Healthcare Group 24,268 30
  ACES Electronic Co. Ltd. 33,000 30
* E-Ton Solar Tech Co. Ltd. 90,000 29
  ENG Electric Co. Ltd. 71,039 29
  CyberTAN Technology Inc. 44,000 27
* Ichia Technologies Inc. 49,000 27
  Chung-Hsin Electric & Machinery Manufacturing Corp. 37,000 26
  Taiwan Surface Mounting Technology Corp. 26,250 25
  Cyberlink Corp. 11,000 24
  Johnson Health Tech Co. Ltd. 21,105 23
  Green Seal Holding Ltd. 9,680 23
* Kuo Toong International Co. Ltd. 37,643 23
*,3 Pihsiang Machinery Manufacturing Co. Ltd. 38,000 22
* Gigastorage Corp. 34,000 22
* Li Peng Enterprise Co. Ltd. 75,600 22
  Global Mixed Mode Technology Inc. 9,000 21
3 MIN AIK Technology Co. Ltd. 18,400 20
* G Tech Optoelectronics Corp. 24,043 19
* Medigen Biotechnology Corp. 14,000 19
* Lotus Pharmaceutical Co. Ltd. 11,000 17
  Unity Opto Technology Co. Ltd. 38,000 15
  Taiwan Shin Kong Security Co. Ltd. 11,650 15

 

87


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Gold Circuit Electronics Ltd. 41,000 14
* China Electric Manufacturing Corp. 37,000 12
*,3 XPEC Entertainment Inc. 21,468 9
* Winbond Electronics Corp. Rights Exp. 12/11/2017 58,726 8
  San Shing Fastech Corp. 3,770 8
  Ambassador Hotel 6,000 5
* TA Chen Stainless Pipe Rights Exp. 12/11/2017 26,713 1
* Yang Ming Marine Transport Corp. Rights Exp. 11/17/2017 57,199 1
* CTBC Financial Holding Co. Ltd. Rights Exp. 12/15/2017 68,230
      212,583
Thailand (0.4%)    
* PTT PCL 333,963 4,225
^ Siam Cement PCL NVDR 162,800 2,401
^ Kasikornbank PCL 326,800 2,164
* CP ALL PCL (Local) 993,200 2,093
* Airports of Thailand PCL 1,147,150 2,057
* Siam Commercial Bank PCL (Local) 389,900 1,720
  Kasikornbank PCL (Foreign) 228,083 1,566
  Advanced Info Service PCL (Foreign) 243,300 1,424
* Bangkok Dusit Medical Services PCL (Local) 1,866,000 1,191
  Siam Cement PCL (Foreign) 68,300 1,007
  CP ALL PCL (Foreign) 422,200 890
  Thai Oil PCL (Foreign) 275,700 847
  PTT PCL (Foreign) 65,200 825
* Central Pattana PCL 331,200 793
  Central Pattana PCL (Foreign) 312,900 749
* Charoen Pokphand Foods PCL 892,800 698
* PTT Global Chemical PCL 286,100 689
  PTT Global Chemical PCL (Foreign) 281,815 679
* Minor International PCL 501,660 653
  Siam Commercial Bank PCL (Foreign) 143,000 631
  PTT Exploration & Production PCL (Foreign) 241,281 627
  Minor International PCL (Foreign) 467,423 608
* Indorama Ventures PCL 437,200 606
  Siam Commercial Bank PCL 133,800 590
* Banpu PCL (Local) 1,072,600 565
  Bangkok Bank PCL (Foreign) 89,698 543
* Energy Absolute PCL 394,100 513
  Land & Houses PCL NVDR 1,482,900 487
* True Corp. PCL 2,416,753 447
* Intouch Holdings PCL 251,800 440
  Intouch Holdings PCL NVDR 237,596 415
* Digital Telecommunications Infrastructure Fund 916,800 406
* Bangkok Expressway & Metro PCL (Local) 1,682,509 395
* KCE Electronics PCL 129,600 390
^ Bangkok Dusit Medical Services PCL (Foreign) 607,000 387
*,^ Total Access Communication PCL (Foreign) 241,300 387
* Ratchaburi Electricity Generating Holding PCL (Local) 225,600 379
  Krung Thai Bank PCL (Foreign) 687,175 377
* Bumrungrad Hospital PCL 55,300 366
  Krung Thai Bank PCL NVDR 633,000 347
* Srisawad Corp. PCL 160,541 336
* Home Product Center PCL (Local) 867,800 334
* BTS Group Holdings PCL 1,260,000 323
^ Thai Union Frozen Products PCL (Foreign) 574,380 316
* PTT Exploration and Production PCL (Local) 119,900 312
  Bangkok Bank PCL 53,100 308
* Muangthai Leasing PCL 251,300 297
* Tisco Financial Group PCL 111,400 294
  IRPC PCL (Foreign) 1,491,200 290
  Charoen Pokphand Foods PCL (Foreign) 367,500 287
* Electricity Generating PCL 40,600 281
  Tesco Lotus Retail Growth Freehold & Leasehold Property Fund 537,500 280
* IRPC PCL 1,439,200 279

 

88


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  TMB Bank PCL (Foreign) 3,532,900 274
* Bangchak Corp. PCL 217,100 273
* Advanced Info Service PCL (Local) 45,900 269
  Home Product Center PCL (Foreign) 677,598 261
  Electricity Generating PCL (Foreign) 37,200 258
*,2 Star Petroleum Refining PCL 484,700 254
* Bangkok Chain Hospital PCL 511,100 254
* Robinson PCL 112,700 252
* CH Karnchang PCL 302,700 248
* Carabao Group PCL 77,400 246
* Hana Microelectronics PCL 163,000 239
* Berli Jucker PCL (Local) 147,800 238
* Glow Energy PCL 87,500 237
* BTS Rail Mass Transit Growth Infrastructure Fund 661,200 235
* TMB Bank PCL 2,997,500 233
^ Delta Electronics Thailand PCL (Foreign) 89,700 232
^ Siam City Cement PCL (Foreign) 27,307 229
* Chularat Hospital PCL 2,926,280 229
* Central Plaza Hotel PCL 162,200 223
  Tisco Financial Group PCL NVDR 83,500 221
  Berli Jucker PCL (Foreign) 134,484 217
  Bumrungrad Hospital PCL (Foreign) 30,900 205
* Jasmine Broadband Internet Infrastructure Fund 559,400 202
* Kiatnakin Bank PCL (Local) 88,100 201
* Workpoint Entertainment PCL 67,400 199
* Sino-Thai Engineering & Construction PCL 237,700 177
* Delta Electronics Thailand PCL 68,000 176
* Thanachart Capital PCL 106,100 175
* Krung Thai Bank PCL 314,800 173
  Kiatnakin Bank PCL (Foreign) 74,800 170
* Thai Oil PCL 54,500 167
* Land & Houses PCL 508,200 167
* Supalai PCL 211,200 156
  BTS Group Holdings PCL NVDR 604,800 155
* Bangkok Land PCL 2,749,700 153
  Thanachart Capital PCL (Foreign) 88,900 147
* WHA Corp. PCL 1,264,400 146
* Thai Airways International PCL 260,300 146
* Superblock PCL 3,838,700 144
* Pruksa Real Estate PCL 210,700 144
* True Corp. PCL (Foreign) 775,201 143
  Global Power Synergy PCL 77,600 143
  Beauty Community PCL 262,700 142
^ Thoresen Thai Agencies PCL (Foreign) 476,652 139
* Siam Global House PCL 250,801 138
* Sansiri PCL (Local) 1,855,200 131
* TPI Polene PCL 1,930,500 130
* AP Thailand PCL 476,600 128
* VGI Global Media PCL 652,900 121
* Gunkul Engineering PCL 987,583 120
* Quality Houses PCL 1,338,683 119
^ BEC World PCL (Foreign) 225,100 118
* Major Cineplex Group PCL 120,200 118
* Banpu Power PCL 117,600 109
  LPN Development PCL 268,700 106
* Amata Corp. PCL 158,800 103
* Bangkok Airways PCL 184,800 102
* Krungthai Card PCL 24,700 102
* Thai Union Group PCL 183,500 101
* Italian-Thai Development PCL 784,500 96
* Taokaenoi Food & Marketing PCL 123,500 96
* Esso Thailand PCL 206,200 95
* Tipco Asphalt PCL 140,500 95
* PTG Energy PCL 127,400 92

 

89


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Glow Energy PCL (Foreign) 32,700 89
  Bangkok Expressway & Metro PCL (Foreign) 373,046 88
* Vibhavadi Medical Center PCL 1,028,700 86
* Dynasty Ceramic PCL 696,900 85
  Unique Engineering & Construction PCL 155,600 83
* Thaicom PCL 197,300 82
* U City PCL 90,412,494 82
* TTW PCL 246,200 81
* Jasmine International PCL 351,600 80
* Thai Vegetable Oil PCL 88,000 73
* Siam City Cement PCL (Local) 8,684 73
* Pruksa Holding PCL 94,600 72
^ Banpu PCL 132,528 70
* CK Power PCL 529,000 69
* Sri Trang Agro-Industry PCL 180,700 69
^ Hana Microelectronics PCL (Foreign) 46,600 68
* TICON Industrial Connection PCL 132,600 67
^ Bangkok Life Assurance PCL NVDR 59,100 66
* IMPACT Growth REIT 150,500 64
  Thanachart Capital PCL NVDR 38,600 64
* GFPT PCL 112,200 62
* Thai Airways International PCL (Foreign) 104,374 58
  Bangkok Life Assurance PCL 50,940 57
* Univentures PCL 143,400 54
* Samart Corp. PCL 128,900 50
* SPCG PCL 65,000 49
* Thaifoods Group PCL 242,100 44
* Total Access Communication PCL (Local) 25,400 41
* Cal-Comp Electronics Thailand PCL 387,330 41
* Precious Shipping PCL 125,400 40
* Group Lease PCL 149,700 34
*,3 Inter Far East Energy Corp. 351,100 33
* Supalai PCL Warrants Exp. 10/20/2018 52,800 33
  WHA Corp. PCL (Foreign) 210,509 24
  CK Power PCL (Foreign) 179,860 23
* Precious Shipping PCL (Foreign) 62,700 20
^ Sri Trang Agro-Industry PCL (Foreign) 38,696 15
* Superblock PCL Warrants Exp 08/30/20 767,740 9
* Thoresen Thai Agencies PCL 13,200 4
* CK Power PCL Foreign Line Warrants Expire 5/28/2020 179,860 3
* Thoresen Thai Agencies PCL Expire 2/28/2019 53,346 3
* Srisawad Power 1979 PCL Warrants Expire 11/30/2017 2,960 2
* WHA Corp. PCL Warrants Expire 12/31/19 5,107 1
^ Group Lease PCL (Foreign) 6,259 1
* Vibhavadi Medical Center PCL Warrants Exp. 05/09/2022 79,130 1
* VGI Global Media PCL Warrants Exp. 8/1/2018 71,450 1
* Italian-Thai Development PCL Warrants Expire 5/13/19 56,840 1
* Samart Corp. PCL Warrants Expire 2/11/2018 39,440
* Group Lease PCL Warrants Expire 8/1/2018 9,618
* Thaifoods Group PCL Warrants Exp. 04/28/2020 24,210
* Precious Shipping PCL Warrants 6,270
      53,841
Turkey (0.1%)    
  Turkiye Garanti Bankasi AS 622,756 1,716
  Akbank Turk AS 573,230 1,516
  BIM Birlesik Magazalar AS 59,471 1,214
  Tupras Turkiye Petrol Rafinerileri AS 32,074 1,156
  Turkcell Iletisim Hizmetleri AS 296,380 1,111
  KOC Holding AS 194,769 872
  Eregli Demir ve Celik Fabrikalari TAS 340,205 800
  Haci Omer Sabanci Holding AS (Bearer) 268,197 747
  Turkiye Is Bankasi 375,252 708
  Turkiye Halk Bankasi AS 163,616 478
  Turkiye Vakiflar Bankasi TAO 270,158 452

 

90


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Aselsan Elektronik Sanayi Ve Ticaret AS 49,526 444
* Turk Hava Yollari AO 148,047 406
  Ulker Biskuvi Sanayi AS 62,695 335
  Anadolu Efes Biracilik Ve Malt Sanayii AS 57,339 332
* Emlak Konut Gayrimenkul Yatirim Ortakligi AS 469,363 328
  Tofas Turk Otomobil Fabrikasi AS 37,311 304
  Ford Otomotiv Sanayi AS 17,563 248
  Enka Insaat ve Sanayi AS 156,234 237
  Petkim Petrokimya Holding AS 120,882 212
* Yapi ve Kredi Bankasi AS 163,123 198
  Arcelik AS 35,788 196
  Turkiye Sise ve Cam Fabrikalari AS 161,616 190
* Turk Telekomunikasyon AS 106,702 182
  TAV Havalimanlari Holding AS 32,203 161
  Soda Sanayii AS 106,681 148
* Zorlu Enerji Elektrik Uretim AS 328,267 141
  Coca-Cola Icecek AS 13,694 140
  Goltas Goller Bolgesi Cimento Sanayi ve Ticaret A.S. 6,904 133
  Tekfen Holding AS 35,895 121
  Anadolu Hayat Emeklilik AS 64,919 116
  Trakya Cam Sanayii AS 105,708 115
* Aksa Enerji Uretim AS Class B 123,798 112
* Aksigorta AS 132,563 109
* Logo Yazilim Sanayi Ve Ticaret AS 6,831 108
  EGE Endustri VE Ticaret AS 1,374 108
* Koza Anadolu Metal Madencilik Isletmeleri AS 59,315 96
* Sekerbank TAS 205,730 83
* Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS 125,938 81
  AvivaSA Emeklilik ve Hayat AS 15,887 78
  EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS 60,942 74
* Koza Altin Isletmeleri AS 8,052 70
* Afyon Cimento Sanayi TAS 30,263 65
* Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS Class A 95,909 64
  Tat Gida Sanayi AS 37,871 56
* Bizim Toptan Satis Magazalari AS 25,695 55
* Vestel Elektronik Sanayi ve Ticaret AS 20,037 52
* NET Holding AS 95,198 52
  Aygaz AS 12,065 51
  Turkiye Sinai Kalkinma Bankasi AS 131,442 47
* Migros Ticaret AS 6,467 45
  Otokar Otomotiv Ve Savunma Sanayi A.S. 1,491 43
  Aksa Akrilik Kimya Sanayii AS 11,842 42
* Dogan Sirketler Grubu Holding AS 168,390 41
* Pegasus Hava Tasimaciligi AS 4,428 35
  Yazicilar Holding AS Class A 5,506 32
  Is Gayrimenkul Yatirim Ortakligi AS 87,534 31
  Turk Traktor ve Ziraat Makineleri AS 1,534 31
  Cimsa Cimento Sanayi VE Ticaret AS 8,065 30
  Torunlar Gayrimenkul Yatirim Ortakligi AS 13,045 23
* Bagfas Bandirma Gubre Fabrikalari AS 7,361 20
* Dogus Otomotiv Servis ve Ticaret AS 7,386 16
* Vakif Gayrimenkul Yatirim Ortakligi AS 20,274 15
  Albaraka Turk Katilim Bankasi AS 32,421 11
*,3 Asya Katilim Bankasi AS 147,465
      17,233
United Arab Emirates (0.1%)    
  Emirates Telecommunications Group Co. PJSC 465,484 2,260
  Emaar Properties PJSC 939,196 2,119
  First Abu Dhabi Bank PJSC 734,679 2,069
  DP World Ltd. 44,482 1,056
  Abu Dhabi Commercial Bank PJSC 521,330 1,050
  Aldar Properties PJSC 890,868 578
  DAMAC Properties Dubai Co. PJSC 473,801 508
  Dubai Islamic Bank PJSC 301,078 502

 

91


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Emaar Malls PJSC 526,538 331
Dubai Investments PJSC 435,349 312
Air Arabia PJSC 787,031 265
* Dana Gas PJSC 718,244 146
* Arabtec Holding PJSC 177,491 142
* Dubai Financial Market PJSC 426,230 135
* DXB Entertainments PJSC 666,893 134
Amanat Holdings PJSC 389,761 126
* Amlak Finance PJSC 421,186 124
Al Waha Capital PJSC 234,724 111
National Central Cooling Co. PJSC 134,628 77
* Drake & Scull International PJSC 114,862 62
* Deyaar Development PJSC 361,379 52
* Eshraq Properties Co. PJSC 184,450 40
* Union Properties PJSC 154,253 37
RAK Properties PJSC 168,932 33
    12,269
United Kingdom (5.9%)    
HSBC Holdings plc 5,439,350 53,116
Royal Dutch Shell plc Class A 1,176,546 37,038
BP plc 5,221,838 35,418
Royal Dutch Shell plc Class B 1,051,592 33,859
British American Tobacco plc 507,206 32,771
GlaxoSmithKline plc 1,314,851 23,598
AstraZeneca plc 344,246 23,292
Diageo plc 671,146 22,919
Vodafone Group plc 7,233,955 20,692
Unilever plc 320,291 18,152
Lloyds Banking Group plc 19,383,796 17,570
Prudential plc 701,917 17,229
Rio Tinto plc 324,497 15,336
Glencore plc 3,178,550 15,331
Reckitt Benckiser Group plc 169,533 15,168
Shire plc 243,363 11,987
Barclays plc 4,622,745 11,408
National Grid plc 931,479 11,213
Imperial Brands plc 261,357 10,656
BHP Billiton plc 573,235 10,379
* Compass Group plc 433,626 9,520
CRH plc 228,561 8,594
BT Group plc 2,293,266 7,902
Aviva plc 1,109,208 7,441
British American Tobacco plc ADR 114,073 7,346
* Standard Chartered plc 735,446 7,325
BAE Systems plc 873,383 6,880
RELX NV (London Shares) 294,384 6,774
WPP plc 340,810 6,025
Rolls-Royce Holdings plc 450,387 5,820
Anglo American plc 308,143 5,813
Legal & General Group plc 1,625,907 5,765
Tesco plc 2,252,215 5,427
Experian plc 257,282 5,421
SSE plc 276,053 5,070
Ferguson plc 70,412 4,924
Smith & Nephew plc 245,211 4,625
Standard Life Aberdeen plc 754,035 4,303
London Stock Exchange Group plc 86,076 4,299
Associated British Foods plc 94,814 4,196
* Sky plc 288,148 3,609
Ashtead Group plc 138,462 3,567
Centrica plc 1,539,921 3,473
3i Group plc 263,346 3,361
Old Mutual plc 1,317,420 3,342
Carnival plc 49,804 3,284

 

92


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Royal Bank of Scotland Group plc 867,190 3,258
Intertek Group plc 43,171 3,110
Persimmon plc 82,524 3,071
Burberry Group plc 114,453 2,891
InterContinental Hotels Group plc 51,716 2,865
Sage Group plc 289,194 2,863
Bunzl plc 89,684 2,794
2 Worldpay Group plc 508,722 2,742
Kingfisher plc 605,049 2,516
Next plc 38,142 2,493
Randgold Resources Ltd. 24,939 2,451
Land Securities Group plc 190,518 2,447
Mondi plc 99,544 2,407
Whitbread plc 48,998 2,403
International Consolidated Airlines Group SA (London Shares) 282,463 2,386
Barratt Developments plc 267,750 2,328
Taylor Wimpey plc 876,960 2,324
Paddy Power Betfair plc 22,590 2,312
DCC plc 24,068 2,282
RSA Insurance Group plc 272,560 2,276
Johnson Matthey plc 50,567 2,270
ITV plc 1,023,032 2,236
Rentokil Initial plc 500,308 2,231
Smiths Group plc 105,853 2,209
British Land Co. plc 274,821 2,194
St. James's Place plc 139,347 2,178
Pearson plc 224,110 2,093
Informa plc 219,531 2,032
United Utilities Group plc 182,477 2,019
Micro Focus International plc 57,372 2,015
GKN plc 470,227 1,982
Marks & Spencer Group plc 426,099 1,947
Smurfit Kappa Group plc 65,010 1,939
Segro plc 266,615 1,925
Croda International plc 33,451 1,859
Direct Line Insurance Group plc 376,356 1,858
Coca-Cola HBC AG 54,522 1,843
DS Smith plc 256,884 1,777
Severn Trent plc 63,139 1,770
Wm Morrison Supermarkets plc 576,449 1,716
* Just Eat plc 165,291 1,712
Berkeley Group Holdings plc 34,207 1,700
TUI AG (London Shares) 92,958 1,679
John Wood Group plc 174,700 1,652
Bellway plc 32,879 1,594
Halma plc 101,153 1,587
Weir Group plc 60,437 1,567
G4S plc 403,993 1,507
Melrose Industries plc 507,550 1,482
Hammerson plc 212,099 1,476
Spirax-Sarco Engineering plc 19,614 1,472
Hiscox Ltd. 76,953 1,459
Admiral Group plc 55,952 1,429
Meggitt plc 207,365 1,428
J Sainsbury plc 430,958 1,388
Schroders plc 29,828 1,384
Hargreaves Lansdown plc 65,441 1,375
Travis Perkins plc 67,209 1,357
RPC Group plc 107,064 1,340
Rightmove plc 23,839 1,315
Capita plc 184,920 1,288
Inchcape plc 123,050 1,277
Antofagasta plc 96,048 1,217
Royal Mail plc 237,424 1,180

 

93


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  IMI plc 71,710 1,164
* Cobham plc 629,734 1,162
  Investec plc 169,188 1,158
  NEPI Rockcastle plc 82,660 1,151
2 Auto Trader Group plc 251,961 1,146
  Pennon Group plc 108,382 1,143
  BBA Aviation plc 269,429 1,138
  Booker Group plc 423,950 1,133
  B&M European Value Retail SA 214,579 1,132
  Man Group plc 433,873 1,116
* BTG plc 111,174 1,113
  Electrocomponents plc 119,791 1,105
  TP ICAP plc 148,416 1,073
  Phoenix Group Holdings 105,316 1,059
  UBM plc 113,228 1,058
  Spectris plc 30,675 1,043
  easyJet plc 58,265 1,036
  Tate & Lyle plc 120,229 1,033
* Metro Bank plc 21,470 1,014
  Inmarsat plc 122,493 1,010
  Playtech plc 76,718 1,002
  Derwent London plc 28,044 997
* Paysafe Group plc 128,024 997
* CYBG plc 236,378 989
  Intermediate Capital Group plc 76,461 987
  SSP Group plc 125,571 975
2 Merlin Entertainments plc 192,280 967
* Indivior plc 195,195 963
2 ConvaTec Group plc 363,104 945
  Beazley plc 138,506 929
  GVC Holdings plc 74,532 928
  IG Group Holdings plc 101,364 880
  Howden Joinery Group plc 160,702 875
  Rotork plc 249,638 871
  Ladbrokes Coral Group plc 514,579 871
  Aggreko plc 68,716 855
  Fresnillo plc 49,300 853
* Tullow Oil plc 352,047 852
  Tritax Big Box REIT plc 433,576 848
  UDG Healthcare plc 68,663 843
  Hays plc 336,034 832
  Mediclinic International plc 106,578 824
  Jupiter Fund Management plc 104,031 821
  HomeServe plc 70,888 806
  Polymetal International plc 68,732 798
  Shaftesbury plc 59,961 789
  NMC Health plc 20,504 788
  Saga plc 309,845 786
  Intu Properties plc 268,035 769
  William Hill plc 222,743 764
  Great Portland Estates plc 92,125 761
  Close Brothers Group plc 40,370 745
  NEX Group plc 88,209 742
  Capital & Counties Properties plc 208,032 736
  Babcock International Group plc 67,586 729
* KAZ Minerals plc 66,390 717
  Britvic plc 70,462 708
  WH Smith plc 25,847 703
  Daily Mail & General Trust plc 76,108 701
*,2 Wizz Air Holdings plc 15,990 696
  Victrex plc 21,012 669
  Grafton Group plc 61,147 668
  Dechra Pharmaceuticals plc 24,132 659
  Dixons Carphone plc 282,141 650

 

94


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  UNITE Group plc 66,783 624
^ Hikma Pharmaceuticals plc 39,914 617
  Greene King plc 85,285 613
  Balfour Beatty plc 167,527 609
  Moneysupermarket.com Group plc 141,111 609
  Bodycote plc 48,585 604
  AVEVA Group plc 17,821 597
  Genus plc 18,846 589
  Thomas Cook Group plc 365,068 581
* BCA Marketplace plc 208,925 578
  Bovis Homes Group plc 36,851 576
  Renishaw plc 8,656 569
  Jardine Lloyd Thompson Group plc 32,656 565
2 Sophos Group plc 66,962 552
  Centamin plc 294,494 545
  Domino's Pizza Group plc 122,247 545
  Big Yellow Group plc 51,906 536
  Ultra Electronics Holdings plc 21,821 528
  IWG plc 183,417 525
  Savills plc 42,139 522
  Lancashire Holdings Ltd. 51,872 518
  Workspace Group plc 43,994 517
  Pagegroup plc 83,007 516
^ Provident Financial plc 41,456 513
  Ashmore Group plc 99,651 510
  Drax Group plc 136,579 504
  Cineworld Group plc 56,916 502
  Redrow plc 57,842 500
  Evraz plc 129,719 497
  Cranswick plc 12,109 495
  National Express Group plc 100,832 492
  Diploma plc 33,683 482
  JD Sports Fashion plc 101,086 480
  Greggs plc 27,961 473
  Essentra plc 66,023 467
  Rathbone Brothers plc 13,521 460
  Greencore Group plc 179,226 459
  Hill & Smith Holdings plc 26,108 459
  Senior plc 119,584 458
  QinetiQ Group plc 140,023 454
  Fidessa Group plc 15,002 454
  Crest Nicholson Holdings plc 59,806 450
  Dignity plc 13,885 447
  BGEO Group plc 9,454 446
  Vesuvius plc 56,567 441
* Firstgroup plc 302,034 441
^ TalkTalk Telecom Group plc 153,132 434
  Synthomer plc 66,722 434
* Serco Group plc 278,255 431
* Cairn Energy plc 153,426 431
  Elementis plc 112,486 425
  Paragon Banking Group plc 66,078 417
  Dairy Crest Group plc 51,191 413
  Assura plc 512,573 411
  Kier Group plc 29,518 407
  Grainger plc 109,936 407
*,^ Ocado Group plc 104,850 401
  Card Factory plc 95,290 397
  Galliford Try plc 23,904 387
2 ZPG plc 82,367 383
2 Countryside Properties plc 80,649 381
  Petrofac Ltd. 65,674 366
  Entertainment One Ltd. 97,523 366
  LondonMetric Property plc 155,688 365

 

95


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Virgin Money Holdings UK plc 92,749 359
AA plc 155,835 354
Brewin Dolphin Holdings plc 72,237 339
Safestore Holdings plc 57,333 339
esure Group plc 93,898 335
Stagecoach Group plc 150,857 334
2 John Laing Group plc 87,456 332
SIG plc 143,220 328
2 Hastings Group Holdings plc 76,710 321
Just Group plc 151,434 310
Go-Ahead Group plc 13,183 310
Mitie Group plc 98,196 309
2 Ibstock plc 93,096 307
Stobart Group Ltd. 81,472 306
OM Asset Management plc 20,000 306
* Hunting plc 43,378 302
Computacenter plc 22,363 295
NewRiver REIT plc 65,679 292
OneSavings Bank plc 54,270 292
* Sports Direct International plc 54,487 286
Ted Baker plc 7,651 282
Ferrexpo plc 82,626 279
J D Wetherspoon plc 16,288 269
* Vectura Group plc 199,977 266
Morgan Advanced Materials plc 63,382 264
SuperGroup plc 10,668 263
Pets at Home Group plc 109,205 255
^ Hansteen Holdings plc 138,562 252
St. Modwen Properties plc 48,958 247
2 McCarthy & Stone plc 115,943 246
2 Spire Healthcare Group plc 61,577 243
Fenner plc 51,133 234
888 Holdings plc 70,142 233
Northgate plc 38,520 229
Polypipe Group plc 41,455 227
* EI Group plc 127,165 227
Dunelm Group plc 22,807 222
Laird plc 102,123 221
Telecom Plus plc 13,313 216
Marston's plc 151,725 215
Chemring Group plc 93,517 214
Restaurant Group plc 52,919 213
Vedanta Resources plc 18,036 213
* Aldermore Group plc 53,061 212
Keller Group plc 16,785 209
De La Rue plc 22,159 206
F&C Commercial Property Trust Ltd. 103,724 196
Oxford Instruments plc 15,167 191
Hochschild Mining plc 64,093 188
Halfords Group plc 42,204 185
UK Commercial Property Trust Ltd. 155,680 181
RPS Group plc 46,163 180
Renewi plc 129,293 178
PZ Cussons plc 39,815 175
KCOM Group plc 120,418 172
NCC Group plc 55,229 169
Picton Property Income Ltd. 146,811 168
N Brown Group plc 41,889 168
Redefine International PLC 333,213 164
Mitchells & Butlers plc 47,962 163
Chesnara plc 31,671 162
* Imagination Technologies Group plc 64,842 155
Soco International plc 99,429 154
Debenhams plc 263,423 153

 

96


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Ophir Energy plc 175,526 152
  Devro plc 44,654 144
* Petra Diamonds Ltd. 138,411 141
  International Personal Finance plc 46,925 126
  Schroder REIT Ltd. 153,789 122
*,^ Premier Oil plc 130,154 118
* Allied Minds plc 50,534 117
  ITE Group plc 49,024 116
* AO World plc 74,244 108
  Rank Group plc 34,276 108
  Acacia Mining plc 43,908 105
  Helical plc 25,204 103
  Lookers plc 73,386 102
* Premier Foods plc 194,113 101
* Nostrum Oil & Gas plc 19,562 98
* Jimmy Choo plc 29,187 89
  Gocompare.Com Group plc 61,143 83
  Daejan Holdings plc 813 67
2 CMC Markets plc 28,615 60
^ Carillion plc 88,745 54
  Foxtons Group plc 44,447 47
* Countrywide plc 27,491 46
* Lamprell plc 34,894 34
* Interserve plc 26,828 26
* Genel Energy plc 9,054 14
*,^,3 Afren plc 141,140
      815,761
United States (51.6%)    
Basic Materials (1.4%)    
* DowDuPont Inc. 632,374 45,727
  Praxair Inc. 77,644 11,345
  Air Products & Chemicals Inc. 58,094 9,262
  LyondellBasell Industries NV Class A 88,126 9,124
  Ecolab Inc. 69,652 9,101
  PPG Industries Inc. 69,992 8,136
  International Paper Co. 112,614 6,449
  Newmont Mining Corp. 146,904 5,312
* Freeport-McMoRan Inc. 370,815 5,184
  Nucor Corp. 87,867 5,081
  Albemarle Corp. 30,231 4,259
  Celanese Corp. Class A 37,916 3,955
  Eastman Chemical Co. 40,983 3,722
  FMC Corp. 36,733 3,411
  International Flavors & Fragrances Inc. 21,964 3,238
  Chemours Co. 50,464 2,857
  Arconic Inc. 104,694 2,630
  Avery Dennison Corp. 23,530 2,498
  CF Industries Holdings Inc. 63,095 2,396
* Alcoa Corp. 49,364 2,359
  Steel Dynamics Inc. 61,500 2,288
  Mosaic Co. 94,050 2,101
  RPM International Inc. 36,000 1,920
* Axalta Coating Systems Ltd. 57,103 1,899
  Huntsman Corp. 53,600 1,716
  Olin Corp. 44,010 1,608
  Royal Gold Inc. 17,300 1,455
  Reliance Steel & Aluminum Co. 18,900 1,452
  WR Grace & Co. 18,200 1,392
  Versum Materials Inc. 28,764 1,210
  United States Steel Corp. 46,495 1,177
  Cabot Corp. 18,900 1,152
  Ashland Global Holdings Inc. 16,543 1,125
  Scotts Miracle-Gro Co. 11,191 1,115
* CONSOL Energy Inc. 64,277 1,037

 

97


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Sensient Technologies Corp. 12,900 981
  PolyOne Corp. 19,800 912
  Domtar Corp. 19,000 899
  Southern Copper Corp. 20,901 898
  Trinseo SA 11,818 839
* Univar Inc. 27,655 823
  NewMarket Corp. 2,000 801
* Ingevity Corp. 11,239 800
  Westlake Chemical Corp. 9,300 790
* Allegheny Technologies Inc. 30,943 779
  HB Fuller Co. 13,400 762
  US Silica Holdings Inc. 24,578 750
  Balchem Corp. 8,300 700
* Platform Specialty Products Corp. 61,587 659
  Minerals Technologies Inc. 8,900 640
  Compass Minerals International Inc. 9,400 617
  Commercial Metals Co. 30,700 598
  Quaker Chemical Corp. 3,800 590
  KapStone Paper and Packaging Corp. 25,400 570
  Carpenter Technology Corp. 11,100 553
  Innospec Inc. 8,600 532
* Ferro Corp. 22,200 529
  Worthington Industries Inc. 11,400 519
* GCP Applied Technologies Inc. 17,600 515
  Hecla Mining Co. 96,912 457
* Cleveland-Cliffs Inc. 75,300 449
* Cambrex Corp. 10,300 445
  Arch Coal Inc. Class A 5,700 436
* AK Steel Holding Corp. 91,692 421
  Neenah Paper Inc. 4,700 408
  Kaiser Aluminum Corp. 4,100 407
* AdvanSix Inc. 8,299 384
* Kraton Corp. 7,700 377
  Stepan Co. 4,700 375
  Deltic Timber Corp. 3,900 361
* Coeur Mining Inc. 45,000 341
  Ferroglobe plc 20,700 331
* Koppers Holdings Inc. 6,000 291
  Innophos Holdings Inc. 5,600 274
  Calgon Carbon Corp. 11,300 245
  A Schulman Inc. 6,200 244
* Century Aluminum Co. 14,500 203
  PH Glatfelter Co. 9,500 199
* Clearwater Paper Corp. 4,200 194
  Tredegar Corp. 9,400 182
  Rayonier Advanced Materials Inc. 12,300 177
*,^ Fairmount Santrol Holdings Inc. 33,000 142
  Haynes International Inc. 2,600 93
* Veritiv Corp. 1,997 64
*,3 Ferroglobe R&W Trust 10,400
      193,249
Consumer Goods (4.6%)    
  Procter & Gamble Co. 699,043 60,355
  Coca-Cola Co. 1,046,067 48,098
  Philip Morris International Inc. 420,939 44,047
  PepsiCo Inc. 390,336 43,027
  Altria Group Inc. 524,510 33,684
  NIKE Inc. Class B 359,005 19,742
  Mondelez International Inc. Class A 398,093 16,493
  Colgate-Palmolive Co. 233,672 16,462
  General Motors Co. 359,297 15,443
  Monsanto Co. 117,668 14,250
  Activision Blizzard Inc. 201,610 13,203
  Ford Motor Co. 1,059,653 13,002

 

98


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Kraft Heinz Co. 162,073 12,533
* Tesla Inc. 35,264 11,691
Kimberly-Clark Corp. 96,867 10,899
* Electronic Arts Inc. 81,618 9,762
Constellation Brands Inc. Class A 44,004 9,641
General Mills Inc. 157,412 8,173
Delphi Automotive plc 72,863 7,241
Stanley Black & Decker Inc. 42,073 6,797
Estee Lauder Cos. Inc. Class A 59,392 6,641
* Monster Beverage Corp. 112,626 6,524
VF Corp. 89,274 6,218
Archer-Daniels-Midland Co. 150,812 6,164
Tyson Foods Inc. Class A 75,991 5,541
Newell Brands Inc. 131,276 5,353
Clorox Co. 36,083 4,566
* Mohawk Industries Inc. 17,164 4,493
Dr Pepper Snapple Group Inc. 50,507 4,326
Kellogg Co. 68,543 4,286
DR Horton Inc. 94,649 4,184
Hershey Co. 38,344 4,071
Molson Coors Brewing Co. Class B 47,808 3,866
Conagra Brands Inc. 110,294 3,768
Genuine Parts Co. 39,625 3,496
* LKQ Corp. 88,117 3,321
McCormick & Co. Inc. 33,345 3,319
Lear Corp. 18,572 3,261
Whirlpool Corp. 19,731 3,235
JM Smucker Co. 30,328 3,216
Church & Dwight Co. Inc. 71,078 3,211
* Tapestry Inc. 77,158 3,160
* Take-Two Interactive Software Inc. 27,843 3,081
Autoliv Inc. 24,008 2,998
* NVR Inc. 913 2,996
Lennar Corp. Class A 53,243 2,964
BorgWarner Inc. 55,623 2,932
Hasbro Inc. 30,329 2,808
Brown-Forman Corp. Class B 48,342 2,756
PVH Corp. 21,388 2,712
Bunge Ltd. 37,856 2,604
Snap-on Inc. 16,300 2,572
Ingredion Inc. 19,200 2,407
PulteGroup Inc. 76,796 2,322
Hanesbrands Inc. 101,000 2,273
Hormel Foods Corp. 72,709 2,266
Campbell Soup Co. 47,763 2,263
Harley-Davidson Inc. 46,708 2,211
Leucadia National Corp. 86,420 2,186
Adient plc 25,460 2,148
Goodyear Tire & Rubber Co. 69,009 2,111
Lamb Weston Holdings Inc. 39,085 1,993
* WABCO Holdings Inc. 13,500 1,992
Coca-Cola European Partners plc 48,740 1,992
* Michael Kors Holdings Ltd. 40,200 1,962
Coty Inc. Class A 126,027 1,941
Toll Brothers Inc. 40,472 1,863
Polaris Industries Inc. 15,700 1,859
Thor Industries Inc. 13,100 1,784
Leggett & Platt Inc. 37,712 1,782
Pinnacle Foods Inc. 32,668 1,778
* Middleby Corp. 15,100 1,750
* Lululemon Athletica Inc. 25,998 1,599
Gentex Corp. 76,278 1,481
Ralph Lauren Corp. Class A 15,759 1,409
Mattel Inc. 99,761 1,409

 

99


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Post Holdings Inc. 16,872 1,399
*,^ Herbalife Ltd. 18,681 1,357
  Valvoline Inc. 54,700 1,314
  Pool Corp. 10,600 1,280
* US Foods Holding Corp. 46,736 1,275
  Carter's Inc. 12,600 1,219
  Brunswick Corp. 23,700 1,200
* Skechers U.S.A. Inc. Class A 37,600 1,200
  Dana Inc. 38,600 1,177
  CalAtlantic Group Inc. 21,488 1,060
* Visteon Corp. 8,400 1,059
*,^ TreeHouse Foods Inc. 15,431 1,024
* Edgewell Personal Care Co. 15,260 991
* Hain Celestial Group Inc. 27,300 983
  Nu Skin Enterprises Inc. Class A 14,200 903
  Flowers Foods Inc. 47,082 896
  Sanderson Farms Inc. 5,900 882
  Snyder's-Lance Inc. 23,213 874
*,^ Tempur Sealy International Inc. 12,711 831
  LCI Industries 6,700 829
  Tupperware Brands Corp. 14,100 828
  Tenneco Inc. 13,700 796
* Wayfair Inc. 11,300 790
* Under Armour Inc. 68,205 786
* Zynga Inc. Class A 201,251 785
* Blue Buffalo Pet Products Inc. 26,507 767
* TRI Pointe Group Inc. 43,000 761
* Welbilt Inc. 34,400 759
* Helen of Troy Ltd. 8,000 743
* Darling Ingredients Inc. 40,700 743
  Energizer Holdings Inc. 16,360 703
  Spectrum Brands Holdings Inc. 6,123 673
  Wolverine World Wide Inc. 24,400 666
  Vector Group Ltd. 30,382 631
  Lancaster Colony Corp. 5,000 626
  J&J Snack Foods Corp. 4,700 626
  Herman Miller Inc. 18,074 607
  Columbia Sportswear Co. 8,900 555
* Steven Madden Ltd. 14,050 548
  KB Home 19,700 540
* Cooper-Standard Holdings Inc. 4,800 535
* Deckers Outdoor Corp. 7,800 532
  B&G Foods Inc. 16,300 518
* Dorman Products Inc. 7,300 505
*,^ Under Armour Inc. Class A 39,400 493
* Taylor Morrison Home Corp. Class A 18,900 456
  HNI Corp. 13,300 455
* Boston Beer Co. Inc. Class A 2,500 445
  Cooper Tire & Rubber Co. 13,500 443
* iRobot Corp. 6,500 437
  Universal Corp. 7,374 423
* Meritage Homes Corp. 8,600 419
* Pilgrim's Pride Corp. 12,900 410
  Callaway Golf Co. 28,097 405
  Winnebago Industries Inc. 8,200 403
  Schweitzer-Mauduit International Inc. 9,400 397
  Nutrisystem Inc. 7,900 395
* Gentherm Inc. 11,700 392
  MDC Holdings Inc. 9,765 362
* Modine Manufacturing Co. 17,100 360
* Select Comfort Corp. 10,900 354
  La-Z-Boy Inc. 12,900 348
* Central Garden & Pet Co. Class A 9,400 347
  Fresh Del Monte Produce Inc. 7,695 343

 

100


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  WD-40 Co. 3,000 333
* American Axle & Manufacturing Holdings Inc. 18,693 333
* ACCO Brands Corp. 25,442 332
* Cal-Maine Foods Inc. 7,200 324
* Fitbit Inc. Class A 52,600 323
  Interface Inc. Class A 13,600 310
* Avon Products Inc. 132,425 302
* Crocs Inc. 28,900 295
^ National Beverage Corp. 3,000 294
  Cosan Ltd. 32,600 283
  Tootsie Roll Industries Inc. 7,891 281
  Steelcase Inc. Class A 19,200 279
* Vista Outdoor Inc. 13,262 277
*,^ GoPro Inc. Class A 26,403 275
* USANA Health Sciences Inc. 4,100 269
* G-III Apparel Group Ltd. 10,400 264
  Andersons Inc. 6,950 260
* Hostess Brands Inc. Class A 21,200 244
  Knoll Inc. 11,000 233
  Oxford Industries Inc. 3,500 226
  Coca-Cola Bottling Co. Consolidated 1,000 226
  Briggs & Stratton Corp. 8,700 219
* Adecoagro SA 21,000 213
  Dean Foods Co. 21,150 206
  Ethan Allen Interiors Inc. 6,700 199
  National Presto Industries Inc. 1,600 187
* Caesarstone Ltd. 5,400 153
  Superior Industries International Inc. 5,500 86
* Fossil Group Inc. 9,100 72
      639,128
Consumer Services (6.3%)    
* Amazon.com Inc. 108,047 119,422
  Home Depot Inc. 326,288 54,092
  Comcast Corp. Class A 1,278,779 46,074
  Walt Disney Co. 424,793 41,549
  McDonald's Corp. 222,828 37,192
  Wal-Mart Stores Inc. 394,878 34,477
* Priceline Group Inc. 13,332 25,490
* Netflix Inc. 111,339 21,870
  Starbucks Corp. 382,927 21,000
  Time Warner Inc. 210,132 20,654
  Costco Wholesale Corp. 118,595 19,103
  CVS Health Corp. 276,583 18,954
  Lowe's Cos. Inc. 230,370 18,418
* Charter Communications Inc. Class A 51,886 17,339
  Walgreens Boots Alliance Inc. 251,766 16,685
  TJX Cos. Inc. 177,110 12,362
  Marriott International Inc. Class A 86,022 10,278
* eBay Inc. 272,462 10,255
  Target Corp. 151,028 8,917
  McKesson Corp. 57,706 7,957
  Sysco Corp. 134,588 7,486
  Carnival Corp. 110,982 7,368
  Yum! Brands Inc. 95,344 7,098
  Ross Stores Inc. 105,512 6,699
  Twenty-First Century Fox Inc. Class A 252,134 6,593
  Las Vegas Sands Corp. 98,348 6,233
  Dollar General Corp. 75,595 6,111
  Royal Caribbean Cruises Ltd. 46,918 5,807
* Dollar Tree Inc. 63,336 5,779
^ CBS Corp. Class B 98,160 5,509
  Cardinal Health Inc. 86,890 5,379
  Kroger Co. 244,307 5,057
* O'Reilly Automotive Inc. 23,757 5,012

 

101


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Liberty Global plc 163,921 4,900
* AutoZone Inc. 7,676 4,525
Hilton Worldwide Holdings Inc. 60,690 4,387
MGM Resorts International 139,055 4,359
Omnicom Group Inc. 64,226 4,315
Expedia Inc. 33,380 4,161
* Yum China Holdings Inc. 102,719 4,145
Best Buy Co. Inc. 72,272 4,046
Twenty-First Century Fox Inc. 152,425 3,879
* CarMax Inc. 50,604 3,800
Nielsen Holdings plc 98,438 3,649
AmerisourceBergen Corp. Class A 43,640 3,358
* Ulta Beauty Inc. 16,362 3,302
Wynn Resorts Ltd. 22,009 3,246
* DISH Network Corp. Class A 60,660 2,944
Wyndham Worldwide Corp. 27,298 2,917
Aramark 64,788 2,831
L Brands Inc. 65,707 2,828
Darden Restaurants Inc. 33,232 2,734
Tiffany & Co. 28,855 2,701
MercadoLibre Inc. 10,857 2,609
* Norwegian Cruise Line Holdings Ltd. 46,617 2,599
* Liberty Interactive Corp. QVC Group Class A 112,847 2,564
Vail Resorts Inc. 10,589 2,425
Delta Air Lines Inc. 48,465 2,425
Domino's Pizza Inc. 12,800 2,342
Viacom Inc. Class B 95,414 2,293
Southwest Airlines Co. 40,436 2,178
* Liberty Media Corp-Liberty SiriusXM Class C 51,141 2,130
^ Sirius XM Holdings Inc. 381,740 2,077
Tractor Supply Co. 34,000 2,049
Interpublic Group of Cos. Inc. 103,807 1,998
FactSet Research Systems Inc. 10,300 1,956
Scripps Networks Interactive Inc. Class A 23,465 1,954
* Copart Inc. 53,000 1,923
* Liberty Media Corp-Liberty Formula One 50,015 1,908
Kohl's Corp. 45,304 1,892
* Chipotle Mexican Grill Inc. Class A 6,850 1,863
Service Corp. International 48,500 1,720
KAR Auction Services Inc. 36,304 1,718
Gap Inc. 65,309 1,697
* Burlington Stores Inc. 18,062 1,696
* Liberty Global plc Class A 54,194 1,672
* ServiceMaster Global Holdings Inc. 35,398 1,668
Macy's Inc. 84,348 1,582
Advance Auto Parts Inc. 19,302 1,578
* Live Nation Entertainment Inc. 35,700 1,563
American Airlines Group Inc. 33,366 1,562
Dunkin' Brands Group Inc. 24,118 1,425
* GrubHub Inc. 23,200 1,416
H&R Block Inc. 54,442 1,347
News Corp. Class A 97,270 1,329
* Bright Horizons Family Solutions Inc. 15,254 1,316
* Discovery Communications Inc. 71,747 1,278
Nordstrom Inc. 30,535 1,211
Sabre Corp. 61,154 1,196
Williams-Sonoma Inc. 23,100 1,192
Signet Jewelers Ltd. 18,100 1,187
* United Continental Holdings Inc. 19,700 1,152
Dun & Bradstreet Corp. 9,830 1,148
Casey's General Stores Inc. 9,900 1,134
Six Flags Entertainment Corp. 18,000 1,130
* Grand Canyon Education Inc. 12,400 1,110
Foot Locker Inc. 36,633 1,102

 

102


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* TripAdvisor Inc. 29,368 1,101
* Madison Square Garden Co. Class A 4,933 1,099
  Rollins Inc. 24,850 1,091
  Cinemark Holdings Inc. 28,000 1,018
  Extended Stay America Inc. 51,059 1,012
* Stamps.com Inc. 4,300 965
* Beacon Roofing Supply Inc. 17,144 950
  Chemed Corp. 4,200 938
* Yelp Inc. Class A 19,677 919
* Liberty Media Corp-Liberty SiriusXM Class A 22,033 919
  Cable One Inc. 1,292 917
  Texas Roadhouse Inc. Class A 18,300 915
  Nexstar Media Group Inc. Class A 14,086 899
  Tribune Media Co. Class A 21,900 896
  Dolby Laboratories Inc. Class A 14,600 846
  Cracker Barrel Old Country Store Inc. 5,300 828
  Jack in the Box Inc. 7,800 807
  ILG Inc. 26,538 787
* Avis Budget Group Inc. 19,000 784
* Hyatt Hotels Corp. Class A 12,494 783
  Bed Bath & Beyond Inc. 39,100 778
* Hilton Grand Vacations Inc. 18,540 759
*,^ AutoNation Inc. 15,966 757
  Churchill Downs Inc. 3,600 751
  TEGNA Inc. 61,377 751
  Wendy's Co. 49,228 749
* Scientific Games Corp. Class A 15,681 746
* Five Below Inc. 13,300 735
* Lions Gate Entertainment Corp. Class B 26,185 724
  International Game Technology plc 29,878 702
* AMC Networks Inc. Class A 13,734 699
  Sinclair Broadcast Group Inc. Class A 21,965 696
  Marriott Vacations Worldwide Corp. 5,263 693
* Murphy USA Inc. 9,130 679
* Liberty Expedia Holdings Inc. Class A 14,681 677
  Lithia Motors Inc. Class A 5,900 668
  Hillenbrand Inc. 16,800 664
* Sprouts Farmers Market Inc. 35,094 649
  Aaron's Inc. 17,500 644
  John Wiley & Sons Inc. Class A 11,400 623
* Michaels Cos. Inc. 31,512 612
  Graham Holdings Co. Class B 1,099 612
* Adtalem Global Education Inc. 16,536 611
  Regal Entertainment Group Class A 37,323 610
  Big Lots Inc. 11,800 605
  New York Times Co. Class A 31,500 602
* Ollie's Bargain Outlet Holdings Inc. 13,400 598
* Performance Food Group Co. 20,852 590
* Liberty Global PLC LiLAC 26,819 590
* Sotheby's 11,300 586
  American Eagle Outfitters Inc. 44,943 585
  Boyd Gaming Corp. 19,800 579
* Discovery Communications Inc. Class A 30,441 575
* SiteOne Landscape Supply Inc. 9,000 572
  AMERCO 1,446 568
* Sally Beauty Holdings Inc. 32,500 563
  Papa John's International Inc. 8,200 558
* United Natural Foods Inc. 14,133 548
  Planet Fitness Inc. Class A 20,400 543
  Brinker International Inc. 17,500 538
  Choice Hotels International Inc. 7,700 537
* Penn National Gaming Inc. 20,500 535
  Dick's Sporting Goods Inc. 21,500 526
  Matthews International Corp. Class A 8,319 523

 

103


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Urban Outfitters Inc. 21,317 523
PriceSmart Inc. 6,200 520
* Caesars Entertainment Corp. 39,725 514
Meredith Corp. 9,700 514
Alaska Air Group Inc. 7,700 508
* Dave & Buster's Entertainment Inc. 10,400 501
* Acxiom Corp. 19,600 493
* Rite Aid Corp. 294,300 486
Cheesecake Factory Inc. 10,700 479
Morningstar Inc. 5,600 477
* RH 5,300 477
* Etsy Inc. 28,500 476
* Buffalo Wild Wings Inc. 4,000 473
News Corp. Class B 33,640 468
Travelport Worldwide Ltd. 29,400 461
GameStop Corp. Class A 24,516 458
Children's Place Inc. 4,200 457
Red Rock Resorts Inc. Class A 18,100 446
* La Quinta Holdings Inc. 24,606 434
* JetBlue Airways Corp. 22,312 427
Bob Evans Farms Inc. 5,500 425
Penske Automotive Group Inc. 9,100 424
Office Depot Inc. 135,767 421
* Groupon Inc. Class A 88,100 420
* Pandora Media Inc. 57,100 417
DSW Inc. Class A 21,420 410
* Liberty Global PLC LiLAC Class A 18,691 406
* Cars.com Inc. 16,792 400
Bloomin' Brands Inc. 22,435 399
* Belmond Ltd. Class A 30,100 396
* Rush Enterprises Inc. Class A 7,600 386
Group 1 Automotive Inc. 4,900 385
* Lions Gate Entertainment Corp. Class A 13,193 383
Core-Mark Holding Co. Inc. 11,200 381
* Pinnacle Entertainment Inc. 14,500 375
Monro Inc. 7,500 370
* Weight Watchers International Inc. 8,000 359
* Hertz Global Holdings Inc. 13,981 348
* Shutterfly Inc. 8,100 346
Time Inc. 29,302 340
* TrueCar Inc. 19,300 312
* Eldorado Resorts Inc. 12,132 312
* Houghton Mifflin Harcourt Co. 30,800 305
* Arcos Dorados Holdings Inc. Class A 29,800 298
* Red Robin Gourmet Burgers Inc. 4,300 294
HSN Inc. 7,600 287
SpartanNash Co. 11,600 285
* Asbury Automotive Group Inc. 4,600 282
International Speedway Corp. Class A 7,200 280
* Herc Holdings Inc. 5,760 279
Guess? Inc. 17,200 279
Capella Education Co. 3,400 277
Sonic Corp. 10,700 272
^ Abercrombie & Fitch Co. 20,080 270
Strayer Education Inc. 2,800 262
Caleres Inc. 9,200 251
Chico's FAS Inc. 30,900 247
Copa Holdings SA Class A 2,000 246
* Diplomat Pharmacy Inc. 11,536 243
* Bankrate Inc. 17,400 242
Scholastic Corp. 6,500 240
* Liberty TripAdvisor Holdings Inc. Class A 21,067 228
Dillard's Inc. Class A 4,400 224
* MSG Networks Inc. 12,700 220

 

104


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Lumber Liquidators Holdings Inc. 7,100 219
* EW Scripps Co. Class A 12,500 217
*,^ JC Penney Co. Inc. 75,534 212
* Liberty Media Corp-Liberty Formula One Class A 5,771 210
  Gannett Co. Inc. 23,988 209
  Sonic Automotive Inc. Class A 10,200 202
* Liberty Media Corp-Liberty Braves Series C 7,918 187
* MakeMyTrip Ltd. 6,500 177
  New Media Investment Group Inc. 10,669 170
  Tailored Brands Inc. 11,000 170
* SeaWorld Entertainment Inc. 14,500 166
  DineEquity Inc. 3,400 162
* Spirit Airlines Inc. 4,100 152
  Weis Markets Inc. 3,900 151
* SUPERVALU Inc. 9,113 148
* Regis Corp. 9,500 142
* Express Inc. 20,600 139
  Allegiant Travel Co. Class A 1,000 136
* BJ's Restaurants Inc. 4,200 133
* Hawaiian Holdings Inc. 3,900 131
* Bitauto Holdings Ltd. ADR 2,500 113
  Speedway Motorsports Inc. 5,653 113
  Rent-A-Center Inc. 11,100 110
  Buckle Inc. 6,500 107
* Genesco Inc. 4,200 103
* Fiesta Restaurant Group Inc. 5,900 98
^ GNC Holdings Inc. Class A 13,900 95
  Finish Line Inc. Class A 10,200 95
  Barnes & Noble Inc. 13,300 93
  National CineMedia Inc. 12,700 85
* Fang Holdings Ltd. ADR 18,800 85
* Biglari Holdings Inc. 225 80
  Pier 1 Imports Inc. 15,000 62
* Hibbett Sports Inc. 4,600 59
* FTD Cos. Inc. 5,200 56
* Liberty Media Corp-Liberty Braves Series A 2,308 54
* Barnes & Noble Education Inc. 8,124 44
* Lands' End Inc. 2,691 29
      865,676
Financials (10.5%)    
  JPMorgan Chase & Co. 957,961 96,380
  Bank of America Corp. 2,673,479 73,227
  Wells Fargo & Co. 1,217,292 68,339
* Berkshire Hathaway Inc. Class B 358,007 66,926
  Visa Inc. Class A 503,269 55,350
  Citigroup Inc. 738,749 54,298
  Mastercard Inc. Class A 257,129 38,253
* Berkshire Hathaway Inc. Class A 105 29,449
  Goldman Sachs Group Inc. 99,637 24,160
  US Bancorp 427,735 23,260
  American Express Co. 199,842 19,089
  Chubb Ltd. 125,859 18,982
  PNC Financial Services Group Inc. 131,091 17,932
  Morgan Stanley 358,224 17,911
  American Tower Corporation 114,671 16,475
  BlackRock Inc. 33,646 15,842
  American International Group Inc. 243,749 15,749
  Charles Schwab Corp. 321,994 14,438
  Bank of New York Mellon Corp. 273,479 14,070
  MetLife Inc. 245,358 13,146
  Simon Property Group Inc. 84,603 13,141
  Prudential Financial Inc. 116,149 12,830
  CME Group Inc. 91,976 12,616
  Capital One Financial Corp. 131,267 12,100

 

105


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Crown Castle International Corp. 109,384 11,713
Marsh & McLennan Cos. Inc. 139,074 11,255
S&P Global Inc. 70,002 10,953
BB&T Corp. 220,572 10,861
Intercontinental Exchange Inc. 159,012 10,511
Aon plc 70,254 10,077
Travelers Cos. Inc. 74,932 9,925
Equinix Inc. 21,190 9,822
State Street Corp. 102,213 9,404
Prologis Inc. 144,006 9,300
Allstate Corp. 98,705 9,264
Aflac Inc. 105,018 8,810
Public Storage 40,298 8,352
SunTrust Banks Inc. 132,873 8,000
Progressive Corp. 157,491 7,662
Weyerhaeuser Co. 203,958 7,324
Synchrony Financial 219,119 7,148
Discover Financial Services 103,475 6,884
AvalonBay Communities Inc. 37,881 6,869
Welltower Inc. 100,760 6,747
M&T Bank Corp. 39,733 6,626
Digital Realty Trust Inc. 55,885 6,619
Equity Residential 97,166 6,535
Moody's Corp. 45,208 6,438
Ameriprise Financial Inc. 40,856 6,396
Ventas Inc. 97,529 6,120
Fifth Third Bancorp 206,874 5,979
T. Rowe Price Group Inc. 64,268 5,971
Willis Towers Watson plc 34,363 5,535
KeyCorp 302,361 5,518
Hartford Financial Services Group Inc. 100,092 5,510
Northern Trust Corp. 57,076 5,338
Citizens Financial Group Inc. 138,470 5,263
* SBA Communications Corp. Class A 33,037 5,193
Boston Properties Inc. 42,782 5,184
Regions Financial Corp. 332,045 5,140
Principal Financial Group Inc. 73,264 4,824
Essex Property Trust Inc. 18,157 4,765
Lincoln National Corp. 61,084 4,629
* IHS Markit Ltd. 104,937 4,471
First Republic Bank 43,253 4,213
Huntington Bancshares Inc. 301,905 4,166
Realty Income Corp. 77,498 4,159
* Markel Corp. 3,747 4,063
Invesco Ltd. 111,534 3,992
Host Hotels & Resorts Inc. 202,426 3,959
Franklin Resources Inc. 92,176 3,883
Comerica Inc. 49,224 3,868
Loews Corp. 77,253 3,825
Annaly Capital Management Inc. 317,821 3,642
Vornado Realty Trust 48,329 3,618
Equifax Inc. 32,509 3,528
* Arch Capital Group Ltd. 35,206 3,508
TD Ameritrade Holding Corp. 69,661 3,482
CBOE Global Markets Inc. 30,769 3,479
HCP Inc. 129,392 3,343
GGP Inc. 170,724 3,322
Mid-America Apartment Communities Inc. 32,330 3,309
* E*TRADE Financial Corp. 75,845 3,306
Ally Financial Inc. 123,586 3,229
Unum Group 61,404 3,195
* SVB Financial Group 14,460 3,171
* CBRE Group Inc. Class A 79,647 3,132
Alexandria Real Estate Equities Inc. 24,704 3,062

 

106


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Raymond James Financial Inc. 35,700 3,027
Cincinnati Financial Corp. 42,935 3,013
Arthur J Gallagher & Co. 47,542 3,011
Iron Mountain Inc. 70,574 2,823
Affiliated Managers Group Inc. 15,083 2,813
MSCI Inc. Class A 23,700 2,781
UDR Inc. 70,787 2,746
XL Group Ltd. 67,320 2,724
Duke Realty Corp. 94,852 2,701
Extra Space Storage Inc. 33,000 2,692
FNF Group 71,864 2,689
Torchmark Corp. 30,825 2,593
Everest Re Group Ltd. 10,846 2,575
Western Union Co. 129,000 2,562
Reinsurance Group of America Inc. Class A 17,100 2,554
Zions Bancorporation 53,496 2,485
SL Green Realty Corp. 25,659 2,455
Regency Centers Corp. 39,183 2,412
Federal Realty Investment Trust 19,450 2,344
SEI Investments Co. 35,717 2,304
East West Bancorp Inc. 38,400 2,298
* Alleghany Corp. 4,047 2,291
Camden Property Trust 24,407 2,227
* Liberty Broadband Corp. 25,244 2,204
Nasdaq Inc. 29,600 2,150
Macerich Co. 38,946 2,126
Kimco Realty Corp. 114,426 2,078
AGNC Investment Corp. 102,030 2,054
VEREIT Inc. 257,178 2,029
American Financial Group Inc. 18,700 1,973
Gaming and Leisure Properties Inc. 53,562 1,957
* Signature Bank 15,000 1,950
Equity LifeStyle Properties Inc. 21,700 1,920
WP Carey Inc. 28,143 1,918
Voya Financial Inc. 47,181 1,895
Sun Communities Inc. 20,300 1,832
Colony NorthStar Inc. Class A 145,986 1,793
Janus Henderson Group plc 51,441 1,788
Kilroy Realty Corp. 24,818 1,768
WR Berkley Corp. 25,476 1,747
PacWest Bancorp 35,698 1,725
People's United Financial Inc. 91,524 1,708
MarketAxess Holdings Inc. 9,700 1,688
Apartment Investment & Management Co. 38,357 1,687
Liberty Property Trust 39,298 1,685
CIT Group Inc. 36,133 1,685
Lamar Advertising Co. Class A 22,627 1,594
New York Community Bancorp Inc. 126,798 1,593
Healthcare Trust of America Inc. Class A 52,990 1,592
National Retail Properties Inc. 39,605 1,591
First American Financial Corp. 29,000 1,578
Brown & Brown Inc. 31,328 1,561
Forest City Realty Trust Inc. Class A 62,782 1,546
Douglas Emmett Inc. 38,800 1,544
Jones Lang LaSalle Inc. 11,800 1,528
Hudson Pacific Properties Inc. 44,615 1,509
Omega Healthcare Investors Inc. 51,959 1,500
Bank of the Ozarks 32,137 1,498
* Athene Holding Ltd. Class A 28,672 1,495
Synovus Financial Corp. 31,885 1,494
RenaissanceRe Holdings Ltd. 10,731 1,485
American Campus Communities Inc. 35,700 1,484
Commerce Bancshares Inc. 25,489 1,482
Cullen/Frost Bankers Inc. 14,900 1,468

 

107


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Starwood Property Trust Inc. 68,105 1,465
Assurant Inc. 14,538 1,463
* MGIC Investment Corp. 101,300 1,449
Lazard Ltd. Class A 30,400 1,445
New Residential Investment Corp. 81,865 1,443
DCT Industrial Trust Inc. 24,625 1,429
Eaton Vance Corp. 28,200 1,423
Brixmor Property Group Inc. 81,457 1,423
CyrusOne Inc. 23,087 1,417
Highwoods Properties Inc. 27,200 1,389
* Western Alliance Bancorp 24,700 1,378
Sterling Bancorp 54,512 1,366
American Homes 4 Rent Class A 64,020 1,362
Webster Financial Corp. 24,400 1,342
Pinnacle Financial Partners Inc. 20,261 1,341
* Black Knight Inc. 29,334 1,330
Community Trust Bancorp Inc. 27,476 1,327
Old Republic International Corp. 65,067 1,320
CubeSmart 48,000 1,307
Hospitality Properties Trust 45,168 1,291
Medical Properties Trust Inc. 96,621 1,278
Axis Capital Holdings Ltd. 23,062 1,254
FNB Corp. 91,625 1,236
Starwood Waypoint Homes 33,897 1,231
Assured Guaranty Ltd. 32,900 1,221
Radian Group Inc. 57,500 1,205
Umpqua Holdings Corp. 58,833 1,204
* Liberty Ventures Class A 21,071 1,200
Gramercy Property Trust 40,196 1,194
STORE Capital Corp. 48,181 1,190
Wintrust Financial Corp. 14,500 1,179
LPL Financial Holdings Inc. 23,600 1,171
Prosperity Bancshares Inc. 17,700 1,164
EPR Properties 16,800 1,162
* Texas Capital Bancshares Inc. 13,500 1,162
* Howard Hughes Corp. 9,100 1,161
First Horizon National Corp. 61,781 1,160
Senior Housing Properties Trust 62,803 1,156
* Zillow Group Inc. 27,313 1,127
Hanover Insurance Group Inc. 11,300 1,112
Primerica Inc. 12,500 1,106
Park Hotels & Resorts Inc. 38,420 1,106
Realogy Holdings Corp. 34,190 1,105
Hancock Holding Co. 22,400 1,092
Validus Holdings Ltd. 20,565 1,071
Apple Hospitality REIT Inc. 56,100 1,063
CNO Financial Group Inc. 44,300 1,062
Healthcare Realty Trust Inc. 32,600 1,051
Spirit Realty Capital Inc. 126,299 1,050
Investors Bancorp Inc. 75,431 1,037
Rayonier Inc. 34,300 1,028
Associated Banc-Corp 40,400 1,022
White Mountains Insurance Group Ltd. 1,145 1,018
MB Financial Inc. 22,100 1,015
CoreSite Realty Corp. 9,100 1,008
Popular Inc. 27,398 1,005
Cousins Properties Inc. 111,022 1,001
Interactive Brokers Group Inc. 18,500 999
IBERIABANK Corp. 13,406 989
Selective Insurance Group Inc. 16,500 983
RLJ Lodging Trust 45,365 983
Sunstone Hotel Investors Inc. 59,889 977
First Industrial Realty Trust Inc. 31,651 977
* SLM Corp. 92,267 977

 

108


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Weingarten Realty Investors 32,000 974
UMB Financial Corp. 13,200 971
Chemical Financial Corp. 18,398 969
* Equity Commonwealth 32,200 968
United Bankshares Inc. 26,581 956
Home BancShares Inc. 42,187 948
Union Bankshares Corp. 27,390 945
Stifel Financial Corp. 17,700 939
Life Storage Inc. 11,607 938
BankUnited Inc. 26,901 938
Sabra Health Care REIT Inc. 46,867 934
BGC Partners Inc. Class A 61,084 927
* Essent Group Ltd. 21,600 921
Chimera Investment Corp. 50,020 915
Outfront Media Inc. 39,015 915
Two Harbors Investment Corp. 92,500 907
Navient Corp. 72,667 905
MFA Financial Inc. 105,400 868
First Financial Bankshares Inc. 18,800 858
* Liberty Broadband Corp. Class A 9,951 858
LaSalle Hotel Properties 30,400 858
GEO Group Inc. 32,998 856
* Credit Acceptance Corp. 2,983 855
Corporate Office Properties Trust 26,610 850
Fulton Financial Corp. 46,500 846
Cathay General Bancorp 20,200 844
Paramount Group Inc. 53,000 844
Bank of Hawaii Corp. 10,300 841
Uniti Group Inc. 47,178 826
ProAssurance Corp. 14,616 819
Columbia Property Trust Inc. 36,900 815
Taubman Centers Inc. 17,213 813
National Health Investors Inc. 10,600 808
Brandywine Realty Trust 46,164 807
* JBG SMITH Properties 25,864 807
EastGroup Properties Inc. 8,900 806
Blackstone Mortgage Trust Inc. Class A 25,301 805
Physicians Realty Trust 45,884 797
CoreCivic Inc. 32,107 792
Valley National Bancorp 68,684 790
Ryman Hospitality Properties Inc. 11,937 789
Federated Investors Inc. Class B 25,379 789
Legg Mason Inc. 20,607 787
* Enstar Group Ltd. 3,432 782
Old National Bancorp 42,946 782
Washington Federal Inc. 22,300 776
FirstCash Inc. 12,096 772
TCF Financial Corp. 42,388 772
First Citizens BancShares Inc. Class A 1,900 770
Evercore Inc. Class A 9,600 769
Piedmont Office Realty Trust Inc. Class A 38,700 748
Glacier Bancorp Inc. 19,700 748
Retail Properties of America Inc. 60,400 738
Kemper Corp. 11,500 737
Community Bank System Inc. 13,160 728
DiamondRock Hospitality Co. 64,700 703
PS Business Parks Inc. 5,300 701
Xenia Hotels & Resorts Inc. 31,600 688
Empire State Realty Trust Inc. 34,011 682
* Green Dot Corp. Class A 12,026 681
* HealthEquity Inc. 13,500 678
STAG Industrial Inc. 24,708 675
Columbia Banking System Inc. 15,500 674
QTS Realty Trust Inc. Class A 11,500 665

 

109


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Kennedy-Wilson Holdings Inc. 34,153 664
South State Corp. 7,300 657
* Santander Consumer USA Holdings Inc. 39,500 657
BancorpSouth Inc. 20,500 648
Aspen Insurance Holdings Ltd. 15,100 648
CVB Financial Corp. 27,100 647
DDR Corp. 83,500 640
Pebblebrook Hotel Trust 17,560 626
Trustmark Corp. 18,900 623
Hope Bancorp Inc. 33,654 621
Acadia Realty Trust 22,000 619
American Equity Investment Life Holding Co. 20,884 616
Education Realty Trust Inc. 17,617 615
* Zillow Group Inc. Class A 14,863 614
* HRG Group Inc. 37,425 607
First Midwest Bancorp Inc. 26,200 605
Simmons First National Corp. Class A 10,426 602
Great Western Bancorp Inc. 14,800 601
Washington REIT 18,200 586
International Bancshares Corp. 14,400 585
* Eagle Bancorp Inc. 8,600 573
Towne Bank 17,100 573
Urban Edge Properties 23,974 562
NBT Bancorp Inc. 14,743 562
* OneMain Holdings Inc. Class A 17,652 561
Argo Group International Holdings Ltd. 8,855 557
Lexington Realty Trust 54,500 552
RLI Corp. 9,300 550
Mack-Cali Realty Corp. 24,000 546
Ameris Bancorp 11,400 546
BOK Financial Corp. 6,200 536
Invitation Homes Inc. 23,500 530
Tanger Factory Outlet Centers Inc. 22,800 519
United Community Banks Inc. 18,800 515
Potlatch Corp. 9,800 508
LegacyTexas Financial Group Inc. 12,700 507
Financial Engines Inc. 13,985 505
Banner Corp. 8,800 504
HFF Inc. Class A 11,500 504
Terreno Realty Corp. 13,700 503
* Blackhawk Network Holdings Inc. 14,808 503
WesBanco Inc. 12,213 493
Alexander & Baldwin Inc. 10,900 493
Horace Mann Educators Corp. 11,200 491
Rexford Industrial Realty Inc. 16,500 490
* LendingClub Corp. 83,100 473
Northwest Bancshares Inc. 27,800 469
First Merchants Corp. 10,900 469
Independent Bank Corp. 6,500 469
ServisFirst Bancshares Inc. 11,400 468
Retail Opportunity Investments Corp. 26,000 467
First Commonwealth Financial Corp. 31,800 463
Kite Realty Group Trust 24,700 462
* LendingTree Inc. 1,700 456
LTC Properties Inc. 9,600 446
Government Properties Income Trust 24,520 446
First Financial Bancorp 16,300 445
Apollo Commercial Real Estate Finance Inc. 24,400 441
Invesco Mortgage Capital Inc. 25,500 439
* FCB Financial Holdings Inc. Class A 9,400 439
* Genworth Financial Inc. Class A 132,574 439
Renasant Corp. 10,589 438
Chesapeake Lodging Trust 15,700 438
WSFS Financial Corp. 8,800 437

 

110


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
NRG Yield Inc. 23,196 431
Hilltop Holdings Inc. 17,832 420
* Walker & Dunlop Inc. 7,400 406
Capitol Federal Financial Inc. 29,300 404
Summit Hotel Properties Inc. 25,496 403
Waddell & Reed Financial Inc. Class A 21,400 400
* BofI Holding Inc. 14,800 398
Park National Corp. 3,600 395
CBL & Associates Properties Inc. 49,800 390
CNA Financial Corp. 7,200 390
* PRA Group Inc. 13,900 388
Washington Prime Group Inc. 49,471 387
Global Net Lease Inc. 17,900 387
Artisan Partners Asset Management Inc. Class A 11,200 385
S&T Bancorp Inc. 9,300 380
Mercury General Corp. 6,755 378
* Quality Care Properties Inc. 23,725 376
Four Corners Property Trust Inc. 15,015 371
Provident Financial Services Inc. 13,600 370
American Assets Trust Inc. 9,300 361
BancFirst Corp. 6,600 361
Select Income REIT 14,089 340
First Hawaiian Inc. 11,600 339
Employers Holdings Inc. 7,100 339
Kearny Financial Corp. 22,500 339
Westamerica Bancorporation 5,800 338
InfraREIT Inc. 14,780 331
American National Insurance Co. 2,700 329
Nelnet Inc. Class A 5,500 322
Redwood Trust Inc. 20,480 322
Safety Insurance Group Inc. 3,784 311
WisdomTree Investments Inc. 27,800 308
Beneficial Bancorp Inc. 18,649 308
National General Holdings Corp. 15,000 303
Navigators Group Inc. 5,200 302
Boston Private Financial Holdings Inc. 18,700 297
City Holding Co. 4,200 296
CYS Investments Inc. 37,000 296
Independent Bank Group Inc. 4,700 296
* Encore Capital Group Inc. 6,200 288
* Third Point Reinsurance Ltd. 17,200 287
Tompkins Financial Corp. 3,263 284
Pennsylvania REIT 29,114 283
United Fire Group Inc. 5,994 276
ARMOUR Residential REIT Inc. 11,012 276
TrustCo Bank Corp. NY 29,706 273
Universal Health Realty Income Trust 3,717 272
Washington Trust Bancorp Inc. 4,900 272
FBL Financial Group Inc. Class A 3,500 271
* St. Joe Co. 14,933 266
AmTrust Financial Services Inc. 20,920 263
Ramco-Gershenson Properties Trust 20,500 259
PennyMac Mortgage Investment Trust 15,600 251
Alexander's Inc. 600 247
* FNFV Group 14,171 244
Franklin Street Properties Corp. 24,400 244
* First BanCorp 46,800 241
Capital Bank Financial Corp. 5,900 240
Flushing Financial Corp. 7,945 238
Infinity Property & Casualty Corp. 2,500 236
Piper Jaffray Cos. 3,200 234
Getty Realty Corp. 8,211 233
NorthStar Realty Europe Corp. 17,215 232
Brookline Bancorp Inc. 14,947 230

 

111


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Greenlight Capital Re Ltd. Class A 10,300 227
  Saul Centers Inc. 3,632 222
* MBIA Inc. 30,300 220
  First Financial Corp. 4,548 216
  TFS Financial Corp. 13,200 204
  Sandy Spring Bancorp Inc. 4,900 198
  Stock Yards Bancorp Inc. 5,237 198
  Dime Community Bancshares Inc. 8,800 194
  Ashford Hospitality Trust Inc. 26,806 188
  1st Source Corp. 3,630 186
  New Senior Investment Group Inc. 20,051 179
  Capstead Mortgage Corp. 20,300 179
  Virtus Investment Partners Inc. 1,528 178
  Oritani Financial Corp. 10,400 176
  Maiden Holdings Ltd. 21,100 174
  Cohen & Steers Inc. 4,000 174
  Investment Technology Group Inc. 7,400 174
* iStar Inc. 14,300 167
  State Auto Financial Corp. 6,500 167
  Investors Real Estate Trust 27,900 163
  RMR Group Inc. Class A 3,063 161
  Hersha Hospitality Trust Class A 7,475 132
  Urstadt Biddle Properties Inc. Class A 6,057 132
* Nationstar Mortgage Holdings Inc. 6,104 119
  Altisource Residential Corp. 10,800 115
  Anworth Mortgage Asset Corp. 18,500 103
* Marcus & Millichap Inc. 3,300 94
  NRG Yield Inc. Class A 5,100 94
^ Greenhill & Co. Inc. 5,100 93
  Republic Bancorp Inc. Class A 2,300 90
*,^ Forestar Group Inc. 932 17
      1,442,782
Health Care (6.5%)    
  Johnson & Johnson 735,000 102,466
  Pfizer Inc. 1,604,079 56,239
  UnitedHealth Group Inc. 262,086 55,096
  Merck & Co. Inc. 747,267 41,167
  AbbVie Inc. 432,537 39,036
  Amgen Inc. 199,811 35,011
  Medtronic plc 371,571 29,919
  Bristol-Myers Squibb Co. 447,424 27,588
  Gilead Sciences Inc. 353,546 26,502
  Abbott Laboratories 458,379 24,858
  Eli Lilly & Co. 265,592 21,763
* Celgene Corp. 210,584 21,263
  Thermo Fisher Scientific Inc. 108,156 20,964
* Biogen Inc. 57,771 18,005
  Allergan plc 91,382 16,196
  Anthem Inc. 72,171 15,099
  Aetna Inc. 88,083 14,977
  Stryker Corp. 92,156 14,272
  Cigna Corp. 67,536 13,319
  Becton Dickinson and Co. 61,146 12,759
* Intuitive Surgical Inc. 29,818 11,192
* Boston Scientific Corp. 371,418 10,452
  Humana Inc. 39,259 10,025
* Vertex Pharmaceuticals Inc. 68,422 10,005
* Express Scripts Holding Co. 158,104 9,690
  Baxter International Inc. 134,977 8,702
* Regeneron Pharmaceuticals Inc. 21,369 8,604
  Zoetis Inc. 134,479 8,582
* Illumina Inc. 39,584 8,122
* Alexion Pharmaceuticals Inc. 59,356 7,103
  Zimmer Biomet Holdings Inc. 55,330 6,729

 

112


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
CR Bard Inc. 19,571 6,401
* HCA Healthcare Inc. 81,431 6,160
* Edwards Lifesciences Corp. 57,106 5,838
* Incyte Corp. 45,966 5,206
* Mylan NV 145,402 5,192
* Align Technology Inc. 21,669 5,178
* Centene Corp. 46,588 4,364
* Laboratory Corp. of America Holdings 28,368 4,360
* Waters Corp. 21,146 4,146
* IDEXX Laboratories Inc. 24,088 4,003
* BioMarin Pharmaceutical Inc. 48,358 3,970
* Quintiles IMS Holdings Inc. 35,212 3,806
Dentsply Sirona Inc. 61,976 3,785
Quest Diagnostics Inc. 38,204 3,583
* Henry Schein Inc. 44,214 3,475
ResMed Inc. 38,374 3,230
Cooper Cos. Inc. 13,241 3,181
Perrigo Co. plc 37,695 3,053
* Hologic Inc. 75,969 2,875
Teleflex Inc. 12,000 2,844
* Alnylam Pharmaceuticals Inc. 21,700 2,644
* Varian Medical Systems Inc. 24,590 2,562
* DaVita Inc. 41,616 2,528
Universal Health Services Inc. Class B 23,466 2,410
* WellCare Health Plans Inc. 12,000 2,373
* Jazz Pharmaceuticals plc 15,500 2,194
* ABIOMED Inc. 10,900 2,103
STERIS plc 22,306 2,082
* Alkermes plc 40,300 1,965
* Exelixis Inc. 78,300 1,941
West Pharmaceutical Services Inc. 19,100 1,937
* Ionis Pharmaceuticals Inc. 32,600 1,862
* Bluebird Bio Inc. 12,613 1,754
* Exact Sciences Corp. 31,200 1,716
* Catalent Inc. 40,124 1,709
* Bioverativ Inc. 29,709 1,679
* Seattle Genetics Inc. 26,500 1,625
* Charles River Laboratories International Inc. 12,600 1,465
* Neurocrine Biosciences Inc. 23,200 1,441
Hill-Rom Holdings Inc. 17,500 1,412
* United Therapeutics Corp. 11,600 1,376
Bio-Techne Corp. 9,900 1,297
* Envision Healthcare Corp. 30,268 1,289
* Bio-Rad Laboratories Inc. Class A 5,700 1,253
HealthSouth Corp. 26,120 1,205
* TESARO Inc. 9,855 1,141
* Masimo Corp. 12,300 1,079
* MEDNAX Inc. 24,500 1,073
* PRA Health Sciences Inc. 12,884 1,049
* Puma Biotechnology Inc. 8,200 1,044
Cantel Medical Corp. 10,400 1,020
* DexCom Inc. 22,600 1,016
Healthcare Services Group Inc. 19,200 1,015
* Insulet Corp. 16,900 994
* FibroGen Inc. 17,547 980
* Nektar Therapeutics Class A 39,900 961
* ACADIA Pharmaceuticals Inc. 26,700 930
Bruker Corp. 27,900 876
* INC Research Holdings Inc. Class A 15,037 859
* Clovis Oncology Inc. 11,012 830
* Neogen Corp. 10,300 826
* Molina Healthcare Inc. 12,100 821
* Akorn Inc. 25,100 818
* Mallinckrodt plc 25,622 811

 

113


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Juno Therapeutics Inc. 17,900 804
* NuVasive Inc. 14,100 800
  Patterson Cos. Inc. 21,413 792
* Integra LifeSciences Holdings Corp. 16,914 791
* Ligand Pharmaceuticals Inc. 5,400 785
* Sarepta Therapeutics Inc. 15,491 764
* VWR Corp. 22,361 740
* Agios Pharmaceuticals Inc. 11,405 733
* LivaNova plc 9,907 732
* Portola Pharmaceuticals Inc. 14,736 728
* Penumbra Inc. 7,200 724
* Wright Medical Group NV 27,532 722
* Acadia Healthcare Co. Inc. 22,369 702
* ICU Medical Inc. 3,600 688
* Blueprint Medicines Corp. 10,300 684
* Avexis Inc. 6,500 679
* Prestige Brands Holdings Inc. 14,300 671
* Haemonetics Corp. 13,900 661
* Horizon Pharma plc 48,424 657
* Myriad Genetics Inc. 18,400 631
* Amicus Therapeutics Inc. 43,400 618
* Nevro Corp. 6,900 604
* Sage Therapeutics Inc. 9,317 590
* LifePoint Health Inc. 12,000 578
* Spark Therapeutics Inc. 7,011 567
* Halozyme Therapeutics Inc. 31,700 562
*,^ OPKO Health Inc. 82,000 552
* Globus Medical Inc. 17,200 548
* Aerie Pharmaceuticals Inc. 8,700 537
* Halyard Health Inc. 12,705 536
* HMS Holdings Corp. 27,700 533
* Omnicell Inc. 10,700 533
* Insmed Inc. 19,699 532
* Medicines Co. 18,300 526
* Loxo Oncology Inc. 6,100 526
* Supernus Pharmaceuticals Inc. 12,600 524
* Select Medical Holdings Corp. 27,100 519
* Ironwood Pharmaceuticals Inc. Class A 33,600 517
* Array BioPharma Inc. 48,300 505
* Merit Medical Systems Inc. 12,900 491
*,^ Teladoc Inc. 14,300 473
* Magellan Health Inc. 5,500 469
* Ultragenyx Pharmaceutical Inc. 10,100 466
* Brookdale Senior Living Inc. 45,273 454
  CONMED Corp. 8,600 449
* Inogen Inc. 4,500 445
* Emergent BioSolutions Inc. 10,500 430
* NxStage Medical Inc. 15,900 429
* Taro Pharmaceutical Industries Ltd. 3,800 427
* Tivity Health Inc. 8,800 407
* China Biologic Products Holdings Inc. 5,200 404
* Natus Medical Inc. 9,500 403
* Varex Imaging Corp. 11,704 402
* Amedisys Inc. 8,200 395
  Owens & Minor Inc. 16,000 393
* Acceleron Pharma Inc. 9,600 374
* Impax Laboratories Inc. 19,800 359
* Endo International plc 56,089 358
* Tenet Healthcare Corp. 25,050 358
* MiMedx Group Inc. 27,900 354
* Quidel Corp. 8,500 348
* Repligen Corp. 9,329 347
* Acorda Therapeutics Inc. 12,800 340
* Pacira Pharmaceuticals Inc. 10,500 337

 

114


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Theravance Biopharma Inc. 11,657 336
* Novocure Ltd. 15,300 330
* Radius Health Inc. 9,000 289
* Intercept Pharmaceuticals Inc. 4,300 265
*,^ TherapeuticsMD Inc. 55,400 261
* Five Prime Therapeutics Inc. 5,800 260
* Momenta Pharmaceuticals Inc. 17,412 246
* Innoviva Inc. 19,900 244
* Intrexon Corp. 14,800 242
  Analogic Corp. 3,000 241
* PharMerica Corp. 8,200 240
* CorVel Corp. 3,953 237
  Abaxis Inc. 4,900 237
  Ensign Group Inc. 10,200 235
* LHC Group Inc. 3,400 227
* Alder Biopharmaceuticals Inc. 19,188 216
* Orthofix International NV 3,700 199
* Genomic Health Inc. 5,800 190
*,^ Keryx Biopharmaceuticals Inc. 25,900 168
  Luminex Corp. 7,800 167
* Intra-Cellular Therapies Inc. Class A 10,300 161
  Meridian Bioscience Inc. 10,300 154
* ZIOPHARM Oncology Inc. 32,900 153
* Community Health Systems Inc. 24,102 142
* Lexicon Pharmaceuticals Inc. 13,949 142
* BeiGene Ltd. ADR 1,362 126
* AMAG Pharmaceuticals Inc. 7,215 113
  Kindred Healthcare Inc. 18,600 113
*,^ Lannett Co. Inc. 5,200 103
* Eagle Pharmaceuticals Inc. 1,900 102
* Achillion Pharmaceuticals Inc. 24,500 98
* Aduro Biotech Inc. 12,200 97
* Depomed Inc. 11,400 55
* Insys Therapeutics Inc. 5,400 28
      895,744
Industrials (6.8%)    
  General Electric Co. 2,360,148 47,581
  Boeing Co. 151,555 39,098
  3M Co. 157,223 36,191
  Honeywell International Inc. 205,765 29,663
  Union Pacific Corp. 218,794 25,334
  United Technologies Corp. 202,461 24,247
  Accenture plc Class A 167,828 23,892
* PayPal Holdings Inc. 307,292 22,297
  United Parcel Service Inc. Class B 187,129 21,993
  Lockheed Martin Corp. 68,793 21,199
  Caterpillar Inc. 154,143 20,933
  Danaher Corp. 166,208 15,336
  FedEx Corp. 67,487 15,239
  General Dynamics Corp. 70,404 14,291
  Raytheon Co. 78,900 14,218
  Automatic Data Processing Inc. 121,488 14,124
  Northrop Grumman Corp. 43,850 12,959
  Illinois Tool Works Inc. 82,755 12,953
  CSX Corp. 236,481 11,926
  Deere & Co. 86,577 11,504
  Emerson Electric Co. 175,241 11,296
  Johnson Controls International plc 254,975 10,553
  Norfolk Southern Corp. 78,614 10,331
  Waste Management Inc. 120,638 9,913
  Eaton Corp. plc 122,214 9,780
  Sherwin-Williams Co. 22,323 8,821
  TE Connectivity Ltd. 96,280 8,759
  Fidelity National Information Services Inc. 89,334 8,287

 

115


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Cummins Inc. 43,286 7,656
* Fiserv Inc. 58,048 7,513
Amphenol Corp. Class A 82,318 7,162
Rockwell Automation Inc. 35,604 7,150
Roper Technologies Inc. 27,637 7,135
PACCAR Inc. 93,756 6,725
Parker-Hannifin Corp. 36,392 6,646
Ingersoll-Rand plc 70,073 6,208
Fortive Corp. 84,172 6,082
Agilent Technologies Inc. 88,884 6,047
Rockwell Collins Inc. 44,234 5,998
Paychex Inc. 88,345 5,636
* Mettler-Toledo International Inc. 6,987 4,770
Vulcan Materials Co. 36,340 4,424
Global Payments Inc. 42,235 4,390
AMETEK Inc. 63,255 4,269
WestRock Co. 68,605 4,208
* FleetCor Technologies Inc. 25,195 4,164
Republic Services Inc. Class A 63,898 4,158
Ball Corp. 95,808 4,113
Dover Corp. 42,807 4,088
L3 Technologies Inc. 21,498 4,024
Textron Inc. 73,721 3,888
Fastenal Co. 80,698 3,790
Martin Marietta Materials Inc. 17,385 3,770
TransDigm Group Inc. 13,497 3,745
Masco Corp. 91,477 3,643
Total System Services Inc. 50,235 3,619
* Verisk Analytics Inc. Class A 42,406 3,607
Cintas Corp. 23,680 3,529
* United Rentals Inc. 23,255 3,290
Xylem Inc. 49,355 3,284
Pentair plc 46,256 3,259
* Vantiv Inc. Class A 43,946 3,076
Kansas City Southern 28,585 2,979
Alliance Data Systems Corp. 13,261 2,967
Packaging Corp. of America 24,903 2,895
CH Robinson Worldwide Inc. 36,836 2,893
WW Grainger Inc. 14,127 2,793
Huntington Ingalls Industries Inc. 11,929 2,777
Cognex Corp. 22,500 2,771
Expeditors International of Washington Inc. 47,395 2,767
* Trimble Inc. 67,600 2,764
Fortune Brands Home & Security Inc. 40,950 2,705
Broadridge Financial Solutions Inc. 31,195 2,680
* CoStar Group Inc. 9,046 2,675
Spirit AeroSystems Holdings Inc. Class A 32,658 2,616
IDEX Corp. 20,400 2,616
* Flex Ltd. 140,325 2,498
JB Hunt Transport Services Inc. 23,081 2,456
Owens Corning 29,200 2,415
Sealed Air Corp. 52,735 2,332
AO Smith Corp. 38,400 2,273
Jack Henry & Associates Inc. 20,600 2,269
* Sensata Technologies Holding NV 45,585 2,230
* Keysight Technologies Inc. 48,849 2,182
* First Data Corp. Class A 122,143 2,175
ManpowerGroup Inc. 17,554 2,164
* XPO Logistics Inc. 31,093 2,156
Allegion plc 25,491 2,126
PerkinElmer Inc. 29,175 2,110
* Crown Holdings Inc. 35,041 2,108
* Shopify Inc. Class A 20,747 2,064
* Berry Global Group Inc. 34,582 2,056

 

116


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Orbital ATK Inc. 15,373 2,044
* IPG Photonics Corp. 9,500 2,023
Graco Inc. 15,100 1,990
Old Dominion Freight Line Inc. 16,350 1,980
* AerCap Holdings NV 37,516 1,975
* Arrow Electronics Inc. 23,582 1,971
Lennox International Inc. 10,200 1,950
Nordson Corp. 15,300 1,938
Acuity Brands Inc. 11,500 1,923
* HD Supply Holdings Inc. 54,200 1,918
Xerox Corp. 63,011 1,910
Toro Co. 29,713 1,867
Hubbell Inc. Class B 14,555 1,831
Wabtec Corp. 23,900 1,828
* TransUnion 34,800 1,827
Carlisle Cos. Inc. 16,500 1,812
Jacobs Engineering Group Inc. 31,071 1,809
Oshkosh Corp. 19,468 1,783
Robert Half International Inc. 32,880 1,702
FLIR Systems Inc. 36,300 1,700
* Zebra Technologies Corp. 14,500 1,682
* Coherent Inc. 6,400 1,681
Universal Display Corp. 11,400 1,670
Donaldson Co. Inc. 35,300 1,667
Fluor Corp. 37,605 1,620
Allison Transmission Holdings Inc. 37,423 1,590
* Stericycle Inc. 22,231 1,575
Curtiss-Wright Corp. 13,300 1,573
Flowserve Corp. 35,566 1,567
* Teledyne Technologies Inc. 8,960 1,523
MDU Resources Group Inc. 55,176 1,509
EMCOR Group Inc. 18,200 1,465
Hexcel Corp. 23,900 1,451
Booz Allen Hamilton Holding Corp. Class A 38,374 1,450
* Quanta Services Inc. 38,200 1,441
Lincoln Electric Holdings Inc. 15,700 1,439
* AECOM 40,700 1,427
BWX Technologies Inc. 23,650 1,417
Macquarie Infrastructure Corp. 20,300 1,412
* Knight-Swift Transportation Holdings Inc. 33,884 1,405
Waste Connections Inc. (New York Shares) 19,302 1,364
Sonoco Products Co. 26,100 1,352
Watsco Inc. 8,100 1,349
AptarGroup Inc. 15,400 1,341
Jabil Inc. 46,719 1,321
* Genesee & Wyoming Inc. Class A 18,400 1,321
Avnet Inc. 33,143 1,319
Trinity Industries Inc. 40,100 1,304
* Euronet Worldwide Inc. 13,400 1,295
Eagle Materials Inc. 12,200 1,288
Graphic Packaging Holding Co. 82,680 1,281
National Instruments Corp. 28,400 1,278
ITT Inc. 27,067 1,262
* WEX Inc. 10,104 1,249
Littelfuse Inc. 5,800 1,212
Ryder System Inc. 14,787 1,199
AGCO Corp. 17,200 1,179
Terex Corp. 24,902 1,173
Genpact Ltd. 38,218 1,164
Crane Co. 13,900 1,155
* Louisiana-Pacific Corp. 42,000 1,142
MAXIMUS Inc. 17,000 1,129
Air Lease Corp. Class A 25,700 1,117
* Colfax Corp. 26,340 1,099

 

117


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Bemis Co. Inc. 24,060 1,083
  Woodward Inc. 13,800 1,067
* CoreLogic Inc. 22,545 1,057
  Landstar System Inc. 10,700 1,057
* Owens-Illinois Inc. 43,250 1,033
* Kirby Corp. 14,400 1,020
  MSC Industrial Direct Co. Inc. Class A 11,800 978
  John Bean Technologies Corp. 9,100 973
  Regal Beloit Corp. 11,900 966
  Valmont Industries Inc. 5,900 938
  Kennametal Inc. 21,300 930
  Brink's Co. 12,100 921
* Trex Co. Inc. 8,400 919
  Deluxe Corp. 12,900 899
  Belden Inc. 11,200 895
* Summit Materials Inc. Class A 28,400 892
  EnerSys 12,800 888
* WESCO International Inc. 13,974 882
  Timken Co. 18,500 872
  Barnes Group Inc. 13,400 872
* MasTec Inc. 19,900 867
  HEICO Corp. Class A 11,375 866
* Generac Holdings Inc. 16,500 860
* USG Corp. 24,518 842
* Conduent Inc. 53,706 831
*,^ Cimpress NV 7,600 829
* On Assignment Inc. 13,500 826
* Rexnord Corp. 31,889 814
  Vishay Intertechnology Inc. 35,800 797
  MSA Safety Inc. 10,000 795
* KLX Inc. 14,400 790
* Clean Harbors Inc. 14,700 787
  KBR Inc. 39,400 773
  Tetra Tech Inc. 15,600 768
* Moog Inc. Class A 8,600 755
* II-VI Inc. 16,600 750
  HEICO Corp. 7,853 712
* Esterline Technologies Corp. 7,500 711
  Granite Construction Inc. 11,000 701
* RBC Bearings Inc. 5,600 693
* Rogers Corp. 4,500 684
* Itron Inc. 8,600 672
  Mueller Industries Inc. 18,900 657
  Applied Industrial Technologies Inc. 10,200 649
* Armstrong World Industries Inc. 12,579 643
  Watts Water Technologies Inc. Class A 9,200 620
  UniFirst Corp. 3,900 614
  Simpson Manufacturing Co. Inc. 11,000 613
* Sanmina Corp. 18,700 612
  GATX Corp. 10,300 612
* Meritor Inc. 23,200 603
  EnPro Industries Inc. 7,100 595
* TopBuild Corp. 8,998 594
  Universal Forest Products Inc. 5,200 587
* Navistar International Corp. 13,500 571
  ABM Industries Inc. 13,600 571
  Korn/Ferry International 13,600 569
* WageWorks Inc. 8,900 567
  Convergys Corp. 21,900 564
  Silgan Holdings Inc. 19,168 561
  Mueller Water Products Inc. Class A 46,800 559
* ExlService Holdings Inc. 8,700 543
  Franklin Electric Co. Inc. 11,900 541
* Proto Labs Inc. 6,200 541

 

118


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Exponent Inc. 7,300 539
* JELD-WEN Holding Inc. 14,600 538
World Fuel Services Corp. 19,200 534
* Aerojet Rocketdyne Holdings Inc. 16,700 527
* Advisory Board Co. 9,700 523
Greenbrier Cos. Inc. 9,900 517
* Harsco Corp. 23,800 506
* Saia Inc. 7,800 505
* Anixter International Inc. 7,200 495
Methode Electronics Inc. 10,500 492
* Masonite International Corp. 7,200 483
* Orbotech Ltd. 10,800 483
* AMN Healthcare Services Inc. 11,000 483
* OSI Systems Inc. 5,400 477
Brady Corp. Class A 12,380 471
* Integer Holdings Corp. 9,678 470
* Plexus Corp. 7,600 467
Forward Air Corp. 8,100 465
Insperity Inc. 4,900 465
* Builders FirstSource Inc. 25,700 463
* MACOM Technology Solutions Holdings Inc. 11,313 462
Albany International Corp. 7,600 459
* Ambarella Inc. 8,100 457
Comfort Systems USA Inc. 10,300 456
Viad Corp. 7,800 453
Covanta Holding Corp. 26,800 431
Mobile Mini Inc. 12,800 424
Triton International Ltd. 10,500 419
Tennant Co. 6,000 416
Otter Tail Corp. 9,000 414
* American Woodmark Corp. 4,267 412
* Benchmark Electronics Inc. 13,300 412
* TriNet Group Inc. 11,700 406
* Axon Enterprise Inc. 17,600 404
Triumph Group Inc. 13,000 404
Chicago Bridge & Iron Co. NV 28,710 400
CTS Corp. 14,700 400
* Installed Building Products Inc. 5,700 397
AAR Corp. 10,200 397
Werner Enterprises Inc. 11,000 392
* SPX FLOW Inc. 9,499 392
* FTI Consulting Inc. 9,100 389
Greif Inc. Class A 7,000 389
AAON Inc. 10,950 383
Actuant Corp. Class A 14,900 380
Standex International Corp. 3,500 362
H&E Equipment Services Inc. 11,000 362
Kaman Corp. 6,400 358
Primoris Services Corp. 12,500 353
ManTech International Corp. Class A 7,600 353
* Imperva Inc. 8,200 350
* TTM Technologies Inc. 22,054 348
* TriMas Corp. 13,100 348
* Tutor Perini Corp. 12,200 344
ESCO Technologies Inc. 5,900 342
* TrueBlue Inc. 12,600 341
* Cotiviti Holdings Inc. 9,700 341
* SPX Corp. 11,599 340
* Manitowoc Co. Inc. 35,400 337
* Paylocity Holding Corp. 6,300 337
* Fabrinet 9,000 335
Aircastle Ltd. 14,200 330
* Hub Group Inc. Class A 7,600 329
AZZ Inc. 6,800 325

 

119


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Sykes Enterprises Inc. 11,200 324
  Badger Meter Inc. 7,400 324
* Boise Cascade Co. 9,100 323
  Astec Industries Inc. 6,200 322
  Apogee Enterprises Inc. 6,700 320
  Raven Industries Inc. 9,500 320
* Aerovironment Inc. 6,100 312
* Knowles Corp. 18,773 311
  Cubic Corp. 5,600 305
  Hyster-Yale Materials Handling Inc. 3,800 298
  Federal Signal Corp. 13,200 282
  General Cable Corp. 13,000 272
  EVERTEC Inc. 17,100 257
* Cardtronics plc Class A 11,100 254
  Scorpio Tankers Inc. 70,700 252
  McGrath RentCorp 5,600 250
  Materion Corp. 4,832 248
  MTS Systems Corp. 4,700 245
  Schnitzer Steel Industries Inc. 8,000 236
* Gibraltar Industries Inc. 7,000 233
  Heartland Express Inc. 10,900 233
* Evolent Health Inc. Class A 14,000 228
  Lindsay Corp. 2,400 220
  Ship Finance International Ltd. 14,313 213
  US Ecology Inc. 4,300 204
  Hollysys Automation Technologies Ltd. 9,100 204
  CIRCOR International Inc. 4,600 202
  Sturm Ruger & Co. Inc. 4,000 198
* 51job Inc. ADR 3,200 198
  Encore Wire Corp. 4,300 194
* Donnelley Financial Solutions Inc. 8,870 191
  AVX Corp. 10,000 188
* Huron Consulting Group Inc. 5,000 183
  Kelly Services Inc. Class A 6,900 182
* FARO Technologies Inc. 3,500 181
* Veeco Instruments Inc. 10,017 181
* Navigant Consulting Inc. 9,900 171
* Aegion Corp. Class A 7,300 170
*,^ American Outdoor Brands Corp. 11,800 169
  Advanced Drainage Systems Inc. 8,600 168
  Quanex Building Products Corp. 7,600 167
  Griffon Corp. 7,300 165
* CBIZ Inc. 9,500 161
* PHH Corp. 11,120 147
  GasLog Ltd. 8,400 145
^ Teekay Corp. 17,800 144
  TeleTech Holdings Inc. 3,400 142
  RR Donnelley & Sons Co. 14,586 134
  Myers Industries Inc. 5,900 127
^ Nordic American Tankers Ltd. 27,998 124
* Engility Holdings Inc. 3,673 124
  LSC Communications Inc. 7,570 123
* Wesco Aircraft Holdings Inc. 12,800 116
* TimkenSteel Corp. 7,300 102
  Matson Inc. 3,700 101
* Atlas Air Worldwide Holdings Inc. 1,500 92
  Essendant Inc. 8,400 81
  Seaspan Corp. Class A 11,600 81
* Armstrong Flooring Inc. 5,144 76
*,^ Team Inc. 5,900 73
* Babcock & Wilcox Enterprises Inc. 10,525 46
  American Railcar Industries Inc. 1,000 40
  Cimpress NV  
      938,648

 

120


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
Oil & Gas (2.8%)    
  Exxon Mobil Corp. 1,152,160 96,033
  Chevron Corp. 514,546 59,631
  Schlumberger Ltd. 378,832 24,245
  ConocoPhillips 331,412 16,952
  EOG Resources Inc. 157,040 15,684
  Occidental Petroleum Corp. 207,791 13,417
  Phillips 66 118,505 10,793
  Halliburton Co. 240,010 10,258
  Valero Energy Corp. 121,874 9,615
  Kinder Morgan Inc. 524,172 9,493
  Marathon Petroleum Corp. 137,187 8,196
  Anadarko Petroleum Corp. 153,124 7,560
  Pioneer Natural Resources Co. 46,142 6,906
  Williams Cos. Inc. 227,174 6,474
* Concho Resources Inc. 40,466 5,431
  Devon Energy Corp. 145,015 5,351
  Apache Corp. 104,864 4,338
  Andeavor 40,106 4,261
  Noble Energy Inc. 134,343 3,744
  National Oilwell Varco Inc. 109,062 3,729
  Baker Hughes a GE Co. 117,819 3,703
  Cabot Oil & Gas Corp. 127,686 3,537
  Hess Corp. 78,568 3,470
  Marathon Oil Corp. 235,571 3,350
  Cimarex Energy Co. 25,594 2,993
  EQT Corp. 47,352 2,961
* Diamondback Energy Inc. 25,811 2,766
* Cheniere Energy Inc. 53,677 2,509
  Targa Resources Corp. 57,096 2,369
  OGE Energy Corp. 53,300 1,964
  HollyFrontier Corp. 47,270 1,747
* Newfield Exploration Co. 55,301 1,703
  Helmerich & Payne Inc. 31,200 1,694
* Parsley Energy Inc. Class A 60,898 1,620
* Energen Corp. 25,909 1,339
* WPX Energy Inc. 112,778 1,272
* Rice Energy Inc. 44,650 1,266
* RSP Permian Inc. 36,189 1,245
* First Solar Inc. 22,570 1,237
* Antero Resources Corp. 61,600 1,195
  Murphy Oil Corp. 43,523 1,164
  Core Laboratories NV 11,600 1,159
  Range Resources Corp. 60,996 1,105
  Patterson-UTI Energy Inc. 55,577 1,099
* Continental Resources Inc. 24,912 1,014
* Chesapeake Energy Corp. 250,811 978
* PDC Energy Inc. 18,581 946
* Southwestern Energy Co. 153,118 850
* Weatherford International plc 235,703 818
  PBF Energy Inc. Class A 27,002 782
  Ensco plc Class A 114,803 619
  Delek US Holdings Inc. 22,480 586
*,^ Matador Resources Co. 21,900 581
  SM Energy Co. 27,214 580
  Oceaneering International Inc. 28,600 578
* Callon Petroleum Co. 50,114 556
* Oasis Petroleum Inc. 56,953 538
* SRC Energy Inc. 56,200 536
* Whiting Petroleum Corp. 88,055 529
* Gulfport Energy Corp. 38,382 526
* Laredo Petroleum Inc. 43,300 516
* QEP Resources Inc. 57,564 515
* Extraction Oil & Gas Inc. 31,544 503

 

121


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  SemGroup Corp. Class A 16,953 442
* McDermott International Inc. 66,677 441
* Kosmos Energy Ltd. 57,056 438
  Pattern Energy Group Inc. Class A 18,752 433
* Rowan Cos. plc Class A 28,588 410
  Nabors Industries Ltd. 66,808 376
* MRC Global Inc. 21,900 376
* Dril-Quip Inc. 8,900 375
* NOW Inc. 29,096 364
* Carrizo Oil & Gas Inc. 20,279 359
* C&J Energy Services Inc. 12,300 350
  Archrock Inc. 27,500 330
  RPC Inc. 13,300 323
* Superior Energy Services Inc. 36,135 319
* Oil States International Inc. 12,700 293
* Chart Industries Inc. 6,400 278
  Green Plains Inc. 14,400 265
* Helix Energy Solutions Group Inc. 37,800 258
* Noble Corp. plc 61,511 256
* Forum Energy Technologies Inc. 17,600 253
* Unit Corp. 12,300 230
*,^ Diamond Offshore Drilling Inc. 13,618 228
* Exterran Corp. 6,500 210
*,^ Canadian Solar Inc. 9,400 166
* Newpark Resources Inc. 16,900 148
* SEACOR Holdings Inc. 3,100 146
*,^ SunPower Corp. Class A 19,200 137
  CVR Energy Inc. 4,200 115
* Denbury Resources Inc. 84,826 104
* Flotek Industries Inc. 13,400 66
* SEACOR Marine Holdings Inc. 3,116 44
  Frank's International NV 6,200 41
* Cobalt International Energy Inc. 4,378 4
      391,707
Other (0.0%)4    
*,3 Dyax Corp CVR Exp. 12/31/2019 28,600 57
*,3 Herbalife Ltd. CVR 2,700 26
*,3 Media General Inc. CVR Exp. 12/31/49 21,051 1
      84
Technology (10.1%)    
  Apple Inc. 1,419,304 239,919
  Microsoft Corp. 2,039,691 169,662
* Facebook Inc. Class A 635,391 114,409
* Alphabet Inc. Class C 84,070 85,469
* Alphabet Inc. Class A 79,195 81,812
  Intel Corp. 1,279,888 58,222
  Cisco Systems Inc. 1,361,049 46,480
  Oracle Corp. 780,130 39,709
  International Business Machines Corp. 233,129 35,916
  NVIDIA Corp. 154,324 31,916
  Broadcom Ltd. 109,902 29,004
  Texas Instruments Inc. 269,601 26,068
* Adobe Systems Inc. 134,097 23,488
  QUALCOMM Inc. 402,198 20,516
* salesforce.com Inc. 183,812 18,811
  Applied Materials Inc. 294,165 16,600
* Micron Technology Inc. 308,353 13,663
  Cognizant Technology Solutions Corp. Class A 158,710 12,010
* NXP Semiconductors NV 93,278 10,918
  Intuit Inc. 66,383 10,025
  HP Inc. 462,735 9,972
  Lam Research Corp. 44,137 9,206
  Analog Devices Inc. 100,069 9,136
  Corning Inc. 242,297 7,586

 

122


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Western Digital Corp. 79,629 7,108
  DXC Technology Co. 77,361 7,080
* Autodesk Inc. 56,538 7,065
  Hewlett Packard Enterprise Co. 454,188 6,322
  Microchip Technology Inc. 63,435 6,014
* Red Hat Inc. 48,567 5,868
  Skyworks Solutions Inc. 51,286 5,839
* ServiceNow Inc. 46,168 5,834
  Symantec Corp. 169,032 5,494
* Cerner Corp. 78,791 5,320
  Xilinx Inc. 68,825 5,072
  KLA-Tencor Corp. 43,573 4,745
  Harris Corp. 33,989 4,735
* Dell Technologies Inc. Class V 56,432 4,671
  Motorola Solutions Inc. 46,364 4,198
  Maxim Integrated Products Inc. 79,367 4,170
* Check Point Software Technologies Ltd. 34,425 4,052
* Workday Inc. Class A 36,160 4,013
* Twitter Inc. 182,753 3,768
* Synopsys Inc. 43,265 3,743
* Palo Alto Networks Inc. 24,459 3,600
* Citrix Systems Inc. 42,906 3,544
  NetApp Inc. 73,243 3,253
* Cadence Design Systems Inc. 75,360 3,253
* ANSYS Inc. 23,055 3,152
* Gartner Inc. 23,384 2,930
  CDW Corp. 41,834 2,928
* Arista Networks Inc. 14,400 2,878
  Seagate Technology plc 77,583 2,868
  CA Inc. 86,238 2,792
* VeriSign Inc. 24,129 2,594
* Qorvo Inc. 33,627 2,549
* Splunk Inc. 37,798 2,544
  Juniper Networks Inc. 101,596 2,523
  Amdocs Ltd. 38,738 2,522
*,^ Advanced Micro Devices Inc. 226,614 2,489
* Square Inc. 64,900 2,414
  CDK Global Inc. 37,955 2,412
* IAC/InterActiveCorp 18,619 2,403
* Akamai Technologies Inc. 45,672 2,386
  Leidos Holdings Inc. 37,891 2,369
* ON Semiconductor Corp. 111,067 2,368
* Yandex NV Class A 69,762 2,360
* VMware Inc. Class A 19,076 2,283
  Teradyne Inc. 52,800 2,265
  Micro Focus International plc ADR 61,498 2,148
* F5 Networks Inc. 16,991 2,061
* PTC Inc. 30,600 2,033
  Marvell Technology Group Ltd. 107,279 1,981
  Garmin Ltd. 32,236 1,825
  SS&C Technologies Holdings Inc. 43,936 1,766
* Veeva Systems Inc. Class A 28,700 1,749
* Tyler Technologies Inc. 9,800 1,737
* CommScope Holding Co. Inc. 53,214 1,710
* Microsemi Corp. 30,506 1,628
  LogMeIn Inc. 13,100 1,586
* Guidewire Software Inc. 19,800 1,584
* Fortinet Inc. 39,300 1,549
  MKS Instruments Inc. 14,200 1,543
* Ultimate Software Group Inc. 7,600 1,540
* ARRIS International plc 51,683 1,473
  Brocade Communications Systems Inc. 124,681 1,453
* GoDaddy Inc. Class A 30,326 1,416
  Cypress Semiconductor Corp. 87,432 1,387

 

123


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* athenahealth Inc. 10,500 1,343
CSRA Inc. 41,025 1,312
* Tableau Software Inc. Class A 16,002 1,298
Blackbaud Inc. 12,700 1,287
* Aspen Technology Inc. 19,900 1,284
Monolithic Power Systems Inc. 10,400 1,265
Entegris Inc. 37,400 1,225
* Cavium Inc. 17,481 1,206
* Integrated Device Technology Inc. 38,500 1,196
* Medidata Solutions Inc. 15,900 1,196
* EPAM Systems Inc. 13,000 1,185
Fair Isaac Corp. 8,100 1,176
* NCR Corp. 35,415 1,136
* Nuance Communications Inc. 76,600 1,129
* Teradata Corp. 33,536 1,122
* Paycom Software Inc. 13,052 1,073
* Silicon Laboratories Inc. 11,300 1,072
* Proofpoint Inc. 11,600 1,072
* Cirrus Logic Inc. 19,100 1,070
* Lumentum Holdings Inc. 16,740 1,057
SYNNEX Corp. 7,700 1,039
* Atlassian Corp. plc Class A 20,300 982
* CACI International Inc. Class A 6,700 963
DST Systems Inc. 16,382 960
j2 Global Inc. 12,900 956
* ViaSat Inc. 14,168 922
* Ellie Mae Inc. 9,700 873
* Tech Data Corp. 9,300 863
Science Applications International Corp. 11,653 855
* Manhattan Associates Inc. 20,400 854
* Cree Inc. 23,915 854
* Advanced Energy Industries Inc. 9,500 805
InterDigital Inc. 10,900 800
* Semtech Corp. 19,400 796
* Finisar Corp. 33,100 779
* Ciena Corp. 35,000 744
* Zendesk Inc. 24,000 744
* FireEye Inc. 43,800 741
* HubSpot Inc. 8,300 718
* 2U Inc. 11,100 706
* RealPage Inc. 16,300 706
* ACI Worldwide Inc. 29,200 703
* InterXion Holding NV 12,900 689
* Allscripts Healthcare Solutions Inc. 50,600 682
Pitney Bowes Inc. 49,247 677
Power Integrations Inc. 8,400 675
* NetScout Systems Inc. 23,438 666
* Dycom Industries Inc. 7,500 659
* Verint Systems Inc. 15,500 654
* RingCentral Inc. Class A 15,300 645
* EchoStar Corp. Class A 11,300 632
* Mercury Systems Inc. 12,500 631
Cabot Microelectronics Corp. 6,500 628
* CommVault Systems Inc. 11,970 623
TiVo Corp. 34,262 622
Cogent Communications Holdings Inc. 11,100 598
* Envestnet Inc. 11,000 587
* Cornerstone OnDemand Inc. 15,100 579
Brooks Automation Inc. 16,800 578
* Descartes Systems Group Inc. 19,000 551
* Twilio Inc. Class A 16,500 527
* VeriFone Systems Inc. 27,600 527
Pegasystems Inc. 9,000 525
* Viavi Solutions Inc. 55,300 513

 

124


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Insight Enterprises Inc. 11,300 509
* Wix.com Ltd. 7,200 503
* Qualys Inc. 9,000 476
* Sohu.com Inc. 8,000 458
  Progress Software Corp. 10,800 457
* BroadSoft Inc. 8,200 450
* Premier Inc. Class A 13,675 447
  Ebix Inc. 6,500 442
* New Relic Inc. 8,500 436
* Callidus Software Inc. 17,100 434
* NETGEAR Inc. 9,200 429
* Inphi Corp. 10,400 426
  CSG Systems International Inc. 9,600 406
  Plantronics Inc. 8,800 399
* MaxLinear Inc. 15,800 387
* Kulicke & Soffa Industries Inc. 16,700 378
* Rambus Inc. 25,000 368
* Luxoft Holding Inc. Class A 7,800 363
* Q2 Holdings Inc. 8,300 353
  Diebold Nixdorf Inc. 18,235 352
*,^ CyberArk Software Ltd. 8,300 352
* Electronics For Imaging Inc. 11,300 349
* Amkor Technology Inc. 30,000 347
* Gigamon Inc. 9,000 347
* Bottomline Technologies de Inc. 10,600 345
* Oclaro Inc. 41,200 341
*,^ 3D Systems Corp. 27,200 337
*,^ Ubiquiti Networks Inc. 5,400 336
* Synaptics Inc. 8,400 312
* Virtusa Corp. 8,100 309
* Diodes Inc. 9,000 309
* Web.com Group Inc. 12,300 296
* Infinera Corp. 35,300 295
* MicroStrategy Inc. Class A 2,200 291
* ScanSource Inc. 6,700 288
  Xperi Corp. 12,000 276
*,^ Stratasys Ltd. 12,200 275
  ADTRAN Inc. 12,900 272
  NIC Inc. 14,900 253
* Alarm.com Holdings Inc. 5,400 252
*,^ Globant SA 6,500 245
* CommerceHub Inc. 11,310 241
* YY Inc. ADR 2,500 226
* Super Micro Computer Inc. 10,807 215
  Monotype Imaging Holdings Inc. 9,100 210
* Blucora Inc. 9,100 197
* Shutterstock Inc. 4,600 179
  Forrester Research Inc. 4,000 175
* Perficient Inc. 8,500 165
* Cray Inc. 8,000 165
* Lattice Semiconductor Corp. 27,800 163
*,^ Acacia Communications Inc. 3,800 161
* Syntel Inc. 6,800 159
* Synchronoss Technologies Inc. 12,400 141
*,^ Gogo Inc. 13,800 137
* Loral Space & Communications Inc. 2,900 137
* Quality Systems Inc. 9,600 135
* Endurance International Group Holdings Inc. 16,200 133
* Barracuda Networks Inc. 5,000 117
* CommerceHub Inc. Class A 2,555 57
      1,399,024
Telecommunications (0.9%)    
  AT&T Inc. 1,677,196 56,438
  Verizon Communications Inc. 1,112,686 53,264

 

125


 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* T-Mobile US Inc. 80,025 4,783
* Level 3 Communications Inc. 82,999 4,451
  CenturyLink Inc. 147,632 2,804
* Zayo Group Holdings Inc. 49,000 1,767
*,^ Sprint Corp. 164,621 1,077
  Telephone & Data Systems Inc. 25,573 745
  Shenandoah Telecommunications Co. 12,450 473
* Straight Path Communications Inc. Class B 2,600 472
* Vonage Holdings Corp. 49,200 400
* 8x8 Inc. 28,400 379
  Consolidated Communications Holdings Inc. 16,951 325
* General Communication Inc. Class A 7,900 323
  Frontier Communications Corp. 19,193 232
* Cincinnati Bell Inc. 8,780 168
  Windstream Holdings Inc. 71,220 134
  ATN International Inc. 2,400 130
* United States Cellular Corp. 3,200 117
      128,482
Utilities (1.7%)    
  NextEra Energy Inc. 128,194 19,879
  Duke Energy Corp. 188,576 16,653
  Dominion Energy Inc. 176,394 14,313
  Southern Co. 270,070 14,098
  Exelon Corp. 260,556 10,477
  American Electric Power Co. Inc. 133,740 9,952
  PG&E Corp. 139,119 8,037
  Sempra Energy 67,278 7,905
  Consolidated Edison Inc. 82,183 7,072
  PPL Corp. 185,788 6,978
  Edison International 87,162 6,969
  Xcel Energy Inc. 138,857 6,876
  Public Service Enterprise Group Inc. 136,297 6,706
  WEC Energy Group Inc. 85,353 5,752
  Eversource Energy 87,942 5,509
  DTE Energy Co. 48,533 5,361
  ONEOK Inc. 97,909 5,313
  Entergy Corp. 50,221 4,332
  American Water Works Co. Inc. 48,707 4,274
  Ameren Corp. 66,525 4,124
  FirstEnergy Corp. 123,087 4,056
  CMS Energy Corp. 77,494 3,748
  CenterPoint Energy Inc. 119,437 3,533
  Alliant Energy Corp. 60,854 2,632
  Pinnacle West Capital Corp. 29,640 2,600
  Atmos Energy Corp. 27,500 2,399
  NiSource Inc. 86,716 2,287
  UGI Corp. 46,150 2,209
  NRG Energy Inc. 83,132 2,078
  Westar Energy Inc. Class A 37,800 2,021
  Great Plains Energy Inc. 57,590 1,891
  AES Corp. 170,431 1,812
  Aqua America Inc. 47,425 1,683
  SCANA Corp. 35,900 1,549
  Vectren Corp. 22,196 1,512
* Calpine Corp. 95,484 1,426
  IDACORP Inc. 13,400 1,233
  WGL Holdings Inc. 13,600 1,165
  Portland General Electric Co. 23,725 1,133
  National Fuel Gas Co. 19,500 1,132
  ONE Gas Inc. 13,876 1,068
  ALLETE Inc. 13,600 1,065
  Hawaiian Electric Industries Inc. 28,900 1,054
  Southwest Gas Holdings Inc. 12,700 1,046
  New Jersey Resources Corp. 22,800 1,013

 

126


 

Vanguard® Total World Stock Index Fund        
Schedule of Investments        
October 31, 2017        
 
          Market
          Value
        Shares ($000)
  Spire Inc.     12,500 987
  Black Hills Corp.     15,100 985
  PNM Resources Inc.     21,200 920
  Avista Corp.     16,400 857
  Avangrid Inc.     15,400 797
  NorthWestern Corp.     12,900 765
  South Jersey Industries Inc.     21,600 734
  California Water Service Group     15,700 659
  MGE Energy Inc.     8,445 558
  El Paso Electric Co.     9,700 558
  American States Water Co.     9,600 516
  Ormat Technologies Inc.     7,900 513
  Northwest Natural Gas Co.     7,500 498
* Dynegy Inc.     35,879 447
  Enel Chile SA ADR     46,383 273
  Atlantica Yield plc     11,901 266
  SJW Group     4,380 260
  Ormat Technologies Inc. (Tel Aviv Shares)     2,610 171
* TerraForm Power Inc. Class A     12,498 168
          228,857
 
          7,123,381
 
Total Common Stocks (Cost $10,792,583)       13,705,557
 
Preferred Stocks (0.0%)        
* Vedanta Ltd. Pfd. (Cost $58)     376,692 60
 
 
    Coupon      
 
Temporary Cash Investments (0.8%)1        
Money Market Fund (0.8%)        
5 Vanguard Market Liquidity Fund 1.246%   1,088,636 108,874
 
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.0%)        
6 United States Cash Management Bill 1.048% 1/2/18 3,000 2,995
  United States Treasury Bill 1.056% 11/24/17 500 500
6 United States Treasury Bill 1.093% 2/22/18 2,000 1,993
6 United States Treasury Bill 1.169% 3/22/18 800 796
 
          6,284
 
Total Temporary Cash Investments (Cost $115,153)       115,158
 
Total Investments (100.1%) (Cost $10,907,794)       13,820,775
Other Assets and Liabilities—Net (-0.1%)7       (14,710)
 
Net Assets (100%)       13,806,065

 

* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $80,997,000.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund's effective common stock and temporary cash investment positions represent 99.9% and 0.2%, respectively, of net
assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate value of these securities was $78,352,000,
representing 0.6% of net assets.
3 Security value determined using significant unobservable inputs.
4 “Other” represents securities that are not classified by the fund’s benchmark index.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.

127


 

Vanguard® Total World Stock Index Fund
Schedule of Investments
October 31, 2017

6 Securities with a value of $4,336,000 have been segregated as initial margin for open futures contracts.
7 Includes $106,840,000 of collateral received for securities on loan.
ADR—American Depositary Receipt.
CVR—Contingent Value Rights.
GDR—Global Depositary Receipt.
NVDR—Non-Voting Depository Receipt.
REIT—Real Estate Investment Trust.

128


 

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© 2017 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.

SNA6280 122017


Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
 
Common Stocks (99.4%)1    
Australia (4.8%)    
Commonwealth Bank of Australia 2,834,768 168,627
Westpac Banking Corp. 5,558,914 140,804
Australia & New Zealand Banking Group Ltd. 4,809,165 110,364
National Australia Bank Ltd. 4,376,506 109,659
BHP Billiton Ltd. 5,264,123 108,382
CSL Ltd. 742,453 79,042
Wesfarmers Ltd. 1,851,024 59,290
Woolworths Ltd. 2,119,001 42,009
Macquarie Group Ltd. 503,283 37,968
Rio Tinto Ltd. 695,890 37,081
Transurban Group 3,359,244 31,227
Woodside Petroleum Ltd. 1,191,348 28,084
Scentre Group 8,383,320 25,849
Amcor Ltd. 1,892,473 22,968
South32 Ltd. 8,583,157 22,420
Suncorp Group Ltd. 2,116,903 22,034
Newcrest Mining Ltd. 1,259,188 21,529
AGL Energy Ltd. 1,074,351 20,801
Insurance Australia Group Ltd. 3,880,532 19,514
Aristocrat Leisure Ltd. 1,047,960 18,945
Brambles Ltd. 2,601,694 18,866
Westfield Corp. 3,145,290 18,747
Goodman Group 2,888,771 18,522
Telstra Corp. Ltd. 6,819,061 18,507
QBE Insurance Group Ltd. 2,247,645 18,430
AMP Ltd. 4,818,535 18,363
* Origin Energy Ltd. 2,877,358 17,525
Treasury Wine Estates Ltd. 1,217,758 14,618
Stockland 3,995,459 13,848
ASX Ltd. 317,720 13,146
Aurizon Holdings Ltd. 3,252,134 12,907
Dexus 1,685,033 12,618
Cochlear Ltd. 92,562 12,469
APA Group 1,834,046 12,036
GPT Group 2,982,968 11,648
Sonic Healthcare Ltd. 696,409 11,631
LendLease Group 932,112 11,575
Oil Search Ltd. 2,010,925 11,399
Mirvac Group 6,138,405 11,346
Caltex Australia Ltd. 431,032 11,317
James Hardie Industries plc 726,853 11,098
Vicinity Centres 5,425,466 11,028
Ramsay Health Care Ltd. 211,594 10,848
Medibank Pvt Ltd. 4,545,457 10,699
Boral Ltd. 1,933,402 10,609
* Santos Ltd. 2,945,469 10,178
Orica Ltd. 624,660 10,005
Sydney Airport 1,817,895 9,904
Challenger Ltd. 945,753 9,647
Computershare Ltd. 799,671 9,560
Fortescue Metals Group Ltd. 2,640,868 9,390
BlueScope Steel Ltd. 935,959 9,215
Incitec Pivot Ltd. 2,796,849 8,204
SEEK Ltd. 570,748 8,037
Alumina Ltd. 4,049,013 7,266
Tatts Group Ltd. 2,161,103 6,908
Bendigo & Adelaide Bank Ltd. 790,730 6,897
Qantas Airways Ltd. 1,433,927 6,768
Bank of Queensland Ltd. 659,035 6,747
Star Entertainment Grp Ltd. 1,383,888 6,102
CIMIC Group Ltd. 157,267 5,834

 

1


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Coca-Cola Amatil Ltd. 887,130 5,538
Downer EDI Ltd. 963,551 5,170
Orora Ltd. 1,956,392 5,101
Crown Resorts Ltd. 572,266 5,089
ALS Ltd. 814,211 4,888
Iluka Resources Ltd. 672,306 4,845
Tabcorp Holdings Ltd. 1,352,958 4,655
IOOF Holdings Ltd. 542,049 4,471
REA Group Ltd. 80,262 4,450
Ansell Ltd. 239,463 4,408
Macquarie Atlas Roads Group 952,225 4,349
Healthscope Ltd. 2,807,060 4,217
Magellan Financial Group Ltd. 209,067 3,888
AusNet Services 2,860,101 3,878
Domino's Pizza Enterprises Ltd. 101,597 3,632
DuluxGroup Ltd. 628,691 3,551
* WorleyParsons Ltd. 326,753 3,514
Adelaide Brighton Ltd. 736,667 3,507
Metcash Ltd. 1,572,792 3,249
Flight Centre Travel Group Ltd. 89,432 3,206
* Whitehaven Coal Ltd. 1,104,248 3,156
Fairfax Media Ltd. 3,721,404 3,135
OZ Minerals Ltd. 472,255 2,916
CSR Ltd. 801,549 2,915
Perpetual Ltd. 70,295 2,613
Sims Metal Management Ltd. 256,921 2,605
^ Harvey Norman Holdings Ltd. 865,350 2,507
^ TPG Telecom Ltd. 571,098 2,364
Shopping Centres Australasia Property Group 1,180,955 2,129
Vocus Group Ltd. 946,348 2,090
^ Platinum Asset Management Ltd. 361,015 2,018
Nufarm Ltd. 286,560 1,995
Seven West Media Ltd. 1,389,061 719
* Nufarm Ltd./Australia 63,680 443
    1,718,270
Austria (0.2%)    
Erste Group Bank AG 469,327 20,146
OMV AG 233,274 14,000
voestalpine AG 189,460 10,416
* Raiffeisen Bank International AG 207,984 7,233
ANDRITZ AG 118,605 6,707
Telekom Austria AG Class A 208,627 1,953
Vienna Insurance Group AG Wiener Versicherung Gruppe 57,440 1,682
    62,137
Belgium (0.8%)    
Anheuser-Busch InBev SA/NV 1,242,698 152,383
KBC Group NV 451,763 37,528
Solvay SA Class A 114,232 16,970
Ageas 320,653 15,550
UCB SA 197,986 14,413
* Umicore SA 307,486 13,742
Groupe Bruxelles Lambert SA 119,051 12,787
Proximus SADP 235,263 7,812
Ackermans & van Haaren NV 38,153 6,534
^ Colruyt SA 105,576 5,400
* Telenet Group Holding NV 77,322 5,348
bpost SA 162,549 4,583
Sofina SA 24,588 3,698
    296,748
Brazil (1.7%)    
Itau Unibanco Holding SA ADR 4,420,255 56,623
Banco Bradesco SA ADR 4,759,788 50,311
Vale SA Class B ADR 3,572,403 34,974

 

2


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Petroleo Brasileiro SA ADR Preference Shares 2,881,758 29,538
Ambev SA ADR 4,486,410 28,399
B3 SA - Brasil Bolsa Balcao 3,252,229 23,761
* Petroleo Brasileiro SA ADR 2,005,126 21,355
Itausa - Investimentos Itau SA Preference Shares 6,372,467 20,415
Banco do Brasil SA 1,770,586 18,641
Ambev SA 2,772,940 17,716
Ultrapar Participacoes SA 712,137 17,002
Vale SA 1,703,837 16,719
Banco Bradesco SA 1,426,446 14,294
Kroton Educacional SA 2,492,192 13,705
Cielo SA 1,820,476 12,454
Lojas Renner SA 1,174,201 12,376
* BRF SA 903,162 12,217
CCR SA 1,851,579 10,301
BB Seguridade Participacoes SA 1,116,628 9,465
Raia Drogasil SA 360,570 8,620
Lojas Americanas SA Preference Shares 1,281,200 6,885
* Rumo SA 1,721,242 6,682
Hypermarcas SA 621,133 6,494
WEG SA 976,924 6,355
Telefonica Brasil SA Preference Shares 406,235 6,271
Klabin SA 1,071,284 6,189
Itau Unibanco Holding SA Preference Shares 463,155 5,953
Fibria Celulose SA 365,100 5,841
Banco Santander Brasil SA 640,900 5,605
CPFL Energia SA 661,392 5,560
Equatorial Energia SA 284,426 5,304
BR Malls Participacoes SA 1,317,870 5,108
Cia de Saneamento Basico do Estado de Sao Paulo 540,617 4,925
Embraer SA ADR 249,486 4,775
* Petroleo Brasileiro SA 851,132 4,532
Localiza Rent a Car SA 252,063 4,459
Suzano Papel e Celulose SA Preference Shares Class A 702,500 4,366
Telefonica Brasil SA ADR 282,314 4,348
Qualicorp SA 359,100 3,842
Estacio Participacoes SA 414,900 3,720
TIM Participacoes SA 912,330 3,383
* Centrais Eletricas Brasileiras SA 495,099 3,337
* Cia Brasileira de Distribuicao ADR 141,302 3,282
Multiplan Empreendimentos Imobiliarios SA 141,939 3,102
Itau Unibanco Holding SA 259,954 3,053
JBS SA 1,287,974 2,969
Centrais Eletricas Brasileiras SA Preference Shares 369,776 2,864
Cosan SA Industria e Comercio 245,834 2,811
Gerdau SA ADR 848,446 2,808
Fleury SA 317,500 2,803
Natura Cosmeticos SA 291,931 2,764
Gerdau SA Preference Shares 817,286 2,736
Bradespar SA Preference Shares 365,000 2,678
* Cia Brasileira de Distribuicao Grupo Pao de Acucar Preference Shares 110,630 2,577
* Braskem SA ADR 76,844 2,457
* Smiles Fidelidade SA 93,130 2,434
Engie Brasil Energia SA 216,008 2,364
* Atacadao Distribuicao Comercio e Industria Ltda 471,012 2,315
* Braskem SA Preference Shares 139,500 2,233
* Petroleo Brasileiro SA Preference Shares 433,739 2,224
* Banco BTG Pactual SA 318,805 2,145
Odontoprev SA 439,100 2,113
EDP - Energias do Brasil SA 452,745 1,993
Sul America SA 360,812 1,978
M Dias Branco SA 132,586 1,952
Transmissora Alianca de Energia Eletrica SA 296,444 1,858
^ Cia Energetica de Minas Gerais ADR 776,720 1,841

 

3


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Usinas Siderurgicas de Minas Gerais SA Preference Shares 639,800 1,723
* Cia Siderurgica Nacional SA ADR 676,663 1,712
Porto Seguro SA 151,112 1,650
Cia Energetica de Minas Gerais Preference Shares 657,437 1,553
Cia de Transmissao de Energia Eletrica Paulista Preference Shares 73,924 1,503
TIM Participacoes SA ADR 80,849 1,491
Sao Martinho SA 263,600 1,483
Lojas Americanas SA 338,705 1,482
Cia Paranaense de Energia ADR 154,974 1,192
Grendene SA 138,200 1,162
Embraer SA 219,400 1,051
AES Tiete Energia SA 243,489 964
Multiplus SA 73,123 849
* BRF SA ADR 54,100 729
* Cia Siderurgica Nacional SA 272,500 702
Cia de Gas de Sao Paulo COMGAS Preference Shares Class A 32,668 503
Cia Paranaense de Energia 46,100 303
Cia Energetica de Minas Gerais Class A 109,769 245
Banco Bradesco SA Preference Shares 13,354 142
* Azul SA Prior Preference Shares. 9,800 82
Cia Paranaense de Energia Preference Shares 4,200 32
* Cia Energetica de Minas Gerais Rights 88,484 31
* PPLA Participations Ltd. 35,423 20
* Cia Energetica de Minas Gerais Rights 17,439 5
Itausa - Investimentos Itau SA Common Shares 7
    625,783
Canada (5.9%)    
Royal Bank of Canada 2,383,587 186,367
Toronto-Dominion Bank 3,039,113 172,768
Bank of Nova Scotia 1,974,245 127,444
Enbridge Inc. 2,674,644 102,790
Canadian National Railway Co. 1,228,269 98,835
Suncor Energy Inc. 2,736,008 92,890
Bank of Montreal 1,065,651 81,636
Canadian Natural Resources Ltd. 1,941,771 67,761
TransCanada Corp. 1,419,790 67,407
Manulife Financial Corp. 3,232,355 64,993
Canadian Imperial Bank of Commerce 707,630 62,289
Brookfield Asset Management Inc. Class A (Toronto Shares) 1,357,455 56,946
Canadian Pacific Railway Ltd. 240,374 41,677
Sun Life Financial Inc. 1,002,036 39,030
Magna International Inc. 588,851 32,124
Alimentation Couche-Tard Inc. Class B 671,143 31,468
Rogers Communications Inc. Class B 587,300 30,473
Waste Connections Inc. 428,375 30,266
National Bank of Canada 559,960 27,175
Pembina Pipeline Corp. 821,063 27,144
Potash Corp. of Saskatchewan Inc. 1,375,088 26,764
Barrick Gold Corp. (Toronto Shares) 1,820,289 26,300
Fortis Inc. 676,791 24,924
Agrium Inc. 226,578 24,667
Restaurant Brands International Inc. 374,896 24,221
Fairfax Financial Holdings Ltd. 44,527 23,449
Franco-Nevada Corp. 294,098 23,371
* CGI Group Inc. Class A 424,607 22,562
BCE Inc. 483,730 22,336
Thomson Reuters Corp. 462,567 21,628
Cenovus Energy Inc. 2,013,518 19,541
Dollarama Inc. 172,134 19,161
Encana Corp. 1,601,940 18,738
Constellation Software Inc. 32,695 18,601
Goldcorp Inc. 1,418,001 18,521
Loblaw Cos. Ltd. 340,777 17,587
Intact Financial Corp. 213,428 17,445

 

4


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Agnico Eagle Mines Ltd. 378,931 16,918
Teck Resources Ltd. Class B 812,835 16,608
Power Corp. of Canada 636,038 16,309
Shaw Communications Inc. Class B 711,600 16,250
Wheaton Precious Metals Corp. 728,782 15,122
Imperial Oil Ltd. 424,797 13,774
^ Canadian Tire Corp. Ltd. Class A 109,387 13,422
SNC-Lavalin Group Inc. 289,852 13,058
Saputo Inc. 360,482 13,015
Inter Pipeline Ltd. 614,977 12,508
Great-West Lifeco Inc. 448,909 12,492
Metro Inc. 376,468 11,851
TELUS Corp. 324,267 11,743
Power Financial Corp. 397,747 11,133
RioCan REIT 541,959 10,280
* BlackBerry Ltd. 873,095 9,556
CI Financial Corp. 414,686 9,219
2 Hydro One Ltd. 482,923 8,538
* Tourmaline Oil Corp. 416,600 7,624
Crescent Point Energy Corp. 899,498 7,398
ARC Resources Ltd. 593,861 7,241
George Weston Ltd. 78,945 6,628
* Valeant Pharmaceuticals International Inc. 563,780 6,586
* Husky Energy Inc. 495,392 6,420
Canadian Utilities Ltd. Class A 189,049 5,709
* Turquoise Hill Resources Ltd. 1,607,692 4,910
IGM Financial Inc. 133,974 4,722
Barrick Gold Corp. 88,206 1,275
Brookfield Asset Management Inc. Class A 17,399 730
* Trisura Group Ltd. 8,060 180
Restaurant Brands International LP 1,203 78
    2,102,596
Chile (0.3%)    
Empresas COPEC SA 689,816 10,631
SACI Falabella 937,091 8,951
Latam Airlines Group SA 568,377 7,836
Enel Americas SA ADR 707,353 7,498
Sociedad Quimica y Minera de Chile SA ADR 122,810 7,337
Cencosud SA 2,320,365 6,946
Banco Santander Chile ADR 216,607 6,775
Banco de Chile 40,782,963 6,256
Empresas CMPC SA 1,808,250 5,765
Banco de Credito e Inversiones 75,531 5,079
Enel Generacion Chile SA ADR 139,225 3,606
Cia Cervecerias Unidas SA 223,240 3,221
Aguas Andinas SA Class A 4,615,309 3,007
Enel Americas SA 11,855,316 2,550
Colbun SA 10,802,239 2,550
Itau CorpBanca 270,352,784 2,520
Parque Arauco SA 855,332 2,454
Empresa Nacional de Telecomunicaciones SA 206,707 2,403
Embotelladora Andina SA Preference Shares 409,724 2,101
Enel Chile SA ADR 336,671 1,983
Sociedad Quimica y Minera de Chile SA Preference Shares Class B 25,380 1,516
Banco Santander Chile 19,214,089 1,511
Enel Chile SA 12,840,182 1,497
AES Gener SA 3,855,265 1,331
SONDA SA 680,862 1,326
Enel Generacion Chile SA 982,213 856
    107,506
China (5.7%)    
Tencent Holdings Ltd. 8,741,107 392,870
China Construction Bank Corp. 146,462,544 130,896
Industrial & Commercial Bank of China Ltd. 128,030,640 101,870

 

5


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
China Mobile Ltd. 8,664,567 87,151
* Alibaba Group Holding Ltd. ADR 440,543 81,452
Ping An Insurance Group Co. of China Ltd. 8,187,689 71,953
Bank of China Ltd. 124,806,788 62,374
China Life Insurance Co. Ltd. 12,214,341 40,494
CNOOC Ltd. 26,187,400 35,756
China Petroleum & Chemical Corp. 42,031,284 30,864
* Baidu Inc. ADR 111,220 27,131
Geely Automobile Holdings Ltd. 7,920,610 24,561
China Merchants Bank Co. Ltd. 6,245,820 23,851
PetroChina Co. Ltd. 34,147,234 22,322
China Pacific Insurance Group Co. Ltd. 4,259,095 21,031
China Overseas Land & Investment Ltd. 6,347,820 20,611
Agricultural Bank of China Ltd. 41,894,233 19,732
* China Evergrande Group 4,791,377 18,482
^ Sunac China Holdings Ltd. 3,206,664 16,338
Sunny Optical Technology Group Co. Ltd. 1,046,419 15,348
PICC Property & Casualty Co. Ltd. 7,462,396 14,809
Country Garden Holdings Co. Ltd. 8,725,756 13,832
China Shenhua Energy Co. Ltd. 5,596,388 13,388
China Resources Land Ltd. 4,442,214 13,258
* China Unicom Hong Kong Ltd. 8,958,713 12,711
CSPC Pharmaceutical Group Ltd. 6,989,115 12,159
CITIC Ltd. 8,197,275 12,008
Hengan International Group Co. Ltd. 1,202,808 11,861
* JD.com Inc. ADR 311,442 11,685
Brilliance China Automotive Holdings Ltd. 4,602,396 11,663
China Telecom Corp. Ltd. 23,215,541 11,643
* SINA Corp. 101,292 10,904
^ BYD Co. Ltd. 1,146,355 10,023
Bank of Communications Co. Ltd. 12,927,925 9,760
Fosun International Ltd. 3,812,135 9,458
Shenzhou International Group Holdings Ltd. 1,079,915 9,228
Haitong Securities Co. Ltd. 5,795,793 9,176
ENN Energy Holdings Ltd. 1,224,712 8,987
China CITIC Bank Corp. Ltd. 13,800,362 8,892
ANTA Sports Products Ltd. 1,984,368 8,876
China Communications Construction Co. Ltd. 7,297,026 8,863
Guangzhou Automobile Group Co. Ltd. 3,505,605 8,718
New China Life Insurance Co. Ltd. 1,377,838 8,626
CITIC Securities Co. Ltd. 3,851,490 8,558
Anhui Conch Cement Co. Ltd. 1,995,655 8,549
China Minsheng Banking Corp. Ltd. 8,824,361 8,548
NetEase Inc. ADR 29,000 8,176
China Taiping Insurance Holdings Co. Ltd. 2,433,564 8,025
China Vanke Co. Ltd. 2,228,198 7,932
Sino Biopharmaceutical Ltd. 6,717,268 7,855
Sinopharm Group Co. Ltd. 1,752,503 7,847
China Gas Holdings Ltd. 2,502,915 7,609
China Resources Beer Holdings Co. Ltd. 2,635,860 7,607
Guangdong Investment Ltd. 4,897,851 7,096
2 People's Insurance Co. Group of China Ltd. 14,501,161 6,902
Lenovo Group Ltd. 11,677,802 6,774
* Ctrip.com International Ltd. ADR 137,800 6,599
Dongfeng Motor Group Co. Ltd. 4,784,627 6,568
Great Wall Motor Co. Ltd. 5,083,303 6,414
CRRC Corp. Ltd. 6,499,053 6,413
Kingboard Chemical Holdings Ltd. 1,079,548 6,406
China Everbright International Ltd. 4,520,967 6,378
China Merchants Port Holdings Co. Ltd. 2,020,031 6,319
2 Huatai Securities Co. Ltd. 2,914,375 6,295
China Resources Power Holdings Co. Ltd. 3,230,409 6,212
China Cinda Asset Management Co. Ltd. 15,862,693 6,164
China Conch Venture Holdings Ltd. 2,842,869 5,796

 

6


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
2 Postal Savings Bank of China Co. Ltd. 9,481,000 5,726
2 CGN Power Co. Ltd. 19,354,267 5,686
  GF Securities Co. Ltd. 2,638,626 5,627
^ Fullshare Holdings Ltd. 12,744,594 5,455
  Longfor Properties Co. Ltd. 2,323,934 5,429
  Beijing Enterprises Water Group Ltd. 6,400,679 5,379
2 China Galaxy Securities Co. Ltd. 6,147,777 5,364
* Aluminum Corp. of China Ltd. 6,551,377 5,262
  Haier Electronics Group Co. Ltd. 1,967,646 5,188
  Beijing Enterprises Holdings Ltd. 831,981 4,946
  China Railway Group Ltd. 6,085,352 4,891
  Huaneng Power International Inc. 7,258,982 4,855
* Zhuzhou CRRC Times Electric Co. Ltd. 818,209 4,789
  China State Construction International Holdings Ltd. 3,382,567 4,753
  China Resources Gas Group Ltd. 1,296,547 4,749
  Nine Dragons Paper Holdings Ltd. 2,535,292 4,660
  New Oriental Education & Technology Group Inc. ADR 53,800 4,478
2 China Huarong Asset Management Co. Ltd. 9,509,874 4,473
* ZTE Corp. 1,222,588 4,248
  TravelSky Technology Ltd. 1,631,703 4,229
  Shimao Property Holdings Ltd. 1,945,628 4,078
^ China Molybdenum Co. Ltd. 6,254,571 4,071
  China Longyuan Power Group Corp. Ltd. 5,448,785 4,041
  Kunlun Energy Co. Ltd. 4,309,523 3,997
^ China National Building Material Co. Ltd. 4,685,959 3,955
  Beijing Capital International Airport Co. Ltd. 2,400,557 3,942
  Weichai Power Co. Ltd. 3,161,438 3,937
  China Railway Construction Corp. Ltd. 3,060,245 3,843
  Shanghai Fosun Pharmaceutical Group Co. Ltd. 753,258 3,763
  China Medical System Holdings Ltd. 2,018,715 3,733
  Far East Horizon Ltd. 3,714,070 3,691
  China Jinmao Holdings Group Ltd. 7,954,005 3,575
  China Everbright Ltd. 1,492,465 3,541
  Jiangsu Expressway Co. Ltd. 2,302,544 3,530
*,^ GCL-Poly Energy Holdings Ltd. 20,350,024 3,499
  Guangzhou R&F Properties Co. Ltd. 1,631,933 3,480
  BYD Electronic International Co. Ltd. 1,244,500 3,375
  Sinopec Shanghai Petrochemical Co. Ltd. 5,642,331 3,366
  Agile Group Holdings Ltd. 2,261,637 3,300
*,^ Alibaba Pictures Group Ltd. 20,168,648 3,285
  Kingsoft Corp. Ltd. 1,294,944 3,273
  COSCO SHIPPING Ports Ltd. 2,795,985 3,240
  Zijin Mining Group Co. Ltd. 9,313,955 3,223
*,^,2 Meitu Inc. 2,179,500 3,220
  Yanzhou Coal Mining Co. Ltd. 3,152,246 3,146
  Chongqing Rural Commercial Bank Co. Ltd. 4,612,070 3,135
  TAL Education Group ADR 112,900 3,105
  Sino-Ocean Group Holding Ltd. 4,654,254 3,039
  Jiangxi Copper Co. Ltd. 1,892,248 3,021
2 Fuyao Glass Industry Group Co. Ltd. 770,310 2,937
  Lee & Man Paper Manufacturing Ltd. 2,347,743 2,868
*,^,2 3SBio Inc. 1,596,575 2,860
  Kingboard Laminates Holdings Ltd. 1,673,870 2,813
  Air China Ltd. 2,938,115 2,801
  Shanghai Pharmaceuticals Holding Co. Ltd. 1,071,977 2,771
  Zhejiang Expressway Co. Ltd. 2,215,267 2,739
  Huaneng Renewables Corp. Ltd. 7,951,075 2,734
  Haitian International Holdings Ltd. 902,063 2,701
  Shenzhen International Holdings Ltd. 1,391,589 2,660
2 BAIC Motor Corp. Ltd. 2,237,692 2,623
  China Oilfield Services Ltd. 2,946,300 2,616
*,^ Alibaba Health Information Technology Ltd. 4,823,236 2,585
2 Dali Foods Group Co. Ltd. 3,330,197 2,579
  Tsingtao Brewery Co. Ltd. 612,108 2,563

 

7


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Sihuan Pharmaceutical Holdings Group Ltd. 6,644,000 2,404
2 China International Capital Corp. Ltd. 1,157,926 2,388
  China Communications Services Corp. Ltd. 3,919,612 2,379
*,2 China Merchants Securities Co. Ltd. 1,422,200 2,371
* 58.com Inc. ADR 34,800 2,338
  China Everbright Bank Co. Ltd. 4,932,872 2,329
  Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class B 1,485,215 2,305
* Li Ning Co. Ltd. 2,622,117 2,291
  China Southern Airlines Co. Ltd. 3,075,017 2,273
  Inner Mongolia Yitai Coal Co. Ltd. Class B 1,663,854 2,237
  China Reinsurance Group Corp. 10,063,576 2,234
* COSCO SHIPPING Holdings Co. Ltd. 4,040,660 2,217
  AviChina Industry & Technology Co. Ltd. 3,816,954 2,217
^ China Traditional Chinese Medicine Holdings Co. Ltd. 3,857,794 2,211
^ GOME Electrical Appliances Holding Ltd. 16,834,203 2,159
* Shanghai Electric Group Co. Ltd. 4,581,316 2,079
  Shanghai Industrial Holdings Ltd. 676,587 2,078
  Shenzhen Investment Ltd. 4,580,281 2,043
  Zhongsheng Group Holdings Ltd. 988,048 2,031
  KWG Property Holding Ltd. 2,024,409 2,010
  Shandong Weigao Group Medical Polymer Co. Ltd. 2,706,328 1,944
* ZTO Express Cayman Inc. ADR 121,100 1,936
  Chongqing Changan Automobile Co. Ltd. Class B 1,473,451 1,929
2 Sinopec Engineering Group Co. Ltd. 2,244,381 1,925
  China Resources Cement Holdings Ltd. 2,821,334 1,907
2 China Railway Signal & Communication Corp. Ltd. 2,399,068 1,889
^ BBMG Corp. 3,776,760 1,885
  Yuexiu Property Co. Ltd. 9,602,772 1,861
^ Luye Pharma Group Ltd. 2,788,930 1,859
  China Agri-Industries Holdings Ltd. 3,527,447 1,724
  SOHO China Ltd. 2,863,494 1,659
^ China Coal Energy Co. Ltd. 3,451,638 1,581
2 Legend Holdings Corp. 595,070 1,565
* Datang International Power Generation Co. Ltd. 4,630,668 1,562
  China Power International Development Ltd. 4,905,787 1,560
  Angang Steel Co. Ltd. 1,769,537 1,551
  Logan Property Holdings Co. Ltd. 1,656,000 1,534
  Greentown China Holdings Ltd. 1,185,520 1,481
* Poly Property Group Co. Ltd. 3,023,998 1,466
  Shandong Chenming Paper Holdings Ltd. Class B 795,300 1,451
  Metallurgical Corp. of China Ltd. 4,379,562 1,450
2 CSC Financial Co. Ltd. 1,557,500 1,429
  China National Materials Co. Ltd. 1,960,369 1,356
^ China Zhongwang Holdings Ltd. 2,296,276 1,355
  Sinotruk Hong Kong Ltd. 1,016,199 1,351
* COSCO SHIPPING Development Co. Ltd. 5,984,407 1,343
  China International Marine Containers Group Co. Ltd. 666,489 1,329
* Maanshan Iron & Steel Co. Ltd. 2,819,903 1,325
  Guangshen Railway Co. Ltd. 2,226,327 1,296
  Lao Feng Xiang Co. Ltd. Class B 344,421 1,291
  Sinotrans Ltd. 2,648,860 1,273
* China Lodging Group Ltd. ADR 9,500 1,272
* Autohome Inc. ADR 22,000 1,265
  BOE Technology Group Co. Ltd. Class B 1,934,820 1,260
* Weibo Corp. ADR 13,500 1,251
2 Orient Securities Co. Ltd. 1,199,600 1,224
^ Zhaojin Mining Industry Co. Ltd. 1,461,548 1,200
* Health and Happiness H&H International Holdings Ltd. 227,876 1,191
  China Eastern Airlines Corp. Ltd. 2,309,145 1,173
* Momo Inc. ADR 38,100 1,161
  COSCO SHIPPING Energy Transportation Co. Ltd. 1,889,196 1,106
  Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. 313,398 1,101
*,^ CAR Inc. 1,233,492 1,099
* Vipshop Holdings Ltd. ADR 138,100 1,091

 

8


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Xinjiang Goldwind Science & Technology Co. Ltd. 842,821 1,068
  Huadian Fuxin Energy Corp. Ltd. 4,004,005 1,043
  Anhui Gujing Distillery Co. Ltd. Class B 183,539 1,033
  China South City Holdings Ltd. 3,686,311 1,030
  China Dongxiang Group Co. Ltd. 5,473,598 1,018
  Shenzhen Expressway Co. Ltd. 991,216 1,014
  Huadian Power International Corp. Ltd. 2,406,361 1,000
  Hopson Development Holdings Ltd. 952,475 975
2 Red Star Macalline Group Corp. Ltd. 810,585 970
  Livzon Pharmaceutical Group Inc. 140,920 956
  Zoomlion Heavy Industry Science and Technology Co. Ltd. 1,924,881 934
^ Golden Eagle Retail Group Ltd. 766,928 931
  Yantai Changyu Pioneer Wine Co. Ltd. Class B 358,084 927
  China BlueChemical Ltd. 3,067,895 917
  Shandong Chenming Paper Holdings Ltd. 487,874 887
  Central China Securities Co. Ltd. 1,920,000 884
  Wuxi Little Swan Co. Ltd. Class B 164,000 882
  China Machinery Engineering Corp. 1,415,516 868
  Beijing Jingneng Clean Energy Co. Ltd. 3,072,885 859
  Shanghai Mechanical and Electrical Industry Co. Ltd. Class B 412,078 847
  CSG Holding Co. Ltd. Class B 1,345,284 831
  Shanghai Zhenhua Heavy Industries Co. Ltd. Class B 1,479,320 813
  Dazhong Transportation Group Co. Ltd. Class B 1,122,903 776
  China Foods Ltd. 1,206,843 763
^ CSSC Offshore and Marine Engineering Group Co. Ltd. 410,873 701
*,^ CIMC Enric Holdings Ltd. 968,225 656
  Shanghai Jinjiang International Hotels Development Co. Ltd. Class B 263,015 628
  Shanghai Waigaoqiao Free Trade Zone Group Co. Ltd. Class B 387,321 628
  Shanghai Baosight Software Co. Ltd. Class B 387,642 595
  Anhui Expressway Co. Ltd. 737,659 592
  Shanghai Jinqiao Export Processing Zone Development Co. Ltd. Class B 397,037 576
*,^ Sinopec Oilfield Service Corp. 3,300,643 568
  Xinhua Winshare Publishing and Media Co. Ltd. 645,000 560
* Shanghai Chlor-Alkali Chemical Co. Ltd. Class B 686,334 557
*,2,3 Tianhe Chemicals Group Ltd. 3,538,329 531
  Weifu High-Technology Group Co. Ltd. Class B 213,062 501
  Guangdong Electric Power Development Co. Ltd. Class B 1,134,572 496
*,^ Renhe Commercial Holdings Co. Ltd. 20,656,355 485
  Shanghai Haixin Group Co. Class B 723,546 483
^ CITIC Resources Holdings Ltd. 4,332,222 473
2 Everbright Securities Co. Ltd. 339,200 468
  Sichuan Expressway Co. Ltd. 1,167,487 467
^ Dalian Port PDA Co. Ltd. 2,651,103 463
  Shanghai Bailian Group Co. Ltd. Class B 304,123 460
  Shanghai Shibei Hi-Tech Co. Ltd. Class B 764,060 452
* Dongfang Electric Corp. Ltd. 451,295 440
*,^ Sinofert Holdings Ltd. 2,319,208 411
  Shanghai Huayi Group Corp. Ltd. Class B 421,647 402
*,3 Hanergy Thin Film Power Group Ltd. 14,742,000 400
  China National Accord Medicines Corp. Ltd. Class B 74,430 391
  Shanghai Jinjiang International Industrial Investment Co. Ltd. Class B 275,140 386
  Bosideng International Holdings Ltd. 4,255,541 376
  Tianjin Capital Environmental Protection Group Co. Ltd. 558,838 356
  Beijing North Star Co. Ltd. 907,223 338
  Shenzhen Chiwan Wharf Holdings Ltd. Class B 190,700 324
  Foshan Electrical and Lighting Co. Ltd. Class B 394,576 315
* Huadian Energy Co. Ltd. Class B 630,800 303
2 Shengjing Bank Co. Ltd. 368,132 288
*,^,2 ZhongAn Online P&C Insurance Co. Ltd. 28,423 287
* Bengang Steel Plates Co. Ltd. Class B 637,300 266
  Jiangling Motors Corp. Ltd. Class B 111,283 213
  Jinzhou Port Co. Ltd. Class B 370,560 195
*,^,3 China Huishan Dairy Holdings Co. Ltd. 5,503,795
      2,058,410

 

9


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Colombia (0.1%)    
Bancolombia SA ADR 199,610 7,535
Grupo de Inversiones Suramericana SA 407,852 5,178
Bancolombia SA 374,629 3,473
Cementos Argos SA 781,825 2,853
Ecopetrol SA 5,035,720 2,756
Interconexion Electrica SA ESP 622,556 2,726
Grupo Aval Acciones y Valores Preference Shares 6,491,445 2,699
Almacenes Exito SA 337,184 1,811
Ecopetrol SA ADR 119,695 1,328
Grupo de Inversiones Suramericana SA Preference Shares 106,035 1,309
Corp Financiera Colombiana SA 137,762 1,295
Cementos Argos SA Preference Shares 310,732 996
* CEMEX Latam Holdings SA 244,889 868
Grupo Aval Acciones y Valores SA ADR 51,000 424
    35,251
Czech Republic (0.0%)    
CEZ AS 256,066 5,615
Komercni banka as 121,033 5,204
2 Moneta Money Bank AS 882,820 3,017
O2 Czech Republic AS 92,333 1,124
    14,960
Denmark (1.2%)    
Novo Nordisk A/S Class B 2,881,455 143,464
Danske Bank A/S 1,149,893 43,884
Vestas Wind Systems A/S 340,534 30,064
DSV A/S 305,514 23,624
AP Moller - Maersk A/S Class B 10,477 20,084
Novozymes A/S 359,445 19,860
Carlsberg A/S Class B 173,536 19,825
Coloplast A/S Class B 216,967 19,097
* Genmab A/S 90,716 18,319
Pandora A/S 176,953 16,709
2 Orsted A/S 263,527 14,767
AP Moller - Maersk A/S Class A 7,285 13,503
ISS A/S 304,304 12,887
Chr Hansen Holding A/S 147,050 12,868
TDC A/S 1,358,987 8,035
Jyske Bank A/S 113,201 6,397
H Lundbeck A/S 95,181 5,658
* William Demant Holding A/S 179,823 5,190
Tryg A/S 179,033 4,265
    438,500
Egypt (0.0%)    
Commercial International Bank Egypt SAE 1,711,028 7,648
* Global Telecom Holding SAE 3,792,290 1,458
Egyptian Financial Group-Hermes Holding Co. 861,828 1,147
ElSewedy Electric Co. 129,153 834
Talaat Moustafa Group 1,480,606 806
Telecom Egypt Co. 488,828 361
    12,254
Finland (0.7%)    
Nokia Oyj 9,262,245 45,551
Sampo Oyj Class A 763,333 39,946
Kone Oyj Class B 622,942 33,717
UPM-Kymmene Oyj 874,321 26,258
Wartsila OYJ Abp 254,026 16,351
Fortum Oyj 706,824 15,002
Stora Enso Oyj 940,408 14,697
Neste Oyj 207,850 11,571
Nokian Renkaat Oyj 221,014 10,133
Elisa Oyj 241,906 9,741
Huhtamaki Oyj 167,900 7,152
Orion Oyj Class B 167,218 6,853

 

10


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Metso Oyj 176,517 6,411
Kesko Oyj Class B 109,392 5,587
    248,970
France (7.0%)    
TOTAL SA 3,612,883 201,378
Sanofi 1,787,270 169,233
BNP Paribas SA 1,768,879 138,062
LVMH Moet Hennessy Louis Vuitton SE 407,293 121,482
AXA SA 3,092,073 93,346
Airbus SE 895,159 91,858
Danone SA 957,457 78,255
Schneider Electric SE 866,140 76,101
^ Vinci SA 759,346 74,400
Societe Generale SA 1,201,215 66,854
Air Liquide SA 444,983 56,658
Kering 121,605 55,769
Pernod Ricard SA 346,103 51,897
Orange SA 3,132,784 51,465
Safran SA 476,174 50,152
Cie de Saint-Gobain 811,783 47,598
Engie SA 2,685,129 45,385
L'Oreal SA 201,810 44,916
Vivendi SA 1,751,572 43,495
L'Oreal SA Loyalty Line 190,657 42,434
Essilor International SA 333,029 42,163
Cie Generale des Etablissements Michelin 289,313 41,878
Legrand SA 439,704 32,631
Capgemini SE 253,348 30,778
Air Liquide SA (Prime de fidelite) 240,914 30,674
Renault SA 281,765 27,941
Valeo SA 390,581 26,444
Hermes International 50,485 26,207
Credit Agricole SA 1,489,334 25,994
STMicroelectronics NV 1,026,023 24,154
Atos SE 149,040 23,149
Dassault Systemes SE 211,487 22,451
Publicis Groupe SA 338,853 22,057
* TechnipFMC plc 753,581 20,490
Veolia Environnement SA 801,826 18,996
Carrefour SA 902,939 18,172
Sodexo SA 141,924 18,056
Peugeot SA 722,367 17,139
Thales SA 163,046 16,992
Bouygues SA 330,897 15,881
Arkema SA 119,141 15,051
Accor SA 288,226 14,379
Teleperformance 94,506 13,802
Klepierre 340,823 13,568
Eiffage SA 118,785 12,408
Gecina SA 74,609 12,118
Bureau Veritas SA 424,877 11,378
Edenred 388,656 11,205
Natixis SA 1,383,278 10,848
SCOR SE 259,353 10,767
Suez 591,770 10,407
Alstom SA 255,457 10,335
Iliad SA 39,390 9,833
Eurofins Scientific SE 15,622 9,773
* Ubisoft Entertainment SA 124,316 9,485
Groupe Eurotunnel SE 754,718 9,485
SES SA Class A 578,087 9,402
Zodiac Aerospace 320,303 9,155
Rexel SA 503,207 8,973
Ingenico Group SA 91,705 8,905

 

11


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
^ Electricite de France SA 664,287 8,694
Faurecia 118,549 8,618
Wendel SA 49,599 8,365
Orpea 68,280 8,181
* Rubis SCA 123,037 7,721
Aeroports de Paris 45,682 7,691
Bollore SA 1,587,005 7,666
Eutelsat Communications SA 279,398 6,998
Ipsen SA 56,936 6,884
2 Amundi SA 78,973 6,693
Eurazeo SA 70,491 6,554
Credit Agricole SA Loyalty Line 374,217 6,531
SEB SA 34,025 6,341
Fonciere Des Regions 62,045 6,318
Lagardere SCA 185,365 6,104
2 Elior Group SA 211,348 6,002
CNP Assurances 257,576 5,992
Christian Dior SE 17,254 5,922
Dassault Aviation SA 3,737 5,827
Imerys SA 59,102 5,382
* BioMerieux 67,137 5,266
Casino Guichard Perrachon SA 91,955 5,251
Remy Cointreau SA 38,521 5,003
ICADE 56,088 4,902
Societe BIC SA 42,352 4,472
JCDecaux SA 116,527 4,458
Cie Plastic Omnium SA 89,677 3,739
Euler Hermes Group 25,187 2,922
Sartorius Stedim Biotech 38,857 2,648
SEB SA Loyalty Line 9,727 1,813
Electricite de France SA Loyalty Line 102,414 1,340
    2,504,560
Germany (6.7%)    
Siemens AG 1,244,646 178,774
Bayer AG 1,356,155 176,409
Allianz SE 729,399 170,287
SAP SE 1,483,441 169,504
BASF SE 1,497,220 163,728
Daimler AG 1,577,528 131,703
Deutsche Telekom AG 5,280,860 95,623
adidas AG 324,462 72,221
Deutsche Post AG 1,560,697 71,543
Fresenius SE & Co. KGaA 663,713 55,564
Volkswagen AG Preference Shares 299,448 54,830
Bayerische Motoren Werke AG 527,686 54,120
Infineon Technologies AG 1,852,377 51,234
Deutsche Bank AG 3,040,995 49,840
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen 219,556 49,291
Continental AG 176,508 44,921
E.ON SE 3,375,662 39,983
Henkel AG & Co. KGaA Preference Shares 282,400 39,654
Vonovia SE 789,504 34,876
Fresenius Medical Care AG & Co. KGaA 349,015 33,793
Linde AG 152,932 33,028
Linde AG-Tender Line 151,125 32,508
Deutsche Boerse AG 306,470 31,740
HeidelbergCement AG 245,453 25,117
Deutsche Wohnen SE 582,870 24,947
Henkel AG & Co. KGaA 194,329 24,510
* Commerzbank AG 1,710,434 23,704
Merck KGaA 212,188 22,767
2 Covestro AG 214,714 20,641
thyssenkrupp AG 764,742 20,515
* RWE AG 802,145 20,169

 

12


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Wirecard AG 188,301 18,708
  Porsche Automobil Holding SE Preference Shares 254,127 18,596
  Beiersdorf AG 164,629 18,519
  Symrise AG 200,370 15,614
  Brenntag AG 257,292 14,598
  MTU Aero Engines AG 85,740 14,509
  GEA Group AG 291,304 14,072
  ProSiebenSat.1 Media SE 378,736 13,341
  Deutsche Lufthansa AG 390,643 12,551
  Hannover Rueck SE 99,431 12,513
* QIAGEN NV 368,001 12,485
  OSRAM Licht AG 158,996 12,174
  United Internet AG 191,660 12,155
  LANXESS AG 151,515 11,880
  LEG Immobilien AG 105,840 10,781
2 Innogy SE 211,218 9,823
  HUGO BOSS AG 107,489 9,614
  KION Group AG 116,278 9,317
  Volkswagen AG 48,174 8,996
  Evonik Industries AG 247,163 8,991
  Uniper SE 315,970 8,878
*,2 Zalando SE 172,531 8,685
  K&S AG 319,451 7,767
  Bayerische Motoren Werke AG Preference Shares 87,920 7,714
  Fuchs Petrolub SE Preference Shares 119,081 6,706
  MAN SE 57,387 6,355
^ HOCHTIEF AG 31,390 5,545
  Telefonica Deutschland Holding AG 1,077,970 5,499
  Fraport AG Frankfurt Airport Services Worldwide 57,700 5,483
  Sartorius AG Preference Shares 55,251 5,159
* Metro Wholesale & Food Specialist AG 268,346 5,087
  Axel Springer SE 72,081 4,853
  RTL Group SA 61,904 4,600
  Hella KGaA Hueck & Co. 71,998 4,349
  TUI AG (Frankfurt Shares) 232,404 4,208
  Wacker Chemie AG 24,304 3,796
  METRO AG 285,947 3,732
  Rational AG 5,387 3,554
  Fielmann AG 39,863 3,503
  FUCHS PETROLUB SE 51,880 2,584
  Suedzucker AG 125,556 2,488
  Talanx AG 61,518 2,421
  Puma SE 4,139 1,870
  RWE AG Preference Shares 47,131 894
      2,392,511
Greece (0.1%)    
* Alpha Bank AE 2,352,803 4,691
  Hellenic Telecommunications Organization SA 394,597 4,689
  OPAP SA 346,169 3,879
* National Bank of Greece SA 8,812,223 2,915
  JUMBO SA 166,873 2,682
* Eurobank Ergasias SA 3,135,722 2,561
  Motor Oil Hellas Corinth Refineries SA 90,972 2,178
  Titan Cement Co. SA 65,443 1,582
  Piraeus Bank SA 474,349 1,365
* FF Group 53,200 1,115
  Hellenic Petroleum SA 94,720 836
      28,493
Hong Kong (2.6%)    
  AIA Group Ltd. 19,780,852 149,058
  Hong Kong Exchanges & Clearing Ltd. 2,010,271 56,015
  CK Hutchison Holdings Ltd. 4,391,810 55,784
  Sun Hung Kai Properties Ltd. 2,325,033 38,036
* CK Asset Holdings Ltd. 4,412,574 36,315

 

13


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Link REIT 3,663,460 30,800
  Hang Seng Bank Ltd. 1,187,266 28,142
  BOC Hong Kong Holdings Ltd. 5,877,196 28,006
  CLP Holdings Ltd. 2,706,415 27,546
  Hong Kong & China Gas Co. Ltd. 13,370,559 25,346
  Galaxy Entertainment Group Ltd. 3,478,309 23,720
  Jardine Matheson Holdings Ltd. 341,692 21,889
  AAC Technologies Holdings Inc. 1,134,449 20,803
  Power Assets Holdings Ltd. 2,149,216 18,632
  Sands China Ltd. 3,941,808 18,596
  Wharf Holdings Ltd. 1,995,256 18,173
2 WH Group Ltd. 13,816,423 14,001
  Hongkong Land Holdings Ltd. 1,920,391 13,928
  New World Development Co. Ltd. 9,021,840 13,451
  MTR Corp. Ltd. 2,274,342 13,185
  Jardine Strategic Holdings Ltd. 296,847 12,451
  China Mengniu Dairy Co. Ltd. 4,455,849 12,348
  Techtronic Industries Co. Ltd. 2,071,888 12,162
  Henderson Land Development Co. Ltd. 1,765,640 11,522
  Swire Pacific Ltd. Class A 1,101,221 10,882
  Wheelock & Co. Ltd. 1,356,113 9,447
  Samsonite International SA 2,129,258 8,890
  Bank of East Asia Ltd. 1,992,515 8,743
  CK Infrastructure Holdings Ltd. 990,318 8,623
  Sino Land Co. Ltd. 4,998,374 8,615
  Hang Lung Properties Ltd. 3,379,742 7,761
  Want Want China Holdings Ltd. 9,250,382 7,574
*,^ Semiconductor Manufacturing International Corp. 4,427,417 6,794
  ASM Pacific Technology Ltd. 425,194 6,204
  Swire Properties Ltd. 1,784,368 6,030
  Minth Group Ltd. 1,115,490 6,026
  Wynn Macau Ltd. 2,313,084 5,938
  Hysan Development Co. Ltd. 1,109,530 5,361
  Hang Lung Group Ltd. 1,464,967 5,147
  Tingyi Cayman Islands Holding Corp. 3,010,119 4,747
  Li & Fung Ltd. 9,356,956 4,716
  NWS Holdings Ltd. 2,259,043 4,572
  Yue Yuen Industrial Holdings Ltd. 1,161,728 4,450
^ Kingston Financial Group Ltd. 5,743,258 4,434
  Kerry Properties Ltd. 951,165 4,281
^ Dairy Farm International Holdings Ltd. 484,200 3,960
  Hopewell Holdings Ltd. 1,015,568 3,900
  PCCW Ltd. 6,699,207 3,694
  VTech Holdings Ltd. 258,690 3,678
  Sun Art Retail Group Ltd. 3,557,960 3,596
^ Shangri-La Asia Ltd. 1,757,232 3,499
  Melco International Development Ltd. 1,266,504 3,471
*,2 China Resources Pharmaceutical Group Ltd. 2,579,000 3,142
  Xinyi Glass Holdings Ltd. 3,178,685 3,080
  Orient Overseas International Ltd. 306,838 2,955
  PRADA SPA 830,258 2,864
  First Pacific Co. Ltd. 3,620,253 2,758
^ MGM China Holdings Ltd. 1,175,164 2,651
  SJM Holdings Ltd. 3,014,280 2,591
  Nexteer Automotive Group Ltd. 1,317,000 2,579
  Great Eagle Holdings Ltd. 433,425 2,386
  United Co. RUSAL plc 3,406,920 2,199
*,^ Cathay Pacific Airways Ltd. 1,276,672 2,184
  Champion REIT 3,014,027 2,175
  Johnson Electric Holdings Ltd. 538,622 2,173
  Haitong International Securities Group Ltd. 3,625,736 2,056
* Esprit Holdings Ltd. 3,036,390 1,837
  Chow Tai Fook Jewellery Group Ltd. 1,644,392 1,719
  Television Broadcasts Ltd. 440,409 1,666

 

14


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Uni-President China Holdings Ltd. 1,981,788 1,658
^ Xinyi Solar Holdings Ltd. 4,769,662 1,652
2 BOC Aviation Ltd. 304,000 1,635
*,^ HengTen Networks Group Ltd. 30,340,941 1,616
  Cafe de Coral Holdings Ltd. 505,108 1,554
  Dah Sing Financial Holdings Ltd. 226,984 1,525
  China Travel International Investment Hong Kong Ltd. 3,855,542 1,430
  FIH Mobile Ltd. 4,424,762 1,389
  L'Occitane International SA 722,775 1,373
  Shun Tak Holdings Ltd. 3,043,006 1,312
  Dah Sing Banking Group Ltd. 587,244 1,300
  Shui On Land Ltd. 5,233,385 1,296
  Shougang Fushan Resources Group Ltd. 5,855,352 1,262
  Towngas China Co. Ltd. 1,514,806 1,243
  Kerry Logistics Network Ltd. 810,924 1,118
^ Guotai Junan International Holdings Ltd. 3,382,228 1,081
*,^ China Minsheng Financial Holding Corp. Ltd. 19,667,907 1,072
* Global Brands Group Holding Ltd. 9,037,150 1,054
  Lifestyle International Holdings Ltd. 687,563 943
  Hopewell Highway Infrastructure Ltd. 1,354,415 840
*,3 Brightoil Petroleum Holdings Ltd. 4,303,435 827
  Huabao International Holdings Ltd. 1,220,000 792
  Hutchison Telecommunications Hong Kong Holdings Ltd. 1,751,886 629
  Texwinca Holdings Ltd. 1,012,717 612
^ SA Sa International Holdings Ltd. 1,451,621 527
*,^ China Oceanwide Holdings Ltd. 6,291,799 524
*,^ Macau Legend Development Ltd. 2,022,006 324
* I-CABLE Communications Ltd. 274,764 9
      936,554
Hungary (0.1%)    
  OTP Bank plc 403,430 16,264
* MOL Hungarian Oil & Gas plc 711,245 8,518
  Richter Gedeon Nyrt 236,679 5,887
  Magyar Telekom Telecommunications plc 617,544 1,072
      31,741
India (2.4%)    
  Housing Development Finance Corp. Ltd. 2,594,939 68,436
2 Reliance Industries Ltd. GDR 1,800,473 51,683
  Infosys Ltd. ADR 2,802,300 41,614
  Tata Consultancy Services Ltd. 750,401 30,417
  Maruti Suzuki India Ltd. 198,305 25,157
  Reliance Industries Ltd. 1,685,910 24,511
  Axis Bank Ltd. 2,758,385 22,298
  Hindustan Unilever Ltd. 1,164,939 22,263
  ITC Ltd. 4,774,061 19,601
  Bharti Airtel Ltd. 2,116,247 16,258
  Sun Pharmaceutical Industries Ltd. 1,786,025 15,256
  Oil & Natural Gas Corp. Ltd. 5,083,363 15,020
  State Bank of India GDR 306,182 14,494
  Vedanta Ltd. 2,762,899 14,184
  Bharat Petroleum Corp. Ltd. 1,643,339 13,749
* Yes Bank Ltd. 2,589,220 12,586
  HCL Technologies Ltd. 866,964 11,457
  Indian Oil Corp. Ltd. 1,775,458 11,400
* Tata Motors Ltd. 1,635,480 10,830
  Eicher Motors Ltd. 21,703 10,810
  Mahindra & Mahindra Ltd. 510,187 10,599
  Larsen & Toubro Ltd. 560,019 10,577
  Indiabulls Housing Finance Ltd. 527,538 10,142
  Grasim Industries Ltd. 519,696 9,855
  Hero MotoCorp Ltd. 161,374 9,604
  UltraTech Cement Ltd. 137,903 9,380
  Coal India Ltd. 2,099,683 9,291
  NTPC Ltd. 3,241,037 9,076

 

15


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Adani Ports & Special Economic Zone Ltd. 1,346,652 8,956
Asian Paints Ltd. 480,735 8,779
Bharti Infratel Ltd. 1,254,861 8,579
JSW Steel Ltd. 1,989,756 7,950
Zee Entertainment Enterprises Ltd. 888,453 7,440
Bajaj Finance Ltd. 266,978 7,425
UPL Ltd. 585,492 7,235
Wipro Ltd. ADR 1,334,793 7,154
Hindustan Petroleum Corp. Ltd. 987,408 6,821
Hindalco Industries Ltd. 1,457,227 6,021
Lupin Ltd. 362,505 5,758
Godrej Consumer Products Ltd. 397,208 5,731
Piramal Enterprises Ltd. 134,495 5,709
Motherson Sumi Systems Ltd. 998,176 5,633
ICICI Bank Ltd. ADR 614,324 5,621
Bajaj Auto Ltd. 109,758 5,524
Tech Mahindra Ltd. 739,856 5,505
Ambuja Cements Ltd. 1,253,269 5,451
Cipla Ltd. 509,123 4,936
Aurobindo Pharma Ltd. 420,119 4,934
Titan Co. Ltd. 491,078 4,817
Bajaj Finserv Ltd. 62,006 4,801
Shriram Transport Finance Co. Ltd. 265,430 4,792
IndusInd Bank Ltd. 188,639 4,741
GAIL India Ltd. 641,515 4,610
Kotak Mahindra Bank Ltd. 283,457 4,488
* United Spirits Ltd. 93,885 4,427
Dabur India Ltd. 836,886 4,302
Tata Steel Ltd. 377,229 4,103
Nestle India Ltd. 36,645 4,094
Power Grid Corp. of India Ltd. 1,214,011 3,972
ICICI Bank Ltd. 837,659 3,927
Shree Cement Ltd. 13,241 3,873
Bosch Ltd. 11,588 3,763
Infosys Ltd. 261,737 3,727
Ashok Leyland Ltd. 1,809,946 3,668
LIC Housing Finance Ltd. 391,956 3,627
Marico Ltd. 715,905 3,487
Britannia Industries Ltd. 46,694 3,347
* Idea Cellular Ltd. 2,280,062 3,271
Bharat Forge Ltd. 289,294 3,123
Cadila Healthcare Ltd. 398,020 3,095
Havells India Ltd. 389,259 2,917
Mahindra & Mahindra Financial Services Ltd. 431,901 2,880
Wipro Ltd. 633,476 2,879
Container Corp. Of India 134,642 2,875
Rural Electrification Corp. Ltd. 1,057,341 2,830
Siemens Ltd. 138,570 2,725
Rajesh Exports Ltd. 220,644 2,667
Dr Reddy's Laboratories Ltd. ADR 72,580 2,640
Bharat Electronics Ltd. 906,917 2,587
2 ICICI Prudential Life Insurance Co. Ltd. 409,649 2,567
Pidilite Industries Ltd. 194,657 2,352
* Tata Motors Ltd. Class A 631,508 2,350
NMDC Ltd. 1,171,464 2,320
L&T Finance Holdings Ltd. 710,162 2,208
Dr Reddy's Laboratories Ltd. 59,038 2,202
Power Finance Corp. Ltd. 1,007,438 2,165
DLF Ltd. 684,137 2,129
Bharat Heavy Electricals Ltd. 1,396,632 2,115
Glenmark Pharmaceuticals Ltd. 218,958 2,088
* Punjab National Bank 672,619 2,050
Tata Power Co. Ltd. 1,534,832 2,014
Bajaj Holdings & Investment Ltd. 42,497 1,949

 

16


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Bank of Baroda 732,710 1,923
  ACC Ltd. 68,535 1,916
* Steel Authority of India Ltd. 1,576,181 1,900
*,2 Avenue Supermarts Ltd. 106,841 1,883
  Hindustan Zinc Ltd. 370,888 1,807
  Reliance Capital Ltd. 199,961 1,785
  Oracle Financial Services Software Ltd. 33,005 1,784
  IDFC Bank Ltd. 2,017,783 1,766
  Sun TV Network Ltd. 132,910 1,758
  Oil India Ltd. 304,936 1,739
  ABB India Ltd. 80,863 1,731
  NHPC Ltd. 3,891,383 1,717
  Colgate-Palmolive India Ltd. 103,788 1,706
  Kansai Nerolac Paints Ltd. 215,220 1,706
  United Breweries Ltd. 107,411 1,705
  Divi's Laboratories Ltd. 122,702 1,673
  MRF Ltd. 1,584 1,626
  Berger Paints India Ltd. 388,750 1,599
  Reliance Infrastructure Ltd. 204,892 1,593
  Emami Ltd. 80,994 1,575
* Jindal Steel & Power Ltd. 602,432 1,518
  Mphasis Ltd. 131,468 1,408
  Cummins India Ltd. 98,920 1,383
  GlaxoSmithKline Consumer Healthcare Ltd. 15,168 1,188
  Torrent Pharmaceuticals Ltd. 60,408 1,185
2 InterGlobe Aviation Ltd. 60,460 1,166
* Bank of India 394,069 1,164
  Canara Bank 177,621 1,113
  Castrol India Ltd. 176,259 1,089
  Tata Communications Ltd. 98,559 1,042
  Exide Industries Ltd. 316,832 1,023
  Petronet LNG Ltd. 252,069 1,012
* GMR Infrastructure Ltd. 3,325,819 987
  Godrej Industries Ltd. 104,817 960
  Adani Enterprises Ltd. 404,396 827
* CG Power and Industrial Solutions Ltd. 637,546 817
* IDBI Bank Ltd. 839,955 812
* Adani Power Ltd. 1,471,782 745
  Mangalore Refinery & Petrochemicals Ltd. 335,742 738
  JSW Energy Ltd. 558,364 736
  Torrent Power Ltd. 171,510 718
  State Bank of India 146,278 691
* Union Bank of India 188,519 514
* Reliance Power Ltd. 785,614 495
  Great Eastern Shipping Co. Ltd. 75,528 455
  Wockhardt Ltd. 45,282 453
* Reliance Communications Ltd. 1,594,992 421
  GlaxoSmithKline Pharmaceuticals Ltd. 9,019 360
* Reliance Home Finance Ltd. 199,961 268
  IDFC Ltd. 266,882 260
* Oriental Bank of Commerce 117,435 256
* Corp Bank 315,585 221
  HDFC Bank Ltd. ADR 303 28
      864,219
Indonesia (0.5%)    
  Bank Central Asia Tbk PT 15,957,599 24,582
  Telekomunikasi Indonesia Persero Tbk PT 78,081,624 23,297
  Bank Rakyat Indonesia Persero Tbk PT 17,500,463 20,134
  Astra International Tbk PT 33,190,688 19,578
  Bank Mandiri Persero Tbk PT 31,000,772 16,102
  Bank Negara Indonesia Persero Tbk PT 11,951,487 6,700
  Unilever Indonesia Tbk PT 1,830,130 6,693
  United Tractors Tbk PT 2,437,712 6,230
  Indofood Sukses Makmur Tbk PT 7,124,305 4,307

 

17


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Hanjaya Mandala Sampoerna Tbk PT 14,280,300 4,188
  Gudang Garam Tbk PT 734,186 3,789
  Semen Indonesia Persero Tbk PT 4,691,349 3,769
  Kalbe Farma Tbk PT 30,422,137 3,589
  Indocement Tunggal Prakarsa Tbk PT 2,137,798 3,537
  Charoen Pokphand Indonesia Tbk PT 11,472,264 2,792
  Adaro Energy Tbk PT 20,176,963 2,715
  Matahari Department Store Tbk PT 4,023,800 2,550
  Indofood CBP Sukses Makmur Tbk PT 3,592,984 2,332
  Perusahaan Gas Negara Persero Tbk 16,911,946 2,295
  Bank Danamon Indonesia Tbk PT 4,838,227 1,820
  Jasa Marga Persero Tbk PT 3,523,819 1,689
  Tower Bersama Infrastructure Tbk PT 3,108,665 1,562
  Bumi Serpong Damai Tbk PT 12,051,240 1,530
* XL Axiata Tbk PT 5,776,850 1,440
  Surya Citra Media Tbk PT 8,827,379 1,400
  Tambang Batubara Bukit Asam Persero Tbk PT 1,257,931 1,065
  Media Nusantara Citra Tbk PT 7,886,166 907
  Astra Agro Lestari Tbk PT 576,325 619
* Vale Indonesia Tbk PT 2,829,062 614
      171,825
Ireland (0.2%)    
  Kerry Group plc Class A 240,486 24,218
  Bank of Ireland Group plc 1,518,691 11,899
  Kingspan Group plc 245,254 10,253
* Allied Irish Banks plc 1,090,743 6,449
  Glanbia plc 323,112 6,250
* Ryanair Holdings plc ADR 25,776 2,890
* Ryanair Holdings plc 13,600 268
*,3 Irish Bank Resolution Corp. Ltd. 236,607
      62,227
Israel (0.3%)    
  Teva Pharmaceutical Industries Ltd. 1,475,872 20,354
  Bank Leumi Le-Israel BM 2,393,850 13,233
  Bank Hapoalim BM 1,698,067 12,023
  Nice Ltd. 102,846 8,560
  Elbit Systems Ltd. 38,256 5,678
* Tower Semiconductor Ltd. 158,035 5,234
  Bezeq The Israeli Telecommunication Corp. Ltd. 3,451,374 5,157
* Israel Discount Bank Ltd. Class A 1,879,253 4,992
  Frutarom Industries Ltd. 59,323 4,885
  Mizrahi Tefahot Bank Ltd. 208,547 3,765
  Israel Chemicals Ltd. 822,119 3,428
  Azrieli Group Ltd. 48,111 2,718
  Paz Oil Co. Ltd. 12,930 2,111
  Alony Hetz Properties & Investments Ltd. 157,706 1,631
  First International Bank Of Israel Ltd. 81,922 1,555
* Airport City Ltd. 115,745 1,482
  Gazit-Globe Ltd. 148,123 1,410
  Strauss Group Ltd. 62,370 1,269
  Delek Group Ltd. 7,660 1,257
  Oil Refineries Ltd. 2,358,163 1,212
  Harel Insurance Investments & Financial Services Ltd. 171,098 1,170
  Melisron Ltd. 21,732 1,136
* Israel Corp. Ltd. 5,795 1,082
  Amot Investments Ltd. 176,090 1,039
  Shikun & Binui Ltd. 335,390 793
  Shufersal Ltd. 108,854 692
  Migdal Insurance & Financial Holding Ltd. 513,467 597
* Phoenix Holdings Ltd. 96,039 475
  Delek Automotive Systems Ltd. 52,819 397
  Teva Pharmaceutical Industries Ltd. ADR 22,977 317
      109,652

 

18


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
Italy (1.8%)    
  Enel SPA 12,728,110 78,936
  Intesa Sanpaolo SPA (Registered) 21,061,493 70,808
* UniCredit SPA 3,654,390 69,839
  Eni SPA 4,097,068 66,980
  Assicurazioni Generali SPA 2,148,024 39,094
* Fiat Chrysler Automobiles NV 1,785,868 30,880
  Atlantia SPA 875,462 28,541
  Ferrari NV 206,259 24,697
  CNH Industrial NV 1,580,454 20,165
  Snam SPA 3,891,203 19,868
* Telecom Italia SPA (Registered) 18,960,890 16,407
  Luxottica Group SPA 256,167 14,687
  Terna Rete Elettrica Nazionale SPA 2,362,355 14,250
  Prysmian SPA 353,978 12,180
  EXOR NV 176,460 11,312
  Leonardo SPA 641,553 11,075
  Mediobanca SPA 958,913 10,504
* Banco BPM SPA 2,494,940 8,687
  Moncler SPA 272,287 7,730
  Unione di Banche Italiane SPA 1,584,008 7,434
  Recordati SPA 159,812 7,427
  Davide Campari-Milano SPA 899,994 7,206
  Tenaris SA 522,290 7,130
  Telecom Italia SPA (Bearer) 9,581,459 6,807
  FinecoBank Banca Fineco SPA 633,082 5,921
2 Poste Italiane SPA 757,821 5,537
  Intesa Sanpaolo SPA 1,563,988 4,929
  Italgas SPA 793,584 4,636
*,2 Pirelli & C SPA 569,259 4,476
  A2A SPA 2,523,579 4,334
  Saipem SPA 938,470 3,945
  Tenaris SA ADR 128,926 3,513
  UnipolSai Assicurazioni SPA 1,497,086 3,407
  Banca Mediolanum SPA 395,009 3,366
  Buzzi Unicem SPA 117,152 3,262
*,^ Mediaset SPA 565,663 2,077
^ Salvatore Ferragamo SPA 70,374 1,847
  Parmalat SPA 296,518 1,123
  Buzzi Unicem SPA 58,852 932
* GEDI Gruppo Editoriale SPA 83,297 74
      646,023
Japan (17.5%)    
  Toyota Motor Corp. 4,280,991 265,533
  Mitsubishi UFJ Financial Group Inc. 21,051,359 142,794
  SoftBank Group Corp. 1,393,568 123,501
  Honda Motor Co. Ltd. 2,917,379 91,422
  Sumitomo Mitsui Financial Group Inc. 2,186,530 87,598
  Sony Corp. 2,068,690 86,543
  Keyence Corp. 148,746 82,588
  KDDI Corp. 2,984,464 79,514
  Mizuho Financial Group Inc. 41,572,058 75,531
  FANUC Corp. 315,817 73,846
  Takeda Pharmaceutical Co. Ltd. 1,250,248 70,495
  Shin-Etsu Chemical Co. Ltd. 666,501 70,290
  Nintendo Co. Ltd. 176,753 68,573
  Japan Tobacco Inc. 1,957,767 64,802
  Canon Inc. 1,680,188 63,120
  Hitachi Ltd. 7,587,956 60,426
  East Japan Railway Co. 608,616 59,023
  Mitsubishi Electric Corp. 3,240,800 55,461
  Central Japan Railway Co. 295,149 53,613
  Nippon Telegraph & Telephone Corp. 1,095,885 52,983
  Panasonic Corp. 3,492,070 52,728

 

19


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  NTT DOCOMO Inc. 2,120,345 51,352
  Nidec Corp. 384,455 51,126
  Seven & i Holdings Co. Ltd. 1,263,419 50,921
  Mitsubishi Corp. 2,106,963 49,341
  Tokio Marine Holdings Inc. 1,143,141 49,278
  Bridgestone Corp. 1,024,942 48,962
  Komatsu Ltd. 1,496,811 48,909
  Murata Manufacturing Co. Ltd. 309,665 48,668
  Recruit Holdings Co. Ltd. 1,957,461 47,992
  Daikin Industries Ltd. 433,771 47,936
  Kao Corp. 790,479 47,773
  Astellas Pharma Inc. 3,394,478 45,177
  Tokyo Electron Ltd. 255,436 44,977
  Denso Corp. 800,799 44,103
  Mitsui & Co. Ltd. 2,754,433 41,136
  ITOCHU Corp. 2,320,565 40,649
  Daiwa House Industry Co. Ltd. 1,064,182 39,005
  Suzuki Motor Corp. 672,175 36,817
  ORIX Corp. 2,107,453 36,235
  Mitsui Fudosan Co. Ltd. 1,552,346 36,233
  SMC Corp. 93,038 35,593
  Dai-ichi Life Holdings Inc. 1,860,411 35,530
  Mitsubishi Estate Co. Ltd. 1,939,761 35,177
  Subaru Corp. 1,004,738 34,713
  Kubota Corp. 1,831,987 34,470
  Kyocera Corp. 513,759 34,364
  Hoya Corp. 615,826 33,458
  Kirin Holdings Co. Ltd. 1,377,206 33,058
  Nomura Holdings Inc. 5,508,523 31,524
  Nippon Steel & Sumitomo Metal Corp. 1,280,994 30,712
  Nissan Motor Co. Ltd. 3,156,439 30,698
  Otsuka Holdings Co. Ltd. 688,316 28,754
  Asahi Group Holdings Ltd. 624,286 28,504
  MS&AD Insurance Group Holdings Inc. 818,512 27,807
  Fast Retailing Co. Ltd. 82,685 27,664
  JXTG Holdings Inc. 5,227,935 26,996
  Sumitomo Corp. 1,845,345 26,691
  Shiseido Co. Ltd. 635,755 26,223
  FUJIFILM Holdings Corp. 633,505 25,915
  Shionogi & Co. Ltd. 475,243 25,586
  Japan Post Holdings Co. Ltd. 2,185,554 25,283
  Toray Industries Inc. 2,490,552 25,208
  Oriental Land Co. Ltd. 312,876 25,025
  Asahi Kasei Corp. 2,057,329 24,914
  Fujitsu Ltd. 3,192,072 24,874
  Daiichi Sankyo Co. Ltd. 1,077,861 24,757
  Eisai Co. Ltd. 439,202 24,445
  Secom Co. Ltd. 320,206 24,381
  Sumitomo Mitsui Trust Holdings Inc. 615,254 24,284
  Sompo Holdings Inc. 598,867 24,072
  Nitto Denko Corp. 251,354 23,373
  Sumitomo Realty & Development Co. Ltd. 696,762 23,336
  Mitsubishi Chemical Holdings Corp. 2,125,112 22,197
  West Japan Railway Co. 300,171 21,167
  Sumitomo Electric Industries Ltd. 1,239,496 21,103
  Terumo Corp. 505,937 21,083
  Daito Trust Construction Co. Ltd. 119,877 20,959
  Resona Holdings Inc. 3,608,275 19,504
  Taisei Corp. 346,257 19,185
  Mitsubishi Heavy Industries Ltd. 468,129 18,316
  JFE Holdings Inc. 850,593 18,280
  Omron Corp. 324,725 18,196
*,^ Toshiba Corp. 6,251,216 18,073
  MEIJI Holdings Co. Ltd. 221,044 18,070

 

20


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Sekisui House Ltd. 961,361 17,976
Aeon Co. Ltd. 1,159,686 17,937
Nitori Holdings Co. Ltd. 122,743 17,838
Shimano Inc. 129,762 17,757
Sumitomo Chemical Co. Ltd. 2,478,905 17,421
Marubeni Corp. 2,587,103 17,347
Olympus Corp. 464,719 17,294
Tokyo Gas Co. Ltd. 689,766 17,207
Chugai Pharmaceutical Co. Ltd. 357,964 17,067
Ajinomoto Co. Inc. 839,280 16,883
Makita Corp. 400,424 16,781
Ono Pharmaceutical Co. Ltd. 728,724 16,702
Daiwa Securities Group Inc. 2,661,067 16,684
Kansai Electric Power Co. Inc. 1,197,553 16,399
Toyota Industries Corp. 264,760 16,296
Inpex Corp. 1,509,378 16,161
Sysmex Corp. 234,890 16,076
Japan Exchange Group Inc. 887,585 16,002
Kajima Corp. 1,521,848 15,784
Dentsu Inc. 362,495 15,505
T&D Holdings Inc. 991,338 15,466
Aisin Seiki Co. Ltd. 296,178 15,343
Sumitomo Metal Mining Co. Ltd. 382,985 15,109
TDK Corp. 195,854 15,049
Chubu Electric Power Co. Inc. 1,164,397 15,017
Hankyu Hanshin Holdings Inc. 375,688 14,647
Obayashi Corp. 1,112,815 14,570
Unicharm Corp. 633,957 14,426
Rakuten Inc. 1,312,039 14,040
Yakult Honsha Co. Ltd. 169,213 13,990
Yamaha Motor Co. Ltd. 461,086 13,838
Rohm Co. Ltd. 145,954 13,586
Mazda Motor Corp. 936,742 13,523
Toyota Tsusho Corp. 370,514 13,476
Yaskawa Electric Corp. 366,794 13,143
Isuzu Motors Ltd. 895,431 13,078
MINEBEA MITSUMI Inc. 699,627 12,826
Koito Manufacturing Co. Ltd. 190,928 12,803
Osaka Gas Co. Ltd. 653,554 12,659
Asahi Glass Co. Ltd. 318,172 12,469
MISUMI Group Inc. 453,267 12,418
Tokyu Corp. 815,422 12,335
Sekisui Chemical Co. Ltd. 603,089 12,173
NTT Data Corp. 1,034,190 12,045
Yamato Holdings Co. Ltd. 584,113 11,943
LIXIL Group Corp. 431,658 11,888
Dai Nippon Printing Co. Ltd. 495,651 11,881
TOTO Ltd. 241,826 11,843
Kuraray Co. Ltd. 585,910 11,539
Kintetsu Group Holdings Co. Ltd. 299,196 11,505
Ryohin Keikaku Co. Ltd. 38,004 11,211
Shimizu Corp. 945,096 11,124
NEC Corp. 404,285 11,093
Bandai Namco Holdings Inc. 322,134 11,039
Nikon Corp. 580,301 11,020
Seiko Epson Corp. 454,673 10,850
NSK Ltd. 748,876 10,783
* Tokyo Electric Power Co. Holdings Inc. 2,604,549 10,691
Yamaha Corp. 271,735 10,677
Ricoh Co. Ltd. 1,129,779 10,484
Concordia Financial Group Ltd. 1,976,975 10,470
Disco Corp. 44,868 10,397
Tohoku Electric Power Co. Inc. 791,231 10,380
Tosoh Corp. 474,666 10,244

 

21


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Trend Micro Inc. 188,019 10,082
  Odakyu Electric Railway Co. Ltd. 510,432 9,985
  M3 Inc. 334,028 9,963
* Renesas Electronics Corp. 766,700 9,913
  Tobu Railway Co. Ltd. 336,832 9,882
  Kikkoman Corp. 284,748 9,773
  Suntory Beverage & Food Ltd. 210,668 9,693
^ Yahoo Japan Corp. 2,160,101 9,658
  Alps Electric Co. Ltd. 315,092 9,643
  Santen Pharmaceutical Co. Ltd. 604,702 9,609
  Brother Industries Ltd. 391,647 9,530
  Mitsui Chemicals Inc. 306,913 9,464
  NH Foods Ltd. 326,935 9,404
  Shimadzu Corp. 451,202 9,381
  Stanley Electric Co. Ltd. 248,576 9,176
  Toppan Printing Co. Ltd. 889,213 9,047
  Nippon Paint Holdings Co. Ltd. 254,669 8,984
  Kyushu Electric Power Co. Inc. 784,996 8,954
  Shizuoka Bank Ltd. 904,684 8,804
  Nissan Chemical Industries Ltd. 235,855 8,797
  NGK Insulators Ltd. 443,077 8,774
* Nexon Co. Ltd. 325,913 8,767
  Kawasaki Heavy Industries Ltd. 247,999 8,652
  Oji Holdings Corp. 1,463,903 8,580
  Kyushu Railway Co. 266,708 8,524
  Keio Corp. 195,220 8,517
  Chiba Bank Ltd. 1,107,453 8,489
  Hirose Electric Co. Ltd. 56,092 8,438
  Sumco Corp. 380,166 8,374
  Hoshizaki Corp. 88,413 8,367
  Don Quijote Holdings Co. Ltd. 198,272 8,317
  Keikyu Corp. 401,674 8,309
  Japan Post Bank Co. Ltd. 654,425 8,288
  Mitsubishi Tanabe Pharma Corp. 372,633 8,201
  Taiheiyo Cement Corp. 203,106 8,118
  Kansai Paint Co. Ltd. 313,326 8,053
  Mitsubishi Motors Corp. 1,003,933 8,039
  Sumitomo Heavy Industries Ltd. 190,690 8,012
  Mitsubishi Materials Corp. 210,104 7,989
  Aozora Bank Ltd. 202,022 7,908
  Lion Corp. 408,789 7,866
  Start Today Co. Ltd. 285,537 7,821
  Kyowa Hakko Kirin Co. Ltd. 423,552 7,818
  Nisshin Seifun Group Inc. 444,624 7,814
  Nippon Express Co. Ltd. 122,067 7,745
  IHI Corp. 214,987 7,744
  FamilyMart UNY Holdings Co. Ltd. 135,158 7,682
  Konami Holdings Corp. 157,031 7,648
*,^ Sharp Corp. 237,369 7,551
  ANA Holdings Inc. 195,993 7,533
  USS Co. Ltd. 368,496 7,449
  NGK Spark Plug Co. Ltd. 325,337 7,425
  Fuji Electric Co. Ltd. 1,015,573 7,358
  Nabtesco Corp. 184,691 7,337
  Daifuku Co. Ltd. 150,449 7,336
  Yokogawa Electric Corp. 384,448 7,303
  Nissin Foods Holdings Co. Ltd. 115,695 7,285
  Mitsubishi Gas Chemical Co. Inc. 295,409 7,227
  Hamamatsu Photonics KK 222,397 7,201
  Nomura Research Institute Ltd. 169,700 7,194
  Electric Power Development Co. Ltd. 281,234 7,087
  Mebuki Financial Group Inc. 1,697,300 7,081
  Tsuruha Holdings Inc. 57,063 7,075
  Keisei Electric Railway Co. Ltd. 233,882 7,065

 

22


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Obic Co. Ltd. 105,611 6,991
Idemitsu Kosan Co. Ltd. 235,603 6,887
Amada Holdings Co. Ltd. 551,357 6,851
Nagoya Railroad Co. Ltd. 304,800 6,848
Showa Denko KK 203,475 6,818
Persol Holdings Co. Ltd. 272,580 6,759
Hisamitsu Pharmaceutical Co. Inc. 121,488 6,689
Suruga Bank Ltd. 293,490 6,682
Yamada Denki Co. Ltd. 1,250,563 6,652
Konica Minolta Inc. 752,425 6,601
THK Co. Ltd. 180,924 6,599
Coca-Cola Bottlers Japan Inc. 186,962 6,542
Japan Airlines Co. Ltd. 190,738 6,528
Seibu Holdings Inc. 364,531 6,517
Isetan Mitsukoshi Holdings Ltd. 597,757 6,516
Haseko Corp. 444,492 6,455
Advantest Corp. 280,066 6,398
Teijin Ltd. 302,010 6,392
JTEKT Corp. 383,902 6,361
Sojitz Corp. 2,102,660 6,346
J Front Retailing Co. Ltd. 420,037 6,234
Fukuoka Financial Group Inc. 1,179,494 6,088
Pigeon Corp. 171,398 6,083
JGC Corp. 360,993 6,055
Taisho Pharmaceutical Holdings Co. Ltd. 79,154 6,028
Bank of Kyoto Ltd. 114,686 6,023
Toho Co. Ltd. 181,486 6,013
Toyo Suisan Kaisha Ltd. 155,211 5,971
Furukawa Electric Co. Ltd. 97,526 5,937
* Nippon Yusen KK 279,112 5,903
Daicel Corp. 471,485 5,887
Hulic Co. Ltd. 564,447 5,823
Nippon Shinyaku Co. Ltd. 81,434 5,771
JSR Corp. 297,161 5,760
Mitsui OSK Lines Ltd. 187,722 5,748
Hitachi Construction Machinery Co. Ltd. 167,532 5,747
Sumitomo Rubber Industries Ltd. 302,585 5,745
Credit Saison Co. Ltd. 284,653 5,732
Ebara Corp. 158,926 5,719
Kose Corp. 46,495 5,654
Kobayashi Pharmaceutical Co. Ltd. 97,300 5,626
Hino Motors Ltd. 433,485 5,579
Kurita Water Industries Ltd. 174,635 5,549
Otsuka Corp. 81,235 5,538
Alfresa Holdings Corp. 286,966 5,483
Ulvac Inc. 77,100 5,462
Nippon Electric Glass Co. Ltd. 133,485 5,450
Tokyu Fudosan Holdings Corp. 828,482 5,432
Hakuhodo DY Holdings Inc. 382,543 5,292
Ube Industries Ltd. 170,498 5,238
Keihan Holdings Co. Ltd. 168,813 5,158
Marui Group Co. Ltd. 336,858 5,156
Rinnai Corp. 59,822 5,126
Sohgo Security Services Co. Ltd. 106,289 5,121
Chugoku Electric Power Co. Inc. 456,979 5,095
Casio Computer Co. Ltd. 343,802 5,073
Square Enix Holdings Co. Ltd. 124,553 5,023
SCREEN Holdings Co. Ltd. 63,571 4,983
SBI Holdings Inc. 315,491 4,979
Lawson Inc. 75,935 4,958
DIC Corp. 129,477 4,806
Denka Co. Ltd. 143,159 4,783
CyberAgent Inc. 154,240 4,777
Nihon M&A Center Inc. 99,686 4,772

 

23


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Air Water Inc. 246,218 4,725
  MediPal Holdings Corp. 254,007 4,717
  Hikari Tsushin Inc. 36,223 4,689
  Tokyo Tatemono Co. Ltd. 332,316 4,662
  Ezaki Glico Co. Ltd. 83,623 4,638
  Suzuken Co. Ltd. 127,857 4,609
  Sony Financial Holdings Inc. 276,588 4,595
  Mitsui Mining & Smelting Co. Ltd. 88,100 4,584
^ Asahi Intecc Co. Ltd. 79,321 4,577
  Matsumotokiyoshi Holdings Co. Ltd. 63,374 4,557
  Azbil Corp. 104,324 4,556
  Nankai Electric Railway Co. Ltd. 176,143 4,554
  Sundrug Co. Ltd. 104,396 4,543
  Toyo Seikan Group Holdings Ltd. 256,765 4,542
  Sega Sammy Holdings Inc. 320,063 4,506
  Hitachi Chemical Co. Ltd. 157,649 4,495
  NOK Corp. 182,433 4,481
  Kewpie Corp. 178,469 4,452
  Nichirei Corp. 172,726 4,446
  Yamaguchi Financial Group Inc. 366,300 4,437
  Oracle Corp. Japan 52,408 4,435
  Nifco Inc. 67,629 4,415
  Shinsei Bank Ltd. 261,024 4,405
  Gunma Bank Ltd. 682,051 4,391
  Takashimaya Co. Ltd. 476,825 4,387
  Asics Corp. 285,735 4,368
  Mabuchi Motor Co. Ltd. 81,908 4,298
  Iida Group Holdings Co. Ltd. 224,007 4,297
  COMSYS Holdings Corp. 168,972 4,279
  Nomura Real Estate Holdings Inc. 193,212 4,253
  Kagome Co. Ltd. 126,528 4,214
^ Relo Group Inc. 167,780 4,154
  Nippon Kayaku Co. Ltd. 260,477 4,136
  Hitachi High-Technologies Corp. 98,656 4,129
  DeNA Co. Ltd. 174,307 4,099
  Calbee Inc. 121,152 4,089
  TIS Inc. 131,206 4,083
  Hachijuni Bank Ltd. 649,958 4,070
  Hitachi Metals Ltd. 312,919 4,054
  Hiroshima Bank Ltd. 475,521 4,026
  Sanwa Holdings Corp. 320,107 4,014
  Chugoku Bank Ltd. 279,763 4,010
  Toho Gas Co. Ltd. 143,112 4,001
*,^ Kobe Steel Ltd. 471,718 3,983
  Kyushu Financial Group Inc. 625,830 3,978
*,^ PeptiDream Inc. 125,160 3,972
  Tsumura & Co. 106,391 3,954
  Shimamura Co. Ltd. 35,275 3,930
  AEON Financial Service Co. Ltd. 182,973 3,930
  Seven Bank Ltd. 1,060,539 3,922
  Miraca Holdings Inc. 84,016 3,909
  Kamigumi Co. Ltd. 162,784 3,897
  Nippon Shokubai Co. Ltd. 51,326 3,872
  Fujikura Ltd. 443,196 3,868
  Benesse Holdings Inc. 113,641 3,852
  Pola Orbis Holdings Inc. 120,412 3,838
^ Park24 Co. Ltd. 165,556 3,827
  Kaneka Corp. 456,677 3,771
  Sumitomo Dainippon Pharma Co. Ltd. 262,589 3,748
  Morinaga & Co. Ltd. 65,800 3,738
  Iyo Bank Ltd. 432,341 3,732
  Miura Co. Ltd. 158,618 3,731
  Yokohama Rubber Co. Ltd. 165,736 3,726
  Yamazaki Baking Co. Ltd. 205,544 3,700

 

24


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Toyo Tire & Rubber Co. Ltd. 162,887 3,686
  Mitsubishi UFJ Lease & Finance Co. Ltd. 693,491 3,659
  Rohto Pharmaceutical Co. Ltd. 156,692 3,617
  Horiba Ltd. 60,637 3,613
  Showa Shell Sekiyu KK 303,999 3,586
  Sumitomo Forestry Co. Ltd. 212,157 3,573
  Daido Steel Co. Ltd. 55,550 3,520
  Kinden Corp. 206,998 3,496
  House Foods Group Inc. 117,607 3,494
  Seino Holdings Co. Ltd. 235,102 3,430
*,^ Kawasaki Kisen Kaisha Ltd. 131,081 3,423
  Nagase & Co. Ltd. 198,769 3,376
  Aeon Mall Co. Ltd. 188,043 3,363
^ Topcon Corp. 158,946 3,361
  Sankyu Inc. 80,600 3,332
  NTN Corp. 685,141 3,328
  Hokuhoku Financial Group Inc. 201,330 3,319
  NOF Corp. 114,500 3,309
  Tokyo Century Corp. 75,283 3,284
  Zenkoku Hosho Co. Ltd. 79,754 3,277
  Nishi-Nippon Railroad Co. Ltd. 122,212 3,267
  DMG Mori Co. Ltd. 161,734 3,261
  Glory Ltd. 87,118 3,258
  Shikoku Electric Power Co. Inc. 248,653 3,254
  Izumi Co. Ltd. 62,682 3,251
  Sotetsu Holdings Inc. 125,292 3,233
  Sapporo Holdings Ltd. 101,131 3,205
  Ito En Ltd. 90,220 3,159
  Zeon Corp. 232,960 3,102
  Daiichikosho Co. Ltd. 65,496 3,086
  Welcia Holdings Co. Ltd. 80,714 3,063
  Citizen Watch Co. Ltd. 413,826 3,042
  Dowa Holdings Co. Ltd. 72,251 3,042
  Toda Corp. 373,208 3,041
  Maruichi Steel Tube Ltd. 99,508 3,040
  Aica Kogyo Co. Ltd. 86,500 3,025
  Bic Camera Inc. 244,452 3,011
^ Nippon Paper Industries Co. Ltd. 151,244 3,009
  GS Yuasa Corp. 595,913 2,996
  Itochu Techno-Solutions Corp. 76,442 2,978
  Taiyo Yuden Co. Ltd. 169,963 2,967
  Leopalace21 Corp. 392,238 2,929
  Nishi-Nippon Financial Holdings Inc. 250,076 2,918
  Sugi Holdings Co. Ltd. 57,416 2,914
  Sawai Pharmaceutical Co. Ltd. 51,328 2,911
^ Kakaku.com Inc. 211,137 2,899
  OKUMA Corp. 46,972 2,887
  K's Holdings Corp. 125,611 2,883
  77 Bank Ltd. 113,305 2,880
  Cosmos Pharmaceutical Corp. 13,821 2,878
  TS Tech Co. Ltd. 80,338 2,877
  Kaken Pharmaceutical Co. Ltd. 56,565 2,867
  Ibiden Co. Ltd. 170,572 2,856
  Skylark Co. Ltd. 190,786 2,854
  Mitsubishi Logistics Corp. 109,593 2,839
  NHK Spring Co. Ltd. 247,348 2,831
  SCSK Corp. 65,491 2,824
  Aoyama Trading Co. Ltd. 75,600 2,801
  Wacoal Holdings Corp. 97,724 2,793
  Taiyo Nippon Sanso Corp. 231,574 2,781
  Toyoda Gosei Co. Ltd. 113,657 2,779
  Nipro Corp. 189,602 2,764
^ Tadano Ltd. 180,824 2,756
  Takara Holdings Inc. 280,262 2,742

 

25


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Sumitomo Osaka Cement Co. Ltd. 594,206 2,721
  Maeda Corp. 217,000 2,721
^ Kyudenko Corp. 61,361 2,709
  Zensho Holdings Co. Ltd. 146,088 2,708
  Sankyo Co. Ltd. 82,582 2,666
  Nihon Kohden Corp. 118,550 2,639
  Toyobo Co. Ltd. 135,624 2,612
  Japan Airport Terminal Co. Ltd. 73,337 2,607
  Japan Steel Works Ltd. 102,350 2,594
  Ushio Inc. 185,580 2,576
^ MonotaRO Co. Ltd. 92,682 2,552
  H2O Retailing Corp. 137,102 2,536
  Daishi Bank Ltd. 51,619 2,528
* Acom Co. Ltd. 600,772 2,498
  Cosmo Energy Holdings Co. Ltd. 105,343 2,420
  Nisshinbo Holdings Inc. 201,366 2,418
  Jafco Co. Ltd. 48,863 2,415
^ OSG Corp. 111,326 2,410
  Shiga Bank Ltd. 407,951 2,342
^ Hokuriku Electric Power Co. 261,340 2,309
  Tokai Tokyo Financial Holdings Inc. 352,228 2,306
* LINE Corp. 55,069 2,281
  Shochiku Co. Ltd. 15,134 2,253
  San-In Godo Bank Ltd. 242,315 2,228
  Hitachi Kokusai Electric Inc. 79,800 2,211
  Rengo Co. Ltd. 333,888 2,187
  Ain Holdings Inc. 31,598 2,162
  Japan Post Insurance Co. Ltd. 98,762 2,140
  Ariake Japan Co. Ltd. 27,885 2,131
  Lintec Corp. 75,899 2,109
  Hokkaido Electric Power Co. Inc. 267,126 2,105
  Resorttrust Inc. 106,026 2,088
  Awa Bank Ltd. 306,274 2,078
  Pilot Corp. 41,070 2,077
  ABC-Mart Inc. 41,086 2,073
  Itoham Yonekyu Holdings Inc. 216,790 2,068
  PALTAC Corp. 52,000 2,065
  Shimachu Co. Ltd. 72,591 2,044
  Fuji Oil Holdings Inc. 73,000 1,968
^ FP Corp. 37,123 1,951
  Maeda Road Construction Co. Ltd. 90,197 1,942
^ GMO Payment Gateway Inc. 26,403 1,932
  Juroku Bank Ltd. 56,771 1,918
  Megmilk Snow Brand Co. Ltd. 67,169 1,880
  Toyota Boshoku Corp. 93,325 1,879
  Keiyo Bank Ltd. 381,084 1,868
  Canon Marketing Japan Inc. 71,156 1,790
  HIS Co. Ltd. 52,988 1,774
  Fukuyama Transporting Co. Ltd. 54,416 1,766
  Capcom Co. Ltd. 68,523 1,743
  NTT Urban Development Corp. 166,837 1,727
  Hitachi Transport System Ltd. 68,698 1,700
  Autobacs Seven Co. Ltd. 98,295 1,690
  Senshu Ikeda Holdings Inc. 433,148 1,672
  Fujitsu General Ltd. 87,230 1,668
  Tokai Rika Co. Ltd. 77,879 1,639
  Nippo Corp. 78,459 1,638
  Kandenko Co. Ltd. 164,828 1,621
*,^ Aiful Corp. 458,879 1,601
  Hitachi Capital Corp. 64,599 1,579
^ GungHo Online Entertainment Inc. 578,957 1,558
^ Sanrio Co. Ltd. 93,650 1,551
  Mochida Pharmaceutical Co. Ltd. 21,022 1,539
  Nippon Television Holdings Inc. 85,100 1,536

 

26


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  North Pacific Bank Ltd. 455,868 1,534
  Mitsui Engineering & Shipbuilding Co. Ltd. 116,537 1,525
  KYORIN Holdings Inc. 73,770 1,515
  Heiwa Corp. 82,115 1,514
  Yamato Kogyo Co. Ltd. 55,399 1,482
  Koei Tecmo Holdings Co. Ltd. 72,317 1,436
^ Chiyoda Corp. 235,803 1,396
^ Orient Corp. 848,287 1,375
  Kissei Pharmaceutical Co. Ltd. 49,028 1,348
  Exedy Corp. 44,916 1,347
  Kusuri no Aoki Holdings Co. Ltd. 24,112 1,338
  Matsui Securities Co. Ltd. 157,760 1,327
  Komeri Co. Ltd. 42,821 1,283
  Fuji Media Holdings Inc. 80,000 1,234
  Japan Aviation Electronics Industry Ltd. 66,747 1,221
*,^ Japan Display Inc. 542,800 1,171
  NS Solutions Corp. 46,521 1,131
^ Ichigo Inc. 308,016 1,095
  Tokyo Broadcasting System Holdings Inc. 53,479 1,089
  Nisshin Steel Co. Ltd. 74,886 1,088
  Nissan Shatai Co. Ltd. 101,647 1,088
  Gree Inc. 144,357 980
  Japan Petroleum Exploration Co. Ltd. 47,358 977
  Adastria Co. Ltd. 43,063 939
^ ASKUL Corp. 32,969 888
  SKY Perfect JSAT Holdings Inc. 188,572 874
  Daikyo Inc. 45,194 870
  COLOPL Inc. 76,046 844
  TV Asahi Holdings Corp. 31,741 639
  Toppan Forms Co. Ltd. 61,373 635
  Mitsubishi Shokuhin Co. Ltd. 21,308 632
  OBIC Business Consultants Co. Ltd. 9,842 486
*,^ Aplus Financial Co. Ltd. 99,286 98
      6,266,384
Malaysia (0.6%)    
  Public Bank Bhd. (Local) 5,049,200 24,401
  Tenaga Nasional Bhd. 6,663,100 23,608
  Malayan Banking Bhd. 9,202,900 20,108
  CIMB Group Holdings Bhd. 10,488,050 15,211
  Sime Darby Bhd. 5,861,205 12,738
  Axiata Group Bhd. 7,324,524 9,327
  Genting Bhd. 3,814,900 8,155
  Petronas Chemicals Group Bhd. 4,656,968 8,107
  DiGi.Com Bhd. 6,226,866 7,354
  IHH Healthcare Bhd. 4,502,300 6,000
  Maxis Bhd. 4,207,000 5,912
  IOI Corp. Bhd. 5,589,365 5,890
  Genting Malaysia Bhd. 4,624,100 5,496
  Petronas Gas Bhd. 1,250,350 5,328
  Kuala Lumpur Kepong Bhd. 770,900 4,481
  Gamuda Bhd. 3,430,200 4,254
  Hong Leong Bank Bhd. 1,013,100 3,814
  IJM Corp. Bhd. 5,029,040 3,790
  MISC Bhd. 2,255,523 3,700
  PPB Group Bhd. 919,000 3,644
  AMMB Holdings Bhd. 3,097,800 3,133
  Malaysia Airports Holdings Bhd. 1,436,900 2,809
  Telekom Malaysia Bhd. 1,824,500 2,738
  Petronas Dagangan Bhd. 461,900 2,614
  Sapura Energy Bhd. 6,892,196 2,608
  YTL Corp. Bhd. 8,007,666 2,402
  HAP Seng Consolidated Bhd. 1,012,100 2,219
2 Astro Malaysia Holdings Bhd. 3,159,468 2,097
  RHB Bank Bhd. (Common Shares) 1,717,658 2,061

 

27


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  British American Tobacco Malaysia Bhd. 216,900 2,009
  AirAsia Bhd. 2,356,300 1,859
  IOI Properties Group Bhd. 3,209,700 1,510
  Westports Holdings Bhd. 1,669,896 1,465
  Alliance Financial Group Bhd. 1,652,400 1,440
  YTL Power International Bhd. 4,578,011 1,406
  Hong Leong Financial Group Bhd. 349,635 1,380
  KLCCP Stapled Group 715,100 1,352
* UMW Holdings Bhd. 1,044,700 1,293
  Felda Global Ventures Holdings Bhd. 2,796,300 1,261
* Bumi Armada Bhd. 5,095,100 880
  Berjaya Sports Toto Bhd. 1,299,577 740
* UEM Sunrise Bhd. 2,417,100 634
  MMC Corp. Bhd. 1,314,100 618
*,3 RHB Bank Bhd. 1,187,500 14
      221,860
Malta (0.0%)    
3 BGP Holdings PLC 3,738,510
 
Mexico (0.8%)    
  America Movil SAB de CV 48,259,983 41,635
  Fomento Economico Mexicano SAB de CV 3,447,412 30,096
  Grupo Financiero Banorte SAB de CV 3,735,393 22,169
  Wal-Mart de Mexico SAB de CV 8,465,161 18,916
  Grupo Televisa SAB 4,094,242 17,924
  Grupo Mexico SAB de CV Class B 5,492,336 17,859
* Cemex SAB de CV ADR 1,395,765 11,320
  Grupo Bimbo SAB de CV Class A 3,946,820 9,124
* Cemex SAB de CV 11,043,482 8,975
  Fibra Uno Administracion SA de CV 5,025,498 7,909
  Grupo Financiero Inbursa SAB de CV 3,673,636 6,314
  Grupo Aeroportuario del Pacifico SAB de CV Class B 659,463 6,255
  Grupo Aeroportuario del Sureste SAB de CV Class B 339,747 6,059
  Coca-Cola Femsa SAB de CV 823,246 5,561
  Alfa SAB de CV Class A 4,933,135 5,154
  Infraestructura Energetica Nova SAB de CV 955,160 4,877
  Industrias Penoles SAB de CV 200,605 4,664
  Grupo Financiero Santander Mexico SAB de CV Class B 2,743,313 4,620
  Gruma SAB de CV Class B 328,320 4,301
  Grupo Elektra SAB DE CV 106,490 4,271
  Mexichem SAB de CV 1,586,398 4,084
  Arca Continental SAB de CV 571,073 3,634
  Promotora y Operadora de Infraestructura SAB de CV 327,625 3,111
  Alsea SAB de CV 828,410 2,511
  Grupo Aeroportuario del Centro Norte SAB de CV Class B 488,376 2,464
  Kimberly-Clark de Mexico SAB de CV Class A 1,355,551 2,334
  El Puerto de Liverpool SAB de CV 312,397 2,128
  Banregio Grupo Financiero SAB de CV 368,600 1,961
  Megacable Holdings SAB de CV 485,329 1,920
  Grupo Carso SAB de CV 554,980 1,800
  Gentera SAB de CV 1,764,162 1,787
* Telesites SAB de CV 2,036,017 1,504
  Grupo Lala SAB de CV 885,023 1,367
  Industrias Bachoco SAB de CV Class B 255,391 1,254
* Becle SAB de CV 683,200 1,094
  Grupo Comercial Chedraui SA de CV 476,055 925
* Grupo Aeromexico SAB de CV 553,104 877
* Industrias CH SAB de CV Class B 215,745 858
* Organizacion Soriana SAB de CV Class B 404,787 853
  OHL Mexico SAB de CV 436,700 773
2 Nemak SAB de CV 857,099 644
  Concentradora Fibra Danhos SA de CV 334,073 566
  Alpek SAB de CV 536,867 561
  Promotora y Operadora de Infraestructura SAB de CV Class L 73,691 551

 

28


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Grupo Simec SAB de CV Class B 116,200 381
* Minera Frisco SAB de CV 504,458 297
      278,242
Netherlands (2.4%)    
^ Unilever NV 2,502,065 145,346
  ING Groep NV 6,362,970 117,586
  ASML Holding NV 513,642 92,677
  Koninklijke Philips NV 1,534,462 62,535
  Unibail-Rodamco SE 162,572 40,693
  Koninklijke Ahold Delhaize NV 2,087,534 39,278
  Heineken NV 384,453 37,459
  Akzo Nobel NV 412,842 37,272
  RELX NV 1,463,739 33,047
  ArcelorMittal 986,474 28,249
  Koninklijke DSM NV 288,429 24,608
  Wolters Kluwer NV 474,625 23,263
  NN Group NV 553,811 23,193
2 ABN AMRO Group NV 677,672 20,930
* Altice NV Class A 1,040,753 19,627
  Koninklijke KPN NV 5,097,844 17,541
  Aegon NV 2,869,017 16,938
  Heineken Holding NV 173,748 16,128
  Randstad Holding NV 184,267 11,337
  ASR Nederland NV 232,630 9,537
  Gemalto NV 136,511 5,403
2 Philips Lighting NV 131,667 4,990
  Boskalis Westminster 131,314 4,694
  Koninklijke Vopak NV 107,141 4,637
*,^ OCI NV 156,713 3,718
* Altice NV Class B 140,023 2,640
2 GrandVision NV 78,223 1,952
      845,278
New Zealand (0.2%)    
  Fisher & Paykel Healthcare Corp. Ltd. 950,420 8,621
  Spark New Zealand Ltd. 3,102,800 7,818
  Auckland International Airport Ltd. 1,546,181 6,590
  Fletcher Building Ltd. 1,156,222 5,832
  Contact Energy Ltd. 1,128,427 4,441
  Ryman Healthcare Ltd. 662,660 4,219
  Meridian Energy Ltd. 1,949,975 3,804
* Xero Ltd. 143,689 3,384
  SKYCITY Entertainment Group Ltd. 1,063,384 2,831
  Mercury NZ Ltd. 1,075,954 2,422
  Kiwi Property Group Ltd. 2,229,658 2,022
  Air New Zealand Ltd. 790,754 1,787
  SKY Network Television Ltd. 629,205 1,077
      54,848
Norway (0.4%)    
  DNB ASA 1,759,555 33,958
^ Statoil ASA 1,570,235 31,903
^ Telenor ASA 1,112,747 23,628
  Norsk Hydro ASA 2,193,916 16,977
  Yara International ASA 285,933 13,580
  Marine Harvest ASA 666,200 13,011
  Orkla ASA 1,272,996 12,469
  Gjensidige Forsikring ASA 258,980 4,874
  Aker BP ASA 163,975 3,777
  Schibsted ASA Class A 143,023 3,687
  Schibsted ASA Class B 135,279 3,175
      161,039
Other (0.3%)4    
5 Vanguard FTSE Emerging Markets ETF 2,014,441 89,905

 

29


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Banco Santander Rights Temp Line 181,047 1,228
      91,133
Pakistan (0.0%)    
  Habib Bank Ltd. 1,088,406 1,658
  Oil & Gas Development Co. Ltd. 1,027,200 1,403
  Pakistan Petroleum Ltd. 806,300 1,376
  Fauji Fertilizer Co. Ltd. 1,134,600 862
  National Bank of Pakistan 842,000 353
      5,652
Peru (0.1%)    
  Credicorp Ltd. (Lima Shares) 64,722 13,580
  Credicorp Ltd. 45,244 9,476
  Cia de Minas Buenaventura SAA ADR 325,064 4,483
      27,539
Philippines (0.3%)    
  SM Investments Corp. 794,999 14,723
  SM Prime Holdings Inc. 14,987,137 10,752
  Ayala Land Inc. 11,190,957 9,373
  BDO Unibank Inc. 3,266,580 8,705
  Ayala Corp. 404,778 8,077
  JG Summit Holdings Inc. 5,030,179 7,501
  PLDT Inc. 195,312 6,477
  Aboitiz Equity Ventures Inc. 3,824,464 5,556
  Bank of the Philippine Islands 2,645,922 5,028
  Universal Robina Corp. 1,426,859 3,949
  International Container Terminal Services Inc. 1,763,024 3,611
  Metropolitan Bank & Trust Co. 2,018,755 3,388
  GT Capital Holdings Inc. 143,851 3,291
  Jollibee Foods Corp. 632,955 3,056
  Metro Pacific Investments Corp. 22,428,000 2,956
  Manila Electric Co. 413,941 2,340
* Alliance Global Group Inc. 6,648,199 2,062
  Aboitiz Power Corp. 2,422,232 1,994
  Megaworld Corp. 18,828,706 1,944
  DMCI Holdings Inc. 6,183,396 1,837
  Globe Telecom Inc. 45,284 1,792
  Semirara Mining & Power Corp. Class A 1,838,484 1,513
  LT Group Inc. 4,201,641 1,464
* Bloomberry Resorts Corp. 5,355,550 981
  Petron Corp. 3,882,873 733
  Energy Development Corp. 2,200,827 246
      113,349
Poland (0.3%)    
  Polski Koncern Naftowy ORLEN SA 511,546 18,093
* Powszechna Kasa Oszczednosci Bank Polski SA 1,413,982 15,049
  Powszechny Zaklad Ubezpieczen SA 930,870 12,014
  Bank Pekao SA 264,501 8,643
  KGHM Polska Miedz SA 231,853 7,837
  LPP SA 2,468 5,813
  Polskie Gornictwo Naftowe i Gazownictwo SA 2,746,357 5,047
  Bank Zachodni WBK SA 45,661 4,581
* PGE Polska Grupa Energetyczna SA 1,183,015 4,242
  CD Projekt SA 100,812 3,339
* Alior Bank SA 144,736 2,875
  Grupa Lotos SA 149,235 2,706
* mBank SA 20,240 2,559
  CCC SA 33,536 2,515
* Jastrzebska Spolka Weglowa SA 81,822 2,200
* Bank Millennium SA 959,391 2,103
  KRUK SA 26,754 2,050
*,2 PLAY Communications SA 168,682 1,705
  Cyfrowy Polsat SA 244,704 1,704
* Orange Polska SA 1,033,511 1,593

 

30


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Tauron Polska Energia SA 1,612,987 1,560
Asseco Poland SA 117,906 1,546
Grupa Azoty SA 70,929 1,422
Enea SA 345,207 1,321
Eurocash SA 120,654 1,220
Kernel Holding SA 82,700 1,111
Synthos SA 773,710 1,047
Bank Handlowy w Warszawie SA 48,064 983
Budimex SA 15,278 783
* Ciech SA 39,339 669
    118,330
Portugal (0.1%)    
Galp Energia SGPS SA 844,837 15,708
EDP - Energias de Portugal SA 3,713,469 13,243
Jeronimo Martins SGPS SA 400,145 7,270
EDP Renovaveis SA 244,904 2,025
* Banco Espirito Santo SA 3,873,216 6
    38,252
Qatar (0.1%)    
Qatar National Bank QPSC 373,988 12,503
Industries Qatar QSC 247,264 6,483
Masraf Al Rayan QSC 618,755 6,084
Ooredoo QPSC 128,773 3,033
Qatar Insurance Co. SAQ 236,179 2,885
Qatar Islamic Bank SAQ 93,925 2,500
* Commercial Bank QSC 314,958 2,274
Qatar Electricity & Water Co. QSC 43,670 2,193
Doha Bank QSC 251,070 1,943
Qatar Gas Transport Co. Ltd. 431,920 1,799
Barwa Real Estate Co. 141,367 1,163
* Vodafone Qatar QSC 549,085 1,056
United Development Co. QSC 250,651 916
Qatar International Islamic Bank QSC 60,177 800
Ezdan Holding Group QSC 233,312 610
Aamal Co. 209,669 437
Gulf International Services QSC 81,764 394
Al Meera Consumer Goods Co. QSC 7,863 307
Qatari Investors Group QSC 16,333 132
Qatar Navigation QSC 6,545 96
    47,608
Russia (0.8%)    
Lukoil PJSC ADR 773,164 41,069
Sberbank of Russian PJSC 12,065,796 39,985
Gazprom PJSC ADR 7,368,951 31,653
Novatek PJSC 1,722,295 19,173
Sberbank of Russia PJSC ADR 1,316,168 18,890
Tatneft PJSC ADR 412,910 18,587
Magnit PJSC GDR 499,633 14,140
MMC Norilsk Nickel PJSC ADR 742,321 13,660
Rosneft Oil Co. PJSC GDR 1,972,497 10,814
AK Transneft OAO Preference Shares 2,506 7,928
Surgutneftegas OAO Preference Shares 12,452,700 6,175
Surgutneftegas OJSC ADR 1,222,177 6,108
Gazprom PJSC 2,684,787 5,780
2 VTB Bank PJSC GDR 2,532,074 5,242
Alrosa PJSC 3,987,200 5,127
Mobile TeleSystems PJSC 944,682 4,547
Moscow Exchange MICEX-RTS PJSC 2,233,294 4,507
Severstal PJSC GDR 275,514 4,202
Mobile TeleSystems PJSC ADR 351,115 3,725
VTB Bank PJSC 3,436,898,867 3,526
Novolipetsk Steel PJSC 1,377,903 3,139
Inter RAO UES PJSC 46,926,300 2,872

 

31


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
RusHydro PJSC 171,143,634 2,391
PhosAgro PJSC GDR 165,970 2,282
MegaFon PJSC GDR 204,567 2,138
Aeroflot PJSC 673,714 2,074
Magnitogorsk Iron & Steel Works PJSC 2,388,048 1,803
Tatneft PAO Preference Shares 280,590 1,520
^ Rostelecom PJSC ADR 158,894 1,152
Federal Grid Co. Unified Energy System PJSC 426,216,667 1,152
^ LSR Group PJSC GDR 335,360 966
Sistema PJSC FC GDR 191,390 900
* Safmar Financial Investment 62,870 825
TMK PJSC 600,220 816
Rostelecom PJSC 682,908 798
Unipro PJSC 18,049,100 792
Bashneft PAO Preference Shares 30,786 788
* Novorossiysk Commercial Sea Port PJSC 5,199,000 765
* Uralkali PJSC 324,600 723
Mosenergo PJSC 13,331,000 700
ROSSETI PJSC 42,251,896 684
* RussNeft PJSC 68,778 657
* Mechel PJSC 205,139 524
Acron PJSC 8,035 497
Mechel PJSC Preference Shares 184,910 308
Sistema PJSC FC 986,400 222
    296,326
Singapore (0.9%)    
DBS Group Holdings Ltd. 2,929,448 48,918
Oversea-Chinese Banking Corp. Ltd. 5,373,711 46,932
United Overseas Bank Ltd. 2,078,450 37,549
Singapore Telecommunications Ltd. 12,224,746 33,642
Keppel Corp. Ltd. 2,382,679 13,115
Global Logistic Properties Ltd. 4,814,868 11,728
CapitaLand Ltd. 4,204,641 11,323
Genting Singapore plc 9,600,064 8,593
Ascendas REIT 4,116,256 8,276
Wilmar International Ltd. 3,228,607 8,034
Singapore Exchange Ltd. 1,414,758 7,962
City Developments Ltd. 802,761 7,624
Singapore Technologies Engineering Ltd. 2,554,222 6,521
Singapore Airlines Ltd. 839,324 6,325
Venture Corp. Ltd. 409,351 5,851
Suntec REIT 3,945,372 5,648
^ Singapore Press Holdings Ltd. 2,722,257 5,391
CapitaLand Mall Trust 3,602,651 5,341
ComfortDelGro Corp. Ltd. 3,424,749 5,077
UOL Group Ltd. 723,467 4,798
Jardine Cycle & Carriage Ltd. 165,539 4,787
CapitaLand Commercial Trust 3,583,851 4,565
Yangzijiang Shipbuilding Holdings Ltd. 3,296,345 3,808
Hutchison Port Holdings Trust 8,024,508 3,451
SATS Ltd. 966,815 3,335
Sembcorp Industries Ltd. 1,358,091 3,289
Golden Agri-Resources Ltd. 10,397,201 3,013
^ Singapore Post Ltd. 2,223,164 2,096
StarHub Ltd. 902,137 1,741
^ Sembcorp Marine Ltd. 1,200,177 1,702
Yanlord Land Group Ltd. 1,018,300 1,338
Wing Tai Holdings Ltd. 547,240 963
Frasers Centrepoint Ltd. 618,500 944
^ M1 Ltd. 600,743 793
SIA Engineering Co. Ltd. 327,809 784
    325,257
South Africa (1.6%)    
Naspers Ltd. 697,355 169,898

 

32


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Sasol Ltd. 906,782 26,494
MTN Group Ltd. 2,963,331 25,731
Standard Bank Group Ltd. 2,084,786 24,209
FirstRand Ltd. 5,272,194 19,137
Steinhoff International Holdings NV (Johannesburg Shares) 4,138,315 17,965
Sanlam Ltd. 2,802,918 14,030
Remgro Ltd. 863,442 13,069
Aspen Pharmacare Holdings Ltd. 572,164 12,928
Bid Corp. Ltd. 546,823 12,024
Vodacom Group Ltd. 981,965 10,672
Barclays Africa Group Ltd. 1,077,111 10,670
Shoprite Holdings Ltd. 742,988 10,637
Growthpoint Properties Ltd. 4,683,217 8,124
Tiger Brands Ltd. 279,340 7,629
Bidvest Group Ltd. 559,136 6,789
Redefine Properties Ltd. 8,834,987 6,635
Woolworths Holdings Ltd. 1,611,428 6,427
AngloGold Ashanti Ltd. 668,682 6,170
Sappi Ltd. 900,702 6,032
Discovery Ltd. 552,893 5,735
Capitec Bank Holdings Ltd. 85,647 5,695
Gold Fields Ltd. 1,350,995 5,378
Nedbank Group Ltd. 357,415 5,238
Resilient REIT Ltd. 497,739 4,959
Mr Price Group Ltd. 382,628 4,742
RMB Holdings Ltd. 1,051,672 4,649
Mondi Ltd. 186,458 4,473
Clicks Group Ltd. 370,719 4,152
Netcare Ltd. 2,345,589 4,129
Life Healthcare Group Holdings Ltd. 2,166,959 4,018
^ Truworths International Ltd. 695,139 3,704
AVI Ltd. 524,383 3,656
Imperial Holdings Ltd. 254,575 3,651
SPAR Group Ltd. 306,049 3,602
Sibanye Gold Ltd. 2,744,085 3,553
Foschini Group Ltd. 356,484 3,417
Fortress Income Fund Ltd. Class B 1,179,474 3,347
Barloworld Ltd. 341,331 3,220
* Impala Platinum Holdings Ltd. 1,068,904 2,966
Rand Merchant Investment Holdings Ltd. 1,055,410 2,951
Investec Ltd. 429,245 2,927
Hyprop Investments Ltd. 386,473 2,905
PSG Group Ltd. 150,692 2,798
Exxaro Resources Ltd. 266,253 2,706
* Anglo American Platinum Ltd. 95,662 2,662
Pick n Pay Stores Ltd. 558,016 2,340
MMI Holdings Ltd. 1,644,781 2,185
* Northam Platinum Ltd. 565,465 2,104
Fortress Income Fund Ltd. Class A 1,730,293 2,074
Coronation Fund Managers Ltd. 410,856 2,072
Brait SE 524,724 1,961
Pioneer Foods Group Ltd. 233,267 1,960
Telkom SA SOC Ltd. 493,925 1,850
^ Kumba Iron Ore Ltd. 83,514 1,607
Liberty Holdings Ltd. 193,138 1,518
* Super Group Ltd. 535,032 1,512
EOH Holdings Ltd. 201,466 1,502
African Rainbow Minerals Ltd. 165,115 1,449
* Nampak Ltd. 1,053,149 1,386
KAP Industrial Holdings Ltd. 2,289,777 1,377
Tongaat Hulett Ltd. 168,041 1,369
* Attacq Ltd. 993,843 1,313
Massmart Holdings Ltd. 165,015 1,251
AECI Ltd. 162,442 1,214

 

33


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  JSE Ltd. 127,098 1,205
  Assore Ltd. 54,506 1,192
  Reunert Ltd. 239,235 1,176
*,2 Steinhoff Africa Retail Ltd. 720,059 1,170
  Tsogo Sun Holdings Ltd. 775,128 1,139
  Santam Ltd. 61,087 1,089
  Harmony Gold Mining Co. Ltd. 610,101 1,043
  Omnia Holdings Ltd. 91,651 946
* Famous Brands Ltd. 127,379 922
*,2 Dis-Chem Pharmacies Ltd. 377,928 885
* Grindrod Ltd. 684,106 754
*,^ Curro Holdings Ltd. 231,269 658
  Steinhoff International Holdings NV (Frankfurt Shares) 134,010 593
  Oceana Group Ltd. 55,022 351
*,^ Stadio Holdings Ltd. 363,547 157
* Adcock Ingram Holdings Ltd. Warrants Exp. 07/26/2019 5,387 3
*,3 Rockcastle Global Real Estate Co. Ltd. (Temporary Line) 488,157
*,3 New Europe Property Investments plc (Temporary Line) 393,065
      561,830
South Korea (3.7%)    
  Samsung Electronics Co. Ltd. GDR 246,005 303,308
  Samsung Electronics Co. Ltd. 35,317 87,060
  SK Hynix Inc. 860,473 63,445
  Samsung Electronics Co. Ltd. Preference Shares 28,493 57,067
  NAVER Corp. 42,426 33,910
  Hyundai Motor Co. 230,440 33,153
  POSCO ADR 441,486 32,220
  LG Chem Ltd. 75,985 27,397
  KB Financial Group Inc. ADR 487,864 25,618
  Shinhan Financial Group Co. Ltd. ADR 554,916 25,121
  Hyundai Mobis Co. Ltd. 105,282 25,052
  Hana Financial Group Inc. 472,140 20,207
*,^ Celltrion Inc. 123,472 19,087
  SK Innovation Co. Ltd. 97,787 17,938
  KT&G Corp. 179,139 16,964
  Samsung SDI Co. Ltd. 85,136 15,686
  Samsung C&T Corp. 116,657 15,432
  LG Household & Health Care Ltd. 14,614 15,359
  Amorepacific Corp. 51,851 14,549
  LG Electronics Inc. 177,278 14,432
  SK Holdings Co. Ltd. 53,635 13,879
  Kia Motors Corp. 417,220 13,206
  Samsung Fire & Marine Insurance Co. Ltd. 53,556 13,068
  Samsung Life Insurance Co. Ltd. 102,552 12,364
  Woori Bank 823,268 12,048
  LG Corp. 145,809 11,211
  NCSoft Corp. 28,065 10,700
^ Korea Electric Power Corp. ADR 563,467 9,928
  Samsung SDS Co. Ltd. 51,510 9,538
  LG Display Co. Ltd. 360,806 9,439
  Shinhan Financial Group Co. Ltd. 189,698 8,521
  KB Financial Group Inc. 161,439 8,441
  Samsung Electro-Mechanics Co. Ltd. 89,646 8,341
  Lotte Chemical Corp. 23,845 7,876
* Hyundai Heavy Industries Co. Ltd. 55,844 7,811
  S-Oil Corp. 65,993 7,587
  Coway Co. Ltd. 86,170 7,492
*,^,2 Samsung Biologics Co. Ltd. 21,519 7,383
  Korea Zinc Co. Ltd. 15,968 7,304
  SK Telecom Co. Ltd. ADR 260,942 6,821
* Hyundai Robotics Co. Ltd. 16,686 6,734
  E-MART Inc. 32,791 6,564
  Kakao Corp. 50,836 6,540
  Hyundai Steel Co. 123,136 6,329

 

34


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Mirae Asset Daewoo Co. Ltd. 685,212 6,218
  Hyundai Motor Co. 2nd Preference Shares 61,466 6,204
  AMOREPACIFIC Group 46,538 5,968
  Hankook Tire Co. Ltd. 122,476 5,911
  Industrial Bank of Korea 418,465 5,734
  Kangwon Land Inc. 173,784 5,327
  Korea Aerospace Industries Ltd. 101,971 5,176
  GS Holdings Corp. 80,674 4,777
  Dongbu Insurance Co. Ltd. 74,345 4,681
*,^ Hanmi Pharm Co. Ltd. 10,945 4,531
  Korea Electric Power Corp. 127,262 4,462
* Samsung Heavy Industries Co. Ltd. 421,507 4,442
*,^,2 Netmarble Games Corp. 28,487 4,428
  Hyosung Corp. 36,604 4,399
  BNK Financial Group Inc. 469,439 4,165
  Hyundai Marine & Fire Insurance Co. Ltd. 97,661 3,957
  Hyundai Glovis Co. Ltd. 29,216 3,943
  Hyundai Engineering & Construction Co. Ltd. 114,709 3,881
  CJ CheilJedang Corp. 11,811 3,865
  Hanwha Corp. 92,771 3,702
* Orion Corp. 38,009 3,604
  Hanwha Chemical Corp. 131,934 3,594
  LG Uplus Corp. 310,750 3,568
*,^ Celltrion Healthcare Co. Ltd. 66,875 3,516
^ Hotel Shilla Co. Ltd. 49,852 3,488
  Korea Investment Holdings Co. Ltd. 61,376 3,474
  Hyundai Development Co-Engineering & Construction 93,424 3,347
  CJ Corp. 19,761 3,294
  Daelim Industrial Co. Ltd. 43,657 3,254
  Hyundai Motor Co. Preference Shares 35,102 3,229
  Samsung Securities Co. Ltd. 99,363 3,160
  KCC Corp. 8,927 3,111
^ Mando Corp. 10,620 3,100
  Lotte Shopping Co. Ltd. 15,411 3,097
  Hanon Systems 257,233 2,992
^ OCI Co. Ltd. 28,230 2,852
  Lotte Confectionery Co. Ltd. 42,428 2,825
*,^ Samsung Engineering Co. Ltd. 243,695 2,657
  Hanwha Life Insurance Co. Ltd. 367,802 2,599
  Amorepacific Corp. Preference Shares 16,230 2,586
  NH Investment & Securities Co. Ltd. 200,413 2,517
  S-1 Corp. 30,740 2,515
  Hanssem Co. Ltd. 15,570 2,371
3 BGF retail Co. Ltd. 21,460 2,354
  Yuhan Corp. 12,757 2,324
  DGB Financial Group Inc. 247,512 2,309
^ Shinsegae Inc. 10,745 2,197
  SK Telecom Co. Ltd. 9,146 2,159
* Korean Air Lines Co. Ltd. 75,385 2,134
  LG Chem Ltd. Preference Shares 9,108 2,111
  Cheil Worldwide Inc. 111,658 2,074
* Daewoo Engineering & Construction Co. Ltd. 302,532 1,988
  Doosan Corp. 16,557 1,983
  LS Corp. 27,888 1,969
* Hanwha Techwin Co. Ltd. 55,265 1,894
  Hyundai Department Store Co. Ltd. 23,096 1,886
*,^ Hanmi Science Co. ltd 20,780 1,703
*,^ GS Engineering & Construction Corp. 72,133 1,675
*,^ Doosan Infracore Co. Ltd. 202,585 1,674
  Kumho Petrochemical Co. Ltd. 26,453 1,640
  LG Household & Health Care Ltd. Preference Shares 2,793 1,634
*,^ NHN Entertainment Corp. 25,888 1,587
  Samsung Card Co. Ltd. 47,556 1,558
* CJ Korea Express Corp. 11,064 1,551

 

35


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Hyundai Mipo Dockyard Co. Ltd. 15,677 1,521
^ Doosan Heavy Industries & Construction Co. Ltd. 95,588 1,496
  NongShim Co. Ltd. 4,805 1,492
* Korea Gas Corp. 39,578 1,445
^ Hyundai Wia Corp. 24,922 1,436
  SK Networks Co. Ltd. 234,354 1,393
  Ottogi Corp. 2,014 1,365
  Posco Daewoo Corp. 77,920 1,352
^ Paradise Co. Ltd. 70,728 1,270
*,^ Hyundai Construction Equipment Co. Ltd. 3,682 1,232
  GS Retail Co. Ltd. 41,092 1,225
  KEPCO Plant Service & Engineering Co. Ltd. 31,448 1,160
  Hite Jinro Co. Ltd. 48,311 1,148
  Dongsuh Cos. Inc. 45,758 1,123
  SKC Co. Ltd. 29,620 1,052
  LOTTE Fine Chemical Co. Ltd. 25,983 935
  LG Electronics Inc. Preference Shares 21,576 866
  Lotte Chilsung Beverage Co. Ltd. 615 760
  LG Hausys Ltd. 9,093 738
*,^ Hyundai Electric & Energy System Co. Ltd. 3,325 701
  Samsung Fire & Marine Insurance Co. Ltd. Preference Shares 4,273 684
  Orion Holdings Corp. 20,843 479
* Lotte Confectionery Co. Ltd. 2,499 415
  POSCO 1,276 372
^ CJ CheilJedang Corp. Preference Shares 1,801 261
^ Daewoo Shipbuilding & Marine Engineering Co. Ltd. 7,925 130
* Hyundai Construction Equipment Co. Ltd. Rights Exp. 11/07/2017 1,150 102
* Hyundai Electric & Energy System Co. Ltd. Rights 1,032 46
  KT Corp. ADR 42 1
*,3 BGF retail Co. Ltd. 11,496
      1,315,255
Spain (2.3%)    
  Banco Santander SA 25,861,481 175,325
  Banco Bilbao Vizcaya Argentaria SA 10,902,978 95,342
  Telefonica SA 7,184,615 75,335
  Iberdrola SA 9,125,415 73,743
  Industria de Diseno Textil SA 1,718,624 64,240
  Amadeus IT Group SA 676,341 45,889
* Repsol SA 1,893,580 35,485
  CaixaBank SA 5,886,259 27,539
^ Abertis Infraestructuras SA 1,022,161 22,108
2 Aena SME SA 104,752 19,219
  Banco de Sabadell SA 9,284,562 18,590
  Grifols SA 554,341 17,348
* Ferrovial SA 791,816 17,196
* ACS Actividades de Construccion y Servicios SA 404,142 15,931
  Red Electrica Corp. SA 715,327 15,839
  Endesa SA 521,669 11,940
  Bankinter SA 1,171,637 11,057
  Enagas SA 375,667 10,821
  Gas Natural SDG SA 494,524 10,582
  Grifols SA Preference Shares 408,137 9,586
* Bankia SA 1,860,665 8,880
  Merlin Properties Socimi SA 543,700 7,179
2 Cellnex Telecom SA 247,864 6,153
  Siemens Gamesa Renewable Energy SA 371,050 5,380
  Mapfre SA 1,597,377 5,224
  Distribuidora Internacional de Alimentacion SA 986,998 4,827
  Acciona SA 41,357 3,425
  Acerinox SA 226,209 3,250
  Mediaset Espana Comunicacion SA 294,264 3,198
  Zardoya Otis SA 287,075 3,110
  Grupo Catalana Occidente SA 72,074 3,034
  Corp Financiera Alba SA 32,113 1,881

 

36


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Ferrovial SA Rights 791,816 381
    829,037
Sweden (2.0%)    
Nordea Bank AB 5,199,607 62,836
Volvo AB Class B 2,556,227 50,629
Atlas Copco AB Class A 1,000,897 43,891
Swedbank AB Class A 1,712,594 42,503
^ Hennes & Mauritz AB Class B 1,547,552 38,836
Investor AB Class B 737,041 36,518
Svenska Handelsbanken AB Class A 2,395,501 34,333
Assa Abloy AB Class B 1,525,408 32,160
Sandvik AB 1,761,352 32,151
Telefonaktiebolaget LM Ericsson Class B 4,890,057 30,774
* Essity AB Class B 971,348 29,033
Skandinaviska Enskilda Banken AB Class A 2,335,473 28,782
^ Atlas Copco AB Class B 646,881 25,680
Hexagon AB Class B 409,072 20,975
^ Telia Co. AB 4,232,271 19,589
Boliden AB 453,568 15,871
SKF AB 627,499 14,582
Alfa Laval AB 523,350 13,254
Electrolux AB Class B 366,035 12,938
Skanska AB Class B 589,959 12,937
Kinnevik AB 384,454 12,611
Swedish Match AB 300,532 11,321
Trelleborg AB Class B 407,815 10,099
Securitas AB Class B 531,384 9,324
Svenska Cellulosa AB SCA Class B 976,575 9,170
Industrivarden AB Class A 330,185 8,956
Tele2 AB 561,645 7,144
Getinge AB 359,412 7,075
* Lundin Petroleum AB 292,851 6,889
Industrivarden AB 265,564 6,824
Husqvarna AB 601,680 5,878
ICA Gruppen AB 126,175 4,653
L E Lundbergforetagen AB Class B 59,396 4,636
* Fastighets AB Balder Class B 156,702 4,079
Saab AB Class B 67,552 3,451
* Investment AB Latour Class B 189,488 2,632
Melker Schorling AB 15,217 1,050
Svenska Handelsbanken AB Class B 50,697 733
Skandinaviska Enskilda Banken AB 29,624 366
    715,163
Switzerland (5.6%)    
Nestle SA 5,078,398 427,289
Novartis AG 3,851,057 317,632
Roche Holding AG 1,142,253 264,010
UBS Group AG 5,680,192 96,638
ABB Ltd. 3,156,861 82,442
Cie Financiere Richemont SA 834,252 76,907
Zurich Insurance Group AG 245,181 74,821
Credit Suisse Group AG 4,178,832 65,854
Swiss Re AG 506,248 47,643
Givaudan SA 15,131 33,792
Lonza Group AG 121,644 32,316
LafargeHolcim Ltd. (Swiss Shares) 554,990 31,337
Geberit AG 59,476 26,928
Sika AG 3,480 25,757
Adecco Group AG 273,404 21,691
Julius Baer Group Ltd. 354,138 20,946
SGS SA 8,071 19,932
Swatch Group AG (Bearer) 50,111 19,641
Swisscom AG 36,917 18,651
Swiss Life Holding AG 53,565 18,618

 

37


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Partners Group Holding AG 27,099 18,226
Sonova Holding AG 84,149 15,192
Schindler Holding AG 65,283 14,794
Kuehne & Nagel International AG 82,345 14,387
LafargeHolcim Ltd. (Paris Shares) 230,997 13,018
Baloise Holding AG 77,558 12,228
Clariant AG 455,835 11,469
Temenos Group AG 98,963 11,427
Straumann Holding AG 16,167 11,288
* Vifor Pharma AG 86,332 11,104
Chocoladefabriken Lindt & Spruengli AG (REG Shares) 156 10,830
Chocoladefabriken Lindt & Spruengli AG 1,831 10,600
Swiss Prime Site AG 118,134 10,087
Roche Holding AG (Bearer) 37,284 8,664
Logitech International SA 228,650 8,176
* Dufry AG 54,696 8,141
ams AG 86,529 7,895
* Actelion Ltd. 27,768 7,759
EMS-Chemie Holding AG 11,482 7,527
Schindler Holding AG (Registered) 31,385 6,931
Flughafen Zurich AG 30,092 6,544
PSP Swiss Property AG 67,743 5,963
Helvetia Holding AG 10,327 5,552
Swatch Group AG (Registered) 71,931 5,422
Barry Callebaut AG 3,007 4,699
Aryzta AG 135,573 4,304
Pargesa Holding SA 43,447 3,638
DKSH Holding AG 42,750 3,586
Banque Cantonale Vaudoise 4,561 3,280
Sulzer AG 20,913 2,679
* Idorsia Ltd. 125,670 2,477
    1,990,732
Taiwan (2.8%)    
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 5,995,410 253,786
Hon Hai Precision Industry Co. Ltd. 24,317,279 90,386
Taiwan Semiconductor Manufacturing Co. Ltd. 8,867,373 71,687
Largan Precision Co. Ltd. 164,068 31,101
MediaTek Inc. 2,394,440 27,248
Formosa Plastics Corp. 7,954,873 24,250
Nan Ya Plastics Corp. 9,234,615 22,789
Cathay Financial Holding Co. Ltd. 12,897,057 21,311
Fubon Financial Holding Co. Ltd. 12,046,861 19,199
CTBC Financial Holding Co. Ltd. 29,894,939 19,141
Formosa Chemicals & Fibre Corp. 5,616,306 17,062
Delta Electronics Inc. 3,542,676 17,046
China Steel Corp. 20,396,234 16,609
Uni-President Enterprises Corp. 7,867,487 16,438
Chunghwa Telecom Co. Ltd. ADR 474,655 16,148
Mega Financial Holding Co. Ltd. 18,115,777 14,241
Catcher Technology Co. Ltd. 1,218,153 12,965
Advanced Semiconductor Engineering Inc. 9,590,898 11,595
First Financial Holding Co. Ltd. 16,040,798 10,349
Quanta Computer Inc. 4,333,598 10,209
Asustek Computer Inc. 1,169,026 10,124
E.Sun Financial Holding Co. Ltd. 15,807,508 9,622
Taiwan Mobile Co. Ltd. 2,590,648 9,236
Yuanta Financial Holding Co. Ltd. 19,057,916 8,476
President Chain Store Corp. 935,904 8,416
Pegatron Corp. 3,220,038 8,344
Hotai Motor Co. Ltd. 687,000 7,976
United Microelectronics Corp. ADR 3,045,948 7,919
Formosa Petrochemical Corp. 2,202,580 7,710
Taiwan Cooperative Financial Holding Co. Ltd. 14,232,629 7,695
Hua Nan Financial Holdings Co. Ltd. 13,791,935 7,548

 

38


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
China Development Financial Holding Corp. 22,469,318 6,888
Taishin Financial Holding Co. Ltd. 15,326,589 6,710
Innolux Corp. 13,888,370 6,087
Far EasTone Telecommunications Co. Ltd. 2,575,643 6,048
Cheng Shin Rubber Industry Co. Ltd. 3,040,222 6,001
Taiwan Cement Corp. 5,188,768 5,767
Foxconn Technology Co. Ltd. 1,787,925 5,702
Pou Chen Corp. 4,522,125 5,699
Far Eastern New Century Corp. 6,503,819 5,578
Chang Hwa Commercial Bank Ltd. 9,356,807 5,073
SinoPac Financial Holdings Co. Ltd. 16,289,127 4,998
China Life Insurance Co. Ltd. 5,134,990 4,855
Compal Electronics Inc. 6,555,510 4,827
Chunghwa Telecom Co. Ltd. 1,404,207 4,796
Lite-On Technology Corp. 3,379,767 4,773
^ AU Optronics Corp. ADR 1,025,878 4,216
Advantech Co. Ltd. 590,026 4,032
Shin Kong Financial Holding Co. Ltd. 12,286,858 3,931
Siliconware Precision Industries Co. Ltd. 2,443,279 3,875
Eclat Textile Co. Ltd. 321,398 3,842
Inventec Corp. 4,818,064 3,744
Wistron Corp. 4,343,268 3,628
Novatek Microelectronics Corp. 909,916 3,370
Asia Cement Corp. 3,688,519 3,291
Nanya Technology Corp. 1,174,600 3,193
Realtek Semiconductor Corp. 744,768 2,804
Vanguard International Semiconductor Corp. 1,457,466 2,768
* Taiwan High Speed Rail Corp. 3,380,000 2,702
Synnex Technology International Corp. 2,111,889 2,677
Teco Electric and Machinery Co. Ltd. 2,814,000 2,628
* HTC Corp. 1,134,570 2,546
Walsin Lihwa Corp. 4,842,000 2,475
Feng TAY Enterprise Co. Ltd. 540,100 2,437
* Epistar Corp. 1,491,000 2,416
Chicony Electronics Co. Ltd. 944,515 2,366
Acer Inc. 4,492,396 2,325
Giant Manufacturing Co. Ltd. 451,625 2,322
Taiwan Business Bank 6,124,811 1,692
Siliconware Precision Industries Co. Ltd. ADR 211,742 1,669
United Microelectronics Corp. 3,220,978 1,662
Formosa Taffeta Co. Ltd. 1,599,000 1,641
* Evergreen Marine Corp. Taiwan Ltd. 2,726,222 1,633
* China Airlines Ltd. 3,972,913 1,621
Eva Airways Corp. 3,266,918 1,610
AU Optronics Corp. 3,726,000 1,527
Taiwan Fertilizer Co. Ltd. 1,148,000 1,500
Advanced Semiconductor Engineering Inc. ADR 241,005 1,485
Eternal Materials Co. Ltd. 1,459,677 1,474
* TPK Holding Co. Ltd. 426,422 1,409
* Taiwan Glass Industry Corp. 2,621,089 1,353
Taiwan Secom Co. Ltd. 423,725 1,248
Transcend Information Inc. 422,455 1,200
Feng Hsin Steel Co. Ltd. 683,790 1,182
Capital Securities Corp. 3,201,231 1,110
Unimicron Technology Corp. 1,942,975 1,109
Yulon Motor Co. Ltd. 1,266,898 1,059
* OBI Pharma Inc. 179,000 1,022
Cheng Uei Precision Industry Co. Ltd. 608,591 990
China Motor Corp. 1,093,105 979
Oriental Union Chemical Corp. 1,065,191 917
Far Eastern International Bank 2,852,445 885
U-Ming Marine Transport Corp. 655,000 777
Wan Hai Lines Ltd. 1,134,702 687
Cathay Real Estate Development Co. Ltd. 988,800 553

 

39


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Ton Yi Industrial Corp. 1,014,600 459
  Yulon Nissan Motor Co. Ltd. 33,633 270
* CTBC Financial Holding Co. Ltd. Rights Exp. 12/15/2017 409,449 1
      1,002,740
Thailand (0.7%)    
* PTT PCL 1,822,482 23,058
  Siam Cement PCL NVDR 941,280 13,884
  Kasikornbank PCL (Foreign) 1,897,083 13,022
  CP ALL PCL (Foreign) 5,259,700 11,084
  Advanced Info Service PCL (Foreign) 1,825,050 10,682
  Kasikornbank PCL 1,312,637 8,694
* Siam Commercial Bank PCL (Local) 1,826,203 8,055
* Airports of Thailand PCL (Foreign) 4,436,000 7,953
* CP ALL PCL (Local) 3,302,013 6,959
* Minor International PCL 5,273,287 6,865
  PTT PCL (Foreign) 539,900 6,831
  Siam Cement PCL (Foreign) 452,213 6,670
* Bangkok Dusit Medical Services PCL 9,652,801 6,162
* Central Pattana PCL (Local) 2,545,494 6,096
  PTT Exploration & Production PCL (Foreign) 2,293,478 5,962
* PTT Global Chemical PCL (Local) 2,142,015 5,160
  Siam Commercial Bank PCL 1,144,500 5,048
* Airports of Thailand PCL 2,609,290 4,678
  Bangkok Bank PCL (Foreign) 756,427 4,577
* Charoen Pokphand Foods PCL 5,664,878 4,432
  Siam Commercial Bank PCL (Foreign) 995,486 4,391
  Thai Oil PCL (Foreign) 1,371,100 4,211
  Intouch Holdings PCL NVDR 2,350,104 4,103
* Krung Thai Bank PCL 7,141,087 3,914
  Central Pattana PCL (Foreign) 1,497,400 3,586
* Banpu PCL (Local) 6,502,951 3,428
^ Bangkok Dusit Medical Services PCL (Foreign) 5,338,100 3,407
* Indorama Ventures PCL 2,426,083 3,360
* Bumrungrad Hospital PCL 503,042 3,332
* Home Product Center PCL 8,453,589 3,257
* Energy Absolute PCL 2,389,500 3,111
  PTT Global Chemical PCL (Foreign) 1,264,212 3,045
* Bangkok Expressway & Metro PCL 12,886,327 3,028
* BTS Group Holdings PCL 11,621,617 2,975
  TMB Bank PCL 31,871,500 2,476
* IRPC PCL 11,447,628 2,223
* True Corp. PCL (Local) 11,697,933 2,165
* Electricity Generating PCL 301,009 2,084
  Thai Union Frozen Products PCL (Foreign) 3,466,844 1,910
  Krung Thai Bank PCL (Foreign) 3,343,825 1,833
  Land & Houses PCL NVDR 5,577,900 1,830
* Ratchaburi Electricity Generating Holding PCL (Local) 1,013,345 1,701
* True Corp. PCL (Foreign) 8,463,853 1,567
  Charoen Pokphand Foods PCL (Foreign) 1,947,300 1,523
*,^ Total Access Communication PCL (Foreign) 941,100 1,508
^ Berli Jucker PCL (Foreign) 887,580 1,429
* Land & Houses PCL (Local) 4,145,156 1,360
* Intouch Holdings PCL (Local) 769,257 1,343
  Glow Energy PCL (Foreign) 465,500 1,261
  IRPC PCL (Foreign) 5,950,900 1,155
* Delta Electronics Thailand PCL (Local) 411,110 1,064
* Berli Jucker PCL (Local) 658,935 1,061
* Thai Airways International PCL 1,792,922 1,004
  Electricity Generating PCL (Foreign) 130,500 903
  Bangkok Life Assurance PCL 809,802 902
^ Delta Electronics Thailand PCL (Foreign) 339,900 880
* Thai Oil PCL 250,683 770
  Banpu PCL 1,371,478 723
  Siam City Cement PCL (Foreign) 85,868 721

 

40


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Glow Energy PCL 209,364 567
* BEC World PCL 1,075,810 564
* Thai Union Group PCL 1,009,005 556
* Siam City Cement PCL (Local) 51,868 436
* Total Access Communication PCL (Local) 251,623 403
* Thai Airways International PCL (Foreign) 676,002 378
*,^ Total Access Communication PCL 197,900 317
  Ratchaburi Electricity Generating Holding PCL (Foreign) 187,700 315
* Advanced Info Service PCL (Local) 50,214 294
^ BEC World PCL (Foreign) 429,300 225
* TMB Bank PCL 2,357,500 183
^ Land & Houses PCL (Foreign) 478,520 157
* PTT Exploration and Production PCL (Local) 53,522 139
  Minor International PCL (Foreign) 99,236 129
  Bumrungrad Hospital PCL (XBKK) 13,400 89
      255,168
Turkey (0.3%)    
  Turkiye Garanti Bankasi AS 3,673,003 10,120
  Akbank TAS 3,608,542 9,546
  BIM Birlesik Magazalar AS 358,799 7,322
  Tupras Turkiye Petrol Rafinerileri AS 198,062 7,136
  Turkcell Iletisim Hizmetleri AS 1,729,369 6,480
  KOC Holding AS 1,175,037 5,262
  Eregli Demir ve Celik Fabrikalari TAS 2,190,257 5,147
  Turkiye Is Bankasi 2,274,823 4,293
  Haci Omer Sabanci Holding AS (Bearer) 1,448,818 4,033
  Turkiye Halk Bankasi AS 968,011 2,828
  Turkiye Vakiflar Bankasi TAO 1,646,457 2,754
* Turk Hava Yollari AO 896,203 2,460
  Aselsan Elektronik Sanayi Ve Ticaret AS 238,934 2,140
* Emlak Konut Gayrimenkul Yatirim Ortakligi AS 3,044,848 2,125
  Anadolu Efes Biracilik Ve Malt Sanayii AS 313,944 1,818
  Petkim Petrokimya Holding AS 939,606 1,647
  Tofas Turk Otomobil Fabrikasi AS 192,733 1,572
* Yapi ve Kredi Bankasi AS 1,269,945 1,545
  Arcelik AS 275,901 1,510
  Ford Otomotiv Sanayi AS 101,954 1,440
* Turk Telekomunikasyon AS 829,724 1,414
  Enka Insaat ve Sanayi AS 902,356 1,370
  Ulker Biskuvi Sanayi AS 230,816 1,233
  TAV Havalimanlari Holding AS 233,416 1,164
  Turkiye Sise ve Cam Fabrikalari AS 938,235 1,102
  Coca-Cola Icecek AS 104,378 1,064
  Soda Sanayii AS 596,972 826
* Koza Altin Isletmeleri AS 76,947 669
  Turkiye Sinai Kalkinma Bankasi AS 1,491,207 539
  Aygaz AS 110,756 471
  Turk Traktor ve Ziraat Makineleri AS 19,938 398
* Migros Ticaret AS 55,809 385
      91,813
United Arab Emirates (0.2%)    
  Emirates Telecommunications Group Co. PJSC 2,874,631 13,954
  Emaar Properties PJSC 5,800,224 13,089
  First Abu Dhabi Bank PJSC 4,473,150 12,594
  Abu Dhabi Commercial Bank PJSC 3,152,831 6,351
  DP World Ltd. 262,605 6,234
  Aldar Properties PJSC 5,423,992 3,519
  Dubai Islamic Bank PJSC 1,962,195 3,270
  DAMAC Properties Dubai Co. PJSC 2,676,582 2,872
  Emaar Malls PJSC 3,227,154 2,026
  Dubai Investments PJSC 2,451,964 1,757
  Air Arabia PJSC 3,623,374 1,222
* DXB Entertainments PJSC 5,242,164 1,057
* Dana Gas PJSC 4,969,412 1,012

 

41


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Arabtec Holding PJSC 1,162,765 929
* Dubai Financial Market PJSC 2,600,062 820
Al Waha Capital PJSC 1,383,504 653
* Union Properties PJSC 1,533,081 372
* Deyaar Development PJSC 2,069,349 300
    72,031
United Kingdom (12.3%)    
HSBC Holdings plc 32,873,861 321,020
British American Tobacco plc 3,625,841 234,267
Royal Dutch Shell plc Class A 7,406,705 233,164
BP plc 31,567,035 214,110
Royal Dutch Shell plc Class B 6,074,600 195,588
GlaxoSmithKline plc 7,914,985 142,054
AstraZeneca plc 2,075,465 140,429
Diageo plc 4,046,199 138,174
Vodafone Group plc 43,648,405 124,850
Unilever plc 1,926,761 109,198
Lloyds Banking Group plc 116,888,660 105,953
Prudential plc 4,233,063 103,903
Glencore plc 19,089,407 92,073
Rio Tinto plc 1,947,264 92,030
Reckitt Benckiser Group plc 1,017,926 91,071
Barclays plc 27,820,410 68,653
National Grid plc 5,622,831 67,685
Imperial Brands plc 1,562,552 63,708
BHP Billiton plc 3,407,098 61,688
* Compass Group plc 2,584,961 56,752
Shire plc 1,050,962 51,766
BT Group plc 13,702,778 47,214
CRH plc (London Shares) 1,195,923 44,965
Aviva plc 6,639,237 44,539
* Standard Chartered plc 4,419,962 44,023
BAE Systems plc 5,215,936 41,088
RELX NV (London Shares) 1,739,619 40,031
WPP plc 2,024,952 35,800
Rolls-Royce Holdings plc 2,695,071 34,829
Anglo American plc 1,835,252 34,619
Legal & General Group plc 9,685,774 34,342
Tesco plc 13,394,799 32,276
Experian plc 1,521,624 32,058
SSE plc 1,635,300 30,034
Ferguson plc 413,662 28,928
Smith & Nephew plc 1,432,772 27,025
London Stock Exchange Group plc 510,698 25,504
Standard Life plc 4,432,551 25,293
Associated British Foods plc 569,787 25,219
* Sky plc 1,685,271 21,107
Ashtead Group plc 812,851 20,939
Micro Focus International plc 594,890 20,895
Centrica plc 9,112,665 20,551
Shire plc ADR 135,709 20,035
3i Group plc 1,556,112 19,860
Old Mutual plc 7,810,322 19,813
* Royal Bank of Scotland Group plc 5,273,040 19,809
Carnival plc 293,119 19,325
Intertek Group plc 265,146 19,102
Persimmon plc 501,804 18,675
Burberry Group plc 701,615 17,721
Sage Group plc 1,766,376 17,485
InterContinental Hotels Group plc 310,409 17,197
Bunzl plc 552,047 17,197
2 Worldpay Group plc 3,069,281 16,545
Randgold Resources Ltd. 152,783 15,014
Next plc 229,650 15,012

 

42


 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Land Securities Group plc 1,166,959 14,988
Kingfisher plc 3,594,442 14,945
Whitbread plc 299,762 14,702
Mondi plc 601,708 14,552
International Consolidated Airlines Group SA (London Shares) 1,706,126 14,410
Barratt Developments plc 1,637,084 14,234
Taylor Wimpey plc 5,312,207 14,078
Johnson Matthey plc 311,283 13,975
RSA Insurance Group plc 1,667,829 13,927
Paddy Power Betfair plc 135,364 13,855
DCC plc 145,304 13,780
Smiths Group plc 652,695 13,619
British Land Co. plc 1,693,544 13,522
St. James's Place plc 859,316 13,431
Rentokil Initial plc 3,007,056 13,410
ITV plc 6,099,537 13,333
Pearson plc 1,352,426 12,629
Informa plc 1,354,914 12,541
United Utilities Group plc 1,116,315 12,351
Marks & Spencer Group plc 2,670,476 12,205
GKN plc 2,815,081 11,865
Segro plc 1,643,235 11,863
Smurfit Kappa Group plc 395,403 11,792
Croda International plc 207,574 11,536
Direct Line Insurance Group plc 2,268,262 11,195
Severn Trent plc 389,238 10,914
Coca-Cola HBC AG 320,367 10,828
DS Smith plc 1,541,365 10,660
Wm Morrison Supermarkets plc 3,550,095 10,570
Berkeley Group Holdings plc 209,080 10,389
John Wood Group plc 1,076,188 10,176
Bellway plc 202,071 9,798
Halma plc 621,787 9,757
* Just Eat plc 937,375 9,711
Weir Group plc 366,001 9,489
G4S plc 2,536,040 9,463
Hammerson plc 1,309,023 9,113
Melrose Industries plc 3,103,819 9,066
Spirax-Sarco Engineering plc 120,147 9,015
Meggitt plc 1,278,224 8,799
TUI AG (London Shares) 478,406 8,641
J Sainsbury plc 2,643,641 8,513
Admiral Group plc 330,828 8,451
Hargreaves Lansdown plc 402,069 8,446
Schroders plc 181,829 8,436
Travis Perkins plc 416,126 8,400
Rightmove plc 152,188 8,396
RPC Group plc 667,954 8,359
British American Tobacco plc ADR 119,853 7,719
Capita plc 1,083,774 7,548
Royal Mail plc 1,505,881 7,483
* Cobham plc 3,944,069 7,279
Booker Group plc 2,720,637 7,269
Pennon Group plc 682,834 7,202
Inchcape plc 693,496 7,198
Antofagasta plc 566,897 7,185
IMI plc 441,435 7,163
2 Auto Trader Group plc 1,567,340 7,127
NEPI Rockcastle plc 508,401 7,077
Investec plc 1,030,407 7,051
Tate & Lyle plc 766,648 6,586
CRH plc (Dublin Shares) 174,694 6,574
easyJet plc 356,693 6,344
Inmarsat plc 745,129 6,146

 

43


 

Vanguard® FTSE All-World ex-US Index Fund        
Schedule of Investments        
October 31, 2017        
 
          Market
          Value
        Shares ($000)
* CYBG plc     1,456,003 6,090
  Derwent London plc     166,446 5,916
2 Merlin Entertainments plc     1,156,762 5,819
2 ConvaTec Group plc     2,166,844 5,638
  Howden Joinery Group plc     992,846 5,407
  Fresnillo plc     301,882 5,221
  Polymetal International plc     437,948 5,088
  NMC Health plc     131,097 5,037
^ Mediclinic International plc     640,862 4,953
  Aggreko plc     397,348 4,945
  William Hill plc     1,409,366 4,836
  Micro Focus International plc ADR     129,344 4,518
  Babcock International Group plc     411,897 4,441
  Capital & Counties Properties plc     1,210,047 4,279
  Intu Properties plc     1,453,621 4,173
  Daily Mail & General Trust plc     444,872 4,097
  Dixons Carphone plc     1,636,701 3,770
  Hikma Pharmaceuticals plc     228,357 3,530
  Ashmore Group plc     630,103 3,222
^ Provident Financial plc     242,881 3,006
 
          4,427,270
 
Total Common Stocks (Cost $29,778,120)       35,621,326
 
Preferred Stocks (0.0%)        
* Vedanta Ltd. Pfd. (cost $415)     2,676,192 428
 
 
    Coupon      
 
Temporary Cash Investments (1.5%)1        
Money Market Fund (1.5%)        
6,7 Vanguard Market Liquidity Fund 1.246%   5,193,756 519,427
 
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.0%)        
8 United States Cash Management Bill 1.048% 1/2/18 15,000 14,973
9 United States Treasury Bill 1.057% 11/24/17 500 500
 
          15,473
 
Total Temporary Cash Investments (Cost $534,893)       534,900
 
Total Investments (100.9%) (Cost $30,313,428)       36,156,654
Other Assets and Liabilities—Net (-0.9%)7,9       (315,786)
Net Assets (100%)       35,840,868

 

* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $336,037,000.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund's effective common stock and temporary cash investment positions represent 100.0% and 0.9%, respectively, of net
assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate value of these securities was $340,183,000,
representing 0.9% of net assets.
3 Security value determined using significant unobservable inputs.
4 “Other” represents securities that are not classified by the fund’s benchmark index.
5 Considered an affiliated company of the fund as the issuer is another member of The Vanguard Group.
6 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
7 Includes $431,519,000 of collateral received for securities on loan.

44


 

Vanguard® FTSE All-World ex-US Index Fund
Schedule of Investments
October 31, 2017

8 Securities with a value of $11,600,000 have been segregated as initial margin for open futures contracts.
9 Securities with a value of $500,000 and cash of $4,900,000 have been segregated as collateral for open forward currency contracts.
ADR—American Depositary Receipt.
CP—Commercial Paper.
GDR—Global Depositary Receipt.
NVDR—Non-Voting Depository Receipt.
REIT—Real Estate Investment Trust.

45


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
 
Common Stocks (99.0%)1    
Australia (4.3%)    
  Link Administration Holdings Ltd. 1,057,549 6,678
  Qube Holdings Ltd. 2,687,969 5,297
  Northern Star Resources Ltd. 1,278,159 5,083
  carsales.com Ltd. 459,003 4,820
  nib holdings Ltd. 947,259 4,575
  Charter Hall Group 1,009,786 4,490
^ JB Hi-Fi Ltd. 246,436 4,326
  BT Investment Management Ltd. 513,573 4,249
  Mineral Resources Ltd. 310,588 4,145
  Evolution Mining Ltd. 2,266,190 4,071
  Investa Office Fund 1,184,884 4,069
^ Blackmores Ltd. 28,853 3,529
  G8 Education Ltd. 975,965 3,409
^ Independence Group NL 1,083,012 3,328
  GrainCorp Ltd. Class A 506,320 3,298
  Corporate Travel Management Ltd. 177,254 3,265
  InvoCare Ltd. 248,271 3,228
  Regis Resources Ltd. 1,015,598 3,017
  Beach Energy Ltd. 3,969,240 2,969
  IRESS Ltd. 319,481 2,880
  Primary Health Care Ltd. 1,079,032 2,828
  Breville Group Ltd. 305,487 2,728
  Costa Group Holdings Ltd. 571,724 2,720
  Monadelphous Group Ltd. 206,275 2,682
  Cleanaway Waste Management Ltd. 2,320,499 2,671
  Bapcor Ltd. 633,956 2,643
  BWP Trust 1,095,494 2,594
  Washington H Soul Pattinson & Co. Ltd. 197,861 2,531
  St. Barbara Ltd. 1,085,691 2,400
  Cromwell Property Group 3,108,167 2,379
  Altium Ltd. 256,081 2,351
2 MYOB Group Ltd. 802,585 2,310
  Reliance Worldwide Corp. Ltd. 803,896 2,299
  Charter Hall Retail REIT 736,889 2,292
^ Navitas Ltd. 624,866 2,285
^,* Galaxy Resources Ltd. 848,577 2,246
  Steadfast Group Ltd. 1,083,561 2,227
  ARB Corp. Ltd. 158,624 2,214
  Bega Cheese Ltd. 383,444 2,160
* NEXTDC Ltd. 543,984 2,152
  Abacus Property Group 734,804 2,139
  Eclipx Group Ltd. 683,484 2,122
  Webjet Ltd. 239,152 2,110
  Mantra Group Ltd. 705,629 2,108
  Seven Group Holdings Ltd. 195,538 1,990
  Super Retail Group Ltd. 318,809 1,898
  GUD Holdings Ltd. 204,842 1,874
  Premier Investments Ltd. 180,530 1,832
* Saracen Mineral Holdings Ltd. 1,648,109 1,826
  Aveo Group 938,534 1,817
  Pact Group Holdings Ltd. 401,369 1,782
^,* Pilbara Minerals Ltd. 2,839,288 1,762
^,* Mayne Pharma Group Ltd. 3,188,940 1,675
  SpeedCast International Ltd. 514,277 1,640
  Sandfire Resources NL 371,688 1,637
^,* Syrah Resources Ltd. 610,363 1,579
  Nine Entertainment Co. Holdings Ltd. 1,368,513 1,572
  Brickworks Ltd. 144,109 1,567
* Orocobre Ltd. 421,117 1,567
  McMillan Shakespeare Ltd. 128,937 1,556
  Southern Cross Media Group Ltd. 1,802,189 1,549

 

46


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Viva Energy REIT 931,243 1,527
* Bellamy's Australia Ltd. 161,392 1,487
  Charter Hall Long Wale REIT 456,840 1,454
  Ardent Leisure Group 1,008,261 1,447
^,* Aconex Ltd. 370,841 1,444
  WiseTech Global Ltd. 160,605 1,436
  APN Outdoor Group Ltd. 398,010 1,426
  Credit Corp. Group Ltd. 92,616 1,425
  Automotive Holdings Group Ltd. 571,705 1,418
  IPH Ltd. 311,336 1,396
  Aventus Retail Property Fund Ltd. 784,454 1,395
  Technology One Ltd. 360,576 1,393
  Sigma Healthcare Ltd. 2,392,689 1,384
* Lynas Corp. Ltd. 9,953,818 1,375
  Tassal Group Ltd. 399,963 1,290
  SmartGroup Corp. Ltd. 169,708 1,264
  National Storage REIT 1,105,064 1,249
^ Blue Sky Alternative Investments Ltd. 115,005 1,240
  Estia Health Ltd. 457,685 1,220
* Nanosonics Ltd. 509,136 1,171
^ Western Areas Ltd. 548,807 1,171
  Growthpoint Properties Australia Ltd. 456,715 1,165
^ BWX Ltd. 200,898 1,116
^ Retail Food Group Ltd. 330,917 1,115
^ Inghams Group Ltd. 408,325 1,111
  Genworth Mortgage Insurance Australia Ltd. 508,355 1,106
  IDP Education Ltd. 255,262 1,096
  GWA Group Ltd. 553,993 1,082
  Sirtex Medical Ltd. 101,801 1,066
* Australian Agricultural Co. Ltd. 932,045 1,050
  Australian Pharmaceutical Industries Ltd. 899,727 1,039
  oOh!media Ltd. 303,255 1,017
  Myer Holdings Ltd. 1,736,362 1,017
  Ausdrill Ltd. 602,986 1,003
  Folkestone Education Trust 450,700 966
  Resolute Mining Ltd. 1,208,199 948
  Collins Foods Ltd. 222,075 943
  Centuria Industrial REIT 469,123 924
* Gold Road Resources Ltd. 1,739,333 916
  Gateway Lifestyle 604,990 915
  Arena REIT 529,164 908
* Elders Ltd. 227,641 883
  Asaleo Care Ltd. 769,072 872
  Ingenia Communities Group 413,353 840
  Rural Funds Group 490,702 830
* Starpharma Holdings Ltd. 748,271 785
  GDI Property Group 846,987 775
^ Japara Healthcare Ltd. 497,471 770
  HT&E Ltd. 566,549 755
  RCR Tomlinson Ltd. 228,950 754
* Westgold Resources Ltd. 527,464 754
^ Regis Healthcare Ltd. 265,760 742
  Greencross Ltd. 179,828 732
  SG Fleet Group Ltd. 231,945 726
* Infigen Energy 1,279,426 717
  Tox Free Solutions Ltd. 381,163 716
^,* Mesoblast Ltd. 662,883 679
  FlexiGroup Ltd. 588,537 662
  MACA Ltd. 386,326 619
* Cardno Ltd. 595,835 606
^,* Senex Energy Ltd. 2,258,411 598
  Hotel Property Investments 242,527 584
^ Superloop Ltd. 289,099 556
^ Select Harvests Ltd. 151,182 544

 

47


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  SeaLink Travel Group Ltd. 165,088 543
* Ainsworth Game Technology Ltd. 306,898 536
  WPP AUNZ Ltd. 751,104 529
* Village Roadshow Ltd. 182,775 525
* Perseus Mining Ltd. 2,107,224 513
  Cedar Woods Properties Ltd. 113,247 497
  OFX Group Ltd. 444,050 475
* Highfield Resources Ltd. 579,478 465
  Virtus Health Ltd. 103,788 436
* AWE Ltd. 1,111,788 435
  Mount Gibson Iron Ltd. 1,424,457 415
  RCG Corp. Ltd. 691,276 397
* Beadell Resources Ltd. 2,693,199 368
^,* Liquefied Natural Gas Ltd. 914,751 330
^,* Karoon Gas Australia Ltd. 349,978 322
* CSG Ltd. 686,200 310
  Cabcharge Australia Ltd. 244,153 310
  Decmil Group Ltd. 300,392 293
  ERM Power Ltd. 274,157 285
  Vita Group Ltd. 287,028 284
  NZME Ltd. 411,453 259
^ iSentia Group Ltd. 327,095 248
  Reject Shop Ltd. 67,509 241
* Cash Converters International Ltd. 704,790 194
  Thorn Group Ltd. 275,818 169
*,3 Quintis Ltd. 686,147 155
^,*,3 Paladin Energy Ltd. 2,658,601 96
^,*,3 ACN 004 410 833 Ltd. 4,377,411 74
*,3 Ten Network Holdings Ltd. 435,109 53
*,3 Virgin Australia Holdings Pvt Ltd 1,276,415 5
*,3 SGH Energy Pty Ltd. 1,906,834
*,3 DSHE Holdings Ltd. 201,826
*,3 Jacana Minerals Ltd. 37,888
      242,416
Austria (0.9%)    
  BUWOG AG 234,099 6,748
  Wienerberger AG 257,801 6,615
  IMMOFINANZ AG 1,989,367 5,028
  CA Immobilien Anlagen AG 151,164 4,310
  Lenzing AG 29,009 3,927
  Oesterreichische Post AG 73,312 3,256
  Mayr Melnhof Karton AG 18,137 2,633
  RHI AG 56,676 2,517
  UNIQA Insurance Group AG 237,962 2,438
* Schoeller-Bleckmann Oilfield Equipment AG 25,316 2,362
  S IMMO AG 124,050 2,185
  Verbund AG 71,790 1,743
  Strabag SE 32,197 1,345
  Zumtobel Group AG 62,433 1,067
  Palfinger AG 22,209 982
  EVN AG 57,168 902
^ DO & CO AG 14,768 783
  Flughafen Wien AG 18,434 742
^ Semperit AG Holding 21,916 641
^ Porr AG 20,384 637
  Kapsch TrafficCom AG 8,925 518
      51,379
Belgium (1.2%)    
  Ontex Group NV 174,194 6,126
  Cofinimmo SA 43,491 5,518
  KBC Ancora 77,065 4,594
  Melexis NV 40,044 4,013
  Elia System Operator SA/NV 67,532 3,917
  Warehouses De Pauw CVA 35,800 3,873

 

48


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Aedifica SA 39,153 3,732
  Bekaert SA 76,063 3,598
* Tessenderlo Chemie NV (Voting Shares) 56,492 2,711
  Befimmo SA 41,888 2,602
^ Euronav NV 281,498 2,333
  Gimv NV 38,179 2,301
  D'ieteren SA/NV 49,954 2,285
  Barco NV 21,305 2,183
  Cie d'Entreprises CFE 14,876 2,175
  Econocom Group SA/NV 282,108 2,171
  Kinepolis Group NV 31,439 2,124
* AGFA-Gevaert NV 377,296 1,773
  Orange Belgium SA 68,445 1,585
^ Ion Beam Applications 43,466 1,332
^,* Nyrstar (Voting Shares) 156,425 1,249
  EVS Broadcast Equipment SA 30,627 1,151
^ Greenyard NV 32,155 761
  Van de Velde NV 11,777 652
  Wereldhave Belgium NV 4,443 471
      65,230
Brazil (1.2%)    
  Magazine Luiza SA 162,100 3,159
  CVC Brasil Operadora e Agencia de Viagens SA 223,100 2,946
  TOTVS SA 287,100 2,859
  Cyrela Brazil Realty SA Empreendimentos e Participacoes 633,200 2,478
  MRV Engenharia e Participacoes SA 584,600 2,261
  Iguatemi Empresa de Shopping Centers SA 189,600 2,230
  Cia Hering 249,600 2,228
* Metalurgica Gerdau SA Preference Shares Class A 1,384,800 2,163
* B2W Cia Digital Common Shares 326,717 2,120
  Cia de Saneamento do Parana Preference Shares 635,800 2,109
  Duratex SA 651,400 1,904
* Via Varejo SA 271,300 1,872
  Banco do Estado do Rio Grande do Sul SA Preference Shares 374,550 1,745
  Cia de Saneamento de Minas Gerais-COPASA 144,370 1,739
  Iochpe Maxion SA 252,090 1,725
  Linx SA 268,134 1,687
  Alpargatas SA Preference Shares 305,902 1,618
  EcoRodovias Infraestrutura e Logistica SA 427,400 1,594
  Cia Energetica de Sao Paulo Preference Shares 390,800 1,553
  Arezzo Industria e Comercio SA 93,300 1,442
  Alupar Investimento SA 232,709 1,284
  Marcopolo SA Preference Shares 1,009,780 1,225
* Light SA 209,900 1,173
* Aliansce Shopping Centers SA 179,803 964
  Magnesita Refratarios SA 66,940 941
* Instituto Hermes Pardini SA 99,200 936
* Marfrig Global Foods SA 456,912 898
* Gol Linhas Aereas Inteligentes SA Preference Shares 210,500 891
  Eletropaulo Metropolitana Eletricidade de Sao Paulo SA Preference Shares 195,318 880
  Randon Participacoes SA Preference Shares 402,388 857
  Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA 151,072 846
  Guararapes Confeccoes SA 17,000 813
  Ez Tec Empreendimentos e Participacoes SA 123,505 812
2 Ser Educacional SA 79,700 752
  SLC Agricola SA 105,900 712
  BR Properties SA 219,039 699
  Minerva SA 196,000 689
  GAEC Educacao SA 91,962 686
  Wiz Solucoes e Corretagem de Seguros SA 136,900 683
  Tupy SA 120,731 643
  Mahle-Metal Leve SA 96,100 630
* Prumo Logistica SA 183,600 625
* Construtora Tenda SA 116,868 611

 

49


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Santos Brasil Participacoes SA 513,330 549
* Alliar Medicos A Frente SA 108,100 540
QGEP Participacoes SA 191,600 495
* Even Construtora e Incorporadora SA 266,622 440
Cia Energetica do Ceara Preference Shares 27,342 439
* Movida Participacoes SA 168,700 423
Dimed SA Distribuidora da Medicamentos 2,789 412
Sonae Sierra Brasil SA 47,400 405
* Marisa Lojas SA 142,090 341
* JSL SA 115,200 327
* Direcional Engenharia SA 163,694 293
* Gafisa SA 46,768 212
* Ser Educacional SA 8,998 85
* Iochpe Maxion SA Warrants Exp. 04/01/2019 4,854 2
    65,645
Canada (12.2%)    
Open Text Corp. 550,584 19,252
Onex Corp. 220,236 16,738
First Quantum Minerals Ltd. 1,491,565 16,683
Gildan Activewear Inc. 485,122 14,846
CCL Industries Inc. Class B 303,681 14,637
^ PrairieSky Royalty Ltd. 463,026 12,325
^ Keyera Corp. 402,043 11,836
* Kinross Gold Corp. 2,718,434 10,746
Industrial Alliance Insurance & Financial Services Inc. 232,238 10,524
Lundin Mining Corp. 1,372,143 10,466
CAE Inc. 583,262 10,335
H&R REIT 620,395 10,301
* Seven Generations Energy Ltd. Class A 657,027 9,921
WSP Global Inc. 220,816 9,897
West Fraser Timber Co. Ltd. 162,685 9,895
Methanex Corp. 188,764 9,199
Finning International Inc. 364,273 8,883
* Bombardier Inc. Class B 4,179,003 8,843
Algonquin Power & Utilities Corp. 812,431 8,697
^ Vermilion Energy Inc. 236,917 8,086
AltaGas Ltd. 353,432 8,057
Maxar Technologies Ltd. 120,811 7,642
^ Canadian Apartment Properties REIT 286,443 7,565
Toromont Industries Ltd. 165,148 7,280
Stantec Inc. 246,728 7,049
Cameco Corp. 858,972 6,978
Quebecor Inc. Class B 177,956 6,715
Ritchie Bros Auctioneers Inc. 233,194 6,540
TMX Group Ltd. 119,347 6,521
Element Fleet Management Corp. 834,218 6,427
Empire Co. Ltd. 370,086 6,406
Linamar Corp. 100,515 6,099
Atco Ltd. 162,474 5,891
Allied Properties REIT 183,036 5,865
^ Parkland Fuel Corp. 281,864 5,724
^ Enbridge Income Fund Holdings Inc. 244,668 5,703
Whitecap Resources Inc. 794,385 5,702
Canadian REIT 156,440 5,651
SmartCentres REIT 249,975 5,615
* IAMGOLD Corp. 1,015,604 5,574
* Stars Group Inc. 273,164 5,499
Yamana Gold Inc. 2,059,821 5,349
Pan American Silver Corp. 326,658 5,338
* B2Gold Corp. 2,089,988 5,314
Canadian Western Bank 188,389 5,307
First Capital Realty Inc. 319,633 5,069
Chartwell Retirement Residences 416,494 4,956
Premium Brands Holdings Corp. 61,003 4,937

 

50


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Ivanhoe Mines Ltd. 1,333,457 4,827
* Descartes Systems Group Inc. 166,218 4,819
  New Flyer Industries Inc. 113,464 4,814
^ Peyto Exploration & Development Corp. 350,887 4,787
  Enerplus Corp. 519,627 4,765
  Kirkland Lake Gold Ltd. 400,743 4,700
  Maple Leaf Foods Inc. 178,534 4,630
  TFI International Inc. 191,507 4,623
  FirstService Corp. 65,983 4,593
  Northland Power Inc. 238,464 4,560
  Cott Corp. 301,340 4,517
  Cominar REIT 405,366 4,349
  Colliers International Group Inc. 73,912 4,332
* Parex Resources Inc. 324,361 4,314
  Gibson Energy Inc. 313,873 4,267
  Osisko Gold Royalties Ltd. 337,944 4,254
^ Cineplex Inc. 139,105 4,207
* New Gold Inc. 1,246,085 4,124
  Emera Inc. 109,174 4,113
  Alamos Gold Inc. Class A 646,185 4,092
* Detour Gold Corp. 382,818 4,080
  Capital Power Corp. 212,287 4,020
  Granite REIT 100,797 3,894
  Hudbay Minerals Inc. 512,612 3,811
  TransAlta Corp. 627,714 3,712
* Pretium Resources Inc. 329,547 3,709
  OceanaGold Corp. 1,346,846 3,612
  Stella-Jones Inc. 92,353 3,608
^ Enercare Inc. 225,524 3,515
  Artis REIT 323,586 3,489
  Norbord Inc. 96,246 3,469
  Laurentian Bank of Canada 70,740 3,290
  Jean Coutu Group PJC Inc. Class A 173,264 3,288
  ShawCor Ltd. 151,503 3,283
  Tahoe Resources Inc. 675,240 3,240
* Centerra Gold Inc. 469,815 3,190
  Transcontinental Inc. Class A 142,136 3,155
  Superior Plus Corp. 312,967 3,151
* Great Canadian Gaming Corp. 126,887 3,016
  Russel Metals Inc. 134,366 3,004
* Canfor Corp. 149,614 2,976
* Air Canada Class B 148,832 2,949
  CES Energy Solutions Corp. 541,859 2,919
* Raging River Exploration Inc. 493,777 2,913
  Dream Office REIT 169,667 2,876
  Mullen Group Ltd. 217,779 2,858
  ECN Capital Corp. 834,061 2,735
* Paramount Resources Ltd. Class A 158,330 2,710
* Celestica Inc. 269,001 2,700
^ Genworth MI Canada Inc. 85,667 2,662
  Enerflex Ltd. 192,592 2,620
  Winpak Ltd. 67,787 2,617
* Endeavour Mining Corp. 147,201 2,616
* Kinaxis Inc. 51,805 2,583
  North West Co. Inc. 104,334 2,546
^ Boardwalk REIT 82,075 2,533
^,* MEG Energy Corp. 563,903 2,505
* SSR Mining Inc. 260,108 2,498
  Pason Systems Inc. 169,664 2,463
^,* First Majestic Silver Corp. 358,863 2,417
* Torex Gold Resources Inc. 174,348 2,404
  Corus Entertainment Inc. Class B 256,868 2,383
* NuVista Energy Ltd. 374,835 2,330
  Northview Apartment REIT 124,892 2,254

 

51


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Innergex Renewable Energy Inc. 205,890 2,249
  Secure Energy Services Inc. 339,267 2,212
  Westshore Terminals Investment Corp. 113,977 2,174
  Eldorado Gold Corp. 1,717,665 2,157
* NovaGold Resources Inc. 525,505 2,143
  TransAlta Renewables Inc. 194,782 2,100
* Advantage Oil & Gas Ltd. 394,101 2,086
  Aecon Group Inc. 133,233 2,007
* Precision Drilling Corp. 654,985 1,965
  Birchcliff Energy Ltd. 478,743 1,948
  Martinrea International Inc. 196,589 1,928
^ Hudson's Bay Co. 219,900 1,921
* ATS Automation Tooling Systems Inc. 165,529 1,905
* Kelt Exploration Ltd. 336,047 1,842
* SEMAFO Inc. 718,389 1,804
  Enghouse Systems Ltd. 42,542 1,798
  Cogeco Communications Inc. 24,455 1,758
  Cascades Inc. 145,785 1,756
* Canadian Solar Inc. 98,641 1,737
^ Extendicare Inc. 236,955 1,721
^ TORC Oil & Gas Ltd. 310,852 1,636
  Dorel Industries Inc. Class B 61,615 1,607
* Sierra Wireless Inc. 71,255 1,594
  Nevsun Resources Ltd. 670,711 1,580
^,* ProMetic Life Sciences Inc. 1,451,385 1,541
  Ensign Energy Services Inc. 289,026 1,488
^,* Baytex Energy Corp. 523,823 1,441
^ Home Capital Group Inc. Class B 130,038 1,407
* Gran Tierra Energy Inc. (Toronto Shares) 596,076 1,298
  Just Energy Group Inc. 215,693 1,200
* Obsidian Energy Ltd. 1,034,659 1,099
* Crew Energy Inc. 298,838 1,012
* Alacer Gold Corp. 613,104 955
^ First National Financial Corp. 34,757 773
* China Gold International Resources Corp. Ltd. 485,688 753
  Morguard REIT 65,174 720
* Gran Tierra Energy Inc. 289,960 629
  Dollarama Inc. 1,378 153
  Pembina Pipeline Corp. 3,940 130
* Osisko Gold Royalties Warrants Exp. 02/26/2019 5,460 10
*,3 Great Basin Gold Ltd. 345,634 1
  Waste Connections Inc. 1
      685,411
Chile (0.2%)    
  Engie Energia Chile SA 1,065,066 2,266
  CAP SA 160,396 1,745
  Inversiones Aguas Metropolitanas SA 930,396 1,691
  Vina Concha y Toro SA 891,168 1,571
* Cia Sud Americana de Vapores SA 25,231,086 1,462
  Ripley Corp. SA 1,364,571 1,430
  Inversiones La Construccion SA 72,662 1,233
  Forus SA 183,653 799
* SMU SA 2,666,986 712
      12,909
China (3.0%)    
  CIFI Holdings Group Co. Ltd. 7,008,240 3,907
* Sohu.com Inc. 67,372 3,856
* Landing International Development Ltd. 136,357,810 3,779
* China Biologic Products Holdings Inc. 48,042 3,733
* China First Capital Group Ltd. 6,402,000 3,107
  CMBC Capital Holdings Ltd. 33,499,342 2,926
* Kaisa Group Holdings Ltd. 3,968,000 2,535
  Future Land Holdings Co. Ltd. Class A 820,462 2,530
^ Chinasoft International Ltd. 4,184,560 2,442

 

52


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^,* Kingdee International Software Group Co. Ltd. 4,501,640 2,414
  Fufeng Group Ltd. 3,292,864 2,373
  Tong Ren Tang Technologies Co. Ltd. 1,681,948 2,364
  Skyworth Digital Holdings Ltd. 4,778,497 2,201
^ Tongda Group Holdings Ltd. 7,602,346 2,157
^,*,2 Zhou Hei Ya International Holdings Co. Ltd. 2,125,000 2,047
  Hollysys Automation Technologies Ltd. 89,915 2,019
  China ZhengTong Auto Services Holdings Ltd. 1,917,000 2,018
2 Qingdao Port International Co. Ltd. 2,756,000 1,948
* YY Inc. ADR 21,160 1,913
  Lonking Holdings Ltd. 4,208,313 1,894
^ China Resources Phoenix Healthcare Holdings Co. Ltd. 1,417,841 1,862
2 Universal Medical Financial & Technical Advisory Services Co. Ltd. 1,699,000 1,796
^,* Digital China Holdings Ltd. 2,933,250 1,776
  Yuexiu Transport Infrastructure Ltd. 2,420,000 1,776
  NetDragon Websoft Holdings Ltd. 517,170 1,705
* Q Technology Group Co. Ltd. 752,000 1,684
  Future Land Development Holdings Ltd. 3,462,000 1,667
^,* Tibet Water Resources Ltd. 3,913,006 1,616
  Tianneng Power International Ltd. 1,652,000 1,593
^,* SMI Holdings Group Ltd. 3,075,200 1,577
  SSY Group Ltd. 3,311,324 1,575
^ China Water Affairs Group Ltd. 2,161,600 1,574
2 Fu Shou Yuan International Group Ltd. 2,221,000 1,561
  Yuzhou Properties Co. Ltd. 3,154,896 1,558
  Bank of Chongqing Co. Ltd. 1,908,600 1,549
^ Greatview Aseptic Packaging Co. Ltd. 2,474,000 1,548
  Vinda International Holdings Ltd. 762,873 1,542
  Sinopec Kantons Holdings Ltd. 2,363,962 1,532
  Powerlong Real Estate Holdings Ltd. 3,130,000 1,489
^ China Maple Leaf Educational Systems Ltd. 1,358,000 1,473
  China Lesso Group Holdings Ltd. 2,202,437 1,472
  Beijing Capital Land Ltd. 2,650,000 1,428
*,2 Yangtze Optical Fibre and Cable Joint Stock Ltd. Co. 363,000 1,352
  China SCE Property Holdings Ltd. 2,932,000 1,324
2 Hua Hong Semiconductor Ltd. 686,540 1,200
  Shanghai Jin Jiang International Hotels Group Co. Ltd. 3,141,480 1,132
^,*,3 China Shanshui Cement Group Ltd. 1,992,757 1,124
* BeiGene Ltd. ADR 11,960 1,104
  China Suntien Green Energy Corp. Ltd. 3,890,762 1,103
  Hisense Kelon Electrical Holdings Co. Ltd. Class A 863,173 1,084
^,* Lifetech Scientific Corp. 4,350,058 1,076
  Greentown Service Group Co. Ltd. 1,566,000 1,036
* C C Land Holdings Ltd. 4,427,000 965
^,* FDG Electric Vehicles Ltd. 21,763,885 950
  China Overseas Grand Oceans Group Ltd. 1,579,000 926
* Bitauto Holdings Ltd. ADR 20,300 917
^,* Huayi Tencent Entertainment Co. Ltd. 14,930,000 910
  Inner Mongolia Eerduosi Resourses Co. Ltd. Class B 893,671 902
* Hi Sun Technology China Ltd. 3,882,101 891
^,* O-Net Technologies Group Ltd. 1,208,000 875
2 Redco Properties Group Ltd. 1,708,000 850
*,2 Haichang Ocean Park Holdings Ltd. 3,474,000 833
  Greenland Hong Kong Holdings Ltd. 1,725,000 827
^ Texhong Textile Group Ltd. 588,000 811
*,2 Ozner Water International Holding Ltd. 2,527,000 800
2 Tian Ge Interactive Holdings Ltd. 1,087,000 795
  Sinotrans Shipping Ltd. 2,749,190 786
^ China High Speed Transmission Equipment Group Co. Ltd. 714,300 779
  Dongjiang Environmental Co. Ltd. 494,400 759
  Dah Chong Hong Holdings Ltd. 1,605,988 754
^,* Grand Baoxin Auto Group Ltd. 1,396,359 752
^ Chaowei Power Holdings Ltd. 1,304,563 736
  Huangshan Tourism Development Co. Ltd. Class B 484,900 727

 

53


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ CT Environmental Group Ltd. 4,683,760 721
*,2 China Metal Resources Utilization Ltd. 1,832,000 719
  Harbin Electric Co. Ltd. 1,525,813 718
^,*,3 Hybrid Kinetic Group Ltd. 28,246,000 706
* West China Cement Ltd. 4,215,200 670
^,2 Cogobuy Group 1,112,000 669
  Guangdong Provincial Expressway Development Co. Ltd. Class B 727,725 667
^,* Carnival Group International Holdings Ltd. 13,156,873 666
  CPMC Holdings Ltd. 788,000 661
^ PAX Global Technology Ltd. 1,290,062 653
  Shanghai Diesel Engine Co. Ltd. Class B 811,500 650
* Sinolink Worldwide Holdings Ltd. 4,244,000 637
  China Oil & Gas Group Ltd. 9,288,000 631
^,2 Cosmo Lady China Holdings Co. Ltd. 1,567,131 627
  Xingda International Holdings Ltd. 1,629,000 622
* China Power Clean Energy Development Co. Ltd. 1,027,500 615
  Xtep International Holdings Ltd. 1,857,879 615
* Kama Co. Ltd. Class B 578,112 611
  China Electronics Optics Valley Union Holding Co. Ltd. 6,360,000 604
  China Overseas Property Holdings Ltd. 2,485,000 599
* Hangzhou Steam Turbine Co. Ltd. Class B 570,912 585
  China All Access Holdings Ltd. 1,984,000 583
  Shandong Airlines Co. Ltd. Class B 307,048 570
  China Lilang Ltd. 723,000 563
^,* North Mining Shares Co. Ltd. 27,403,200 562
* Glorious Property Holdings Ltd. 5,153,000 562
  Dawnrays Pharmaceutical Holdings Ltd. 944,000 559
^,* China Water Industry Group Ltd. 2,568,000 556
  China Fangda Group Co. Ltd. Class B 877,900 555
  China Shineway Pharmaceutical Group Ltd. 591,343 554
  Shanghai Highly Group Co. Ltd. Class B 620,300 551
^,* China Modern Dairy Holdings Ltd. 2,685,000 550
  Luthai Textile Co. Ltd. Class B 490,792 545
  Huaxin Cement Co. Ltd. Class B 470,960 545
* 51job Inc. ADR 8,700 539
  Shanghai Industrial Urban Development Group Ltd. 2,414,000 520
* Shang Gong Group Co. Ltd. Class B 512,500 519
  Wasion Group Holdings Ltd. 993,454 511
* AVIC International Holding HK Ltd. 7,618,000 508
  INESA Intelligent Tech Inc. Class B 699,133 504
^ China Merchants Land Ltd. 2,654,000 500
  Concord New Energy Group Ltd. 10,180,000 496
* Capital Environment Holdings Ltd. 10,532,000 493
^ TCL Multimedia Technology Holdings Ltd. 915,842 493
^,* Yashili International Holdings Ltd. 2,190,000 491
* Rentian Technology Holdings Ltd. 10,070,000 484
  Comba Telecom Systems Holdings Ltd. 2,615,959 480
  Poly Culture Group Corp. Ltd. 197,414 475
^ Shanghai Dasheng Agricultural Finance Technology Co. Ltd. 5,600,000 467
  Weiqiao Textile Co. 894,000 466
  Ajisen China Holdings Ltd. 981,408 461
  Fantasia Holdings Group Co. Ltd. 3,228,000 460
^,* Chiho Environmental Group Ltd. 908,000 455
  361 Degrees International Ltd. 1,186,000 452
  Shanghai Jinjiang International Travel Co. Ltd. Class B 149,946 451
* Fang Holdings Ltd. ADR 98,900 449
*,3 Hua Han Health Industry Holdings Ltd. 6,569,183 446
* Lianhua Supermarket Holdings Co. Ltd. 1,044,000 442
*,3 Coolpad Group Ltd. 4,660,669 430
^,* China Chengtong Development Group Ltd. 5,776,000 430
* China Huiyuan Juice Group Ltd. 1,333,000 424
  Sinosoft Technology Group Ltd. 1,378,000 422
  Tianjin Port Development Holdings Ltd. 2,673,976 419
  Eastern Communications Co. Ltd. Class B 617,050 414

 

54


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Guorui Properties Ltd. 1,398,000 413
^ Enerchina Holdings Ltd. 20,176,500 407
  Welling Holding Ltd. 1,985,600 405
* Baozun Inc. ADR 12,800 402
  Qingling Motors Co. Ltd. 1,152,929 392
  Launch Tech Co. Ltd. 342,500 388
^ Phoenix Satellite Television Holdings Ltd. 2,651,783 388
  Tiangong International Co. Ltd. 3,253,478 384
  Tianjin Development Holdings Ltd. 746,000 383
  Minmetals Land Ltd. 2,524,000 376
* Shanghai Phoenix Enterprise Group Co. Ltd. Class B 385,600 374
* Shanghai Zhongyida Co. Ltd. Class B 842,700 368
* Sany Heavy Equipment International Holdings Co. Ltd. 2,012,000 356
* China Beidahuang Industry Group Holdings Ltd. 7,280,000 350
* China Yurun Food Group Ltd. 2,718,000 328
  First Tractor Co. Ltd. 668,954 327
* Shanghai Greencourt Investment Group Co. Ltd. Class B 561,300 326
  Colour Life Services Group Co. Ltd. 543,000 324
  China Electronics Huada Technology Co. Ltd. 1,780,000 320
  Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co. Ltd. 584,000 318
* Changyou.com Ltd. ADR 8,000 310
*,3 Zhonglu Co. Ltd. Class B 191,300 298
* 21Vianet Group Inc. ADR 39,600 297
* China Logistics Property Holdings Co. Ltd. 832,000 283
* China Minsheng Drawin Technology Group Ltd. 8,400,000 280
* Leyou Technologies Holdings Ltd. 1,065,000 275
^ China Singyes Solar Technologies Holdings Ltd. 761,250 273
* MIE Holdings Corp. 3,158,000 267
* Shougang Concord International Enterprises Co. Ltd. 9,021,116 265
^,* Chongqing Iron & Steel Co. Ltd. 1,181,500 253
  Maoye International Holdings Ltd. 2,105,459 243
* China Rare Earth Holdings Ltd. 3,260,548 243
* PW Medtech Group Ltd. 1,151,000 241
^,*,3 National Agricultural Holdings Ltd. 1,560,000 238
2 Beijing Urban Construction Design & Development Group Co. Ltd. 406,000 235
  Xiamen International Port Co. Ltd. 1,177,000 228
^,* JinkoSolar Holding Co. Ltd. ADR 8,500 226
  Dalian Refrigeration Co. Ltd. Class B 396,930 226
*,3 Mingfa Group International Co. Ltd. 915,541 222
* iKang Healthcare Group Inc. ADR 15,100 215
* SRE Group Ltd. 8,228,302 213
2 Kangda International Environmental Co. Ltd. 827,111 209
*,3 China Fiber Optic Network System Group Ltd. 2,215,200 199
  Chongqing Machinery & Electric Co. Ltd. 1,612,000 196
^,* Loudong General Nice Resources China Holdings Ltd. 5,046,000 194
* Xinjiang Xinxin Mining Industry Co. Ltd. 1,379,000 189
* V1 Group Ltd. 4,985,484 163
^ Hilong Holding Ltd. 1,009,000 161
  Hengdeli Holdings Ltd. 3,017,765 155
^,* Munsun Capital Group Ltd. 16,540,936 153
  Hefei Meiling Co. Ltd. Class B 267,360 148
  Changchai Co. Ltd. Class B 238,200 133
* Shenzhen Wongtee International Enterprise Co. Ltd. Class B 223,180 132
*,3 Anxin-China Holdings Ltd. 2,621,200 129
  Fiyta Holdings Ltd. Class B 130,809 119
^,* China Dynamics Holdings Ltd. 4,458,752 117
* China Soft Power Technology Holdings Ltd. 6,530,322 115
* Daphne International Holdings Ltd. 1,641,996 112
*,3 Boshiwa International Holding Ltd. 469,000 101
^,* Boer Power Holdings Ltd. 389,000 100
* Tech Pro Technology Development Ltd. 10,406,800 97
^ Wisdom Sports Group 694,000 97
^,*,3 China Lumena New Materials Corp. 3,950,000 63
  Shenguan Holdings Group Ltd. 720,000 39

 

55


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Xinhua Winshare Publishing and Media Co. Ltd. 42,600 37
  BYD Electronic International Co. Ltd. 13,500 37
  Sihuan Pharmaceutical Holdings Group Ltd. 78,000 28
* Qinqin Foodstuffs Group Cayman Co. Ltd. 99,024 26
*,3 Real Gold Mining Ltd. 239,476 26
  Logan Property Holdings Co. Ltd. 27,000 25
*,3 China High Precision Automation Group Ltd. 401,000
^,*,3 China Metal Recycling Holdings Ltd. 332,400
      167,558
Colombia (0.0%)    
  Banco Davivienda SA Preference Shares 218,040 2,149
  Avianca Holdings SA Preference Shares 707,688 621
      2,770
Czech Republic (0.0%)    
  Philip Morris CR AS 1,030 762
 
Denmark (1.5%)    
  GN Store Nord A/S 307,430 10,174
  FLSmidth & Co. A/S 107,774 7,388
*,2 Nets A/S 263,278 6,721
  Royal Unibrew A/S 111,697 6,430
  Sydbank A/S 145,298 5,672
  Ambu A/S Class B 57,986 5,345
  SimCorp A/S 84,803 5,179
* Topdanmark A/S 104,709 4,304
  Rockwool International A/S Class B 13,869 3,765
  Dfds A/S 61,430 3,562
  Schouw & Co. AB 27,581 2,870
* Nilfisk Holding A/S 59,055 2,838
* Bavarian Nordic A/S 68,923 2,797
* NKT A/S 59,695 2,559
  Spar Nord Bank A/S 175,306 2,230
2 Scandinavian Tobacco Group A/S 128,877 2,180
  ALK-Abello A/S 13,428 2,102
* Bang & Olufsen A/S 76,158 1,765
  Alm Brand A/S 142,563 1,475
* D/S Norden A/S 53,236 1,106
  Matas A/S 69,683 780
  Solar A/S Class B 9,186 590
*,3 OW Bunker A/S 24,023
      81,832
Egypt (0.1%)    
* Orascom Construction Ltd. 123,042 986
  Medinet Nasr Housing 1,042,776 625
* Six of October Development & Investment 532,780 560
* Palm Hills Developments SAE 2,364,491 554
  Heliopolis Housing 278,784 482
* Pioneers Holding for Financial Investments SAE 880,939 473
* Ezz Steel 477,591 471
  Oriental Weavers 314,818 325
  Sidi Kerir Petrochemicals Co. 249,068 300
  Orascom Telecom Media And Technology Holding SAE 5,076,483 242
*,3 Nile Cotton Ginning 31,192 12
      5,030
Finland (1.1%)    
  Amer Sports Oyj 256,157 6,373
  Outokumpu Oyj 671,650 6,349
  Konecranes Oyj Class A 135,567 6,242
  Valmet Oyj 291,438 5,651
  Cargotec Oyj Class B 89,355 5,275
  Tieto Oyj 159,774 4,892
  Metsa Board Oyj 370,743 2,750
^,* Outotec Oyj 323,506 2,573
  Uponor Oyj 116,761 2,351

 

56


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Kemira Oyj 166,606 2,348
  Sanoma Oyj 178,099 2,114
  Cramo Oyj 92,420 2,052
* DNA Oyj 114,880 1,980
  YIT Oyj 259,811 1,975
  Citycon Oyj 804,948 1,966
^,* Caverion Oyj 212,341 1,607
  Finnair Oyj 118,575 1,546
  Ramirent Oyj 139,184 1,281
  F-Secure Oyj 209,351 1,072
  Raisio Oyj 240,147 993
  Oriola Oyj 258,756 970
* Stockmann OYJ Abp Class B 73,504 472
      62,832
France (2.4%)    
2 Euronext NV 155,122 9,213
  Elis SA 256,156 6,679
  Altran Technologies SA 342,166 6,328
  Nexity SA 92,362 5,677
  Alten SA 61,102 5,347
* Air France-KLM 328,427 5,142
  Sopra Steria Group 27,280 5,118
  SPIE SA 177,405 4,668
*,2 Worldline SA 85,860 4,198
2 Maisons du Monde SA 96,379 4,170
  Nexans SA 57,419 3,758
^,* Vallourec SA 648,527 3,547
* Fnac Darty SA 37,154 3,512
  Television Francaise 1 228,938 3,255
  Metropole Television SA 139,716 3,230
  Korian SA 96,971 3,151
  SOITEC 39,802 3,132
  Tarkett SA 69,934 2,975
2 Europcar Groupe SA 201,022 2,875
  Trigano SA 17,562 2,834
  Neopost SA 76,266 2,811
  Technicolor SA 793,177 2,811
  Vicat SA 34,465 2,666
  IPSOS 69,263 2,560
  Coface SA 197,963 2,163
* DBV Technologies SA 46,219 2,095
^ Gaztransport Et Technigaz SA 41,060 2,010
^ Mercialys SA 94,786 1,846
  Derichebourg SA 168,075 1,792
* Genfit 64,978 1,710
* Eramet 20,164 1,661
  Bonduelle SCA 29,085 1,373
  FFP 10,827 1,302
* Virbac SA 10,042 1,293
  Beneteau SA 71,547 1,287
  Albioma SA 52,166 1,244
  Vilmorin & Cie SA 12,219 1,177
  Mersen SA 26,555 1,166
  Manitou BF SA 24,457 969
  Boiron SA 10,530 951
  Guerbet 10,081 908
  Jacquet Metal Service 25,596 828
  Direct Energie 17,665 813
  Rallye SA 47,091 805
  Interparfums SA 20,526 765
  MGI Coutier 15,200 617
  GL Events 19,025 580
* Etablissements Maurel et Prom 128,829 546
^ Havas SA 49,364 531

 

57


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Bourbon Corp. 56,874 508
* Parrot SA 39,816 496
  Haulotte Group SA 26,623 485
* Stallergenes Greer plc 8,411 431
  Groupe Crit 4,529 427
* Esso SA Francaise 5,757 393
  Union Financiere de France BQE SA 9,684 366
  Albioma SA Loyalty Line 8,890 212
* Ubisoft Entertainment SA 1,088 83
* Rubis SCA 960 60
2 Elior Group SA 1,584 45
      133,595
Germany (4.4%)    
  Rheinmetall AG 92,461 10,982
  Freenet AG 273,673 9,165
* Dialog Semiconductor plc 166,840 8,336
  Duerr AG 53,434 7,395
  Drillisch AG 101,227 7,181
* Evotec AG 289,033 6,151
* Siltronic AG 41,007 6,120
  Aurubis AG 74,409 6,098
^,* MorphoSys AG 63,278 5,492
  Gerresheimer AG 68,621 5,489
  TAG Immobilien AG 315,164 5,433
  Aareal Bank AG 128,664 5,350
* Software AG 105,013 5,338
  GRENKE AG 54,027 5,291
  Stabilus SA 53,217 4,860
  Norma Group SE 71,064 4,843
  CTS Eventim AG & Co. KGaA 116,884 4,835
  Jungheinrich AG Preference Shares 105,701 4,814
  STADA Arzneimittel AG 49,588 4,790
  Leoni AG 71,238 4,740
  Bechtle AG 58,872 4,712
  Salzgitter AG 83,265 4,029
  alstria office REIT-AG 281,729 4,005
  Krones AG 31,615 4,000
  TLG Immobilien AG 170,553 3,956
*,2 Rocket Internet SE 152,434 3,919
  Deutsche EuroShop AG 103,402 3,779
  Jenoptik AG 111,222 3,749
* AIXTRON SE 231,502 3,614
  Nemetschek SE 40,053 3,581
*,2 Hapag-Lloyd AG 79,967 3,514
  Stroeer SE & Co. KGaA 53,014 3,390
2 Deutsche Pfandbriefbank AG 226,720 3,263
2 ADO Properties SA 64,138 3,171
^ Bilfinger SE 72,181 2,912
  Indus Holding AG 41,280 2,895
  CompuGroup Medical SE 49,803 2,868
  Carl Zeiss Meditec AG 50,596 2,698
  Sixt SE Preference Shares 39,991 2,594
  Schaeffler AG Preference Shares 155,969 2,487
  Deutz AG 288,175 2,441
*,2 Tele Columbus AG 232,995 2,430
  DMG Mori AG 41,119 2,381
  Pfeiffer Vacuum Technology AG 14,754 2,369
  Sixt SE 24,878 2,329
  Koenig & Bauer AG 29,436 2,292
^,* zooplus AG 13,621 2,248
* Heidelberger Druckmaschinen AG 556,674 2,225
* PATRIZIA Immobilien AG 101,652 2,153
  Kloeckner & Co. SE 166,190 1,960
  RHOEN-KLINIKUM AG 55,924 1,953

 

58


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  KWS Saat SE 4,452 1,876
^,* SGL Carbon SE 118,644 1,871
  Draegerwerk AG & Co. KGaA Preference Shares 16,045 1,844
  XING SE 6,158 1,829
  Wacker Neuson SE 55,126 1,795
  Takkt AG 71,155 1,479
^,* Nordex SE 141,888 1,474
  VTG AG 24,666 1,424
  Deutsche Beteiligungs AG 27,417 1,394
  Hamburger Hafen und Logistik AG 43,107 1,377
* Vossloh AG 20,721 1,313
  DIC Asset AG 99,918 1,175
  Diebold Nixdorf AG 13,791 1,157
  BayWa AG 28,084 1,097
  Wuestenrot & Wuerttembergische AG 39,849 1,070
^ ElringKlinger AG 60,224 1,053
^ SMA Solar Technology AG 21,746 1,012
^ Bertrandt AG 10,277 970
  Biotest AG Preference Shares 34,619 914
  Draegerwerk AG & Co. KGaA 9,524 845
  comdirect bank AG 54,089 750
^ Biotest AG 21,104 668
  Gerry Weber International AG 53,021 659
  Hornbach Baumarkt AG 16,985 620
  CropEnergies AG 44,025 466
  H&R GmbH & Co. KGaA 26,033 461
      247,213
Greece (0.1%)    
* Mytilineos Holdings SA 264,902 2,774
  Grivalia Properties REIC AE 90,267 942
* GEK Terna Holding Real Estate Construction SA 172,925 854
  Hellenic Exchanges SA 115,148 644
  Fourlis Holdings SA 84,744 550
  Aegean Airlines SA 57,545 524
* Public Power Corp. SA 225,227 488
* Holding Co. ADMIE IPTO SA 227,458 487
* Ellaktor SA 249,051 474
  Athens Water Supply & Sewage Co. SA 13,714 98
*,3 TT Hellenic Postbank SA 44,448
      7,835
Hong Kong (1.7%)    
  Vitasoy International Holdings Ltd. 1,764,000 4,079
  Fortune REIT (Hong Kong Shares) 2,891,000 3,502
  Luk Fook Holdings International Ltd. 745,000 3,151
  Man Wah Holdings Ltd. 3,242,400 2,929
  SITC International Holdings Co. Ltd. 2,873,858 2,772
^ IGG Inc. 2,061,000 2,767
  NagaCorp Ltd. 3,406,228 2,752
^,* MMG Ltd. 5,178,140 2,347
  Value Partners Group Ltd. 2,188,498 2,171
  Yuexiu REIT 3,335,169 2,104
* Pacific Basin Shipping Ltd. 8,490,532 1,939
  HKBN Ltd. 1,856,449 1,885
  Sunlight REIT 2,619,000 1,776
  K Wah International Holdings Ltd. 2,917,000 1,676
^ China Goldjoy Group Ltd. 21,360,000 1,642
  Stella International Holdings Ltd. 970,591 1,581
  Giordano International Ltd. 2,783,735 1,574
^,* KuangChi Science Ltd. 3,832,000 1,454
* Freeman FinTech Corp. Ltd. 23,954,488 1,398
  Prosperity REIT 2,993,000 1,278
  Far East Consortium International Ltd. 2,256,858 1,233
3 TCC International Holdings Ltd. 2,630,500 1,221
  Gemdale Properties & Investment Corp. Ltd. 11,718,000 1,202

 

59


 
Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Pacific Textiles Holdings Ltd. 1,134,000 1,193
* Lai Sun Development Co. Ltd. 659,250 1,192
^ Truly International Holdings Ltd. 2,923,000 1,132
  SmarTone Telecommunications Holdings Ltd. 889,730 1,108
* China Baoli Technologies Holdings Ltd. 61,219,960 1,105
^,* Panda Green Energy Group Ltd. 6,972,645 1,055
  Sun Hung Kai & Co. Ltd. 1,599,000 1,027
  Chow Sang Sang Holdings International Ltd. 470,565 1,026
  Canvest Environmental Protection Group Co. Ltd. 1,787,000 997
  Goodbaby International Holdings Ltd. 1,810,000 989
^,* GCL New Energy Holdings Ltd. 13,255,541 969
  CP Pokphand Co. Ltd. 11,574,000 935
^,* China Harmony New Energy Auto Holding Ltd. 1,511,500 893
  Dynam Japan Holdings Co. Ltd. 544,040 852
  Road King Infrastructure Ltd. 518,346 852
^ HC International Inc. 1,070,000 844
^,* United Laboratories International Holdings Ltd. 944,500 822
  HKR International Ltd. 1,266,400 808
  CITIC Telecom International Holdings Ltd. 2,811,004 804
  Spring REIT 1,824,762 803
^ China Silver Group Ltd. 2,316,000 799
  Microport Scientific Corp. 798,000 788
^ Town Health International Medical Group Ltd. 8,145,419 783
  Pou Sheng International Holdings Ltd. 4,140,000 759
^,*,3 Superb Summit International Group Ltd. 3,957,346 741
^,*,2 IMAX China Holding Inc. 235,558 730
* COFCO Meat Holdings Ltd. 3,608,000 726
  Nan Hai Corp. Ltd. 23,350,000 707
^,* Digital Domain Holdings Ltd. 24,140,000 697
  Chong Hing Bank Ltd. 334,000 684
* BEP International Holdings Ltd. 27,930,000 653
* G-Resources Group Ltd. 49,326,190 651
  Emperor Capital Group Ltd. 7,523,860 647
  China Aerospace International Holdings Ltd. 5,112,000 643
^,2 Regina Miracle International Holdings Ltd. 669,000 642
  Ju Teng International Holdings Ltd. 1,775,002 633
  Singamas Container Holdings Ltd. 3,005,960 625
* Sino Oil And Gas Holdings Ltd. 29,885,000 579
^,* Convoy Global Holdings Ltd. 23,790,000 577
^ China LNG Group Ltd. 3,380,001 563
* Beijing Enterprises Medical & Health Group Ltd. 10,266,000 546
  Liu Chong Hing Investment Ltd. 308,000 529
* Sunshine Oilsands Ltd. 15,172,082 525
* BOE Varitronix Ltd. 686,000 502
^,* Honghua Group Ltd. 4,774,000 460
* NewOcean Energy Holdings Ltd. 1,780,000 454
  Lee's Pharmaceutical Holdings Ltd. 505,000 453
^,* China Strategic Holdings Ltd. 29,155,000 434
^,2 CGN New Energy Holdings Co. Ltd. 2,730,000 410
* CST Group Ltd. 63,904,000 402
* China LotSynergy Holdings Ltd. 15,719,951 395
  Emperor Watch & Jewellery Ltd. 7,870,000 389
^,* Anton Oilfield Services Group 3,087,298 369
* Hong Kong Television Network Ltd. 995,000 357
^,* China Financial International Investments Ltd. 11,000,000 324
  Parkson Retail Group Ltd. 2,066,000 315
* Silver Base Group Holdings Ltd. 2,907,712 306
* Future World Financial Holdings Ltd. 15,026,286 304
^,* Good Resources Holdings Ltd. 5,150,000 271
* New Sports Group Ltd. 48,620,000 268
^,* Qianhai Health Holdings Ltd. 18,357,500 264
^,* Xinchen China Power Holdings Ltd. 1,718,800 254
  Henderson Investment Ltd. 2,941,000 253
  TPV Technology Ltd. 1,440,000 246

 

60



 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Lifestyle China Group Ltd. 721,370 240
  EVA Precision Industrial Holdings Ltd. 1,726,000 240
^,* China Ocean Industry Group Ltd. 27,080,000 236
* New World Department Store China Ltd. 1,027,966 227
  Shenwan Hongyuan HK Ltd. 600,000 218
* Mei Ah Entertainment Group Ltd. 4,740,000 210
* China Medical & HealthCare Group Ltd. 5,402,946 198
* Technovator International Ltd. 626,000 195
^,* Summit Ascent Holdings Ltd. 1,396,000 192
* Tou Rong Chang Fu Group Ltd. 8,301,740 148
  Yip's Chemical Holdings Ltd. 386,000 145
^,* Vision Fame International Holding Ltd. 2,512,000 129
* SOCAM Development Ltd. 424,725 100
* Yanchang Petroleum International Ltd. 4,720,000 85
  AMVIG Holdings Ltd. 292,000 83
* Sincere Watch Hong Kong Ltd. 3,200,000 67
* China Huarong Energy Co. Ltd. 1,118,900 52
^,* 13 Holdings Ltd. 1,113,540 50
* Suncorp Technologies Ltd. 9,370,000 48
* China Healthwise Holdings Ltd. 3,022,000 48
  Nexteer Automotive Group Ltd. 13,344 26
* Shougang Concord International Enterprises Co. Ltd. Rights Exp. 11/08/2017 9,021,116 5
  Inspur International Ltd. 4,000 1
      93,439
India (3.2%)    
  Federal Bank Ltd. 3,145,595 5,923
  Vakrangee Ltd. 571,169 4,962
  Dewan Housing Finance Corp. Ltd. 407,518 4,049
* Bharat Financial Inclusion Ltd. 225,669 3,403
  Page Industries Ltd. 10,756 3,314
  Edelweiss Financial Services Ltd. 745,400 3,242
  Apollo Hospitals Enterprise Ltd. 201,293 3,232
  Crompton Greaves Consumer Electricals Ltd. 916,796 3,134
  Natco Pharma Ltd. 187,010 2,797
  TVS Motor Co. Ltd. 247,308 2,764
* Max Financial Services Ltd. 286,454 2,598
  Alkem Laboratories Ltd. 87,610 2,535
  Info Edge India Ltd. 131,183 2,304
  CESC Ltd. 142,510 2,243
  Mindtree Ltd. 301,821 2,237
  KRBL Ltd. 214,759 2,141
  Dalmia Bharat Ltd. 45,565 2,107
  Jubilant Foodworks Ltd. 80,422 2,028
* Future Retail Ltd. 247,447 1,991
  Voltas Ltd. 219,913 1,928
  NBCC India Ltd. 478,249 1,923
* Indiabulls Real Estate Ltd. 550,029 1,912
  Apollo Tyres Ltd. 498,101 1,893
  Biocon Ltd. 314,544 1,746
  Arvind Ltd. 277,768 1,722
  AIA Engineering Ltd. 79,120 1,683
  Tata Global Beverages Ltd. 472,431 1,658
  Muthoot Finance Ltd. 209,200 1,594
  Sundaram Finance Ltd. 58,054 1,575
  Gillette India Ltd. 17,022 1,569
  Indraprastha Gas Ltd. 63,198 1,546
  Jubilant Life Sciences Ltd. 155,861 1,542
  Escorts Ltd. 129,492 1,523
  PI Industries Ltd. 119,685 1,518
  Indian Hotels Co. Ltd. 866,328 1,518
  GRUH Finance Ltd. 194,663 1,498
* Suzlon Energy Ltd. 5,624,102 1,474
  National Aluminium Co. Ltd. 996,147 1,472
  Kajaria Ceramics Ltd. 138,990 1,462

 

61


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Supreme Industries Ltd. 83,312 1,455
NCC Ltd. 860,340 1,448
Cholamandalam Investment and Finance Co. Ltd. 80,205 1,426
Whirlpool of India Ltd. 66,510 1,416
Manappuram Finance Ltd. 880,108 1,372
Ramco Cements Ltd. 120,968 1,347
Oberoi Realty Ltd. 181,834 1,333
Balkrishna Industries Ltd. 49,936 1,318
PC Jeweller Ltd. 242,799 1,316
* TI Financial Holdings Ltd. 100,536 1,293
Coromandel International Ltd. 156,996 1,249
Strides Shasun Ltd. 94,215 1,207
Century Textiles & Industries Ltd. 56,674 1,191
* Godrej Properties Ltd. 111,974 1,175
Prestige Estates Projects Ltd. 247,251 1,162
* Sun Pharma Advanced Research Co. Ltd. 177,553 1,151
Bayer CropScience Ltd. 18,958 1,129
Redington India Ltd. 460,000 1,120
PVR Ltd. 52,010 1,114
* Fortis Healthcare Ltd. 498,922 1,109
Care Ratings Ltd. 46,762 1,087
Karur Vysya Bank Ltd. 547,993 1,075
IRB Infrastructure Developers Ltd. 284,465 1,068
Gujarat Pipavav Port Ltd. 483,152 1,058
* JM Financial Ltd. 414,344 1,055
Engineers India Ltd. 356,430 1,021
Sadbhav Engineering Ltd. 206,446 1,009
Ceat Ltd. 38,897 1,006
Amara Raja Batteries Ltd. 89,877 972
* Aditya Birla Fashion and Retail Ltd. 400,897 972
Gujarat Gas Ltd. 68,450 964
WABCO India Ltd. 9,793 964
Gujarat State Petronet Ltd. 300,879 950
Jain Irrigation Systems Ltd. 592,291 939
Mahanagar Gas Ltd. 50,380 935
Indian Bank 189,888 923
Welspun India Ltd. 873,806 905
Thermax Ltd. 58,251 892
Persistent Systems Ltd. 87,900 885
Gujarat Fluorochemicals Ltd. 60,488 869
Blue Dart Express Ltd. 13,234 857
Ajanta Pharma Ltd. 45,155 851
Cox & Kings Ltd. 206,913 836
Balrampur Chini Mills Ltd. 313,873 832
Ipca Laboratories Ltd. 101,058 832
Hexaware Technologies Ltd. 186,964 823
* Equitas Holdings Ltd. 361,144 822
2 Syngene International Ltd. 104,492 816
India Cements Ltd. 271,757 815
Sanofi India Ltd. 12,499 807
Symphony Ltd. 35,398 799
GE T&D India Ltd. 131,999 797
eClerx Services Ltd. 40,229 795
SRF Ltd. 30,353 792
Srei Infrastructure Finance Ltd. 445,333 790
KPIT Technologies Ltd. 340,478 780
Bajaj Corp. Ltd. 107,956 776
* Mahindra CIE Automotive Ltd. 194,491 752
Alembic Pharmaceuticals Ltd. 95,833 748
2 Laurus Labs Ltd. 89,343 743
* Adani Transmissions Ltd. 228,407 734
* Just Dial Ltd. 101,352 729
Karnataka Bank Ltd. 285,843 718
Varun Beverages Ltd. 92,296 718

 

62


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  PTC India Ltd. 372,920 709
* Jaiprakash Associates Ltd. 2,445,402 699
  South Indian Bank Ltd. 1,415,456 669
  Multi Commodity Exchange of India Ltd. 41,011 668
  Motilal Oswal Financial Services Ltd. 31,354 666
  Jindal Saw Ltd. 336,227 648
* Dish TV India Ltd. 539,451 647
  Welspun Corp. Ltd. 281,555 638
  Sobha Ltd. 80,682 634
  Repco Home Finance Ltd. 65,893 630
* Hindustan Construction Co. Ltd. 1,014,490 626
  Pfizer Ltd. 23,078 619
* TV18 Broadcast Ltd. 909,124 612
* IFCI Ltd. 1,609,922 603
  Gateway Distriparks Ltd. 147,039 602
* Thomas Cook India Ltd. 162,359 601
  Kaveri Seed Co. Ltd. 65,905 586
* Sintex Plastics Technology Ltd. 399,368 573
* Jammu & Kashmir Bank Ltd. 443,686 568
  VA Tech Wabag Ltd. 61,192 555
2 Dr Lal PathLabs Ltd. 45,042 538
* Syndicate Bank 413,785 528
* Housing Development & Infrastructure Ltd. 577,097 527
  Chambal Fertilizers and Chemicals Ltd. 217,856 507
* Central Bank of India 370,837 468
  Radico Khaitan Ltd. 136,987 464
  Raymond Ltd. 32,132 443
  Gujarat Mineral Development Corp. Ltd. 162,654 440
  Vijaya Bank 429,801 438
* Unitech Ltd. 4,004,755 415
* Indian Overseas Bank 1,022,389 399
* RattanIndia Power Ltd. 4,503,385 396
* Allahabad Bank 324,516 393
* Bajaj Hindusthan Sugar Ltd. 1,687,054 389
* Jet Airways India Ltd. 42,962 388
  GE Power India Ltd. 36,898 388
* Shipping Corp. of India Ltd. 270,846 386
* Andhra Bank 351,488 359
  Sintex Industries Ltd. 830,424 342
* DEN Networks Ltd. 253,513 336
  Marksans Pharma Ltd. 483,708 335
* UCO Bank 610,679 306
  McLeod Russel India Ltd. 113,402 291
* Indian Hotels Co. Ltd. Rights Exp. 10/27/17 165,227 289
* Rolta India Ltd. 239,405 208
* Shree Renuka Sugars Ltd. 825,462 184
* Reliance Naval and Engineering Ltd. 142,038 119
* Karur Vysya Bank Ltd. Rights Exp. 11/10/2017 83,319 65
* Arvind SmartSpaces Ltd. 19,638 49
  Indiabulls Securities Ltd. 3,466 15
* JITF Infralogistics Ltd. 21,890 13
* Videocon Industries Ltd. 32,768 8
*,3 Chennai Super Kings Cricket Ltd. 176,674
      176,581
Indonesia (0.6%)    
  Ciputra Development Tbk PT 32,126,455 2,867
  Pakuwon Jati Tbk PT 53,235,934 2,472
  Lippo Karawaci Tbk PT 43,427,518 2,210
  AKR Corporindo Tbk PT 3,897,400 2,141
  Summarecon Agung Tbk PT 24,915,268 1,902
  Bank Tabungan Negara Persero Tbk PT 7,734,270 1,574
  Waskita Karya Persero Tbk PT 9,996,379 1,563
  Ace Hardware Indonesia Tbk PT 16,388,600 1,517
  Indo Tambangraya Megah Tbk PT 904,800 1,481

 

63


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Japfa Comfeed Indonesia Tbk PT 14,488,900 1,469
  Pembangunan Perumahan Persero Tbk PT 5,057,800 1,063
  Semen Baturaja Persero TBK PT 4,991,900 1,027
  Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT 5,140,200 929
  Wijaya Karya Persero Tbk PT 6,308,933 917
  Alam Sutera Realty Tbk PT 28,149,691 843
* Aneka Tambang Persero Tbk PT 17,212,019 819
  Kawasan Industri Jababeka Tbk PT 34,796,576 780
  Link Net Tbk PT 2,041,300 751
  Mitra Adiperkasa Tbk PT 1,502,900 726
  Perusahaan Perkebunan London Sumatra Indonesia Tbk PT 5,823,829 648
* Medco Energi Internasional Tbk PT 10,648,684 621
* Panin Financial Tbk PT 33,230,300 578
  Global Mediacom Tbk PT 13,373,306 577
  Adhi Karya Persero Tbk PT 3,561,300 575
* Eagle High Plantations Tbk PT 25,129,800 452
* Siloam International Hospitals Tbk PT 581,639 418
  Ramayana Lestari Sentosa Tbk PT 6,105,500 412
  Timah Persero Tbk PT 5,696,220 344
  Intiland Development Tbk PT 11,222,200 321
  Bekasi Fajar Industrial Estate Tbk PT 14,350,600 301
  Surya Semesta Internusa Tbk PT 6,719,900 292
  Agung Podomoro Land Tbk PT 15,002,900 290
* Krakatau Steel Persero Tbk PT 7,947,250 288
* Tiga Pilar Sejahtera Food Tbk 3,791,200 272
  Salim Ivomas Pratama Tbk PT 6,932,500 266
* Matahari Putra Prima Tbk PT 4,580,800 196
  Wijaya Karya Beton Tbk PT 3,557,195 172
* Lippo Cikarang Tbk PT 610,200 171
  Gajah Tunggal Tbk PT 2,265,200 116
  Sampoerna Agro PT 270,600 50
  BISI International Tbk PT 393,820 48
*,3 Sigmagold Inti Perkasa Tbk PT 8,317,400 31
      34,490
Ireland (0.3%)    
* Cairn Homes plc 1,513,117 3,142
  Green REIT plc 1,460,727 2,570
  Hibernia REIT plc 1,491,767 2,562
  C&C Group plc 724,974 2,482
  Irish Continental Group plc 363,743 2,423
  Origin Enterprises plc 281,036 2,225
* Permanent TSB Group Holdings plc 245,273 560
      15,964
Israel (0.4%)    
* Mazor Robotics Ltd. 95,201 3,062
  Reit 1 Ltd. 579,515 2,325
* Nova Measuring Instruments Ltd. 65,759 2,006
  IDI Insurance Co. Ltd. 16,599 1,112
* Cellcom Israel Ltd. (Registered) 110,539 1,068
* Partner Communications Co. Ltd. 194,790 1,038
* Jerusalem Oil Exploration 17,784 957
* Brack Capital Properties NV 8,407 915
* Jerusalem Economy Ltd. 329,939 892
  Electra Ltd. 3,791 863
* Africa Israel Properties Ltd. 31,356 743
  Rami Levy Chain Stores Hashikma Marketing 2006 Ltd. 14,796 723
* Clal Insurance Enterprises Holdings Ltd. 36,793 706
  Delta-Galil Industries Ltd. 19,790 642
  Matrix IT Ltd. 58,433 642
  Bayside Land Corp. 1,360 635
  Sella Capital Real Estate Ltd. 299,180 601
  Formula Systems 1985 Ltd. 14,138 580
  Big Shopping Centers Ltd. 7,525 550
* Kenon Holdings Ltd. 30,553 527

 

64


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Menora Mivtachim Holdings Ltd. 41,924 518
  Naphtha Israel Petroleum Corp. Ltd. 71,856 417
* Gilat Satellite Networks Ltd. 56,589 402
  Property & Building Corp. Ltd. 3,878 372
* B Communications Ltd. 22,985 358
* Kamada Ltd. 60,880 303
* Allot Communications Ltd. 49,625 271
* AudioCodes Ltd. 38,938 269
  Norstar Holdings Inc. 14,227 256
* Ceragon Networks Ltd. 105,975 220
* Evogene Ltd. 42,085 179
* Compugen Ltd. 3,338 10
* Africa Israel Investments Ltd. 1
      24,162
Italy (2.5%)    
  Interpump Group SPA 179,693 6,048
  Hera SPA 1,722,247 5,541
* Brembo SPA 335,520 5,539
  Cerved Information Solutions SPA 422,673 5,436
  BPER Banca 1,022,480 4,977
  Azimut Holding SPA 244,917 4,835
^,* Yoox Net-A-Porter Group SPA 128,218 4,790
  Unipol Gruppo SPA 1,046,762 4,721
  DiaSorin SPA 50,269 4,573
  Banca Generali SPA 123,772 4,072
  De' Longhi SPA 123,001 4,032
  Banca Popolare di Sondrio SCPA 987,159 3,905
  Amplifon SPA 253,339 3,848
2 Anima Holding SPA 500,829 3,808
  Societa Cattolica di Assicurazioni SC 348,756 3,779
  Autogrill SPA 274,458 3,589
2 Infrastrutture Wireless Italiane SPA 512,320 3,502
  Industria Macchine Automatiche SPA 34,998 3,138
  Iren SPA 1,073,346 2,953
2 Enav SPA 588,787 2,803
  Saras SPA 994,601 2,654
  Societa Iniziative Autostradali e Servizi SPA 149,255 2,544
2 OVS SPA 319,990 2,393
  Banca IFIS SPA 43,140 2,351
  Beni Stabili SpA SIIQ 2,436,598 2,156
  Ei Towers SPA 36,212 2,117
  Brunello Cucinelli SPA 62,550 2,099
2 Technogym SPA 212,617 2,069
  ERG SPA 122,864 2,052
  ASTM SPA 73,685 2,044
* Reply SPA 38,293 2,035
  MARR SPA 78,285 1,999
^ Tod's SPA 28,818 1,916
  Datalogic SPA 45,472 1,804
  ACEA SPA 88,147 1,435
  Danieli & C Officine Meccaniche SPA Savings Shares 85,009 1,414
  Credito Emiliano SPA 160,631 1,407
  Salini Impregilo SPA 331,223 1,400
^ Maire Tecnimont SPA 230,568 1,293
^,* Fincantieri SPA 989,369 1,230
2 RAI Way SPA 198,727 1,205
  Piaggio & C SPA 358,558 1,173
* Italmobiliare SPA 34,778 936
  CIR-Compagnie Industriali Riunite SPA 602,779 906
  Immobiliare Grande Distribuzione SIIQ SPA 730,847 845
  Danieli & C Officine Meccaniche SPA 34,811 833
  Cementir Holding SPA 98,186 833
^,* Credito Valtellinese SPA 220,300 780
^ Geox SPA 161,427 705

 

65


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Cairo Communication SPA 138,785 703
* Arnoldo Mondadori Editore SPA 265,416 687
^,* Juventus Football Club SPA 787,782 686
  Zignago Vetro SPA 71,507 669
  Astaldi SPA 95,950 664
* GEDI Gruppo Editoriale SPA 497,817 443
^,* Safilo Group SPA 67,077 424
  Cofide SPA 580,131 412
  DeA Capital SPA 198,933 307
  Esprinet SPA 57,250 274
* Rizzoli Corriere Della Sera Mediagroup SPA 140,386 211
* Banco BPM SPA 54,795 191
  A2A SPA 23,286 40
* Ansaldo STS SPA 1,455 20
      138,248
Japan (16.1%)    
^ Tokuyama Corp. 152,810 4,336
  Kyowa Exeo Corp. 196,890 4,289
  Tokai Carbon Co. Ltd. 427,400 4,271
  Penta-Ocean Construction Co. Ltd. 636,400 4,210
  ADEKA Corp. 232,555 4,017
  Nippon Light Metal Holdings Co. Ltd. 1,293,720 3,808
  Toagosei Co. Ltd. 290,492 3,767
  Amano Corp. 151,268 3,722
  Shima Seiki Manufacturing Ltd. 65,400 3,677
  Tokyo Seimitsu Co. Ltd. 91,934 3,655
  Nippon Suisan Kaisha Ltd. 579,462 3,545
  Nichias Corp. 271,139 3,530
  Nihon Parkerizing Co. Ltd. 215,061 3,526
  TechnoPro Holdings Inc. 76,100 3,489
  Fuji Machine Manufacturing Co. Ltd. 181,888 3,469
  Kokuyo Co. Ltd. 188,645 3,383
  SHO-BOND Holdings Co. Ltd. 54,800 3,372
  Nishimatsu Construction Co. Ltd. 109,953 3,320
  Japan Lifeline Co. Ltd. 68,900 3,305
  Morinaga Milk Industry Co. Ltd. 85,935 3,299
  Okumura Corp. 86,052 3,294
  Hazama Ando Corp. 400,279 3,264
  Ship Healthcare Holdings Inc. 103,800 3,246
  Tsubakimoto Chain Co. 367,710 3,169
  Tokyo Ohka Kogyo Co. Ltd. 86,613 3,167
  Kenedix Inc. 539,200 3,152
  Nikkon Holdings Co. Ltd. 123,048 3,151
^ Fuji Seal International Inc. 95,796 3,144
  Tomy Co. Ltd. 193,817 3,136
  Inaba Denki Sangyo Co. Ltd. 70,420 3,091
  Hanwa Co. Ltd. 79,483 3,017
  Duskin Co. Ltd. 106,860 2,931
  Meitec Corp. 59,846 2,923
  Anritsu Corp. 310,100 2,920
  Kiyo Bank Ltd. 168,496 2,898
  Iwatani Corp. 96,024 2,896
  Sumitomo Bakelite Co. Ltd. 355,000 2,887
  Nippon Gas Co. Ltd. 89,136 2,836
  Fuyo General Lease Co. Ltd. 42,947 2,808
  Topre Corp. 95,100 2,800
  Sangetsu Corp. 152,120 2,800
  Mandom Corp. 93,054 2,773
  Hokkoku Bank Ltd. 60,500 2,770
  Ryosan Co. Ltd. 67,157 2,726
  Fujitec Co. Ltd. 181,855 2,707
  Toyo Ink SC Holdings Co. Ltd. 458,647 2,701
  Nichiha Corp. 67,000 2,695
  Open House Co. Ltd. 69,900 2,694

 

66


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Yaoko Co. Ltd. 54,600 2,680
KYB Corp. 41,200 2,675
Oki Electric Industry Co. Ltd. 191,006 2,668
Takasago Thermal Engineering Co. Ltd. 149,669 2,635
^ Nissha Co. Ltd. 81,460 2,620
Kanematsu Corp. 197,600 2,600
Hyakugo Bank Ltd. 544,400 2,556
Musashino Bank Ltd. 78,300 2,544
Kumagai Gumi Co. Ltd. 79,780 2,536
Nihon Unisys Ltd. 152,641 2,528
Ogaki Kyoritsu Bank Ltd. 88,374 2,523
^ Colowide Co. Ltd. 134,300 2,521
Asatsu-DK Inc. 75,887 2,515
Yoshinoya Holdings Co. Ltd. 151,120 2,514
Maruha Nichiro Corp. 81,246 2,510
CKD Corp. 126,400 2,489
Hyakujushi Bank Ltd. 682,000 2,480
Iriso Electronics Co. Ltd. 43,500 2,454
NET One Systems Co. Ltd. 195,300 2,423
Nachi-Fujikoshi Corp. 389,510 2,401
Unipres Corp. 88,880 2,400
Outsourcing Inc. 174,000 2,399
Mitsubishi Pencil Co. Ltd. 100,300 2,379
Kureha Corp. 40,102 2,359
Trusco Nakayama Corp. 91,900 2,351
cocokara fine Inc. 41,789 2,330
Toho Holdings Co. Ltd. 118,318 2,326
Bank of Okinawa Ltd. 56,544 2,307
GMO Internet Inc. 148,561 2,295
United Arrows Ltd. 60,867 2,281
Totetsu Kogyo Co. Ltd. 68,100 2,280
Makino Milling Machine Co. Ltd. 240,901 2,273
Nitto Boseki Co. Ltd. 67,011 2,252
TPR Co. Ltd. 62,827 2,221
Onward Holdings Co. Ltd. 263,000 2,217
Taikisha Ltd. 76,028 2,214
Fancl Corp. 83,604 2,206
Noevir Holdings Co. Ltd. 36,500 2,201
Daihen Corp. 243,759 2,196
Tokyo Dome Corp. 233,378 2,191
Sakata Seed Corp. 71,656 2,167
Okasan Securities Group Inc. 351,000 2,165
Valor Holdings Co. Ltd. 95,200 2,165
Sumitomo Mitsui Construction Co. Ltd. 348,646 2,148
Daiseki Co. Ltd. 86,787 2,146
TOKAI Holdings Corp. 267,200 2,136
Hosiden Corp. 123,667 2,135
Nippon Seiki Co. Ltd. 91,432 2,119
NSD Co. Ltd. 105,834 2,119
Daikyonishikawa Corp. 124,100 2,109
Nippon Soda Co. Ltd. 336,127 2,103
Nippon Flour Mills Co. Ltd. 136,929 2,101
San-A Co. Ltd. 45,244 2,082
Kanamoto Co. Ltd. 63,200 2,078
Hitachi Zosen Corp. 393,710 2,075
Prima Meat Packers Ltd. 317,440 2,074
Okamura Corp. 184,061 2,065
Starts Corp. Inc. 76,115 2,064
Maxell Holdings Ltd. 90,700 2,061
Nitta Corp. 49,900 2,058
Sumitomo Warehouse Co. Ltd. 299,471 2,056
Takuma Co. Ltd. 166,500 2,048
Yodogawa Steel Works Ltd. 69,433 2,034
Central Glass Co. Ltd. 90,915 2,033

 

67


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Okinawa Electric Power Co. Inc. 88,774 2,028
^ DCM Holdings Co. Ltd. 219,388 2,015
Alpine Electronics Inc. 90,248 2,002
Nomura Co. Ltd. 95,200 1,987
Keihin Corp. 107,221 1,977
Yamazen Corp. 172,000 1,967
Nippon Densetsu Kogyo Co. Ltd. 90,503 1,964
IBJ Leasing Co. Ltd. 75,101 1,961
^ Daio Paper Corp. 163,254 1,960
FCC Co. Ltd. 80,843 1,952
Arcs Co. Ltd. 87,200 1,951
Kyoritsu Maintenance Co. Ltd. 61,260 1,935
Takara Standard Co. Ltd. 112,999 1,932
Toho Bank Ltd. 500,164 1,931
Nanto Bank Ltd. 68,400 1,930
Taiyo Holdings Co. Ltd. 40,100 1,927
Paramount Bed Holdings Co. Ltd. 43,600 1,923
Ai Holdings Corp. 78,300 1,922
Shinmaywa Industries Ltd. 195,268 1,921
Hokuetsu Kishu Paper Co. Ltd. 299,221 1,920
^ TSI Holdings Co. Ltd. 228,800 1,918
MOS Food Services Inc. 62,658 1,916
Tokyo Steel Manufacturing Co. Ltd. 221,800 1,916
^ Yamagata Bank Ltd. 81,085 1,910
Senko Group Holdings Co. Ltd. 262,300 1,902
Hogy Medical Co. Ltd. 27,761 1,901
Nisshin Oillio Group Ltd. 57,852 1,899
^ Siix Corp. 44,600 1,899
Toei Co. Ltd. 17,464 1,895
^ EDION Corp. 187,263 1,892
^ KH Neochem Co. Ltd. 75,500 1,890
Lasertec Corp. 85,700 1,886
Sakata INX Corp. 97,500 1,880
Futaba Corp. 94,332 1,870
Round One Corp. 144,600 1,869
Token Corp. 15,486 1,867
Bank of Nagoya Ltd. 46,712 1,866
Seiren Co. Ltd. 106,900 1,866
Joyful Honda Co. Ltd. 68,874 1,859
Meidensha Corp. 467,935 1,851
UACJ Corp. 62,685 1,848
Nippon Steel & Sumikin Bussan Corp. 33,449 1,847
Okamoto Industries Inc. 169,000 1,839
Bank of Iwate Ltd. 44,524 1,834
Nichicon Corp. 145,183 1,832
Fuji Soft Inc. 59,874 1,821
Eizo Corp. 43,856 1,818
Komori Corp. 128,900 1,815
^ Seikagaku Corp. 99,664 1,813
ZERIA Pharmaceutical Co. Ltd. 102,540 1,797
TOMONY Holdings Inc. 371,600 1,790
* Nippon Sheet Glass Co. Ltd. 220,100 1,765
Digital Garage Inc. 82,000 1,763
^ JINS Inc. 33,800 1,756
Inabata & Co. Ltd. 120,900 1,753
Kato Sangyo Co. Ltd. 56,100 1,750
^ Infomart Corp. 231,400 1,749
Aida Engineering Ltd. 149,306 1,741
Financial Products Group Co. Ltd. 149,300 1,733
Fukui Bank Ltd. 64,755 1,730
Saizeriya Co. Ltd. 56,021 1,728
Takeuchi Manufacturing Co. Ltd. 81,300 1,722
Heiwado Co. Ltd. 78,800 1,720
Nissin Kogyo Co. Ltd. 92,609 1,716

 

68


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Ci:z Holdings Co. Ltd. 46,400 1,709
  Kohnan Shoji Co. Ltd. 79,600 1,701
  Asahi Holdings Inc. 78,100 1,695
  Heiwa Real Estate Co. Ltd. 96,872 1,690
  SMS Co. Ltd. 56,000 1,687
  Aomori Bank Ltd. 51,961 1,675
  Tokyo TY Financial Group Inc. 61,966 1,673
  Gunze Ltd. 36,709 1,670
  Nichi-iko Pharmaceutical Co. Ltd. 106,802 1,659
  Kuroda Electric Co. Ltd. 92,900 1,658
  Shibuya Corp. 43,000 1,651
^ V Technology Co. Ltd. 9,400 1,645
  Noritz Corp. 89,187 1,639
  Funai Soken Holdings Inc. 44,600 1,639
  As One Corp. 29,800 1,638
  Chudenko Corp. 53,700 1,638
  Kitz Corp. 190,648 1,634
  Yuasa Trading Co. Ltd. 44,300 1,633
  Yamanashi Chuo Bank Ltd. 366,311 1,631
  Royal Holdings Co. Ltd. 63,100 1,631
  Nippon Signal Company Ltd. 147,800 1,631
  Kotobuki Spirits Co. Ltd. 39,600 1,630
  Oita Bank Ltd. 40,007 1,620
  Chiyoda Co. Ltd. 63,200 1,618
  Mirait Holdings Corp. 123,571 1,615
  Akita Bank Ltd. 50,300 1,610
  Aeon Delight Co. Ltd. 42,800 1,602
  Justsystems Corp. 74,500 1,601
^,* euglena Co. Ltd. 156,200 1,582
  Toshiba TEC Corp. 271,000 1,581
  Toridoll Holdings Corp. 48,800 1,567
  Pacific Industrial Co. Ltd. 120,500 1,567
  Nojima Corp. 67,100 1,565
^,* Macromill Inc. 51,700 1,562
  Nagaileben Co. Ltd. 62,400 1,557
  Furukawa Co. Ltd. 85,598 1,554
  Musashi Seimitsu Industry Co. Ltd. 48,715 1,553
^ Kumiai Chemical Industry Co. Ltd. 228,050 1,550
  Ryobi Ltd. 60,087 1,547
  Zenrin Co. Ltd. 48,700 1,547
  Daiwabo Holdings Co. Ltd. 38,876 1,545
  Toshiba Machine Co. Ltd. 248,000 1,540
  Morita Holdings Corp. 89,066 1,533
^ Wacom Co. Ltd. 310,536 1,518
  Sanken Electric Co. Ltd. 238,648 1,501
  Noritake Co. Ltd. 30,700 1,480
  Tokyu Construction Co. Ltd. 167,100 1,472
  Kameda Seika Co. Ltd. 32,400 1,467
  San-Ai Oil Co. Ltd. 121,900 1,456
  Obara Group Inc. 24,940 1,443
  Transcosmos Inc. 61,796 1,441
  DTS Corp. 48,000 1,440
^ Earth Chemical Co. Ltd. 30,643 1,439
  Piolax Inc. 51,900 1,436
^ Ichibanya Co. Ltd. 36,968 1,433
  Joshin Denki Co. Ltd. 41,326 1,430
  Showa Sangyo Co. Ltd. 54,800 1,429
^ Seiko Holdings Corp. 57,058 1,424
  Goldwin Inc. 18,200 1,414
  Toho Zinc Co. Ltd. 28,878 1,407
  Jaccs Co. Ltd. 55,800 1,394
  Takara Bio Inc. 103,000 1,371
  Toshiba Plant Systems & Services Corp. 79,124 1,365
  Star Micronics Co. Ltd. 76,698 1,352

 

69


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Dainichiseika Color & Chemicals Manufacturing Co. Ltd. 29,403 1,346
Macnica Fuji Electronics Holdings Inc. 63,713 1,335
Showa Corp. 101,292 1,328
Yokogawa Bridge Holdings Corp. 62,100 1,324
Mitsuboshi Belting Ltd. 106,000 1,323
TOC Co. Ltd. 146,346 1,317
Marusan Securities Co. Ltd. 143,855 1,315
Shikoku Chemicals Corp. 79,000 1,315
Sanyo Special Steel Co. Ltd. 50,770 1,303
^ Eiken Chemical Co. Ltd. 33,100 1,303
Bank of the Ryukyus Ltd. 85,167 1,298
^ Tsubaki Nakashima Co. Ltd. 56,300 1,298
EPS Holdings Inc. 65,900 1,298
Nikkiso Co. Ltd. 137,161 1,288
Mitsuba Corp. 76,824 1,284
^ Descente Ltd. 92,300 1,282
Aichi Bank Ltd. 20,804 1,282
J Trust Co. Ltd. 173,800 1,279
^ Fuso Chemical Co. Ltd. 39,300 1,258
Axial Retailing Inc. 30,730 1,257
^ Benefit One Inc. 65,400 1,256
Hiday Hidaka Corp. 42,295 1,243
Unizo Holdings Co. Ltd. 46,300 1,232
Tamura Corp. 180,000 1,232
Koa Corp. 58,700 1,225
Futaba Industrial Co. Ltd. 126,000 1,225
Dexerials Corp. 108,600 1,224
Doutor Nichires Holdings Co. Ltd. 51,537 1,224
Sanyo Chemical Industries Ltd. 23,254 1,221
Hibiya Engineering Ltd. 56,200 1,221
Japan Wool Textile Co. Ltd. 135,889 1,221
Mani Inc. 42,600 1,220
Optex Group Co. Ltd. 29,400 1,218
Kintetsu World Express Inc. 70,700 1,217
Monex Group Inc. 381,487 1,217
^ Megachips Corp. 36,881 1,215
Topy Industries Ltd. 35,479 1,212
Miyazaki Bank Ltd. 33,593 1,210
Bando Chemical Industries Ltd. 108,700 1,199
KOMEDA Holdings Co. Ltd. 70,000 1,193
^ Japan Material Co. Ltd. 41,100 1,193
Saibu Gas Co. Ltd. 47,673 1,193
Kurabo Industries Ltd. 411,000 1,192
^ JCR Pharmaceuticals Co. Ltd. 30,094 1,188
Hokuetsu Bank Ltd. 49,021 1,187
AOKI Holdings Inc. 84,504 1,179
Mizuno Corp. 41,356 1,176
Sanyo Denki Co. Ltd. 17,600 1,169
Fujimori Kogyo Co. Ltd. 33,700 1,166
Wakita & Co. Ltd. 94,300 1,160
Kadokawa Dwango Corp. 99,701 1,150
Sinfonia Technology Co. Ltd. 282,000 1,148
^ Atom Corp. 157,057 1,146
Nissin Electric Co. Ltd. 93,300 1,142
Sanki Engineering Co. Ltd. 99,067 1,140
Sato Holdings Corp. 46,800 1,139
Japan Securities Finance Co. Ltd. 202,241 1,137
Itochu Enex Co. Ltd. 111,500 1,136
Ricoh Leasing Co. Ltd. 31,606 1,136
Nippon Chemi-Con Corp. 32,681 1,136
Idec Corp. 53,400 1,130
Systena Corp. 36,400 1,129
Belluna Co. Ltd. 98,500 1,119
Kaga Electronics Co. Ltd. 37,200 1,115

 

70


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Japan Pulp & Paper Co. Ltd. 26,400 1,114
  Create SD Holdings Co. Ltd. 44,118 1,111
  Arcland Sakamoto Co. Ltd. 67,900 1,110
  Ehime Bank Ltd. 85,900 1,109
^,* KLab Inc. 62,960 1,107
  Internet Initiative Japan Inc. 52,756 1,106
* Ishihara Sangyo Kaisha Ltd. 73,100 1,100
^ Shoei Foods Corp. 27,300 1,099
^ Mitsui High-Tec Inc. 51,700 1,091
  Max Co. Ltd. 77,000 1,089
* Sushiro Global Holdings Ltd. 34,700 1,089
  Nishimatsuya Chain Co. Ltd. 98,600 1,085
  Fuji Co. Ltd. 45,800 1,085
  Sodick Co. Ltd. 78,378 1,085
  Mitsui Sugar Co. Ltd. 31,700 1,084
  Aichi Steel Corp. 26,702 1,083
  Sintokogio Ltd. 92,600 1,078
  Foster Electric Co. Ltd. 45,885 1,077
  Riso Kagaku Corp. 56,184 1,077
  Shindengen Electric Manufacturing Co. Ltd. 15,700 1,072
  Milbon Co. Ltd. 17,160 1,072
  Shinko Electric Industries Co. Ltd. 138,300 1,066
  Tocalo Co. Ltd. 26,400 1,065
  Kyokuto Kaihatsu Kogyo Co. Ltd. 59,400 1,064
  Tsugami Corp. 110,000 1,059
  Sakai Moving Service Co. Ltd. 18,100 1,052
  Sekisui Jushi Corp. 47,000 1,050
  Nitto Kogyo Corp. 61,088 1,047
  NEC Networks & System Integration Corp. 41,900 1,044
  Tachi-S Co. Ltd. 55,400 1,041
  Shikoku Bank Ltd. 66,540 1,039
  Oiles Corp. 52,608 1,036
  Dip Corp. 42,400 1,035
  Shizuoka Gas Co. Ltd. 132,500 1,035
  Arata Corp. 24,259 1,031
  Nippon Ceramic Co. Ltd. 36,100 1,030
^ Plenus Co. Ltd. 50,400 1,027
  Chofu Seisakusho Co. Ltd. 41,800 1,020
  Menicon Co. Ltd. 22,500 1,020
  United Super Markets Holdings Inc. 108,750 1,015
  JCU Corp. 23,400 1,013
  S Foods Inc. 26,600 1,012
  Belc Co. Ltd. 18,000 1,004
* Pioneer Corp. 518,613 1,004
  Create Restaurants Holdings Inc. 93,170 999
  Asahi Diamond Industrial Co. Ltd. 102,722 997
  Daibiru Corp. 84,343 994
  Sogo Medical Co. Ltd. 17,900 993
^ W-Scope Corp. 52,800 993
  Nishio Rent All Co. Ltd. 28,400 992
  CMK Corp. 95,300 989
  Nippon Koei Co. Ltd. 26,800 984
^,* Pacific Metals Co. Ltd. 32,908 984
  Chubu Shiryo Co. Ltd. 55,000 983
  Relia Inc. 83,500 982
  ESPEC Corp. 43,108 981
  Geo Holdings Corp. 60,200 980
  Maruwa Co. Ltd. 16,900 978
  Eagle Industry Co. Ltd. 50,200 975
^ Osaka Soda Co. Ltd. 37,000 971
  Takasago International Corp. 27,900 971
^ Kisoji Co. Ltd. 40,060 966
  Yondoshi Holdings Inc. 35,000 963
  Fujimi Inc. 38,847 963

 

71


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
^ Nippon Denko Co. Ltd. 227,190 960
Tokyotokeiba Co. Ltd. 31,500 959
^ Fuji Kyuko Co. Ltd. 42,800 956
* Sanden Holdings Corp. 47,000 956
Kanto Denka Kogyo Co. Ltd. 91,000 952
Tsukishima Kikai Co. Ltd. 79,200 951
^ Ringer Hut Co. Ltd. 43,800 950
Life Corp. 35,600 947
Sumitomo Seika Chemicals Co. Ltd. 17,800 946
Miroku Jyoho Service Co. Ltd. 40,400 943
Eighteenth Bank Ltd. 349,000 940
Juki Corp. 60,418 940
Press Kogyo Co. Ltd. 166,900 939
VT Holdings Co. Ltd. 172,200 937
Konoike Transport Co. Ltd. 60,800 936
Nippon Carbon Co. Ltd. 21,300 933
Chugoku Marine Paints Ltd. 109,600 931
* Unitika Ltd. 105,000 927
^ Marudai Food Co. Ltd. 197,591 924
Ichikoh Industries Ltd. 118,400 923
Doshisha Co. Ltd. 42,000 923
Enplas Corp. 21,753 922
Bunka Shutter Co. Ltd. 108,100 921
Fujicco Co. Ltd. 40,705 919
BML Inc. 41,300 914
Prestige International Inc. 84,700 914
Raito Kogyo Co. Ltd. 89,300 912
LIFULL Co. Ltd. 117,200 901
Iino Kaiun Kaisha Ltd. 190,636 900
YAMABIKO Corp. 65,900 897
Modec Inc. 38,588 890
Kura Corp. 19,400 868
Riken Corp. 16,600 864
Konishi Co. Ltd. 49,500 861
F@N Communications Inc. 83,200 861
Nittetsu Mining Co. Ltd. 11,600 860
Fukushima Industries Corp. 22,200 859
Denki Kogyo Co. Ltd. 33,080 851
^ Hodogaya Chemical Co. Ltd. 12,100 851
Pack Corp. 24,400 848
^ Hamakyorex Co. Ltd. 30,200 847
Teikoku Sen-I Co. Ltd. 39,884 846
DyDo Group Holdings Inc. 17,244 845
TKC Corp. 26,849 845
* D.A. Consortium Holdings Inc. 50,900 845
Yellow Hat Ltd. 27,500 844
Ohsho Food Service Corp. 20,174 843
Tekken Corp. 25,100 842
G-Tekt Corp. 39,000 835
kabu.com Securities Co. Ltd. 261,200 833
Hosokawa Micron Corp. 13,100 830
T Hasegawa Co. Ltd. 40,700 827
^ IDOM Inc. 112,400 820
Tochigi Bank Ltd. 179,712 819
St. Marc Holdings Co. Ltd. 27,100 819
Matsuya Co. Ltd. 75,600 817
Canon Electronics Inc. 36,294 817
Jeol Ltd. 154,000 816
Avex Group Holdings Inc. 58,600 810
T-Gaia Corp. 39,800 810
JVC Kenwood Corp. 258,140 809
Nissin Corp. 26,200 808
Towa Pharmaceutical Co. Ltd. 15,594 807
* Intage Holdings Inc. 61,200 803

 

72


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Giken Ltd. 27,900 802
^ Tosho Co. Ltd. 29,000 801
  Kyokuto Securities Co. Ltd. 53,900 800
^,* Toa Corp. 36,600 795
  Arakawa Chemical Industries Ltd. 32,700 793
  Koshidaka Holdings Co. Ltd. 19,502 789
  Elecom Co. Ltd. 39,200 786
  Clarion Co. Ltd. 204,000 777
  Feed One Co. Ltd. 299,700 776
  Toyo Tanso Co. Ltd. 27,410 774
  Sankyo Tateyama Inc. 52,900 773
  Shin-Etsu Polymer Co. Ltd. 72,200 772
  Tokai Corp. 17,200 772
  Digital Arts Inc. 18,800 769
^ Nissei ASB Machine Co. Ltd. 17,300 769
  Okabe Co. Ltd. 80,135 768
  Tanseisha Co. Ltd. 64,600 768
  Sakai Chemical Industry Co. Ltd. 30,709 768
^ Kyoei Steel Ltd. 43,512 764
  Inageya Co. Ltd. 46,300 764
^ Sanshin Electronics Co. Ltd. 50,100 761
  NichiiGakkan Co. Ltd. 73,800 761
^ Takara Leben Co. Ltd. 165,100 759
  Yorozu Corp. 37,276 758
  Daiho Corp. 156,000 758
^ Zojirushi Corp. 83,600 755
  Pressance Corp. 55,748 751
  Chiyoda Integre Co. Ltd. 30,500 743
  Trancom Co. Ltd. 12,200 741
  Ryoyo Electro Corp. 39,442 741
^ Taihei Dengyo Kaisha Ltd. 29,000 740
  FULLCAST Holdings Co. Ltd. 40,146 740
  Xebio Holdings Co. Ltd. 38,608 739
  Daiken Corp. 27,200 738
  Kamei Corp. 43,300 732
  Ichiyoshi Securities Co. Ltd. 63,800 732
  Sanyo Electric Railway Co. Ltd. 28,800 731
  Nippon Thompson Co. Ltd. 125,400 730
  Kasai Kogyo Co. Ltd. 48,400 728
^ Minato Bank Ltd. 38,400 728
  Toyo Construction Co. Ltd. 143,400 726
  Kanematsu Electronics Ltd. 23,200 724
  Bell System24 Holdings Inc. 66,000 722
  Sumida Corp. 41,009 716
^ Anicom Holdings Inc. 27,700 715
  Riken Keiki Co. Ltd. 33,000 713
  Starzen Co. Ltd. 14,500 709
  Investors Cloud Co. Ltd. 11,600 707
^ Maeda Kosen Co. Ltd. 40,300 700
  Nitto Kohki Co. Ltd. 28,100 696
  Neturen Co. Ltd. 68,300 696
  Tamron Co. Ltd. 33,100 691
  Kato Works Co. Ltd. 22,041 689
  JSP Corp. 21,300 687
  Shinko Shoji Co. Ltd. 36,900 685
  Tsukui Corp. 94,900 683
  Takamatsu Construction Group Co. Ltd. 25,000 681
  Chiba Kogyo Bank Ltd. 119,700 681
  ASKA Pharmaceutical Co. Ltd. 35,800 680
  Stella Chemifa Corp. 17,600 679
^ Hokuto Corp. 38,724 676
  Fujibo Holdings Inc. 21,400 676
  Nippon Valqua Industries Ltd. 29,100 675
^ Istyle Inc. 97,800 673

 

73


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Tsukuba Bank Ltd. 181,800 672
  Namura Shipbuilding Co. Ltd. 107,848 669
  PIA Corp. 13,200 669
  Sumitomo Riko Co. Ltd. 68,900 669
  Towa Bank Ltd. 62,900 668
^ Noritsu Koki Co. Ltd. 43,100 667
  MCJ Co. Ltd. 63,400 667
  Dai-Dan Co. Ltd. 26,000 666
  Nissei Build Kogyo Co. Ltd. 58,000 662
  Goldcrest Co. Ltd. 30,480 660
  Tsurumi Manufacturing Co. Ltd. 38,900 659
^ LEC Inc. 24,915 657
  Oyo Corp. 43,000 656
  Rock Field Co. Ltd. 37,268 656
  Shinko Plantech Co. Ltd. 75,800 654
  Micronics Japan Co. Ltd. 65,600 653
  Daido Metal Co. Ltd. 70,500 651
  Broadleaf Co. Ltd. 78,600 645
  Dai Nippon Toryo Co. Ltd. 42,000 643
^ OSJB Holdings Corp. 207,294 643
  UKC Holdings Corp. 37,300 642
^ Nohmi Bosai Ltd. 37,900 640
  Sekisui Plastics Co. Ltd. 48,500 637
  Warabeya Nichiyo Holdings Co. Ltd. 25,700 636
  Wowow Inc. 20,400 636
  Iseki & Co. Ltd. 28,487 635
  CONEXIO Corp. 34,300 633
^ eRex Co. Ltd. 63,700 631
  Gurunavi Inc. 48,900 631
  YA-MAN Ltd. 54,000 628
  Arcland Service Holdings Co. Ltd. 28,400 626
^,* M&A Capital Partners Co. Ltd. 11,900 623
  Aisan Industry Co. Ltd. 54,400 623
  Nippon Yakin Kogyo Co. Ltd. 279,800 618
  Tonami Holdings Co. Ltd. 12,400 618
  Mitsuuroko Group Holdings Co. Ltd. 84,400 617
  Roland DG Corp. 22,300 617
  Torii Pharmaceutical Co. Ltd. 22,700 616
  Kenko Mayonnaise Co. Ltd. 23,500 614
  Komatsu Seiren Co. Ltd. 70,300 610
  Toyo Kanetsu KK 16,000 606
  COOKPAD Inc. 90,300 606
  France Bed Holdings Co. Ltd. 65,300 606
  Yokohama Reito Co. Ltd. 63,400 603
* Mitsui-Soko Holdings Co. Ltd. 193,762 603
  PAL GROUP Holdings Co. Ltd. 21,200 603
^,* Akebono Brake Industry Co. Ltd. 176,449 602
  Osaki Electric Co. Ltd. 82,000 601
  Tokushu Tokai Paper Co. Ltd. 14,900 601
  Nichiden Corp. 28,000 601
  Sinko Industries Ltd. 36,541 595
  Itoki Corp. 77,400 595
^ Yushin Precision Equipment Co. Ltd. 21,000 594
^ Marvelous Inc. 62,500 591
^ OSAKA Titanium Technologies Co. Ltd. 38,400 590
  Fukuda Corp. 9,600 588
  METAWATER Co. Ltd. 22,100 587
^ Link And Motivation Inc. 85,100 586
  Mitsubishi Steel Manufacturing Co. Ltd. 23,400 583
^ Qol Co. Ltd. 31,399 577
  Nihon Nohyaku Co. Ltd. 99,400 576
^ JAC Recruitment Co. Ltd. 31,000 575
  Achilles Corp. 28,500 575
^ Vector Inc. 43,400 574

 

74


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  FIDEA Holdings Co. Ltd. 300,200 572
* Hochiki Corp. 27,600 571
  Daiwa Industries Ltd. 50,600 568
  Nippon Kanzai Co. Ltd. 31,500 568
  ST Corp. 22,900 567
  Alpen Co. Ltd. 28,500 567
^ Toyo Engineering Corp. 47,335 566
  Sumitomo Densetsu Co. Ltd. 27,800 564
  Riken Vitamin Co. Ltd. 14,600 561
  Union Tool Co. 17,300 559
^ Kourakuen Holdings Corp. 27,800 556
  Tenma Corp. 26,600 553
  Uchida Yoko Co. Ltd. 17,400 552
  Kansai Urban Banking Corp. 43,000 550
  J-Oil Mills Inc. 15,300 550
  Meisei Industrial Co. Ltd. 78,500 549
  Okura Industrial Co. Ltd. 81,000 549
  Jimoto Holdings Inc. 280,182 548
  T RAD Co. Ltd. 13,200 548
  Nippon Road Co. Ltd. 9,500 547
  Yakuodo Co. Ltd. 19,200 538
  Daisan Bank Ltd. 31,803 536
^ Yonex Co. Ltd. 73,400 535
  Riken Technos Corp. 86,400 532
  Bank of Saga Ltd. 21,200 530
^ SMK Corp. 112,000 529
  Katakura Industries Co. Ltd. 42,300 528
  Melco Holdings Inc. 16,800 527
  Cosel Co. Ltd. 37,900 525
^ Key Coffee Inc. 27,693 522
^ PC Depot Corp. 68,440 522
  Kyosan Electric Manufacturing Co. Ltd. 91,000 520
  Daito Pharmaceutical Co. Ltd. 20,300 520
  Daiichi Jitsugyo Co. Ltd. 17,600 517
  Seika Corp. 19,400 514
  Matsuya Foods Co. Ltd. 13,400 514
^,* Rorze Corp. 19,400 514
  Aeon Fantasy Co. Ltd. 13,000 510
  Zuken Inc. 28,600 509
  Okuwa Co. Ltd. 50,000 506
  Keiyo Co. Ltd. 74,900 505
  Vital KSK Holdings Inc. 62,000 503
^ Maruzen Showa Unyu Co. Ltd. 106,000 502
  Ateam Inc. 18,900 500
^ Toho Titanium Co. Ltd. 55,400 499
  Amuse Inc. 19,000 499
  Happinet Corp. 28,900 498
  Tatsuta Electric Wire and Cable Co. Ltd. 67,500 495
  Sun Frontier Fudousan Co. Ltd. 41,000 494
  Anest Iwata Corp. 48,600 493
  Cawachi Ltd. 19,600 481
  Yurtec Corp. 55,000 481
  Denyo Co. Ltd. 28,600 480
^ Kyokuyo Co. Ltd. 14,800 478
  Fuji Pharma Co. Ltd. 13,100 474
^ Kansai Super Market Ltd. 38,500 471
^ KAWADA TECHNOLOGIES Inc. 7,900 468
^ Pasona Group Inc. 33,200 467
  Kitano Construction Corp. 103,000 464
^ Nippon Parking Development Co. Ltd. 315,300 462
  Rokko Butter Co. Ltd. 20,300 456
  Kyodo Printing Co. Ltd. 13,600 453
^ Nagatanien Holdings Co. Ltd. 38,000 453
  Toa Corp. 42,800 452

 

75


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Michinoku Bank Ltd. 26,700 452
  CI Takiron Corp. 71,000 451
^ BRONCO BILLY Co. Ltd. 17,200 446
* Kintetsu Department Store Co. Ltd. 13,600 446
  Advan Co. Ltd. 46,900 446
  Osaka Steel Co. Ltd. 20,100 445
^ Information Services International-Dentsu Ltd. 19,900 443
  WATAMI Co. Ltd. 33,700 439
  Tosei Corp. 44,400 437
  Mitsui Home Co. Ltd. 66,000 437
^,* Kappa Create Co. Ltd. 38,888 437
  AOI Electronics Co. Ltd. 9,270 434
  Mimasu Semiconductor Industry Co. Ltd. 24,200 433
  KFC Holdings Japan Ltd. 24,300 429
  Meiko Network Japan Co. Ltd. 36,863 427
^ Jamco Corp. 20,400 426
  Tokyo Electron Device Ltd. 21,800 426
  Mitani Sekisan Co. Ltd. 17,500 424
^,* FDK Corp. 178,149 423
  Studio Alice Co. Ltd. 18,300 423
  Sagami Chain Co. Ltd. 34,396 422
  Ministop Co. Ltd. 20,500 416
  Fujiya Co. Ltd. 18,200 413
  Mie Kotsu Group Holdings Inc. 95,300 412
  Fudo Tetra Corp. 241,500 412
  Kobe Bussan Co. Ltd. 9,500 410
^ JP-Holdings Inc. 116,200 409
  Toenec Corp. 14,000 409
^ Fujita Kanko Inc. 12,798 408
  SRA Holdings 14,300 408
  Itochu-Shokuhin Co. Ltd. 8,900 406
  Daikokutenbussan Co. Ltd. 8,900 405
  ASAHI YUKIZAI Corp. 30,711 403
  Shimizu Bank Ltd. 12,000 403
  Koatsu Gas Kogyo Co. Ltd. 53,000 401
  Showa Aircraft Industry Co. Ltd. 32,300 400
^ Central Sports Co. Ltd. 11,075 398
* SWCC Showa Holdings Co. Ltd. 42,500 397
  Taiho Kogyo Co. Ltd. 26,500 396
  Shinnihon Corp. 44,500 396
  Toyo Kohan Co. Ltd. 92,400 395
  Mitsubishi Logisnext Co. Ltd. 53,600 394
  Yahagi Construction Co. Ltd. 43,300 392
  NS United Kaiun Kaisha Ltd. 16,900 391
  Keihanshin Building Co. Ltd. 55,700 391
^ Tokyo Individualized Educational Institute Inc. 43,860 387
  Mie Bank Ltd. 16,110 386
  Fujitsu Frontech Ltd. 22,000 385
  Onoken Co. Ltd. 22,600 384
^ Nihon Chouzai Co. Ltd. 11,700 383
  Kurimoto Ltd. 18,200 382
^ Sac's Bar Holdings Inc. 30,950 377
  Wellnet Corp. 35,000 376
^ Toho Co. Ltd. 14,800 374
  Shinwa Co. Ltd. 16,400 373
  Icom Inc. 15,900 370
  Chukyo Bank Ltd. 17,800 363
  K&O Energy Group Inc. 21,700 361
  Dai-ichi Seiko Co. Ltd. 14,200 361
  Nippon Beet Sugar Manufacturing Co. Ltd. 16,800 359
* KNT-CT Holdings Co. Ltd. 20,500 356
  Kita-Nippon Bank Ltd. 11,300 352
^ Hito Communications Inc. 19,900 351
  Ines Corp. 37,500 351

 

76


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Toda Kogyo Corp. 8,400 349
  Yusen Logistics Co. Ltd. 29,900 349
  Sanyo Shokai Ltd. 18,742 345
  Gecoss Corp. 30,500 344
  Toyo Corp. 36,817 344
  CAC Holdings Corp. 34,100 341
  Misawa Homes Co. Ltd. 38,400 340
  Tokyo Energy & Systems Inc. 29,000 337
  Pronexus Inc. 27,735 337
  Torishima Pump Manufacturing Co. Ltd. 32,400 336
  Sanoh Industrial Co. Ltd. 37,900 335
  Rhythm Watch Co. Ltd. 16,000 335
  Nisshinbo Holdings Inc. 27,776 334
^ Nihon Trim Co. Ltd. 8,500 332
  Tokyo Rope Manufacturing Co. Ltd. 21,200 330
  Tokyo Tekko Co. Ltd. 17,400 329
  Mito Securities Co. Ltd. 94,600 327
  Kitagawa Iron Works Co. Ltd. 12,000 327
  Krosaki Harima Corp. 7,600 326
  Shibusawa Warehouse Co. Ltd. 17,509 325
  GCA Corp. 35,500 325
  Hokkan Holdings Ltd. 84,000 323
  Pocket Card Co. Ltd. 34,200 323
^ Toyo Denki Seizo KK 18,000 320
  Kanagawa Chuo Kotsu Co. Ltd. 9,600 319
  Nippon Chemiphar Co. Ltd. 6,900 318
  Godo Steel Ltd. 15,800 318
  Tosho Printing Co. Ltd. 33,000 318
^ Daikoku Denki Co. Ltd. 20,700 317
  Hakuto Co. Ltd. 20,500 316
^ Honeys Holdings Co. Ltd. 29,790 315
  Airport Facilities Co. Ltd. 56,900 315
  Japan Transcity Corp. 73,192 314
^ Fukui Computer Holdings Inc. 12,500 314
  Kanaden Corp. 27,300 313
  Chuo Spring Co. Ltd. 9,200 307
  Parco Co. Ltd. 23,000 307
  Linical Co. Ltd. 23,200 305
  Dunlop Sports Co. Ltd. 20,500 304
  Shimojima Co. Ltd. 28,800 304
^ Senshukai Co. Ltd. 48,900 303
  Ryoden Corp. 19,500 303
  Hisaka Works Ltd. 32,000 298
^,* Medical Data Vision Co. Ltd. 15,400 293
  Takihyo Co. Ltd. 14,200 293
* Mitsubishi Paper Mills Ltd. 43,000 290
^ Srg Takamiya Co. Ltd. 47,600 289
  Japan Cash Machine Co. Ltd. 26,700 289
  Asunaro Aoki Construction Co. Ltd. 31,700 287
  Aichi Corp. 38,700 287
  Sinanen Holdings Co. Ltd. 12,800 286
  Toyo Securities Co. Ltd. 102,000 285
  Halows Co. Ltd. 12,500 283
  Toa Oil Co. Ltd. 213,000 283
^,* Nippon Sharyo Ltd. 100,000 283
  Aiphone Co. Ltd. 16,900 282
  Hioki EE Corp. 12,900 281
^ Mars Engineering Corp. 13,700 279
  Teikoku Electric Manufacturing Co. Ltd. 26,300 279
  Mitsubishi Research Institute Inc. 9,400 279
  Fuso Pharmaceutical Industries Ltd. 10,900 274
  Future Corp. 27,000 273
  Chori Co. Ltd. 14,900 272
  Weathernews Inc. 8,400 272

 

77


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Inaba Seisakusho Co. Ltd. 21,500 270
  CHIMNEY Co. Ltd. 10,700 269
  Matsuda Sangyo Co. Ltd. 18,500 265
  Cybozu Inc. 57,700 265
  Organo Corp. 10,000 265
  Gun-Ei Chemical Industry Co. Ltd. 7,600 264
  Elematec Corp. 11,500 263
  Fuji Oil Co. Ltd. 66,400 258
  NDS Co. Ltd. 7,600 257
^ Chuetsu Pulp & Paper Co. Ltd. 13,300 257
  Taisei Lamick Co. Ltd. 9,300 254
  Tomoku Co. Ltd. 13,600 254
  Takaoka Toko Co. Ltd. 15,500 253
  Mitsui Matsushima Co. Ltd. 20,100 253
  Hokkaido Gas Co. Ltd. 98,000 253
  Paris Miki Holdings Inc. 60,600 253
  Cleanup Corp. 31,400 250
^,* U-Shin Ltd. 37,000 250
  Nippon Coke & Engineering Co. Ltd. 225,200 249
  Atsugi Co. Ltd. 21,800 248
  Furuno Electric Co. Ltd. 35,700 246
  MTI Ltd. 40,400 243
  Asahi Co. Ltd. 19,800 241
  Toli Corp. 66,101 240
  Yomiuri Land Co. Ltd. 5,700 239
  Yushiro Chemical Industry Co. Ltd. 15,600 236
  Sumitomo Precision Products Co. Ltd. 72,000 233
  Corona Corp. Class A 19,500 233
  Alpha Systems Inc. 10,500 231
  Tv Tokyo Holdings Corp. 10,800 226
  Fujikura Kasei Co. Ltd. 35,600 225
  Maezawa Kyuso Industries Co. Ltd. 13,600 223
  Sankyo Seiko Co. Ltd. 53,397 221
  Nihon Yamamura Glass Co. Ltd. 125,000 220
  NEC Capital Solutions Ltd. 11,100 219
  Gakken Holdings Co. Ltd. 7,300 211
  Maezawa Kasei Industries Co. Ltd. 18,600 206
  Zuiko Corp. 6,100 205
  Kinki Sharyo Co. Ltd. 8,700 204
  Tsutsumi Jewelry Co. Ltd. 11,500 203
  Daisyo Corp. 13,400 203
  CMIC Holdings Co. Ltd. 13,600 201
  Artnature Inc. 30,500 200
^,* Yamada SxL Home Co. Ltd. 270,000 198
  Nihon Dempa Kogyo Co. Ltd. 25,310 198
  Fields Corp. 19,600 191
^ Chugai Ro Co. Ltd. 9,500 191
  Tokyo Rakutenchi Co. Ltd. 3,700 190
^ Funai Electric Co. Ltd. 23,200 188
  Mitsubishi Kakoki Kaisha Ltd. 8,200 178
^,* Shin Nippon Biomedical Laboratories Ltd. 35,400 173
^,* Laox Co. Ltd. 38,800 162
  Nakayama Steel Works Ltd. 23,300 161
^,* Japan Drilling Co. Ltd. 8,200 157
^ Right On Co. Ltd. 16,400 136
  Kojima Co. Ltd. 35,300 116
  Riso Kyoiku Co. Ltd. 7,400 59
  Tayca Corp. 2,500 59
  Mitsui Mining & Smelting Co. Ltd. 900 47
  Sankyu Inc. 1,079 45
  NOF Corp. 1,500 43
  Ulvac Inc. 600 43
  Kobelco Eco-Solutions Co. Ltd. 2,400 41
  Maeda Corp. 3,000 38

 

78


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Aica Kogyo Co. Ltd. 900 31
Fuji Oil Holdings Inc. 900 24
PALTAC Corp. 600 24
Ain Holdings Inc. 8 1
Relo Group Inc. 20
Horiba Ltd. 7
Kyudenko Corp. 5
Megmilk Snow Brand Co. Ltd. 6
Koei Tecmo Holdings Co. Ltd. 7
Fujitsu General Ltd. 5
Ariake Japan Co. Ltd. 1
Zensho Holdings Co. Ltd. 4
    902,413
Malaysia (1.0%)    
Dialog Group Bhd. 9,904,362 5,289
Press Metal Aluminium Holdings Bhd. 3,855,440 4,034
Hartalega Holdings Bhd. 1,582,920 2,851
Top Glove Corp. Bhd. 1,776,558 2,685
My EG Services Bhd. 4,827,400 2,497
Inari Amertron Bhd. 2,981,200 1,978
Genting Plantations Bhd. 771,173 1,946
Bursa Malaysia Bhd. 732,236 1,728
SP Setia Bhd Group 2,096,700 1,621
Sunway REIT 3,609,500 1,466
TIME dotCom Bhd. 667,300 1,447
QL Resources Bhd. 1,563,362 1,437
IGB REIT 3,621,100 1,411
Fraser & Neave Holdings Bhd. 224,700 1,344
VS Industry Bhd. 1,826,200 1,329
Malakoff Corp. Bhd. 5,272,300 1,283
KPJ Healthcare Bhd. 5,322,840 1,282
Sunway Bhd. 3,015,186 1,231
Kossan Rubber Industries 702,800 1,199
Malaysian Resources Corp. Bhd. 4,656,338 1,166
Mah Sing Group Bhd. 3,191,575 1,162
Pos Malaysia Bhd. 798,100 1,035
Malaysia Building Society Bhd. 3,945,200 1,034
Unisem M Bhd. 1,069,180 1,010
Cahya Mata Sarawak Bhd. 1,128,600 986
* UMW Oil & Gas Corp. Bhd. 12,820,580 970
* WCT Holdings Bhd. 2,460,239 964
Yinson Holdings Bhd. 1,004,200 938
* Scientex Bhd. 407,900 858
Capitaland Malaysia Mall Trust 2,209,600 772
DRB-Hicom Bhd. 1,826,327 734
Bermaz Auto Bhd. 1,446,440 697
* Eco World Development Group Bhd. 1,896,900 695
Pavilion REIT 1,562,100 631
Eastern & Oriental Bhd. 1,718,033 625
Syarikat Takaful Malaysia Bhd. 599,000 545
Muhibbah Engineering M Bhd. 785,000 528
* Berjaya Corp. Bhd. 6,618,492 524
Sunway Construction Group Bhd. 962,440 523
Supermax Corp. Bhd. 975,150 408
* AirAsia X Bhd. 4,213,250 373
Datasonic Group Bhd. 983,500 286
* KNM Group Bhd. 4,026,700 267
* Dayang Enterprise Holdings Bhd. 920,300 188
* Mulpha International Bhd. 314,695 186
* Malaysia Marine and Heavy Engineering Holdings Bhd. 902,900 175
* UMW Oil & Gas Corp. Bhd. Warrants 2,470,020 108
Coastal Contracts Bhd. 324,200 97
* Sunway Bhd. Warrants 362,955 55
* WCT Holdings Bhd. Warrants Exp. 08/24/2020 310,551 21

 

79


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* OSK Holdings Bhd. Warrants Exp. 07/22/2020 238,195 16
* KPJ Healthcare Warrants Exp. 01/23/2019 197,280 14
* AirAsia X Bhd. Warrants Exp. 06/08/2020 300,675 14
* BIMB Holdings Bhd. Warrants Exp. 12/04/2023 154,640 11
* CB Industrial Product Holding Bhd Warrants Exp. 10/31/2019 78,700 6
* Malaysian Resources Corp. Bhd. Warrants Exp. 09/16/2018 346,641 6
* Eastern & Oriental Bhd Warrants Exp. 07/21/2019 154,580 6
* Mah Sing Group Bhd. Warrants Exp. 03/18/2018 164,085 4
* Mah Sing Group Warrants Exp. 01/15/2026 125,235 4
* KNM Group Bhd. Warrants Exp. 04/21/2020 178,365 3
* Puncak Niaga Holding Bhd. Warrants Exp. 07/20/2018 25,250 1
* WCT Holdings Bhd. Warrants Exp. 12/11/2017 82,009 1
*,3 KNM Group Bhd. Warrants Exp. 11/15/2017 188,812
* Malaysian Resources Corp. Bhd. Warrants Exp. 12/31/2027 430,554
* OSK Ventures International Bhd. 1
      56,705
Mexico (0.5%)    
* Elis SA 139,330 3,599
  Macquarie Mexico Real Estate Management SA de CV 1,811,206 2,173
  PLA Administradora Industrial S de RL de CV 1,378,198 2,121
* Genomma Lab Internacional SAB de CV Class B 1,752,100 2,044
  Corp Inmobiliaria Vesta SAB de CV 1,328,300 1,649
  Bolsa Mexicana de Valores SAB de CV 971,797 1,623
  Prologis Property Mexico SA de CV 808,212 1,582
* Controladora Vuela Cia de Aviacion SAB de CV Class A 1,384,400 1,411
  Grupo Herdez SAB de CV 523,502 1,120
* La Comer SAB de CV 1,133,500 1,100
* Hoteles City Express SAB de CV 786,500 961
  Credito Real SAB de CV SOFOM ER 521,300 836
  Grupo Financiero Interacciones SA de CV 178,300 818
  Unifin Financiera SAB de CV SOFOM ENR 218,141 743
  Consorcio ARA SAB de CV 2,049,310 725
* Grupo GICSA SA de CV 1,109,373 671
  Qualitas Controladora SAB de CV 402,576 666
2 Concentradora Fibra Hotelera Mexicana SA de CV 762,259 510
  Grupo Rotoplas SAB de CV 297,100 469
  Rassini SAB de CV 124,094 468
  TV Azteca SAB de CV 2,553,695 463
*,2 Elementia SAB de CV 267,237 351
* Axtel SAB de CV 1,344,051 291
      26,394
Netherlands (1.9%)    
  Aalberts Industries NV 207,119 10,213
* Galapagos NV 88,873 8,643
  IMCD Group NV 114,488 7,201
  SBM Offshore NV 383,693 6,848
  ASM International NV 100,487 6,734
  TKH Group NV 91,581 6,167
  APERAM SA 105,914 5,695
  BE Semiconductor Industries NV 71,131 5,590
  Corbion NV 128,824 4,305
  Eurocommercial Properties NV 101,000 4,206
  PostNL NV 932,449 3,974
  Wereldhave NV 85,819 3,901
2 Refresco Group NV 155,594 3,598
  Arcadis NV 153,902 3,558
* TomTom NV 276,610 3,151
  Koninklijke BAM Groep NV 531,015 3,000
  Wessanen 117,996 2,241
  Vastned Retail NV 48,378 2,119
2 Intertrust NV 126,676 1,948
* Fugro NV 145,621 1,877
  Accell Group 56,726 1,732
2 Flow Traders 62,660 1,558

 

80


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  NSI NV 38,443 1,458
*,2 Basic-Fit NV 60,398 1,387
*,2 Takeaway.com NV 27,345 1,292
* ForFarmers NV 80,666 986
  Brunel International NV 41,546 706
  BinckBank NV 127,301 649
  ASR Nederland NV 981 40
2 Philips Lighting NV 1,029 39
*,3 SRH NV 96,364
      104,816
New Zealand (0.7%)    
* a2 Milk Co. Ltd. 1,578,376 9,371
  Z Energy Ltd. 765,797 3,862
^ Mainfreight Ltd. 172,694 2,891
  Trade Me Group Ltd. 874,139 2,699
  Chorus Ltd. 883,440 2,428
  EBOS Group Ltd. 193,582 2,332
  Goodman Property Trust 2,275,400 2,041
  Infratil Ltd. 922,862 2,031
  Genesis Energy Ltd. 1,172,839 1,966
  Freightways Ltd. 360,248 1,888
  Summerset Group Holdings Ltd. 508,284 1,694
  Precinct Properties New Zealand Ltd. 1,877,910 1,665
  Metlifecare Ltd. 361,271 1,429
  Argosy Property Ltd. 1,692,448 1,199
  Vital Healthcare Property Trust 704,398 1,065
  Heartland Bank Ltd. 766,199 996
  New Zealand Refining Co. Ltd. 384,298 663
  Kathmandu Holdings Ltd. 311,843 513
* TOWER Ltd. 260,271 144
      40,877
Norway (1.4%)    
  Subsea 7 SA 557,822 9,403
  Storebrand ASA 976,513 8,364
^ TGS NOPEC Geophysical Co. ASA 222,626 5,118
  Bakkafrost P/F 86,981 3,887
* Norwegian Finans Holding ASA 308,794 3,858
  SpareBank 1 SR-Bank ASA 322,461 3,572
  Salmar ASA 119,618 3,566
  Leroy Seafood Group ASA 557,828 3,350
  Tomra Systems ASA 236,632 3,304
2 Entra ASA 238,540 3,283
  SpareBank 1 SMN 279,926 2,907
  Veidekke ASA 238,275 2,670
2 XXL ASA 228,786 2,467
  Aker ASA 51,745 2,344
  Atea ASA 185,773 2,344
  Borregaard ASA 217,336 2,095
  Austevoll Seafood ASA 192,278 1,925
*,2 Aker Solutions ASA 328,278 1,805
* DNO ASA 1,444,650 1,755
* Nordic Semiconductor ASA 289,143 1,450
* Wallenius Wilhelmsen Logistics 227,420 1,305
  Grieg Seafood ASA 123,811 1,176
^,* Petroleum Geo-Services ASA 686,952 1,130
  Ocean Yield ASA 92,295 823
  Opera Software ASA 262,785 753
  Stolt-Nielsen Ltd. 52,143 735
  Norway Royal Salmon ASA 35,508 689
  Hoegh LNG Holdings Ltd. 84,773 671
* Akastor ASA 289,157 667
^,* Norwegian Air Shuttle ASA 23,349 661
*,2 BW LPG Ltd. 167,176 628
^,* REC Silicon ASA 4,212,364 551

 

81


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Seadrill Ltd. 4,512 1
      79,257
Other (0.0%)4    
  Kennedy-Wilson Holdings Inc. 343 7
 
Pakistan (0.3%)    
  Hub Power Co. Ltd. 1,889,200 1,840
  Lucky Cement Ltd. 389,566 1,801
  Pakistan State Oil Co. Ltd. 533,249 1,721
  Engro Corp. Ltd. 648,521 1,712
  Pakistan Oilfields Ltd. 250,100 1,403
  United Bank Ltd. 660,000 1,121
  MCB Bank Ltd. 544,000 1,026
  Thal Ltd. 178,350 860
  Engro Fertilizers Ltd. 1,338,430 825
  DG Khan Cement Co. Ltd. 518,686 671
  Nishat Mills Ltd. 530,426 655
  Kot Addu Power Co. Ltd. 967,108 588
  Searle Co. Ltd. 200,440 582
* SUI Southern Gas Co. Ltd. 1,915,000 547
  Mari Petroleum Co. Ltd. 34,680 477
  Fauji Cement Co. Ltd. 1,643,307 434
  Millat Tractors Ltd. 36,980 393
* SUI Northern Gas Pipeline 206,000 224
  Fauji Fertilizer Bin Qasim Ltd. 520,000 163
  Pakistan Telecommunication Co. Ltd. 855,000 107
* Bank Alfalah Ltd. 175,000 67
      17,217
Peru (0.0%)    
  Volcan Cia Minera SAA Class B 5,397,208 2,657
 
Philippines (0.4%)    
  Security Bank Corp. 999,219 4,763
  Puregold Price Club Inc. 2,291,590 2,264
  Robinsons Retail Holdings Inc. 1,107,600 2,082
  Robinsons Land Corp. 4,016,931 1,965
  Pilipinas Shell Petroleum Corp. 1,557,020 1,877
  Manila Water Co. Inc. 2,726,085 1,638
  Vista Land & Lifescapes Inc. 8,644,000 1,020
  Cosco Capital Inc. 5,981,500 988
* DoubleDragon Properties Corp. 1,177,890 924
  D&L Industries Inc. 4,394,300 884
  First Gen Corp. 2,553,730 870
  Cebu Air Inc. 380,270 803
  Filinvest Land Inc. 20,530,400 789
  Century Pacific Food Inc. 1,902,300 560
  Lopez Holdings Corp. 4,794,760 540
* Melco Resorts And Entertainment Philippines Corp. 3,698,500 486
  Nickel Asia Corp. 3,435,708 466
  First Philippine Holdings Corp. 364,600 451
      23,370
Poland (0.1%)    
  Energa SA 501,075 1,741
* PKP Cargo SA 67,662 966
  UNIWHEELS AG 8,993 731
  Warsaw Stock Exchange 55,354 700
* Boryszew SA 159,822 439
^ Lubelski Wegiel Bogdanka SA 20,232 410
* Getin Holding SA 865,656 383
* Getin Noble Bank SA 804,018 356
^,* Medicalgorithmics SA 6,288 348
  Neuca SA 2,746 185
* Bioton SA 68,053 83
  CD Projekt SA 948 31

 

82


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
KRUK SA 279 21
Kernel Holding SA 750 10
    6,404
Portugal (0.4%)    
* Banco Comercial Portugues SA 19,452,243 5,813
NOS SGPS SA 502,721 3,012
Navigator Co. SA 576,771 2,941
Sonae SGPS SA 2,222,056 2,660
CTT-Correios de Portugal SA 341,659 2,012
REN - Redes Energeticas Nacionais SGPS SA 545,226 1,731
Corticeira Amorim SGPS SA 69,841 975
Semapa-Sociedade de Investimento e Gestao 48,627 972
Altri SGPS SA 148,409 948
^ Mota-Engil SGPS SA 182,438 733
* Banco BPI SA 314,760 425
Sonaecom SGPS SA 117,738 316
    22,538
Qatar (0.0%)    
* Gulf Warehousing Co. 59,039 662
Medicare Group 29,761 559
Salam International Investment Ltd. QSC 182,582 350
    1,571
Russia (0.1%)    
2 Detsky Mir PJSC 500,250 868
* DIXY Group PJSC 131,730 755
* Raspadskaya OJSC 359,920 551
* OGK-2 PJSC 45,506,850 427
TGC-1 PJSC 1,764,500,000 424
Novatek PJSC GDR 1,156 132
* M.Video PJSC 11,080 80
    3,237
Singapore (1.2%)    
Mapletree Commercial Trust 4,092,804 4,668
Mapletree Industrial Trust 2,681,000 3,816
Keppel REIT 4,304,047 3,710
Mapletree Greater China Commercial Trust 4,247,012 3,661
Mapletree Logistics Trust 3,748,882 3,494
CDL Hospitality Trusts 1,842,301 2,210
Ascott Residence Trust 2,459,665 2,157
Frasers Centrepoint Trust 1,338,710 2,131
Frasers Logistics & Industrial Trust 2,403,000 1,966
Starhill Global REIT 3,365,908 1,902
Parkway Life REIT 879,381 1,838
United Engineers Ltd. 938,945 1,819
Keppel Infrastructure Trust 4,390,500 1,787
Keppel DC REIT 1,759,908 1,775
Manulife US REIT 1,907,400 1,726
Raffles Medical Group Ltd. 2,059,484 1,707
CapitaLand Retail China Trust 1,391,660 1,694
First Resources Ltd. 1,095,729 1,584
Frasers Commercial Trust 1,505,113 1,530
Lippo Malls Indonesia Retail Trust 4,261,100 1,361
Cache Logistics Trust 2,173,004 1,307
Asian Pay Television Trust 3,067,500 1,306
OUE Hospitality Trust 2,172,666 1,283
ESR REIT 3,115,860 1,269
First REIT 1,030,800 1,047
Ascendas Hospitality Trust 1,617,600 1,038
Yoma Strategic Holdings Ltd. 2,283,019 979
Accordia Golf Trust 1,675,916 922
Far East Hospitality Trust 1,781,900 915
Frasers Hospitality Trust 1,426,400 822
OUE Ltd. 540,100 816

 

83


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  RHT Health Trust 1,265,000 780
  Soilbuild Business Space REIT 1,554,000 753
  SPH REIT 1,013,500 744
  Silverlake Axis Ltd. 1,577,829 689
^ SIIC Environment Holdings Ltd. 1,758,782 684
  Sabana Shari'ah Compliant Industrial REIT 1,943,600 656
^,* Beijing Gas Blue Sky Holdings Ltd. 9,416,000 640
^ Sheng Siong Group Ltd. 857,400 594
^,*,3 Ezion Holdings Ltd. 3,659,662 529
  Hyflux Ltd. 1,212,986 436
^,* Midas Holdings Ltd. 2,619,447 404
^ Noble Group Ltd. 1,804,400 384
  China Everbright Water Ltd. 1,037,500 369
* COSCO Shipping International Singapore Co. Ltd. 1,707,800 364
  Fortune REIT (Singapore Shares) 276,589 334
  Bumitama Agri Ltd. 478,200 277
  Indofood Agri Resources Ltd. 641,500 212
  Boustead Singapore Ltd. 313,600 207
* Ying Li International Real Estate Ltd. 1,181,800 124
^,*,3 China Fishery Group Ltd. 1,088,512 61
^,*,3 Ezra Holdings Ltd. 4,500,399 36
  Ascendas India Trust 21,900 18
  Genting Hong Kong Ltd. 44,100 11
*,3 Ezion Holdings Ltd Warrants Exp. 04/15/2020 455,755 7
*,3 China Hongxing Sports Ltd. 831,000
^,*,3 China Animal Healthcare Ltd. 1,003,918
      67,553
South Africa (0.6%)    
  Vukile Property Fund Ltd. 1,692,126 2,360
  SA Corporate Real Estate Ltd. 5,930,067 2,008
  DataTec Ltd. 443,930 1,883
* PPC Ltd. 3,238,128 1,690
  Advtech Ltd. 1,317,896 1,652
  Arrowhead Properties Ltd. 2,563,094 1,443
  Cashbuild Ltd. 53,681 1,383
  MAS Real Estate Inc. 562,017 1,229
  Astral Foods Ltd. 86,497 1,184
  Wilson Bayly Holmes-Ovcon Ltd. 106,598 1,141
  Trencor Ltd. 365,118 1,137
  Blue Label Telecoms Ltd. 849,795 1,037
  Hosken Consolidated Investments Ltd. 112,463 985
  Alexander Forbes Group Holdings Ltd. 1,812,433 934
  Murray & Roberts Holdings Ltd. 808,499 916
  Zeder Investments Ltd. 2,057,117 910
  Rebosis Property Fund Ltd. 1,148,916 870
  Emira Property Fund Ltd. 892,784 829
  Peregrine Holdings Ltd. 396,560 795
* Sun International Ltd. 214,283 763
  Mpact Ltd. 338,617 619
  Ascendis Health Ltd. 491,839 608
  City Lodge Hotels Ltd. 66,179 590
  Adcock Ingram Holdings Ltd. 141,550 588
  Metair Investments Ltd. 431,094 579
  Delta Property Fund Ltd. 941,792 492
  Hudaco Industries Ltd. 55,101 491
* Alviva Holdings Ltd. 280,749 390
  Raubex Group Ltd. 225,059 323
  Merafe Resources Ltd. 2,563,721 323
  Lewis Group Ltd. 151,502 291
* Royal Bafokeng Platinum Ltd. 119,214 275
* Consolidated Infrastructure Group Ltd. 294,125 237
  Clover Industries Ltd. 233,133 236
  DRDGOLD Ltd. 678,279 231
* ArcelorMittal South Africa Ltd. 449,770 202

 

84


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Group Five Ltd. 171,940 158
  Invicta Holdings Ltd. 30,091 117
* Aveng Ltd. 581,779 104
      32,003
South Korea (4.2%)    
^,* SillaJen Inc. 108,412 6,547
  LG Innotek Co. Ltd. 30,435 4,686
^,* ViroMed Co. Ltd. 29,945 3,963
  Medy-Tox Inc. 8,624 3,264
  CJ E&M Corp. 41,297 3,118
  Meritz Fire & Marine Insurance Co. Ltd. 118,648 2,723
  Com2uSCorp 21,783 2,596
  Kolon Industries Inc. 37,129 2,511
  Meritz Securities Co. Ltd. 627,247 2,499
^,* Hyundai Merchant Marine Co. Ltd. 363,401 2,401
^,* Komipharm International Co. Ltd. 66,755 2,391
  SK Chemicals Co. Ltd. 34,977 2,309
^ Korea Kolmar Co. Ltd. 29,757 2,201
  Green Cross Corp. 11,414 2,150
^,* Kumho Tire Co. Inc. 344,903 2,019
  Green Cross Holdings Corp. 58,878 1,990
  Seoul Semiconductor Co. Ltd. 80,757 1,982
* WONIK IPS Co. Ltd. 60,909 1,978
  Youngone Corp. 64,292 1,976
  Korean Reinsurance Co. 193,330 1,933
^,* Pan Ocean Co. Ltd. 404,018 1,898
^,* Hyundai Rotem Co. Ltd. 103,634 1,815
^ Cosmax Inc. 14,504 1,801
* Hugel Inc. 4,694 1,801
  Koh Young Technology Inc. 25,820 1,771
  Poongsan Corp. 40,338 1,769
^ SK Materials Co. Ltd. 10,471 1,755
  LS Industrial Systems Co. Ltd. 32,658 1,749
  LOTTE Himart Co. Ltd. 26,223 1,736
^ CJ CGV Co. Ltd. 27,529 1,712
^ Hana Tour Service Inc. 19,043 1,697
  Doosan Bobcat Inc. 51,561 1,667
  Innocean Worldwide Inc. 23,696 1,625
^,* HLB Inc. 69,932 1,558
  Hyundai Greenfood Co. Ltd. 108,639 1,551
  KIWOOM Securities Co. Ltd. 24,218 1,551
^ LIG Nex1 Co. Ltd. 23,796 1,527
^,* Yungjin Pharmaceutical Co. Ltd. 188,133 1,494
  SFA Engineering Corp. 40,431 1,472
^ Eo Technics Co. Ltd. 17,570 1,429
^ Fila Korea Ltd. 23,472 1,418
* Osstem Implant Co. Ltd. 22,022 1,415
* Medipost Co. Ltd. 15,990 1,395
  Hyundai Home Shopping Network Corp. 12,737 1,388
^ Kolon Life Science Inc. 10,107 1,385
  Korea Petrochemical Ind Co. Ltd. 6,040 1,350
  LG International Corp. 50,317 1,306
  Chong Kun Dang Pharmaceutical Corp. 12,907 1,297
^,* Hanjin Kal Corp. 66,519 1,286
  Dongkuk Steel Mill Co. Ltd. 129,688 1,258
  GS Home Shopping Inc. 6,692 1,257
  Loen Entertainment Inc. 13,149 1,250
^,* Interflex Co. Ltd. 21,311 1,219
  Taekwang Industrial Co. Ltd. 1,187 1,209
  JB Financial Group Co. Ltd. 221,705 1,165
^ Dongjin Semichem Co. Ltd. 62,883 1,158
  Hansol Chemical Co. Ltd. 17,488 1,154
  Hanwha General Insurance Co. Ltd. 156,622 1,141
  Douzone Bizon Co. Ltd. 39,448 1,127

 

85


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ POSCO Chemtech Co. Ltd. 44,983 1,127
^,* Celltrion Pharm Inc. 37,218 1,113
  CJ O Shopping Co. Ltd. 6,254 1,104
  Young Poong Corp. 1,087 1,082
  Iljin Materials Co. Ltd. 36,804 1,062
  Soulbrain Co. Ltd. 17,096 1,052
  Toptec Co. Ltd. 41,450 1,043
* SM Entertainment Co. 34,987 1,040
  Daishin Securities Co. Ltd. 85,981 1,037
  Hyundai Elevator Co. Ltd. 20,704 1,013
  Samyang Holdings Corp. 12,535 1,012
^ Korea Real Estate Investment & Trust Co. Ltd. 341,078 1,011
  Halla Holdings Corp. 16,385 991
  Korea Electric Terminal Co. Ltd. 15,647 979
^ JW Pharmaceutical Corp. 26,172 974
  Grand Korea Leisure Co. Ltd. 38,842 971
  Meritz Financial Group Inc. 66,447 968
  TES Co. Ltd. 31,228 966
  Bukwang Pharmaceutical Co. Ltd. 48,690 963
* Dongbu HiTek Co. Ltd. 74,314 951
  Huchems Fine Chemical Corp. 45,187 951
  Hanil Cement Co. Ltd. 7,903 946
  Daewoong Pharmaceutical Co. Ltd. 9,253 939
* Jusung Engineering Co. Ltd. 75,262 923
^,* Genexine Co. Ltd. 24,086 921
  Hankook Tire Worldwide Co. Ltd. 51,311 921
  LF Corp. 39,935 920
3 KC Tech Co. Ltd. 17,114 920
^ IS Dongseo Co. Ltd. 29,735 918
^ Kolon Corp. 13,252 911
  Daesang Corp. 42,335 900
^,* Webzen Inc. 35,938 899
  LEENO Industrial Inc. 19,108 874
^,* Foosung Co. Ltd. 109,250 872
  Nexen Tire Corp. 75,996 872
^,* Chabiotech Co. Ltd. 73,666 862
^ Hansae Co. Ltd. 36,911 859
  Daou Technology Inc. 52,357 859
* Hanall Biopharma Co. Ltd. 81,063 848
  Modetour Network Inc. 32,157 845
  Ilyang Pharmaceutical Co. Ltd. 26,925 837
^,* Jenax Inc. 33,442 837
* Asiana Airlines Inc. 200,559 829
  DoubleUGames Co. Ltd. 18,080 829
* Advanced Process Systems Corp. 23,938 824
  Handsome Co. Ltd. 29,929 802
* Seegene Inc. 31,430 798
^,* Homecast Co. Ltd. 64,245 775
  Ssangyong Cement Industrial Co. Ltd. 52,687 762
^ Dong-A ST Co. Ltd. 9,475 757
  Dong-A Socio Holdings Co. Ltd. 6,878 750
^,* Korea Line Corp. 25,528 747
  Mirae Asset Life Insurance Co. Ltd. 141,662 741
  Silicon Works Co. Ltd. 18,416 739
  Dongwon Industries Co. Ltd. 2,895 738
^ Posco ICT Co. Ltd. 115,821 728
^,* DIO Corp. 23,730 719
  Tongyang Inc. 410,242 714
^,* CrystalGenomics Inc. 52,038 707
^ Partron Co. Ltd. 90,092 703
^,* iNtRON Biotechnology Inc. 24,462 699
* Amicogen Inc. 17,519 698
  Lotte Food Co. Ltd. 1,305 698
^,* Jeil Pharmaceutical Co. Ltd. 12,328 696

 

86


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Songwon Industrial Co. Ltd. 36,189 695
  AK Holdings Inc. 11,546 694
^ Lock&Lock Co. Ltd. 35,456 686
* Korea Asset In Trust Co. Ltd. 90,580 683
  Youngone Holdings Co. Ltd. 13,600 680
  Sebang Global Battery Co. Ltd. 22,159 670
^ Maeil Holdings Co. Ltd. 38,960 669
  S&T Motiv Co. Ltd. 16,293 664
^,* Peptron Inc. 15,169 664
  Samyang Corp. 7,598 658
  Seah Besteel Corp. 22,999 653
  Hanjin Transportation Co. Ltd. 25,345 650
  SPC Samlip Co. Ltd. 5,272 647
^ Daewoong Co. Ltd. 46,517 647
^,* ATGen Co. Ltd. 19,277 642
  Daeduck Electronics Co. 70,033 642
  InBody Co. Ltd. 24,633 640
^,* GemVax & Kael Co. Ltd. 58,298 634
^,* Naturalendo Tech Co. Ltd. 29,095 633
  SK Gas Ltd. 7,552 631
  Hansol Holdings Co. Ltd. 114,003 630
* Taeyoung Engineering & Construction Co. Ltd. 81,643 626
  Shinyoung Securities Co. Ltd. 11,502 610
  SL Corp. 29,755 610
^ YG Entertainment Inc. 22,278 595
  Binggrae Co. Ltd. 10,969 595
^ Caregen Co. Ltd. 9,053 593
  Youlchon Chemical Co. Ltd. 39,651 589
^,* Gamevil Inc. 10,409 589
^,* Taihan Electric Wire Co. Ltd. 515,505 585
  KISWIRE Ltd. 18,589 584
^,* SK Securities Co. Ltd. 525,059 584
  DongKook Pharmaceutical Co. Ltd. 10,489 581
  WeMade Entertainment Co. Ltd. 17,652 577
  Tongyang Life Insurance Co. Ltd. 72,418 572
  Hansol Paper Co. Ltd. 38,248 562
  Namyang Dairy Products Co. Ltd. 958 562
  NICE Information Service Co. Ltd. 72,945 557
* Hanwha Investment & Securities Co. Ltd. 212,634 550
^,* CMG Pharmaceutical Co. Ltd. 178,916 549
* Hansol Technics Co. Ltd. 34,663 547
  NICE Holdings Co. Ltd. 38,159 541
  Korea Kolmar Holdings Co. Ltd. 13,390 539
^ Ahnlab Inc. 12,042 538
  Vieworks Co. Ltd. 15,684 534
* Wonik Holdings Co. Ltd. 78,709 532
  Kwang Dong Pharmaceutical Co. Ltd. 73,441 531
^ Daeduck GDS Co. Ltd. 33,708 530
^ JW Holdings Corp. 73,661 529
^ ST Pharm Co. Ltd. 17,737 523
* Yuanta Securities Korea Co. Ltd. 172,582 521
^,* Aprogen pharmaceuticals Inc. 157,965 520
  Kwangju Bank Co. Ltd. 49,054 517
  Green Cross Cell Corp. 12,676 509
  E1 Corp. 9,865 507
  Muhak Co. Ltd. 31,037 504
  Hyundai Corp. 25,305 499
^ Dae Hwa Pharmaceutical Co. Ltd. 24,082 499
^ Kumho Industrial Co. Ltd. 57,703 498
* Huons Co. Ltd. 8,298 497
^ Cuckoo Electronics Co. Ltd. 3,575 481
* Duk San Neolux Co. Ltd. 24,411 479
^,* Leaders Cosmetics Co. Ltd. 28,293 472
  Hyundai Livart Furniture Co. Ltd. 21,897 467

 

87


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Able C&C Co. Ltd. 25,771 466
^,* Hanjin Heavy Industries & Construction Co. Ltd. 134,733 460
  SeAH Steel Corp. 5,570 457
^ NS Shopping Co. Ltd. 33,932 456
^,* COSON Co. Ltd. 36,262 454
  Sungwoo Hitech Co. Ltd. 75,229 451
^,* Emerson Pacific Inc. 18,397 451
  Hankook Shell Oil Co. Ltd. 1,269 449
^ Seobu T&D 33,835 449
*,2 CEMEX Holdings Philippines Inc. 5,055,000 448
^,* CUROCOM Co. Ltd. 180,800 447
  i-SENS Inc. 21,141 446
  Hancom Inc. 31,322 444
  Sindoh Co. Ltd. 7,749 436
  Daekyo Co. Ltd. 59,445 436
  Dongwon F&B Co. Ltd. 2,393 435
^,* Binex Co. Ltd. 54,158 422
^ Dawonsys Co. Ltd. 40,777 417
* Pharmicell Co. Ltd. 110,932 416
^ KEPCO Engineering & Construction Co. Inc. 25,980 415
^,* NUTRIBIOTECH Co. Ltd. 21,281 415
^ It's Hanbul Co. Ltd. 10,416 414
^ Huons Global Co. Ltd. 10,926 414
  Cell Biotech Co. Ltd. 12,069 400
^ Chongkundang Holdings Corp. 6,392 393
* Ssangyong Motor Co. 83,103 390
^ iMarketKorea Inc. 45,275 387
  CJ Hellovision Co. Ltd. 59,280 387
^ ICD Co. Ltd. 27,784 374
^,* Insun ENT Co. Ltd. 61,478 373
^ Humedix Co. Ltd. 11,953 372
  Namhae Chemical Corp. 45,379 368
* Eugene Investment & Securities Co. Ltd. 137,555 365
* SFA Semicon Co. Ltd. 162,679 365
  Samchully Co. Ltd. 3,935 360
  KT Skylife Co. Ltd. 29,001 360
^,* G-SMATT GLOBAL Co. Ltd. 31,429 359
^ CJ Freshway Corp. 10,233 359
^,* Taewoong Co. Ltd. 22,285 356
^ Sung Kwang Bend Co. Ltd. 39,880 354
  KISCO Corp. 10,317 349
^ Coreana Cosmetics Co. Ltd. 56,843 347
  Lutronic Corp. 34,388 346
* KTB Investment & Securities Co. Ltd. 111,434 344
^ Cosmax BTI Inc 10,254 339
  Dae Han Flour Mills Co. Ltd. 2,229 337
^,* Agabang&Company 62,024 331
  Sam Young Electronics Co. Ltd. 26,990 328
  Interpark Holdings Corp. 84,781 317
  Kyobo Securities Co. Ltd. 38,400 312
* Lumens Co. Ltd. 96,721 312
^,* Samsung Pharmaceutical Co. Ltd. 98,224 307
^ CROWNHAITAI Holdings Co. Ltd. 19,178 306
^,* CrucialTec Co. Ltd. 113,625 288
  TK Corp. 31,706 285
* NEPES Corp. 34,250 276
* S&T Dynamics Co. Ltd. 36,678 274
  Seoyon E-Hwa Co. Ltd. 25,219 270
^,* KONA I Co. Ltd. 28,526 270
  SBS Media Holdings Co. Ltd. 98,611 267
* Dongbu Securities Co. Ltd. 85,045 265
^ KH Vatec Co. Ltd. 24,997 253
  INTOPS Co. Ltd. 27,000 253
  Byucksan Corp. 82,989 252

 

88


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Kolao Holdings 56,393 252
  DY Corp. 36,474 249
  Eusu Holdings Co. Ltd. 42,258 244
^,* Duksan Hi-Metal Co. Ltd. 30,794 242
* Doosan Engine Co. Ltd. 61,353 231
  GOLFZON Co. Ltd. 5,545 229
* GNCO Co. Ltd. 137,264 226
* Neowiz 21,601 226
* Woongjin Thinkbig Co. Ltd. 36,242 224
^,* Cellumed Co. Ltd. 33,370 216
  Daishin Securities Co. Ltd. Preference Shares 24,050 202
  Hyundai Corp. Holdings Inc. 15,511 202
* Maeil Dairies Co. Ltd. 3,213 201
  Humax Co. Ltd. 22,327 188
  Lotte Corp. 2,821 188
^,* APS Holdings Corp. 18,564 165
  Seoyon Co. Ltd. 18,192 130
^,* 3S Korea Co. Ltd. 70,925 121
  MegaStudy Co. Ltd. 4,013 112
^ Jeil Pharma Holdings Inc. 2,930 105
* Crown Confectionery Co. Ltd. 4,343 66
* Able C&C Co. Ltd. Rights Exp. 11/09/2017 10,080 62
  Humax Holdings Co. Ltd. 10,095 42
  Hitejinro Holdings Co. Ltd. 1,941 19
  LG Chem Ltd. 44 16
* Ssangyong Information & Communication 8,135 11
*,3 Tera Resource Co. Ltd. 42,004 2
*,3 CNK International Co. Ltd. 35,374
*,3 SSCP Co. Ltd. 20,873
*,3 Shenglong PV-Tech Investment Co. Ltd. 44,660
*,3 KC Tech Co. Ltd. 25,051
*,3 Daewoo Songdo Development Co. Ltd. 11,746
      234,354
Spain (1.4%)    
  Bolsas y Mercados Espanoles SHMSF SA 164,496 5,650
  Inmobiliaria Colonial Socimi SA 536,095 5,104
  Viscofan SA 83,673 5,065
  Prosegur Cia de Seguridad SA 579,764 4,425
  Applus Services SA 289,035 4,042
* Indra Sistemas SA 267,153 3,839
  Melia Hotels International SA 249,205 3,409
  Hispania Activos Inmobiliarios SOCIMI SA 190,024 3,279
  Ebro Foods SA 133,458 3,210
  CIE Automotive SA 105,713 3,142
*,2 Neinor Homes SA 138,931 2,860
  NH Hotel Group SA 449,590 2,843
*,2 Prosegur Cash SA 813,755 2,653
  Axiare Patrimonio SOCIMI SA 135,928 2,549
  Cia de Distribucion Integral Logista Holdings SA 106,075 2,485
^ Tecnicas Reunidas SA 67,068 2,159
  Faes Farma SA 614,146 2,081
* Fomento de Construcciones y Contratas SA 176,928 1,876
2 Euskaltel SA 220,286 1,764
* Sacyr SA 682,644 1,754
  Atresmedia Corp. de Medios de Comunicacion SA 168,702 1,734
* Obrascon Huarte Lain SA 308,389 1,729
  Construcciones y Auxiliar de Ferrocarriles SA 39,694 1,635
  Ence Energia y Celulosa SA 272,871 1,583
* Pharma Mar SA 353,262 1,349
  Almirall SA 133,983 1,297
  Papeles y Cartones de Europa SA 106,491 1,106
* Codere SA 2,322,679 1,027
* Liberbank SA 592,371 274
* Liberbank SA Rights Exp. 11/10/2017 592,371 213

 

89


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
2 Cellnex Telecom SA 1,986 49
* Papeles y Cartones de Europa SA Rights 106,491 44
  Grupo Catalana Occidente SA 1,014 43
^,*,3 Let's GOWEX SA 31,105
      76,272
Sweden (3.7%)    
  Castellum AB 585,308 9,392
^ Nibe Industrier AB Class B 810,002 8,100
  Elekta AB Class B 784,770 7,546
  BillerudKorsnas AB 382,111 6,577
  Loomis AB Class B 157,531 6,320
  Fabege AB 282,142 5,958
  Com Hem Holding AB 390,193 5,858
^ Intrum Justitia AB 161,257 5,651
2 Dometic Group AB 648,746 5,641
  Indutrade AB 199,367 5,529
  Hexpol AB 537,032 5,432
  Holmen AB 109,476 5,381
* Swedish Orphan Biovitrum AB 348,770 5,168
2 Thule Group AB 225,958 5,054
  AAK AB 60,686 4,904
* SSAB AB Class B 1,213,508 4,892
*,2 Ahlsell AB 711,263 4,708
  Modern Times Group MTG AB Class B 118,839 4,533
^ NCC AB Class B 199,643 4,307
  Peab AB 430,241 4,175
  Axfood AB 228,092 4,124
  JM AB 150,853 3,980
  Hemfosa Fastigheter AB 324,351 3,941
  Hufvudstaden AB Class A 235,269 3,871
  Wallenstam AB 406,620 3,798
  Lifco AB Class B 98,869 3,544
  Wihlborgs Fastigheter AB 144,193 3,423
* NetEnt AB 416,997 3,305
  Sweco AB Class B 145,943 3,121
2 Bravida Holding AB 440,015 3,004
  AF AB 145,132 2,990
  Kungsleden AB 402,692 2,874
2 Attendo AB 231,409 2,721
  Pandox AB 148,957 2,715
  Bonava AB Class B 181,424 2,642
* SSAB AB Class A 497,133 2,441
  Vitrolife AB 28,756 2,295
  Ratos AB 456,497 2,191
* Betsson AB 273,096 2,143
  Nobia AB 255,234 2,094
2 Scandic Hotels Group AB 159,420 2,056
  Avanza Bank Holding AB 53,716 2,025
^ Mycronic AB 161,000 1,912
  Oriflame Holding AG 51,459 1,854
* Bilia AB 196,925 1,764
  Concentric AB 101,364 1,702
  Atrium Ljungberg AB 98,860 1,640
  Klovern AB 1,211,191 1,631
  Cloetta AB Class B 474,896 1,606
  Clas Ohlson AB 89,073 1,540
  Bure Equity AB 112,803 1,394
^,* Fingerprint Cards AB Class B 562,332 1,390
^,* SAS AB 442,861 1,370
2 Resurs Holding AB 197,000 1,364
  Investment AB Oresund 85,674 1,356
  Klovern AB Preference Shares 35,710 1,325
  Mekonomen AB 60,691 1,225
  Lindab International AB 146,504 1,208

 

90


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  SkiStar AB 45,283 990
* Haldex AB 79,376 882
* Collector AB 81,109 856
  SAS AB Preference Shares 11,512 747
  Hemfosa Fastigheter AB Preference Shares 25,026 538
  Rezidor Hotel Group AB 112,427 403
  NCC AB Class A 15,331 331
  Bonava AB 9,389 135
  Sagax AB 36,736 133
  Saab AB Class B 468 24
      209,744
Switzerland (3.0%)    
  Georg Fischer AG 8,932 11,005
^ BB Biotech AG 119,401 7,632
2 VAT Group AG 52,864 6,882
  OC Oerlikon Corp. AG 422,200 6,773
  dormakaba Holding AG 6,650 6,582
2 Sunrise Communications Group AG 72,625 6,042
  Cembra Money Bank AG 60,998 5,464
  Bucher Industries AG 13,924 5,448
  GAM Holding AG 345,658 5,388
  Tecan Group AG 25,403 5,373
  Allreal Holding AG 30,315 5,067
  Belimo Holding AG 1,075 4,612
  SFS Group AG 36,498 4,326
^ Panalpina Welttransport Holding AG 28,248 3,882
  Forbo Holding AG 2,463 3,724
  Valiant Holding AG 32,891 3,386
  Mobimo Holding AG 13,068 3,302
  Vontobel Holding AG 48,078 2,992
  u-blox Holding AG 14,767 2,899
  Emmi AG 4,543 2,836
  Daetwyler Holding AG 16,272 2,729
  Siegfried Holding AG 8,359 2,615
  Inficon Holding AG 4,144 2,574
  Schweiter Technologies AG 2,034 2,495
  Conzzeta AG 2,403 2,361
^,* Meyer Burger Technology AG 1,247,564 2,326
^ COSMO Pharmaceuticals NV 15,645 2,266
  Komax Holding AG 7,750 2,218
^,* Basilea Pharmaceutica AG 26,853 2,184
^ Burckhardt Compression Holding AG 7,107 2,117
  Implenia AG 33,041 2,087
  Ascom Holding AG 90,352 2,068
  VZ Holding AG 5,983 2,067
  Valora Holding AG 6,443 2,065
  Bobst Group SA 18,464 1,974
  Interroll Holding AG 1,372 1,961
  St. Galler Kantonalbank AG 4,176 1,886
  Autoneum Holding AG 6,832 1,846
* Arbonia AG 103,060 1,803
  Huber & Suhner AG 32,659 1,768
  Rieter Holding AG 7,452 1,743
  Bachem Holding AG 12,104 1,529
  EFG International AG 160,521 1,469
  LEM Holding SA 1,006 1,316
  BKW AG 21,825 1,276
  Bossard Holding AG 5,317 1,257
  Intershop Holding AG 2,532 1,244
^ Ypsomed Holding AG 6,715 1,169
^,* Leonteq AG 17,313 1,087
  Bell Food Group AG 2,413 1,042
^ Kudelski SA 76,824 943
  Vetropack Holding AG 433 824

 

91


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Schmolz & Bickenbach AG 886,336 818
  ALSO Holding AG 6,023 815
  APG SGA SA 1,987 805
  Zehnder Group AG 17,624 647
  Swissquote Group Holding SA 17,292 601
  Plazza AG 2,102 488
^,* Alpiq Holding AG 6,845 439
  ams AG 829 76
  Logitech International SA 932 33
*,3 Petroplus Holdings AG 36,495
      166,646
Taiwan (6.7%)    
* Macronix International 3,825,000 6,995
  Win Semiconductors Corp. 836,969 6,857
  Chailease Holding Co. Ltd. 2,277,214 5,874
  Yageo Corp. 712,118 5,657
  Globalwafers Co. Ltd. 465,000 5,394
  Winbond Electronics Corp. 5,802,000 5,031
  Hiwin Technologies Corp. 499,110 5,009
  Powertech Technology Inc. 1,540,662 4,825
  Airtac International Group 287,528 4,661
  WPG Holdings Ltd. 3,355,889 4,597
  Phison Electronics Corp. 351,962 4,190
  General Interface Solution Holding Ltd. 441,000 4,049
  Chroma ATE Inc. 822,040 4,009
  Tripod Technology Corp. 1,071,327 3,945
  Micro-Star International Co. Ltd. 1,483,000 3,624
  Accton Technology Corp. 1,123,467 3,623
  Sino-American Silicon Products Inc. 1,151,945 3,217
  Nien Made Enterprise Co. Ltd. 304,000 3,164
* TaiMed Biologics Inc. 420,000 3,044
  Merry Electronics Co. Ltd. 395,910 3,029
  Compeq Manufacturing Co. Ltd. 2,412,471 2,839
* Ruentex Development Co. Ltd. 2,703,770 2,777
  Walsin Technology Corp. 1,068,249 2,759
  E Ink Holdings Inc. 1,943,708 2,715
  Silergy Corp. 123,000 2,657
  Highwealth Construction Corp. 1,934,341 2,588
  Chipbond Technology Corp. 1,323,852 2,584
  Merida Industry Co. Ltd. 539,055 2,513
  St. Shine Optical Co. Ltd. 102,419 2,505
  Ruentex Industries Ltd. 1,551,160 2,485
  Long Chen Paper Co. Ltd. 1,685,350 2,483
  Elite Material Co. Ltd. 616,519 2,455
  Zhen Ding Technology Holding Ltd. 977,400 2,453
  Standard Foods Corp. 987,708 2,447
  FLEXium Interconnect Inc. 629,140 2,412
  King Yuan Electronics Co. Ltd. 2,267,963 2,405
  Parade Technologies Ltd. 145,000 2,364
  CTCI Corp. 1,524,667 2,364
  Bizlink Holding Inc. 229,716 2,304
  King's Town Bank Co. Ltd. 2,061,193 2,253
  Taiwan Paiho Ltd. 535,183 2,211
  Simplo Technology Co. Ltd. 383,631 2,208
* Tatung Co. Ltd. 4,770,320 2,202
* China Petrochemical Development Corp. 4,920,077 2,196
  Tong Yang Industry Co. Ltd. 1,042,919 2,177
  Radiant Opto-Electronics Corp. 971,147 2,160
  Qisda Corp. 2,927,000 2,138
  Hota Industrial Manufacturing Co. Ltd. 454,323 2,123
  LCY Chemical Corp. 1,509,255 2,063
  HannStar Display Corp. 5,283,810 2,052
  Poya International Co. Ltd. 159,535 2,046
  Kenda Rubber Industrial Co. Ltd. 1,508,016 2,001

 

92


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Land Mark Optoelectronics Corp. 150,600 1,922
Asia Optical Co. Inc. 464,000 1,896
eMemory Technology Inc. 154,000 1,888
Voltronic Power Technology Corp. 99,356 1,872
* Genius Electronic Optical Co. Ltd. 162,732 1,834
King Slide Works Co. Ltd. 135,675 1,815
Makalot Industrial Co. Ltd. 389,880 1,805
Primax Electronics Ltd. 688,000 1,786
TSRC Corp. 1,555,046 1,783
Waterland Financial Holdings Co. Ltd. 5,614,369 1,704
ASPEED Technology Inc. 73,000 1,690
Gourmet Master Co. Ltd. 147,230 1,690
* PharmaEssentia Corp. 356,000 1,683
Mitac Holdings Corp. 1,331,311 1,656
Gigabyte Technology Co. Ltd. 1,057,271 1,639
China Synthetic Rubber Corp. 1,148,329 1,600
Wistron NeWeb Corp. 556,053 1,597
Global Unichip Corp. 159,649 1,592
Lien Hwa Industrial Corp. 1,499,335 1,591
Yungtay Engineering Co. Ltd. 796,993 1,585
Chin-Poon Industrial Co. Ltd. 759,072 1,584
Taichung Commercial Bank Co. Ltd. 4,817,688 1,543
* Asia Pacific Telecom Co. Ltd. 4,607,000 1,525
WT Microelectronics Co. Ltd. 939,624 1,486
Grand Pacific Petrochemical 1,932,928 1,465
Tung Ho Steel Enterprise Corp. 1,815,150 1,460
Kinsus Interconnect Technology Corp. 563,282 1,421
Clevo Co. 1,372,944 1,413
Great Wall Enterprise Co. Ltd. 1,229,190 1,398
Cub Elecparts Inc. 141,569 1,398
Nan Kang Rubber Tire Co. Ltd. 1,543,107 1,397
ITEQ Corp. 663,261 1,389
Sercomm Corp. 485,000 1,388
Ennoconn Corp. 96,644 1,377
TTY Biopharm Co. Ltd. 442,987 1,368
China Steel Chemical Corp. 339,853 1,358
Tong Hsing Electronic Industries Ltd. 314,056 1,344
Elan Microelectronics Corp. 868,350 1,334
Everlight Electronics Co. Ltd. 860,725 1,315
Chunghwa Precision Test Tech Co. Ltd. 36,000 1,309
A-DATA Technology Co. Ltd. 448,915 1,308
Grape King Bio Ltd. 224,000 1,290
Sinbon Electronics Co. Ltd. 433,066 1,240
Taiwan Union Technology Corp. 482,000 1,238
Cheng Loong Corp. 2,068,920 1,211
Greatek Electronics Inc. 646,000 1,194
Taiwan Semiconductor Co. Ltd. 482,000 1,192
Advanced Ceramic X Corp. 108,000 1,186
Far Eastern Department Stores Ltd. 2,336,043 1,151
Tainan Spinning Co. Ltd. 2,544,674 1,144
Taiwan Hon Chuan Enterprise Co. Ltd. 629,401 1,138
* Wafer Works Corp. 906,710 1,134
* Chilisin Electronics Corp. 331,000 1,131
Coretronic Corp. 935,000 1,120
Huaku Development Co. Ltd. 497,499 1,117
Charoen Pokphand Enterprise 528,000 1,116
TA Chen Stainless Pipe 1,758,602 1,114
TCI Co. Ltd. 162,536 1,106
Lung Yen Life Service Corp. 454,000 1,104
* YFY Inc. 2,814,000 1,101
PChome Online Inc. 188,082 1,089
Sanyang Motor Co. Ltd. 1,503,037 1,087
China Bills Finance Corp. 2,148,800 1,079
Elite Advanced Laser Corp. 263,552 1,072

 

93


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Foxsemicon Integrated Technology Inc. 150,000 1,068
Getac Technology Corp. 756,000 1,056
Shinkong Synthetic Fibers Corp. 3,260,416 1,051
Pixart Imaging Inc. 233,920 1,037
Darwin Precisions Corp. 940,000 1,018
Taiwan Acceptance Corp. 284,000 1,017
* Egis Technology Inc. 135,000 1,013
Cleanaway Co. Ltd. 175,000 1,007
PharmaEngine Inc. 179,101 1,007
Kinpo Electronics 2,917,196 1,006
Chong Hong Construction Co. Ltd. 405,493 991
Hu Lane Associate Inc. 173,000 987
* Mercuries Life Insurance Co. Ltd. 1,866,010 984
Pharmally International Holding Co. Ltd. 63,000 975
UPC Technology Corp. 1,751,172 973
Yieh Phui Enterprise Co. Ltd. 2,539,036 969
* Gintech Energy Corp. 1,901,571 966
Ardentec Corp. 1,009,851 957
Sunny Friend Environmental Technology Co. Ltd. 145,000 919
USI Corp. 1,850,828 915
Tung Thih Electronic Co. Ltd. 138,000 896
* President Securities Corp. 1,879,005 894
Elite Semiconductor Memory Technology Inc. 536,000 885
Prince Housing & Development Corp. 2,399,183 883
AmTRAN Technology Co. Ltd. 1,675,692 859
Casetek Holdings Ltd. 229,000 859
Visual Photonics Epitaxy Co. Ltd. 384,455 855
Lotes Co. Ltd. 137,000 846
Taiwan Surface Mounting Technology Corp. 888,530 845
* Goldsun Building Materials Co. Ltd. 2,762,591 827
Hung Sheng Construction Ltd. 1,044,100 825
Career Technology MFG. Co. Ltd. 704,126 821
TXC Corp. 612,877 820
Shin Zu Shing Co. Ltd. 293,000 812
Namchow Holdings Co. Ltd. 402,000 812
Topco Scientific Co. Ltd. 320,383 808
Pan Jit International Inc. 791,000 793
Wisdom Marine Lines Co. Ltd. 881,098 789
Flytech Technology Co. Ltd. 277,845 782
China General Plastics Corp. 833,898 782
* China Man-Made Fiber Corp. 2,678,016 780
Holtek Semiconductor Inc. 336,279 779
Taiwan Styrene Monomer 1,146,579 776
Mercuries & Associates Holding Ltd. 954,169 772
Adlink Technology Inc. 338,254 772
Taiwan TEA Corp. 1,444,293 769
YC INOX Co. Ltd. 899,174 768
* Lealea Enterprise Co. Ltd. 2,043,849 766
Pan-International Industrial Corp. 894,595 760
United Integrated Services Co. Ltd. 424,000 760
Supreme Electronics Co. Ltd. 702,000 756
Formosa International Hotels Corp. 147,841 743
YungShin Global Holding Corp. 558,647 743
Depo Auto Parts Ind Co. Ltd. 276,313 739
Wah Lee Industrial Corp. 419,883 737
Farglory Land Development Co. Ltd. 667,854 730
Firich Enterprises Co. Ltd. 451,771 728
Faraday Technology Corp. 473,000 727
ScinoPharm Taiwan Ltd. 654,891 723
* Center Laboratories Inc. 449,663 718
* Radium Life Tech Co. Ltd. 1,590,265 712
Syncmold Enterprise Corp. 306,000 710
momo.com Inc. 95,000 703
Ginko International Co. Ltd. 99,200 696

 

94


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Kung Long Batteries Industrial Co. Ltd. 142,000 688
Wowprime Corp. 136,761 687
Test Rite International Co. Ltd. 884,725 672
* Motech Industries Inc. 858,059 670
Sinyi Realty Inc. 576,700 670
Taiwan Cogeneration Corp. 855,903 670
Xxentria Technology Materials Corp. 312,776 664
Sporton International Inc. 130,033 660
BES Engineering Corp. 2,836,468 650
Kinik Co. 249,000 650
Taiwan PCB Techvest Co. Ltd. 588,102 643
Sigurd Microelectronics Corp. 737,000 641
* Yang Ming Marine Transport Corp. 1,556,016 638
Universal Cement Corp. 819,994 635
Systex Corp. 319,000 626
AcBel Polytech Inc. 820,000 624
Nan Liu Enterprise Co. Ltd. 118,000 620
IEI Integration Corp. 436,623 608
FocalTech Systems Co. Ltd. 563,398 607
* Wei Chuan Foods Corp. 904,835 606
Run Long Construction Co. Ltd. 491,000 602
* Ritek Corp. 3,614,678 601
* Ho Tung Chemical Corp. 1,973,362 596
Sitronix Technology Corp. 210,282 596
* Gintech Energy Corp. 948,398 595
Lite-On Semiconductor Corp. 466,977 588
Test Research Inc. 417,371 581
Advanced Wireless Semiconductor Co. 290,000 581
Asia Vital Components Co. Ltd. 612,337 581
Rechi Precision Co. Ltd. 564,668 581
OptoTech Corp. 837,772 579
Aten International Co. Ltd. 223,260 572
Hsin Kuang Steel Co. Ltd. 572,569 571
Sunplus Technology Co. Ltd. 940,000 567
* Microbio Co. Ltd. 809,562 561
Masterlink Securities Corp. 2,002,023 560
Basso Industry Corp. 202,000 558
Posiflex Technology Inc. 125,822 557
International Games System Co. Ltd. 105,213 555
Gloria Material Technology Corp. 839,023 554
Taiflex Scientific Co. Ltd. 339,594 545
* CMC Magnetics Corp. 3,663,369 543
Holy Stone Enterprise Co. Ltd. 286,769 534
Everlight Chemical Industrial Corp. 851,649 534
* Taiwan Land Development Corp. 1,592,969 533
China Metal Products 578,515 532
Chaun-Choung Technology Corp. 159,000 530
* Unitech Printed Circuit Board Corp. 1,091,738 516
Dynapack International Technology Corp. 301,299 512
* Lextar Electronics Corp. 842,000 510
Chung-Hsin Electric & Machinery Manufacturing Corp. 724,625 506
Iron Force Industrial Co. Ltd. 117,000 505
Nan Ya Printed Circuit Board Corp. 553,000 501
* Etron Technology Inc. 899,947 501
D-Link Corp. 1,328,407 498
Evergreen International Storage & Transport Corp. 1,071,502 498
Toung Loong Textile Manufacturing 188,000 493
Brogent Technologies Inc. 56,606 490
Sampo Corp. 1,036,311 478
Kindom Construction Corp. 740,000 473
* Orient Semiconductor Electronics Ltd. 1,546,000 472
Asia Polymer Corp. 751,261 467
Yeong Guan Energy Technology Group Co. Ltd. 200,000 462
Soft-World International Corp. 207,520 460

 

95


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Li Peng Enterprise Co. Ltd. 1,602,915 459
Federal Corp. 973,505 457
L&K Engineering Co. Ltd. 360,000 451
Alpha Networks Inc. 578,827 450
Senao International Co. Ltd. 262,000 450
Gemtek Technology Corp. 556,115 450
Altek Corp. 464,250 449
Weltrend Semiconductor 438,200 449
CyberTAN Technology Inc. 733,571 449
Gigasolar Materials Corp. 49,600 449
Li Cheng Enterprise Co. Ltd. 242,345 444
* Gigastorage Corp. 694,800 444
TYC Brother Industrial Co. Ltd. 386,710 443
Sincere Navigation Corp. 610,000 440
* Taigen Biopharmaceuticals Holdings Ltd. 632,723 433
Yung Chi Paint & Varnish Manufacturing Co. Ltd. 164,000 433
Rich Development Co. Ltd. 1,390,000 429
* Shining Building Business Co. Ltd. 1,229,536 426
Darfon Electronics Corp. 484,000 426
* Elitegroup Computer Systems Co. Ltd. 541,647 424
Quanta Storage Inc. 326,000 423
Jentech Precision Industrial Co. Ltd. 164,698 422
Zeng Hsing Industrial Co. Ltd. 101,000 422
* Green Energy Technology Inc. 647,746 416
Lingsen Precision Industries Ltd. 760,000 406
Long Bon International Co. Ltd. 851,000 396
Sonix Technology Co. Ltd. 320,000 393
Swancor Holding Co. Ltd. 156,000 391
Huang Hsiang Construction Corp. 369,051 382
China Chemical & Pharmaceutical Co. Ltd. 634,000 376
* HannsTouch Solution Inc. 1,059,731 371
Global Mixed Mode Technology Inc. 160,199 369
Chlitina Holding Ltd. 101,750 368
Johnson Health Tech Co. Ltd. 333,283 365
Ability Enterprise Co. Ltd. 518,099 361
* Ta Ya Electric Wire & Cable 1,162,440 358
3 MIN AIK Technology Co. Ltd. 326,389 354
* Concord Securities Co. Ltd. 1,265,324 353
ITE Technology Inc. 294,418 352
Globe Union Industrial Corp. 519,675 348
* Ichia Technologies Inc. 637,000 347
* CSBC Corp. Taiwan 809,808 346
Chun Yuan Steel 920,676 345
Zinwell Corp. 337,099 340
Tong-Tai Machine & Tool Co. Ltd. 498,429 338
* Medigen Biotechnology Corp. 250,680 332
Chung Hwa Pulp Corp. 920,135 327
* Silicon Integrated Systems Corp. 1,024,945 310
* E-Ton Solar Tech Co. Ltd. 937,603 307
* Chimei Materials Technology Corp. 667,000 304
Tyntek Corp. 657,250 303
Hong Pu Real Estate Development Co. Ltd. 451,195 303
Formosan Rubber Group Inc. 612,089 301
* Gold Circuit Electronics Ltd. 871,280 298
Unizyx Holding Corp. 622,000 297
* ALI Corp. 463,358 294
KEE TAI Properties Co. Ltd. 830,740 289
* Solartech Energy Corp. 548,414 287
Taiyen Biotech Co. Ltd. 303,877 284
* TWi Pharmaceuticals Inc. 133,000 284
* Kuo Toong International Co. Ltd. 470,557 283
Unity Opto Technology Co. Ltd. 717,000 283
WUS Printed Circuit Co. Ltd. 446,550 281
Sheng Yu Steel Co. Ltd. 248,000 276

 

96


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Advanced International Multitech Co. Ltd. 221,000 274
  Jess-Link Products Co. Ltd. 242,100 272
  Global Brands Manufacture Ltd. 587,045 271
* G Tech Optoelectronics Corp. 344,168 268
  Bank of Kaohsiung Co. Ltd. 859,490 263
* China Electric Manufacturing Corp. 828,000 260
* Phihong Technology Co. Ltd. 600,618 257
* Dynamic Electronics Co. Ltd. 657,468 255
  Nien Hsing Textile Co. Ltd. 240,611 239
  Infortrend Technology Inc. 514,885 238
* Lotus Pharmaceutical Co. Ltd. 151,000 237
* King's Town Construction Co. Ltd. 311,826 235
  CHC Healthcare Group 181,727 225
  Vivotek Inc. 61,000 214
* AGV Products Corp. 848,425 212
  ACES Electronic Co. Ltd. 232,000 210
  Cyberlink Corp. 89,076 197
  Green Seal Holding Ltd. 81,400 193
  Sunrex Technology Corp. 292,080 173
* GeoVision Inc. 119,745 171
  Tsann Kuen Enterprise Co. Ltd. 207,295 160
  FSP Technology Inc. 195,428 152
*,3 Pihsiang Machinery Manufacturing Co. Ltd. 191,000 110
  ENG Electric Co. Ltd. 226,724 92
  Taiwan Shin Kong Security Co. Ltd. 70,930 91
  San Shing Fastech Corp. 35,824 72
* Winbond Electronics Corp. Rights Exp. 12/11/2017 518,614 71
*,3 XPEC Entertainment Inc. 125,457 55
  Microlife Corp. 9,322 23
  Ambassador Hotel 10,469 8
* TA Chen Stainless Pipe Rights Exp. 12/11/2017 138,681 5
* Yang Ming Marine Transport Corp. Rights Exp. 11/17/2017 397,634 5
      377,677
Thailand (1.6%)    
* Bangchak Corp. PCL 2,472,900 3,109
* Digital Telecommunications Infrastructure Fund 6,615,600 2,931
* KCE Electronics PCL 891,500 2,682
* Robinson PCL 1,081,500 2,418
* Srisawad Corp. PCL 1,109,155 2,321
* BTS Rail Mass Transit Growth Infrastructure Fund 6,491,076 2,306
* CH Karnchang PCL 2,666,500 2,187
* Jasmine Broadband Internet Infrastructure Fund 5,931,100 2,143
* Kiatnakin Bank PCL (Local) 933,500 2,128
* Tisco Financial Group PCL (Local) 781,050 2,064
  Tesco Lotus Retail Growth Freehold & Leasehold Property Fund 3,861,300 2,011
* Thanachart Capital PCL (Local) 1,207,720 1,991
* Bangkok Land PCL 35,079,900 1,954
* Muangthai Leasing PCL 1,465,200 1,732
* Carabao Group PCL 534,200 1,696
*,2 Star Petroleum Refining PCL 3,181,900 1,668
* Workpoint Entertainment PCL 555,000 1,637
* Sansiri PCL (Local) 22,312,000 1,571
* TPI Polene PCL 22,954,500 1,549
* Siam Global House PCL 2,809,001 1,548
* Hana Microelectronics PCL 964,136 1,414
  Global Power Synergy PCL 758,700 1,393
  Beauty Community PCL 2,552,800 1,375
* WHA Corp. PCL (Local) 11,782,800 1,362
* Major Cineplex Group PCL 1,328,344 1,301
  Tisco Financial Group PCL NVDR 489,300 1,293
^ Thanachart Capital PCL NVDR 727,900 1,200
* Krungthai Card PCL 287,800 1,191
* Quality Houses PCL (Local) 13,391,233 1,185
* Banpu Power PCL 1,259,700 1,166

 

97


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Esso Thailand PCL 2,511,000 1,157
* Supalai PCL (Local) 1,483,900 1,098
* Amata Corp. PCL 1,635,200 1,058
^ Central Plaza Hotel PCL NVDR 755,400 1,040
* Superblock PCL 27,505,100 1,035
* Bangkok Chain Hospital PCL 2,081,248 1,033
  Kiatnakin Bank PCL (Foreign) 389,200 887
* Taokaenoi Food & Marketing PCL 1,128,700 874
* Tipco Asphalt PCL 1,295,000 873
* Chularat Hospital PCL 10,850,660 849
* Vibhavadi Medical Center PCL 9,953,400 833
* Jasmine International PCL 3,598,988 823
* CK Power PCL 6,014,700 786
* Dynasty Ceramic PCL 6,349,200 776
* Bangkok Airways PCL 1,343,700 744
* Sino-Thai Engineering & Construction PCL (Local) 994,316 742
* Gunkul Engineering PCL 6,093,103 741
  Central Plaza Hotel PCL (Foreign) 526,790 725
* PTG Energy PCL 980,107 708
  Supalai PCL NVDR 955,800 707
^ Sino-Thai Engineering & Construction PCL NVDR 942,800 704
* Thai Vegetable Oil PCL 838,300 700
* Thoresen Thai Agencies PCL (Local) 2,345,816 685
* Central Plaza Hotel PCL (Local) 491,400 677
* Univentures PCL 1,790,088 669
  Hana Microelectronics PCL (Foreign) 454,810 667
* U City PCL 708,677,975 640
* IMPACT Growth REIT 1,485,900 631
  Unique Engineering & Construction PCL 1,174,900 626
* Thaifoods Group PCL 3,433,200 625
* GFPT PCL 1,102,600 614
* Sri Trang Agro-Industry PCL 1,600,700 612
^ VGI Global Media PCL NVDR 3,253,600 602
* TICON Industrial Connection PCL 1,129,100 568
  Sino-Thai Engineering & Construction PCL (Foreign) 759,099 567
* Thaicom PCL 1,281,440 532
* SPCG PCL 665,200 501
* Cal-Comp Electronics Thailand PCL 4,594,416 481
  Pruksa Real Estate PCL 701,890 480
* Italian-Thai Development PCL (Local) 3,896,108 476
  Asian Property Development PCL (Foreign) 1,775,056 476
^ Italian-Thai Development PCL NVDR 3,789,900 463
^ AP Thailand PCL NVDR 1,622,400 435
^ VGI Global Media PCL (Foreign) 2,301,588 426
  WHA Corp. PCL (Foreign) 3,527,247 408
^ LPN Development PCL NVDR 1,033,200 407
  TTW PCL (Foreign) 1,201,300 394
*,3 Inter Far East Energy Corp. 3,992,800 373
* AP Thailand PCL (Local) 1,301,400 349
* TTW PCL (Local) 1,041,500 342
* VGI Global Media PCL 1,557,724 288
* Group Lease PCL (Local) 1,195,500 275
* LPN Development PCL (Local) 685,211 270
* Pruksa Holding PCL 332,500 253
* Pruksa Real Estate PCL (Foreign) 361,400 247
* Precious Shipping PCL (Foreign) 766,900 247
  Samart Corp. PCL (Foreign) 560,900 216
* Samart Corp. PCL (Local) 548,021 211
* Supalai PCL Warrants Exp. 10/20/2018 312,250 194
  Quality Houses PCL (Foreign) 2,133,757 189
  Tisco Financial Group PCL (Foreign) 69,650 184
^ Thoresen Thai Agencies PCL (Foreign) 596,425 174
^,* Precious Shipping PCL NVDR 539,500 174
  TTW PCL NVDR 490,400 161

 

98


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Supalai PCL Warrants Exp. 12/31/2049 238,950 148
^ Sri Trang Agro-Industry PCL 277,923 106
^ Group Lease PCL NVDR 345,478 80
Italian-Thai Development PCL (Foreign) 570,002 70
* Superblock PCL Warrants Exp 08/30/20 5,115,280 63
LPN Development PCL (Foreign) 143,700 57
* WHA Corp. PCL Warrants Exp. 12/31/2019 56,618 17
* CK Power PCL Foreign Line Warrants Exp. 05/28/2020 1,015,920 16
* Vibhavadi Medical Center PCL Warrants Exp. 05/09/2022 765,646 13
* Srisawad Power 1979 PCL Warrants Exp. 11/30/2017 22,388 12
* Thoresen Thai Agencies PCL Warrants Exp. 02/28/2019 166,980 8
* BTS Group Hldgs Warrants Exp. 03/30/2017 976,408 7
* VGI Global Media PCL Warrants (Local) 448,000 5
* Italian-Thai Development PCL Warrants Exp. 05/13/2019 407,302 4
* VGI Global Media PCL Warrants NVDR 342,800 4
* G J Steel PCL Warrants Exp. 02/07/2020 1,627,035 2
* Group Lease PCL Warrants Exp. 08/01/2018 111,522 2
* Samart Corp. PCL Warrants Exp. 02/11/2018 106,504 1
* Sansiri PLC Foreign Warrants Exp. 11/24/2017 1,403,050
* Thaifoods Group PCL Warrants Exp. 04/28/2020 237,080
* Precious Shipping PCL Warrants 23,790
    91,843
Turkey (0.3%)    
Tekfen Holding AS 353,948 1,197
Trakya Cam Sanayii AS 924,111 1,003
* Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS Class A 1,128,950 751
* Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS 1,029,445 659
Yazicilar Holding AS Class A 111,963 658
Cimsa Cimento Sanayi VE Ticaret AS 173,721 657
* Pegasus Hava Tasimaciligi AS 81,185 642
* Koza Anadolu Metal Madencilik Isletmeleri AS 378,765 615
* Aksa Enerji Uretim AS Class B 675,320 612
Aksa Akrilik Kimya Sanayii AS 154,774 545
Otokar Otomotiv Ve Savunma Sanayi A.S. 18,349 533
* Dogan Sirketler Grubu Holding AS 2,036,135 495
* Logo Yazilim Sanayi Ve Ticaret AS 30,499 482
* Vestel Elektronik Sanayi ve Ticaret AS 156,530 408
Torunlar Gayrimenkul Yatirim Ortakligi AS 233,382 407
* Zorlu Enerji Elektrik Uretim AS 907,024 391
EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS 312,410 381
Alarko Holding AS 188,804 372
* Ipek Dogal Enerji Kaynaklari Arastirma Ve Uretim AS 223,539 359
* Sekerbank TAS 775,543 314
* Besiktas Futbol Yatirimlari Sanayi ve Ticaret AS 249,889 297
Anadolu Cam Sanayii AS 442,613 279
* Dogus Otomotiv Servis ve Ticaret AS 125,328 277
EGE Endustri VE Ticaret AS 2,966 232
Is Gayrimenkul Yatirim Ortakligi AS 621,582 218
* NET Holding AS 372,367 203
* Aksigorta AS 227,145 188
Adana Cimento Sanayii TAS Class A 110,385 187
Goltas Goller Bolgesi Cimento Sanayi ve Ticaret A.S. 9,628 186
AvivaSA Emeklilik ve Hayat AS 36,150 178
Anadolu Hayat Emeklilik AS 97,834 174
Tat Gida Sanayi AS 118,222 174
* Gubre Fabrikalari TAS 134,487 168
* Ihlas Holding AS 1,033,115 167
* Afyon Cimento Sanayi TAS 73,040 157
Albaraka Turk Katilim Bankasi AS 421,768 145
* Vakif Gayrimenkul Yatirim Ortakligi AS 191,056 142
* Brisa Bridgestone Sabanci Sanayi ve Ticaret AS 68,454 134
Akcansa Cimento AS 44,058 132
Konya Cimento Sanayii AS 1,789 125
* Bagfas Bandirma Gubre Fabrikalari AS 41,841 116

 

99


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Akenerji Elektrik Uretim AS 436,659 106
* Turcas Petrol AS 139,059 102
* Bizim Toptan Satis Magazalari AS 47,050 101
  Soda Sanayii AS 12,009 17
*,3 Asya Katilim Bankasi AS 975,452
      15,686
United Arab Emirates (0.1%)    
  Amanat Holdings PJSC 2,582,112 836
* Eshraq Properties Co. PJSC 2,543,343 547
  National Central Cooling Co. PJSC 775,755 443
  RAK Properties PJSC 2,159,459 417
* Amlak Finance PJSC 1,349,016 397
* Drake & Scull International PJSC 438,665 237
      2,877
United Kingdom (12.0%)    
  Hiscox Ltd. 602,742 11,430
  BBA Aviation plc 2,229,428 9,419
  B&M European Value Retail SA 1,748,214 9,225
  Man Group plc 3,523,674 9,061
  Electrocomponents plc 964,076 8,892
  Spectris plc 260,208 8,847
  TP ICAP plc 1,207,407 8,730
  Phoenix Group Holdings 858,865 8,633
* BTG plc 838,686 8,396
^,* Metro Bank plc 177,772 8,394
  Playtech plc 639,223 8,353
* Paysafe Group plc 1,044,116 8,127
  UBM plc 860,399 8,038
  GVC Holdings plc 641,503 7,988
  SSP Group plc 1,020,930 7,929
  Intermediate Capital Group plc 603,901 7,798
* Indivior plc 1,558,075 7,689
  Beazley plc 1,128,768 7,572
* Tullow Oil plc 2,986,152 7,226
  Hays plc 2,913,714 7,213
  Jupiter Fund Management plc 903,272 7,127
  IG Group Holdings plc 791,300 6,866
  UDG Healthcare plc 542,133 6,657
  Rotork plc 1,894,529 6,611
  Ladbrokes Coral Group plc 3,868,130 6,545
  Shaftesbury plc 492,688 6,483
  WH Smith plc 235,034 6,390
  HomeServe plc 557,735 6,342
  Saga plc 2,430,600 6,169
  Close Brothers Group plc 329,464 6,076
  Great Portland Estates plc 712,004 5,882
  Tritax Big Box REIT plc 2,990,802 5,851
  NEX Group plc 689,817 5,805
  Britvic plc 573,066 5,760
  Victrex plc 177,705 5,658
* KAZ Minerals plc 508,851 5,494
  Balfour Beatty plc 1,501,802 5,463
  Dechra Pharmaceuticals plc 196,662 5,371
*,2 Wizz Air Holdings plc 121,691 5,294
  Grafton Group plc 468,310 5,117
  Bodycote plc 408,511 5,081
  Moneysupermarket.com Group plc 1,155,384 4,985
  Renishaw plc 74,554 4,905
  UNITE Group plc 520,029 4,858
  Domino's Pizza Group plc 1,085,124 4,838
  Greene King plc 672,172 4,830
2 Sophos Group plc 582,600 4,804
  Thomas Cook Group PLC 2,989,019 4,756
* BCA Marketplace plc 1,702,891 4,708

 

100


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Jardine Lloyd Thompson Group plc 267,707 4,634
  AVEVA Group plc 137,517 4,607
  Bovis Homes Group plc 292,627 4,572
  National Express Group plc 932,188 4,551
  Cranswick plc 110,504 4,520
  Centamin plc 2,360,409 4,369
  Lancashire Holdings Ltd. 436,478 4,355
  Pagegroup plc 682,636 4,240
  IWG plc 1,451,694 4,153
  Genus plc 132,121 4,126
  Evraz plc 1,063,861 4,078
  Redrow plc 470,649 4,070
  Essentra plc 573,481 4,054
  Ultra Electronics Holdings plc 166,443 4,030
  Crest Nicholson Holdings plc 534,966 4,026
  Greencore Group plc 1,531,442 3,921
  QinetiQ Group plc 1,200,638 3,892
  Cineworld Group plc 439,979 3,882
* Firstgroup plc 2,638,595 3,855
  Synthomer plc 587,443 3,820
  JD Sports Fashion plc 796,651 3,783
  Elementis plc 998,541 3,771
* Serco Group plc 2,412,831 3,737
  Rathbone Brothers plc 109,720 3,733
  Greggs plc 216,348 3,661
  Paragon Group of Cos. plc 575,939 3,635
  BGEO Group plc 76,856 3,629
^,* Ocado Group plc 942,634 3,601
  Vesuvius plc 459,544 3,585
* Cairn Energy plc 1,269,542 3,565
  Dignity plc 109,679 3,531
  Savills plc 284,535 3,525
  Senior plc 916,517 3,510
  Diploma plc 242,933 3,479
  Grainger plc 904,784 3,346
  LondonMetric Property plc 1,413,062 3,309
2 Countryside Properties plc 695,796 3,284
^ TalkTalk Telecom Group plc 1,148,262 3,256
  Big Yellow Group plc 314,646 3,251
  Drax Group plc 876,367 3,233
  Assura plc 3,919,041 3,146
  Petrofac Ltd. 561,327 3,127
  Workspace Group plc 263,237 3,095
  Hill & Smith Holdings plc 173,846 3,054
  AA plc 1,341,637 3,052
2 John Laing Group plc 799,622 3,031
2 ZPG plc 646,528 3,006
  SIG plc 1,287,266 2,948
  NewRiver REIT plc 656,585 2,922
  Card Factory plc 692,988 2,890
  Galliford Try plc 178,226 2,888
2 Hastings Group Holdings plc 674,707 2,822
  Kier Group plc 204,194 2,819
  Brewin Dolphin Holdings plc 593,328 2,785
2 Ibstock plc 839,073 2,765
  Entertainment One Ltd. 731,695 2,745
  SuperGroup plc 108,798 2,679
* Sports Direct International plc 502,977 2,642
  Safestore Holdings plc 442,292 2,613
  J D Wetherspoon plc 157,820 2,609
  Morgan Advanced Materials plc 608,659 2,538
2 McCarthy & Stone plc 1,183,268 2,514
  Just Group plc 1,222,317 2,502
  Mitie Group plc 793,130 2,496

 

101


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Fidessa Group plc 82,463 2,493
  Stobart Group Ltd. 654,096 2,455
2 Spire Healthcare Group plc 618,058 2,439
  Dairy Crest Group plc 302,283 2,437
  Virgin Money Holdings UK plc 625,746 2,424
  Ted Baker plc 63,197 2,326
  Computacenter plc 174,397 2,304
  Go-Ahead Group plc 96,249 2,263
  Laird plc 1,042,897 2,258
  F&C Commercial Property Trust Ltd. 1,172,737 2,221
  Ferrexpo plc 657,902 2,221
  Polypipe Group plc 403,330 2,211
  esure Group plc 609,033 2,173
  Vedanta Resources plc 182,240 2,149
  De La Rue plc 228,591 2,124
  Telecom Plus plc 130,803 2,119
* Hunting plc 298,004 2,075
  Stagecoach Group plc 935,381 2,072
  Dunelm Group plc 210,192 2,044
* Aldermore Group plc 501,230 2,004
* Vectura Group plc 1,498,119 1,989
  RPS Group plc 508,794 1,988
  Keller Group plc 159,487 1,984
  St. Modwen Properties plc 391,782 1,980
  Marston's plc 1,359,517 1,925
  Fenner plc 416,509 1,908
  Halfords Group plc 431,160 1,892
  PZ Cussons plc 425,679 1,868
  Chesnara plc 363,895 1,861
  OneSavings Bank plc 345,306 1,859
  Renewi plc 1,320,973 1,821
* EI Group plc 1,018,024 1,818
  Pets at Home Group plc 776,122 1,816
  Northgate plc 301,138 1,791
  NCC Group plc 575,378 1,757
  Restaurant Group plc 432,034 1,743
  UK Commercial Property Trust Ltd. 1,485,027 1,726
  Picton Property Income Ltd. 1,422,492 1,625
  Mitchells & Butlers plc 473,312 1,606
^ Hansteen Holdings plc 881,794 1,604
  888 Holdings plc 467,953 1,558
  KCOM Group plc 1,091,100 1,557
  Hochschild Mining plc 530,657 1,554
  Debenhams plc 2,592,463 1,506
  Oxford Instruments plc 114,664 1,447
  Chemring Group plc 600,666 1,376
  N Brown Group plc 338,204 1,353
* Imagination Technologies Group plc 561,585 1,347
  Devro plc 408,165 1,319
  ITE Group plc 548,674 1,295
  Redefine International plc 2,597,687 1,281
  International Personal Finance plc 467,853 1,254
* Ophir Energy plc 1,442,599 1,250
^,* Allied Minds plc 518,581 1,203
  Rank Group plc 367,225 1,161
* Petra Diamonds Ltd. 1,122,271 1,147
^,* Premier Oil plc 1,122,101 1,015
  Helical plc 245,421 1,003
  Daejan Holdings plc 12,080 994
  Lookers plc 697,645 972
* Nostrum Oil & Gas plc 181,866 909
* Premier Foods plc 1,728,854 900
  Schroder REIT Ltd. 1,127,748 894
^,* AO World plc 578,543 844

 

102


 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund        
Schedule of Investments        
October 31, 2017        
 
          Market
          Value
        Shares ($000)
  Gocompare.Com Group plc     619,534 838
  Acacia Mining plc     326,439 782
* Jimmy Choo plc     235,253 719
  Soco International plc     461,699 714
  Foxtons Group plc     614,321 645
* Countrywide plc     380,168 630
  Carillion plc     945,371 571
* Lamprell plc     538,333 529
2 CMC Markets plc     226,540 478
* Interserve plc     327,797 318
  Spirax-Sarco Engineering plc     990 74
  NMC Health plc     1,080 42
* Genel Energy plc     4,488 7
* Lonmin plc     3,813 5
^,*,3 Afren plc     1,404,272
 
          672,417
 
Total Common Stocks (Cost $4,885,273)       5,549,836
 
 
    Coupon      
 
Temporary Cash Investments (6.2%)1        
Money Market Fund (6.1%)        
5,6 Vanguard Market Liquidity Fund 1.246%   3,400,019 340,036
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.1%)        
7 United States Cash Management Bill 1.048% 1/2/18 3,500 3,494
  United States Treasury Bill 1.087% 3/1/18 2,000 1,992
 
          5,486
 
Total Temporary Cash Investments (Cost $345,505)       345,522
 
Total Investments (105.2%) (Cost $5,230,778)       5,895,358
Other Assets and Liabilities—Net (-5.2%)5       (289,462)
Net Assets (100%)       5,605,896

 

^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $272,807,000.
* Non-income-producing security.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund's effective common stock and temporary cash investment positions represent 99.9% and 5.3%, respectively, of net
assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate value of these securities was $181,146,000,
representing 3.2% of net assets.
3 Security value determined using significant unobservable inputs.
4 “Other” represents securities that are not classified by the fund’s benchmark index.
5 Includes $303,820,000 of collateral received for securities on loan.
6 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
7 Securities with a value of $3,240,000 have been segregated as initial margin for open futures contracts.
ADR—American Depositary Receipt.
CP—Commercial Paper.
GDR—Global Depositary Receipt.
NVDR—Non-Voting Depository Receipt.
REIT—Real Estate Investment Trust.
__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________
__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________

103


 

 

 

 

 

 

 

 

© 2017 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.

SNA7700 122017


Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
 
Common Stocks (98.7%)1    
Brazil (8.0%)    
Ambev SA 60,008,599 383,389
Itau Unibanco Holding SA Preference Shares 25,640,761 329,592
Itau Unibanco Holding SA ADR 25,660,317 328,709
Vale SA 32,160,777 315,581
Banco Bradesco SA Preference Shares 29,086,294 308,352
* Petroleo Brasileiro SA 49,737,422 264,857
Banco Bradesco SA ADR 23,433,940 247,697
B3 SA - Brasil Bolsa Balcao 33,747,655 246,559
Vale SA Class B ADR (XNYS) 22,681,627 222,053
Itausa - Investimentos Itau SA Preference Shares 66,282,361 212,343
Banco do Brasil SA 18,575,111 195,557
Ultrapar Participacoes SA 7,525,237 179,660
* Petroleo Brasileiro SA Preference Shares 28,278,986 144,969
Kroton Educacional SA 26,208,388 144,129
* Petroleo Brasileiro SA ADR (XNYS) 13,052,699 133,790
Cielo SA 19,538,924 133,672
Lojas Renner SA 12,489,323 131,639
Banco Bradesco SA 12,816,983 128,432
* BRF SA 8,613,614 116,514
CCR SA 18,431,665 102,545
BB Seguridade Participacoes SA 11,594,443 98,283
Ambev SA ADR 15,432,485 97,688
Raia Drogasil SA 3,846,279 91,957
Telefonica Brasil SA Preference Shares 5,718,956 88,285
Lojas Americanas SA Preference Shares 13,576,158 72,958
* Rumo SA 18,121,469 70,352
Hypermarcas SA 6,540,411 68,377
WEG SA 10,132,928 65,915
Klabin SA 11,356,465 65,612
* Petroleo Brasileiro SA ADR 5,645,812 60,128
Equatorial Energia SA 3,116,834 58,120
Fibria Celulose SA 3,564,950 57,038
BR Malls Participacoes SA 14,551,686 56,404
^ Banco Santander Brasil SA ADR 5,902,942 51,297
Localiza Rent a Car SA 2,723,658 48,182
Suzano Papel e Celulose SA Preference Shares Class A 7,527,096 46,778
CPFL Energia SA 5,302,334 44,574
Qualicorp SA 4,158,864 44,496
Estacio Participacoes SA 4,671,720 41,886
Gerdau SA Preference Shares 11,606,862 38,852
* Cia Brasileira de Distribuicao Grupo Pao de Acucar Preference Shares 1,640,016 38,202
Multiplan Empreendimentos Imobiliarios SA 1,623,495 35,484
TIM Participacoes SA 9,413,750 34,906
Embraer SA 7,251,482 34,736
Itau Unibanco Holding SA 2,927,395 34,381
JBS SA 13,759,067 31,713
Natura Cosmeticos SA 3,151,392 29,835
Cia de Saneamento Basico do Estado de Sao Paulo ADR 3,267,923 29,803
Bradespar SA Preference Shares 3,958,659 29,043
Cosan SA Industria e Comercio 2,473,327 28,277
Fleury SA 3,112,066 27,474
Engie Brasil Energia SA 2,468,451 27,014
* Braskem SA Preference Shares 1,682,178 26,925
* Centrais Eletricas Brasileiras SA 3,917,574 26,406
TOTVS SA 2,648,269 26,375
* Banco BTG Pactual SA 3,915,023 26,341
Embraer SA ADR 1,343,507 25,715
EDP - Energias do Brasil SA 5,833,539 25,679
Centrais Eletricas Brasileiras SA Preference Shares 3,297,751 25,545
* Atacadao Distribuicao Comercio e Industria Ltda 5,069,547 24,919
Magazine Luiza SA 1,277,825 24,902

 

1


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Cia de Saneamento Basico do Estado de Sao Paulo 2,684,786 24,457
  Cia Energetica de Minas Gerais Preference Shares 10,102,689 23,872
* Cia Brasileira de Distribuicao ADR 1,005,181 23,350
* Smiles Fidelidade SA 879,980 23,000
  M Dias Branco SA 1,555,713 22,898
  Gerdau SA ADR 6,690,443 22,145
  Sul America SA 4,024,921 22,061
  Odontoprev SA 4,514,105 21,720
  CVC Brasil Operadora e Agencia de Viagens SA 1,632,000 21,552
* Braskem SA ADR 666,333 21,303
  Cia Hering 2,337,035 20,861
*,^ BRF SA ADR 1,493,841 20,122
  Cyrela Brazil Realty SA Empreendimentos e Participacoes 5,138,223 20,105
  Porto Seguro SA 1,834,551 20,026
  TIM Participacoes SA ADR 1,085,508 20,017
  Telefonica Brasil SA ADR 1,251,564 19,274
  Transmissora Alianca de Energia Eletrica SA 3,007,586 18,847
* Usinas Siderurgicas de Minas Gerais SA Preference Shares 6,994,688 18,838
* B2W Cia Digital 2,730,987 17,723
* Metalurgica Gerdau SA Preference Shares Class A 10,981,843 17,154
  MRV Engenharia e Participacoes SA 4,401,433 17,020
  Cia de Transmissao de Energia Eletrica Paulista Preference Shares 818,367 16,636
  Duratex SA 5,655,629 16,528
* Via Varejo SA 2,370,600 16,356
  Cia de Saneamento do Parana Preference Shares 4,788,275 15,881
  EcoRodovias Infraestrutura e Logistica SA 4,070,796 15,182
*,^ Cia Siderurgica Nacional SA ADR 5,825,644 14,739
  Sao Martinho SA 2,526,486 14,218
  Cia Energetica de Sao Paulo Preference Shares 3,526,233 14,013
  Iguatemi Empresa de Shopping Centers SA 1,183,522 13,922
  Cia de Saneamento de Minas Gerais-COPASA 1,121,017 13,502
  Linx SA 2,136,194 13,439
  Banco do Estado do Rio Grande do Sul SA Preference Shares 2,799,100 13,040
* Cia Siderurgica Nacional SA 5,027,948 12,957
^ Cia Paranaense de Energia ADR 1,662,902 12,788
  Lojas Americanas SA 2,841,818 12,431
  Arezzo Industria e Comercio SA 788,484 12,184
  Iochpe Maxion SA 1,759,946 12,046
  AES Tiete Energia SA 3,003,852 11,891
  Alpargatas SA Preference Shares 2,143,221 11,334
  Multiplus SA 962,561 11,181
^ Centrais Eletricas Brasileiras SA ADR 1,423,974 11,036
  Alupar Investimento SA 1,967,334 10,855
  Marcopolo SA Preference Shares 8,822,690 10,707
  Banco Santander Brasil SA 1,215,500 10,630
^ Cia Energetica de Minas Gerais ADR 4,402,461 10,434
  Grendene SA 1,137,177 9,563
  CPFL Energia SA ADR 569,463 9,539
* Light SA 1,624,489 9,078
  Minerva SA 2,492,714 8,763
^ Vale SA Class B ADR 917,800 8,380
* Aliansce Shopping Centers SA 1,494,094 8,011
  Guararapes Confeccoes SA 162,220 7,761
  Fibria Celulose SA ADR 442,400 7,052
  Eletropaulo Metropolitana Eletricidade de Sao Paulo SA Preference Shares 1,533,150 6,908
* Gol Linhas Aereas Inteligentes SA Preference Shares 1,571,302 6,653
  BR Properties SA 1,995,079 6,367
  Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA 1,122,498 6,286
* Marfrig Global Foods SA 3,170,473 6,232
  Randon Participacoes SA Preference Shares 2,682,412 5,715
  Wiz Solucoes e Corretagem de Seguros SA 1,069,619 5,336
  Ez Tec Empreendimentos e Participacoes SA 789,780 5,191
2 Ser Educacional SA 515,096 4,858
  Tupy SA 834,592 4,447

 

2


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Magnesita Refratarios SA 313,469 4,408
Cia de Gas de Sao Paulo COMGAS Preference Shares Class A 279,907 4,312
* Even Construtora e Incorporadora SA 2,332,600 3,850
* Centrais Eletricas Brasileiras SA ADR (XNYS) 565,233 3,793
Dimed SA Distribuidora da Medicamentos 22,300 3,293
* Construtora Tenda SA 556,499 2,909
* Alliar Medicos A Frente SA 557,200 2,785
GAEC Educacao SA 366,826 2,736
SLC Agricola SA 402,115 2,704
Cia Energetica de Minas Gerais Class A 1,147,195 2,560
QGEP Participacoes SA 951,730 2,458
Mahle-Metal Leve SA 362,173 2,375
Cia Paranaense de Energia 356,887 2,343
* Movida Participacoes SA 908,870 2,278
Sonae Sierra Brasil SA 250,510 2,139
Cia Paranaense de Energia Preference Shares 263,705 2,014
* Gafisa SA 422,799 1,913
* JSL SA 635,500 1,803
* Direcional Engenharia SA 940,943 1,683
* Marisa Lojas SA 657,900 1,579
* Santos Brasil Participacoes SA 1,270,022 1,359
* Azul SA Prior Preference Shares. 107,800 903
Cia Energetica do Ceara Preference Shares 50,700 815
* Instituto Hermes Pardini SA 58,600 553
* Cia Energetica de Minas Gerais - Cemig Preference Rights 1,457,385 517
* Ser Educacional SA 48,232 457
* Paranapanema SA 914,662 414
* PPLA Participations Ltd. 487,948 271
Gerdau SA 71,400 237
* Restoque Comercio e Confeccoes de Roupas SA 15,619 209
* Cia Energetica de Minas Gerais - Cemig Rights 182,262 53
* Iochpe Maxion SA Warrants Exp. 04/01/2019 42,859 20
    7,101,054
Chile (1.4%)    
Empresas COPEC SA 7,028,011 108,306
SACI Falabella 9,342,956 89,243
Banco de Chile 488,343,784 74,911
Latam Airlines Group SA (XSGO) 5,404,127 74,507
Empresas CMPC SA 20,621,501 65,745
Cencosud SA 21,517,531 64,409
Banco de Credito e Inversiones 934,582 62,847
Sociedad Quimica y Minera de Chile SA ADR 986,959 58,961
Enel Americas SA 248,403,892 53,439
Enel Americas SA ADR 4,917,097 52,121
Banco Santander Chile ADR 1,598,544 50,002
Cia Cervecerias Unidas SA 2,826,920 40,794
Banco Santander Chile 513,628,885 40,383
Sociedad Quimica y Minera de Chile SA Preference Shares Class B 663,282 39,617
Aguas Andinas SA Class A 55,196,475 35,961
Empresa Nacional de Telecomunicaciones SA 2,809,140 32,651
Colbun SA 137,553,528 32,473
Itau CorpBanca 3,135,071,822 29,225
Enel Generacion Chile SA ADR 1,068,364 27,671
Enel Chile SA 216,288,390 25,212
Enel Generacion Chile SA 28,174,325 24,563
Parque Arauco SA 8,365,092 23,999
Embotelladora Andina SA Preference Shares 4,570,130 23,430
AES Gener SA 48,662,522 16,803
Vina Concha y Toro SA 8,772,242 15,459
Enel Chile SA ADR 2,529,928 14,901
Ripley Corp. SA 13,088,691 13,719
CAP SA 1,252,923 13,633
SONDA SA 6,326,950 12,324
* Cia Sud Americana de Vapores SA 176,553,548 10,228

 

3


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Inversiones Aguas Metropolitanas SA 5,385,684 9,786
Engie Energia Chile SA 4,021,658 8,555
Latam Airlines Group SA ADR 603,132 8,191
Inversiones La Construccion SA 206,792 3,510
Forus SA 505,914 2,202
* SMU SA 2,838,129 758
    1,260,539
China (31.0%)    
Tencent Holdings Ltd. 91,724,377 4,122,562
China Construction Bank Corp. 1,540,934,319 1,377,157
Industrial & Commercial Bank of China Ltd. 1,372,055,862 1,091,697
China Mobile Ltd. 90,496,243 910,245
* Alibaba Group Holding Ltd. ADR 4,560,653 843,219
Ping An Insurance Group Co. of China Ltd. 90,814,158 798,070
Bank of China Ltd. 1,334,182,694 666,775
China Life Insurance Co. Ltd. (XHKG) 129,349,554 428,833
CNOOC Ltd. 274,914,831 375,367
China Petroleum & Chemical Corp. 451,502,367 331,547
China Merchants Bank Co. Ltd. 75,246,049 287,339
* Baidu Inc. ADR 1,118,317 272,802
Geely Automobile Holdings Ltd. 83,555,420 259,095
China Pacific Insurance Group Co. Ltd. 48,129,091 237,652
PetroChina Co. Ltd. 360,701,980 235,791
Agricultural Bank of China Ltd. 485,264,645 228,556
China Overseas Land & Investment Ltd. 67,212,441 218,240
* China Evergrande Group 50,394,063 194,388
^ Sunac China Holdings Ltd. 33,139,859 168,844
Sunny Optical Technology Group Co. Ltd. 11,327,000 166,138
PICC Property & Casualty Co. Ltd. 78,514,295 155,811
Country Garden Holdings Co. Ltd. 93,628,423 148,421
China Shenhua Energy Co. Ltd. 61,592,901 147,347
China Resources Land Ltd. 47,545,220 141,898
* China Unicom Hong Kong Ltd. 95,069,520 134,890
CSPC Pharmaceutical Group Ltd. 74,945,757 130,386
Hengan International Group Co. Ltd. 12,681,773 125,060
CITIC Ltd. 84,895,365 124,366
Brilliance China Automotive Holdings Ltd. 48,749,908 123,539
China Telecom Corp. Ltd. 240,593,045 120,657
* JD.com Inc. ADR 3,037,466 113,966
Bank of Communications Co. Ltd. 150,064,351 113,289
^ BYD Co. Ltd. 12,954,281 113,269
* SINA Corp. 1,004,231 108,105
Haitong Securities Co. Ltd. 65,739,864 104,079
China Minsheng Banking Corp. Ltd. 106,091,639 102,773
Guangzhou Automobile Group Co. Ltd. 40,268,584 100,141
China Communications Construction Co. Ltd. 82,136,003 99,762
Fosun International Ltd. 39,782,294 98,700
New China Life Insurance Co. Ltd. 15,387,119 96,329
ENN Energy Holdings Ltd. 12,963,620 95,131
CITIC Securities Co. Ltd. 42,780,700 95,054
China Vanke Co. Ltd. 26,560,718 94,549
Shenzhou International Group Holdings Ltd. 10,492,415 89,660
Sino Biopharmaceutical Ltd. 76,666,524 89,652
ANTA Sports Products Ltd. 20,043,000 89,650
Anhui Conch Cement Co. Ltd. 20,755,152 88,909
China CITIC Bank Corp. Ltd. 137,192,164 88,399
China Taiping Insurance Holdings Co. Ltd. 26,252,968 86,576
China Gas Holdings Ltd. 28,263,408 85,924
Sinopharm Group Co. Ltd. 18,908,700 84,664
China Resources Beer Holdings Co. Ltd. 29,273,005 84,483
NetEase Inc. ADR 277,561 78,250
CRRC Corp. Ltd. 79,212,277 78,160
Guangdong Investment Ltd. 50,774,377 73,562
^ Great Wall Motor Co. Ltd. 57,460,139 72,501

 

4


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Kingboard Chemical Holdings Ltd. 11,973,481 71,051
  Lenovo Group Ltd. 120,452,109 69,871
  Dongfeng Motor Group Co. Ltd. 50,328,012 69,085
  China Everbright International Ltd. 48,522,000 68,458
  China Merchants Port Holdings Co. Ltd. 21,219,610 66,379
2 People's Insurance Co. Group of China Ltd. 137,688,000 65,534
  China Resources Power Holdings Co. Ltd. 33,933,184 65,256
  China Cinda Asset Management Co. Ltd. 166,239,774 64,600
  Longfor Properties Co. Ltd. 27,065,800 63,224
  Beijing Enterprises Water Group Ltd. 72,658,000 61,056
2 Postal Savings Bank of China Co. Ltd. 101,037,029 61,016
  China Railway Group Ltd. 72,811,789 58,526
  Haier Electronics Group Co. Ltd. 21,751,084 57,353
2 China Galaxy Securities Co. Ltd. 65,403,370 57,062
  Beijing Enterprises Holdings Ltd. 9,505,500 56,513
  Kweichow Moutai Co. Ltd. Class A (XSSC) 605,230 56,468
^ Fullshare Holdings Ltd. 131,895,700 56,451
* Ctrip.com International Ltd. ADR 1,156,829 55,401
  China Conch Venture Holdings Ltd. 27,057,133 55,167
2 CGN Power Co. Ltd. 183,451,878 53,892
* Zhuzhou CRRC Times Electric Co. Ltd. 9,094,500 53,230
  Nine Dragons Paper Holdings Ltd. 28,635,232 52,632
2 Huatai Securities Co. Ltd. 24,355,223 52,607
*,^ Aluminum Corp. of China Ltd. 64,215,220 51,577
  China State Construction International Holdings Ltd. 36,690,731 51,553
  China Resources Gas Group Ltd. 14,052,100 51,473
  Kunlun Energy Co. Ltd. 54,193,230 50,258
  TravelSky Technology Ltd. 18,862,000 48,888
* ZTE Corp. 13,798,192 47,940
2 China Huarong Asset Management Co. Ltd. 101,443,000 47,719
  Huaneng Power International Inc. 71,136,978 47,576
  China Railway Construction Corp. Ltd. 37,031,265 46,505
  Shimao Property Holdings Ltd. 21,935,845 45,981
  China Longyuan Power Group Corp. Ltd. 61,018,660 45,251
  Beijing Capital International Airport Co. Ltd. 27,190,856 44,651
^ China National Building Material Co. Ltd. 52,075,479 43,953
  GF Securities Co. Ltd. Class A (XSHE) 16,187,255 43,333
  China Medical System Holdings Ltd. 23,137,970 42,785
  New Oriental Education & Technology Group Inc. ADR 511,415 42,570
  Ping An Insurance Group Co. of China Ltd. Class A 4,319,011 41,984
^ China Molybdenum Co. Ltd. 64,031,000 41,679
  Shanghai Fosun Pharmaceutical Group Co. Ltd. 8,269,454 41,309
  Far East Horizon Ltd. 40,327,753 40,074
  Kingsoft Corp. Ltd. 15,706,000 39,699
  Industrial & Commercial Bank of China Ltd. Class A 42,933,779 39,517
*,^ GCL-Poly Energy Holdings Ltd. 226,707,800 38,981
  Agile Group Holdings Ltd. 26,679,803 38,925
  China Jinmao Holdings Group Ltd. 85,874,094 38,592
  China Everbright Ltd. 16,110,776 38,229
  Weichai Power Co. Ltd. 30,647,280 38,163
*,^ Alibaba Pictures Group Ltd. 227,233,554 37,013
  Guangzhou R&F Properties Co. Ltd. 17,009,605 36,270
  BYD Electronic International Co. Ltd. 13,268,000 35,978
  COSCO SHIPPING Ports Ltd. 30,579,788 35,439
  Sino-Ocean Group Holding Ltd. 52,475,678 34,269
  Sinopec Shanghai Petrochemical Co. Ltd. 57,364,788 34,217
  Jiangsu Expressway Co. Ltd. 22,130,139 33,929
  Zhejiang Expressway Co. Ltd. 27,436,286 33,929
  Shanghai Pharmaceuticals Holding Co. Ltd. 13,096,353 33,855
  Midea Group Co. Ltd. Class A (XSHE) 4,332,991 33,363
  Jiangxi Copper Co. Ltd. 20,856,898 33,303
  Yanzhou Coal Mining Co. Ltd. 33,029,320 32,966
  Hangzhou Hikvision Digital Technology Co. Ltd. Class A (XSHE) 5,555,769 32,952
  Chongqing Rural Commercial Bank Co. Ltd. 48,419,668 32,916

 

5


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Lee & Man Paper Manufacturing Ltd. 26,610,038 32,509
  Haitian International Holdings Ltd. 10,846,169 32,480
  Zijin Mining Group Co. Ltd. 93,099,680 32,218
  Shenzhen International Holdings Ltd. 16,540,261 31,614
  Kingboard Laminates Holdings Ltd. 18,774,705 31,551
*,2 3SBio Inc. 17,317,000 31,016
*,2 Meitu Inc. 20,929,733 30,923
  Shanghai Pudong Development Bank Co. Ltd. Class A (XSSC) 16,046,075 30,537
  China Oilfield Services Ltd. 33,177,800 29,453
*,^ Landing International Development Ltd. 1,043,460,000 28,916
  Air China Ltd. 30,238,748 28,833
^,2 BAIC Motor Corp. Ltd. 24,215,200 28,384
*,^ Alibaba Health Information Technology Ltd. 52,916,000 28,365
  Shanghai Industrial Holdings Ltd. 9,226,445 28,343
  Kweichow Moutai Co. Ltd. Class A (XSHG) 302,648 28,237
^ GOME Retail Holdings Ltd. 218,009,805 27,957
*,^ COSCO SHIPPING Holdings Co. Ltd. 50,601,000 27,770
  China Communications Services Corp. Ltd. 45,121,584 27,383
  China Everbright Bank Co. Ltd. 58,005,472 27,381
  TAL Education Group ADR 981,750 26,998
  CIFI Holdings Group Co. Ltd. 47,806,000 26,652
  Industrial Bank Co. Ltd. Class A (XSSC) 10,091,665 26,561
  Shenzhen Investment Ltd. 59,515,015 26,551
2 China International Capital Corp. Ltd. 12,698,000 26,184
  AviChina Industry & Technology Co. Ltd. 44,907,000 26,083
  Sihuan Pharmaceutical Holdings Group Ltd. 72,083,000 26,077
2 Dali Foods Group Co. Ltd. 33,667,000 26,076
  Huaneng Renewables Corp. Ltd. 75,438,000 25,943
  Shandong Weigao Group Medical Polymer Co. Ltd. 35,689,800 25,632
* Sohu.com Inc. 443,413 25,377
^ Zhongsheng Group Holdings Ltd. 12,183,500 25,042
*,2 China Merchants Securities Co. Ltd. 15,000,000 25,008
  Yuexiu Property Co. Ltd. 127,841,732 24,774
* Li Ning Co. Ltd. 28,243,791 24,676
  China Resources Cement Holdings Ltd. 36,216,686 24,479
  China Southern Airlines Co. Ltd. 32,858,000 24,293
  Bank of China Ltd. Class A 40,474,400 24,068
  Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class B 15,393,343 23,892
  Inner Mongolia Yitai Coal Co. Ltd. Class B 17,723,998 23,832
  Wuliangye Yibin Co. Ltd. Class A (XSHE) 2,236,198 22,489
* Shanghai Electric Group Co. Ltd. 49,515,208 22,475
  KWG Property Holding Ltd. 22,437,339 22,276
  China Merchants Bank Co. Ltd. Class A (XSSC) 5,438,293 22,247
^ China Traditional Chinese Medicine Holdings Co. Ltd. 38,339,013 21,978
  China State Construction Engineering Corp. Ltd. Class A (XSSC) 15,136,895 21,712
^ BBMG Corp. 43,409,000 21,663
  China Yangtze Power Co. Ltd. Class A 8,999,991 21,607
  Huatai Securities Co. Ltd. Class A (XSSC) 7,308,797 21,597
* China First Capital Group Ltd. 44,300,845 21,499
  BOE Technology Group Co. Ltd. Class B 32,874,882 21,407
  Tsingtao Brewery Co. Ltd. 5,032,000 21,072
  Orient Securities Co. Ltd. Class A (XSSC) 9,084,322 20,896
2 Sinopec Engineering Group Co. Ltd. 24,037,772 20,620
  Fuyao Glass Industry Group Co. Ltd. Class A (XSHG) 5,002,032 20,481
  China Agri-Industries Holdings Ltd. 41,243,961 20,157
  SOHO China Ltd. 34,728,006 20,119
  GF Securities Co. Ltd. 9,385,400 20,015
* China Biologic Products Holdings Inc. 257,525 20,012
^,2 China Railway Signal & Communication Corp. Ltd. 25,231,400 19,870
^ Luye Pharma Group Ltd. 29,656,000 19,767
* 58.com Inc. ADR 294,026 19,750
^ China Coal Energy Co. Ltd. 41,511,340 19,012
  Chongqing Changan Automobile Co. Ltd. Class B 14,518,360 19,005
  Ping An Bank Co. Ltd. Class A (XSHE) 10,827,904 18,855

 

6


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Datang International Power Generation Co. Ltd. 55,876,568 18,843
  Metallurgical Corp. of China Ltd. 56,592,937 18,733
  China National Materials Co. Ltd. 26,758,000 18,505
  China Reinsurance Group Corp. 82,929,000 18,407
  Fufeng Group Ltd. 25,488,000 18,371
* Kaisa Group Holdings Ltd. 28,505,955 18,215
^ Tongda Group Holdings Ltd. 64,064,889 18,180
^ China International Marine Containers Group Co. Ltd. 9,024,598 17,991
^ Chinasoft International Ltd. 30,716,000 17,926
  China Power International Development Ltd. 55,858,469 17,759
^ Greentown China Holdings Ltd. 14,113,554 17,630
  SAIC Motor Corp. Ltd. Class A (XSSC) 3,705,029 17,608
  Sinotrans Ltd. 36,153,000 17,379
*,^ Kingdee International Software Group Co. Ltd. 31,908,000 17,109
  Sinotruk Hong Kong Ltd. 12,790,835 17,009
*,^ Health and Happiness H&H International Holdings Ltd. 3,240,500 16,934
  Qingdao Haier Co. Ltd. Class A (XSSC) 6,433,725 16,804
  Aier Eye Hospital Group Co. Ltd. Class A 4,018,248 16,784
* Poly Property Group Co. Ltd. 34,101,820 16,528
^ Logan Property Holdings Co. Ltd. 17,803,368 16,493
^ Angang Steel Co. Ltd. 18,795,312 16,476
  Agricultural Bank of China Ltd. Class A (XSSC) 29,002,995 16,366
*,^ COSCO SHIPPING Development Co. Ltd. 72,888,618 16,356
2 Legend Holdings Corp. 6,110,500 16,067
  China Life Insurance Co. Ltd. Class A 3,313,498 15,705
  Shandong Chenming Paper Holdings Ltd. Class B 8,608,238 15,702
  Skyworth Digital Holdings Ltd. 34,002,000 15,659
  COSCO SHIPPING Energy Transportation Co. Ltd. 26,612,021 15,584
  China ZhengTong Auto Services Holdings Ltd. 14,558,000 15,328
  China Eastern Airlines Corp. Ltd. 30,046,000 15,261
  Jiangsu Yanghe Brewery Joint-Stock Co. Ltd. Class A (XSHE) 913,928 15,217
^ Xinjiang Goldwind Science & Technology Co. Ltd. 11,914,238 15,101
^ China Zhongwang Holdings Ltd. 25,051,020 14,778
  Lonking Holdings Ltd. 32,739,000 14,731
  Shenzhen Expressway Co. Ltd. 14,290,000 14,616
  Guangshen Railway Co. Ltd. 24,860,000 14,470
  Songcheng Performance Development Co. Ltd. Class A 4,654,709 14,157
  Huadian Fuxin Energy Corp. Ltd. 54,275,852 14,133
^ China Resources Phoenix Healthcare Holdings Co. Ltd. 10,676,500 14,023
  China Merchants Shekou Industrial Zone Holdings Co. Ltd. Class A (XSHE) 5,050,130 13,843
  Fuyao Glass Industry Group Co. Ltd. Class A (XSSC) 3,328,294 13,628
*,^ Maanshan Iron & Steel Co. Ltd. 28,974,000 13,616
  China Petroleum & Chemical Corp. Class A 15,039,519 13,558
^ Zhaojin Mining Industry Co. Ltd. 16,469,437 13,526
  Tong Ren Tang Technologies Co. Ltd. 9,516,000 13,374
  Lepu Medical Technology Beijing Co. Ltd. Class A 3,735,039 13,334
  CRRC Corp. Ltd. Class A (XSSC) 7,637,270 13,200
2 Red Star Macalline Group Corp. Ltd. 11,003,559 13,163
*,^ CAR Inc. 14,579,532 12,990
^ Golden Eagle Retail Group Ltd. 10,667,000 12,946
  Focus Media Information Technology Co. Ltd. Class A (XSHE) 7,144,526 12,838
  Jiangsu Hengrui Medicine Co. Ltd. Class A (XSSC) 1,252,682 12,714
  China South City Holdings Ltd. 45,138,000 12,618
  Shenzhen Inovance Technology Co. Ltd. Class A 2,695,257 12,552
  Huadian Power International Corp. Ltd. 30,200,000 12,546
^ NetDragon Websoft Holdings Ltd. 3,743,500 12,344
  Anhui Gujing Distillery Co. Ltd. Class B 2,189,234 12,323
  BOE Technology Group Co. Ltd. Class A (XSHE) 13,072,954 12,272
  China Vanke Co. Ltd. Class A 2,790,750 12,213
^ China Maple Leaf Educational Systems Ltd. 11,230,000 12,184
  Hopson Development Holdings Ltd. 11,869,223 12,145
2 Universal Medical Financial & Technical Advisory Services Co. Ltd. 11,469,500 12,122
* China United Network Communications Ltd. Class A (XSSC) 10,505,024 12,122
* Q Technology Group Co. Ltd. 5,410,624 12,116

 

7


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Greatview Aseptic Packaging Co. Ltd. 19,289,000 12,068
  Beijing Jingneng Clean Energy Co. Ltd. 43,132,000 12,060
*,^,2 Zhou Hei Ya International Holdings Co. Ltd. 12,455,500 12,000
  Tianneng Power International Ltd. 12,370,000 11,931
  Perfect World Co. Ltd. Class A 2,392,549 11,811
  Lao Feng Xiang Co. Ltd. Class B 3,104,906 11,640
  Future Land Development Holdings Ltd. 24,147,128 11,625
  Agricultural Bank of China Ltd. Class A (XSHG) 20,559,300 11,602
  Hangzhou Hikvision Digital Technology Co. Ltd. Class A (XSEC) 1,950,176 11,567
  Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. 3,277,000 11,511
  Suning Commerce Group Co. Ltd. Class A (XSHE) 5,278,922 11,507
  Inner Mongolia Yili Industrial Group Co. Ltd. Class A (XSSC) 2,563,592 11,440
  China Dongxiang Group Co. Ltd. 61,442,000 11,426
  China Pacific Insurance Group Co. Ltd. Class A (XSSC) 1,763,527 11,391
^ Zoomlion Heavy Industry Science and Technology Co. Ltd. 23,468,979 11,389
*,3 Aluminum Corp. of China Ltd. Class A 9,203,700 11,235
*,^ Digital China Holdings Ltd. 18,546,249 11,226
  Chaozhou Three-Circle Group Co. Ltd. Class A 3,086,129 11,030
  Baoshan Iron & Steel Co. Ltd. Class A (XSHG) 9,505,796 11,011
  Bank of Communications Co. Ltd. Class A (XSSC) 11,598,073 10,888
  Powerlong Real Estate Holdings Ltd. 22,608,000 10,753
  Sinopec Kantons Holdings Ltd. 16,495,000 10,687
  China BlueChemical Ltd. 35,477,795 10,605
  Yunnan Baiyao Group Co. Ltd. Class A 663,692 10,502
  Shenwan Hongyuan Group Co. Ltd. Class A 12,122,481 10,337
  China Everbright Bank Co. Ltd. Class A (XSSC) 16,766,403 10,223
  Yuzhou Properties Co. Ltd. 20,623,858 10,187
*,^ SMI Holdings Group Ltd. 19,828,800 10,170
  Wuliangye Yibin Co. Ltd. Class A (XSEC) 1,009,400 10,153
* YY Inc. ADR 111,924 10,117
  China Lesso Group Holdings Ltd. 14,965,000 10,000
  Poly Real Estate Group Co. Ltd. Class A (XSSC) 6,067,580 9,973
  Dazhong Transportation Group Co. Ltd. Class B 14,421,708 9,965
2 Fu Shou Yuan International Group Ltd. 14,174,000 9,964
  Wuxi Little Swan Co. Ltd. Class A 1,125,055 9,940
  China Foods Ltd. 15,615,506 9,877
  PetroChina Co. Ltd. Class A 7,896,690 9,861
* Autohome Inc. ADR 171,236 9,848
  Yantai Changyu Pioneer Wine Co. Ltd. Class B 3,788,487 9,812
*,^ Tibet Water Resources Ltd. 23,750,000 9,805
  Kangmei Pharmaceutical Co. Ltd. Class A (XSSC) 2,989,918 9,637
2 Hua Hong Semiconductor Ltd. 5,489,000 9,595
  Anhui Expressway Co. Ltd. 11,888,000 9,542
2 Fuyao Glass Industry Group Co. Ltd. 2,489,601 9,494
  Beijing Capital Land Ltd. 17,522,000 9,442
  CSG Holding Co. Ltd. Class B 15,272,909 9,437
  Bank of Ningbo Co. Ltd. Class A 3,591,770 9,296
  Chongqing Zhifei Biological Products Co. Ltd. Class A 2,141,486 9,244
*,^,2 Ozner Water International Holding Ltd. 28,865,000 9,136
*,^ CIMC Enric Holdings Ltd. 13,489,713 9,135
* Momo Inc. ADR 295,249 8,996
  Central China Securities Co. Ltd. 19,498,000 8,981
* ZTE Corp. Class A (XSEC) 1,839,678 8,966
* China Lodging Group Ltd. ADR 66,850 8,951
  SSY Group Ltd. 18,730,000 8,909
^ Texhong Textile Group Ltd. 6,450,500 8,901
  China State Construction Engineering Corp. Ltd. Class A (XSHG) 6,181,400 8,866
  Xingyuan Environment Technology Co. Ltd. Class A 2,093,686 8,745
  SAIC Motor Corp. Ltd. Class A (XSHG) 1,835,265 8,722
  Bank of Beijing Co. Ltd. Class A (XSSC) 7,834,785 8,680
^ China Water Affairs Group Ltd. 11,912,000 8,676
^ Shandong Chenming Paper Holdings Ltd. 4,740,000 8,622
*,2,3 Tianhe Chemicals Group Ltd. 57,304,542 8,594
  Luxshare Precision Industry Co. Ltd. Class A 2,300,545 8,573

 

8


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  China SCE Property Holdings Ltd. 18,954,000 8,557
  New China Life Insurance Co. Ltd. Class A (XSSC) 885,186 8,545
  Yuexiu Transport Infrastructure Ltd. 11,644,000 8,543
* Weibo Corp. ADR 92,091 8,532
  China Merchants Bank Co. Ltd. Class A (XSHG) 2,082,000 8,517
  Shanghai Pudong Development Bank Co. Ltd. Class A (XSHG) 4,454,177 8,477
  Henan Shuanghui Investment & Development Co. Ltd. Class A 2,115,976 8,403
3 Shenwu Environmental Technology Co. Ltd. Class A 2,302,665 8,394
  China Machinery Engineering Corp. 13,690,639 8,394
  Lens Technology Co. Ltd. Class A 1,664,247 8,362
  China Overseas Grand Oceans Group Ltd. 14,223,000 8,342
  Industrial Bank Co. Ltd. Class A (XSHG) 3,135,301 8,252
  Beijing Jetsen Technology Co. Ltd. Class A (XSEC) 5,768,492 8,237
  China International Travel Service Corp. Ltd. Class A (XSHG) 1,316,282 8,218
  New Hope Liuhe Co. Ltd. Class A (XSEC) 7,302,381 8,155
  Beijing Originwater Technology Co. Ltd. Class A 2,823,418 8,137
  China CITIC Bank Corp. Ltd. Class A (XSSC) 8,660,118 8,128
  Shanghai Zhenhua Heavy Industries Co. Ltd. Class B 14,703,579 8,085
*,^ Lifetech Scientific Corp. 32,662,000 8,082
  Daqin Railway Co. Ltd. Class A (XSSC) 5,852,648 8,041
^ CSSC Offshore and Marine Engineering Group Co. Ltd. 4,696,000 8,010
  Guotai Junan Securities Co. Ltd. Class A (XSHG) 2,647,600 7,968
  Shenzhen Overseas Chinese Town Co. Ltd. Class A 6,006,721 7,941
  China Railway Construction Corp. Ltd. Class A (XSSC) 4,389,277 7,933
  Shanghai Jinjiang International Hotels Development Co. Ltd. Class B 3,292,550 7,858
  China National Accord Medicines Corp. Ltd. Class B 1,494,949 7,845
  Sichuan Expressway Co. Ltd. 19,538,000 7,817
  Wuxi Little Swan Co. Ltd. Class B 1,441,337 7,756
  China Suntien Green Energy Corp. Ltd. 27,230,000 7,721
  Hisense Kelon Electrical Holdings Co. Ltd. Class A (XSHE) 3,144,827 7,685
  Shanghai Mechanical and Electrical Industry Co. Ltd. Class B 3,735,157 7,673
* Renhe Commercial Holdings Co. Ltd. 325,806,999 7,647
  China Merchants Securities Co. Ltd. Class A (XSSC) 2,704,874 7,625
*,^ FDG Electric Vehicles Ltd. 174,415,000 7,610
  Everbright Securities Co. Ltd. Class A (XSSC) 3,363,510 7,566
^ China High Speed Transmission Equipment Group Co. Ltd. 6,919,000 7,542
  Luzhou Laojiao Co. Ltd. Class A 820,599 7,542
*,^ ZTO Express Cayman Inc. ADR 470,419 7,522
*,^ Hi Sun Technology China Ltd. 32,550,000 7,474
* Dongfang Electric Corp. Ltd. 7,652,430 7,468
*,3 Galaxy Biomedical Investment Co. Ltd. Class A 4,591,100 7,454
*,^ Huayi Tencent Entertainment Co. Ltd. 122,310,000 7,453
*,^ Sinopec Oilfield Service Corp. 42,868,000 7,372
  China Railway Group Ltd. Class A (XSSC) 5,430,414 7,337
  Focus Media Information Technology Co. Ltd. Class A (XSEC) 4,076,613 7,326
  Power Construction Corp. of China Ltd. Class A (XSSC) 6,112,916 7,216
  Huaxia Bank Co. Ltd. Class A (XSSC) 5,253,414 7,211
  Vinda International Holdings Ltd. 3,558,000 7,194
* Vipshop Holdings Ltd. ADR 908,635 7,178
  Jiangsu Hengrui Medicine Co. Ltd. Class A (XSHG) 706,754 7,173
  Shanghai Jinqiao Export Processing Zone Development Co. Ltd. Class B 4,934,243 7,159
2 Qingdao Port International Co. Ltd. 10,093,000 7,135
  China Molybdenum Co. Ltd. Class A (XSSC) 6,532,611 7,072
  Harbin Electric Co. Ltd. 15,020,000 7,072
*,^ Sinofert Holdings Ltd. 39,864,000 7,057
  Livzon Pharmaceutical Group Inc. 1,037,608 7,041
  Beijing North Star Co. Ltd. 18,880,000 7,026
  Sanan Optoelectronics Co. Ltd. Class A (XSSC) 1,800,942 7,023
  Huayu Automotive Systems Co. Ltd. Class A (XSSC) 1,819,716 6,985
  China Shenhua Energy Co. Ltd. Class A (XSSC) 2,183,415 6,848
  Shanghai Fosun Pharmaceutical Group Co. Ltd. Class A (XSSC) 1,129,302 6,792
  Livzon Pharmaceutical Group Inc. Class A 696,379 6,724
  CRRC Corp. Ltd. Class A (XSHG) 3,879,500 6,705
  Weifu High-Technology Group Co. Ltd. Class B 2,844,219 6,690

 

9


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ China Overseas Property Holdings Ltd. 27,640,092 6,666
  Jiangxi Ganfeng Lithium Co. Ltd. Class A 500,900 6,627
  Shanghai Baosight Software Co. Ltd. Class B 4,312,026 6,622
  Zhejiang Dahua Technology Co. Ltd. Class A (XSHE) 1,574,692 6,596
^ Shanghai Dasheng Agricultural Finance Technology Co. Ltd. 79,118,357 6,592
*,^,3 Hybrid Kinetic Group Ltd. 263,624,000 6,589
  Guangdong Electric Power Development Co. Ltd. Class B 15,068,576 6,586
3 Wanda Film Holding Co. Ltd. Class A 827,543 6,498
  GoerTek Inc. Class A 1,938,204 6,477
* Zhejiang Huayou Cobalt Co. Ltd. Class A 450,789 6,463
  CPMC Holdings Ltd. 7,675,000 6,435
* Shanghai Chlor-Alkali Chemical Co. Ltd. Class B 7,859,532 6,383
  China Grand Automotive Services Co. Ltd. Class A (XSSC) 4,686,056 6,296
  Suning Commerce Group Co. Ltd. Class A (XSEC) 2,877,870 6,273
  China National Nuclear Power Co. Ltd. Class A 5,319,107 6,254
* Inner Mongolia BaoTou Steel Union Co. Ltd. Class A (XSSC) 15,908,157 6,244
  Anhui Conch Cement Co. Ltd. Class A (XSSC) 1,581,661 6,240
^ Dalian Port PDA Co. Ltd. 35,712,000 6,231
^,2 Tian Ge Interactive Holdings Ltd. 8,489,000 6,207
  China Lilang Ltd. 7,919,000 6,165
  Inner Mongolia Eerduosi Resourses Co. Ltd. Class B 6,099,550 6,158
  Han's Laser Technology Industry Group Co. Ltd. Class A (XSEC) 850,751 6,146
  China Fortune Land Development Co. Ltd. Class A (XSSC) 1,319,438 6,132
  Huadong Medicine Co. Ltd. Class A 768,026 6,121
  Sungrow Power Supply Co. Ltd. Class A 2,089,330 6,095
^ PAX Global Technology Ltd. 11,989,000 6,067
^ CT Environmental Group Ltd. 39,262,000 6,045
  Leyard Optoelectronic Co. Ltd. Class A (XSEC) 1,799,382 6,044
  Guangdong Wens Foodstuffs Group Co. Ltd. Class A 1,579,719 6,031
3 Hunan Er-Kang Pharmaceutical Co. Ltd. Class A 3,482,994 6,023
  Guangdong Provincial Expressway Development Co. Ltd. Class B 6,541,331 5,998
*,2 Haichang Ocean Park Holdings Ltd. 24,990,000 5,990
  Kangde Xin Composite Material Group Co. Ltd. Class A (XSHE) 1,630,242 5,988
  Inner Mongolia Yili Industrial Group Co. Ltd. Class A (XSHG) 1,340,562 5,982
*,^ O-Net Technologies Group Ltd. 8,183,000 5,928
  Shanghai Waigaoqiao Free Trade Zone Group Co. Ltd. Class B 3,627,486 5,878
*,2 Yangtze Optical Fibre and Cable Joint Stock Ltd. Co. 1,577,500 5,877
3 Xiandai Investment Co. Ltd. Class A 6,209,962 5,864
  Bosideng International Holdings Ltd. 65,772,000 5,818
  Guotai Junan Securities Co. Ltd. Class A (XSSC) 1,929,768 5,808
* Grand Baoxin Auto Group Ltd. 10,776,172 5,802
^ Dah Chong Hong Holdings Ltd. 12,307,000 5,777
^ Chaowei Power Holdings Ltd. 10,196,000 5,755
  Beijing Enlight Media Co. Ltd. Class A 3,891,542 5,697
  Beijing Thunisoft Corp. Ltd. Class A 2,354,113 5,680
  Shenzhen O-film Tech Co. Ltd. Class A 1,589,325 5,651
^,2 Cogobuy Group 9,392,000 5,651
  Iflytek Co. Ltd. Class A (XSHE) 696,506 5,636
  Weichai Power Co. Ltd. Class A (XSEC) 4,460,100 5,623
  Baoshan Iron & Steel Co. Ltd. Class A (XSSC) 4,853,544 5,622
  Wanhua Chemical Group Co. Ltd. Class A (XSHG) 1,002,301 5,612
*,^,3 Hanergy Thin Film Power Group Ltd. 206,154,000 5,599
  Shanghai Haixin Group Co. Class B 8,385,119 5,596
  Bluedon Information Security Technology Co. Ltd. Class A 3,504,956 5,555
  Xingda International Holdings Ltd. 14,511,000 5,543
  Shanghai Bailian Group Co. Ltd. Class B 3,653,716 5,526
  Shanghai International Airport Co. Ltd. Class A (XSSC) 832,867 5,501
  Shandong Airlines Co. Ltd. Class B 2,960,917 5,501
* Kama Co. Ltd. Class B 5,203,252 5,499
  CSG Smart Science&Technology Co. Ltd. Class A 1,442,740 5,488
  Shanghai Jin Jiang International Hotels Group Co. Ltd. 15,214,000 5,483
  Bank of Chongqing Co. Ltd. 6,741,500 5,470
  TCL Corp. Class A 8,341,322 5,466
  Grandblue Environment Co. Ltd. Class A (XSSC) 2,267,860 5,462

 

10


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Xinjiang Machinery Research Institute Co. Ltd. Class A 3,095,904 5,425
  Dongxu Optoelectronic Technology Co. Ltd. Class A 3,465,608 5,410
^ Tianjin Capital Environmental Protection Group Co. Ltd. 8,411,967 5,364
  Muyuan Foodstuff Co. Ltd. Class A 751,408 5,341
*,3 Kuang-Chi Technologies Co. Ltd. Class A 972,473 5,340
* ZTE Corp. Class A (XSHE) 1,094,565 5,334
2 Shengjing Bank Co. Ltd. 6,793,666 5,322
  Dongjiang Environmental Co. Ltd. Class A 2,163,866 5,311
* BeiGene Ltd. ADR 57,533 5,310
  Shanghai Jinjiang International Travel Co. Ltd. Class B 1,764,490 5,305
  China International Travel Service Corp. Ltd. Class A (XSSC) 843,736 5,268
  Zhejiang Wanfeng Auto Wheel Co. Ltd. Class A 2,014,166 5,249
* West China Cement Ltd. 32,984,000 5,244
^ Xtep International Holdings Ltd. 15,845,000 5,244
  Beijing Orient Landscape & Environment Co. Ltd. Class A (XSHE) 1,539,482 5,225
^ CITIC Resources Holdings Ltd. 47,873,345 5,222
*,3 China Shipbuilding Industry Co. Ltd. Class A (XSSC) 5,565,452 5,215
  LONGi Green Energy Technology Co. Ltd. Class A (XSSC) 1,051,340 5,209
  Shanghai RAAS Blood Products Co. Ltd. Class A 1,704,422 5,185
  Sunshine City Group Co. Ltd. Class A 4,762,383 5,181
  Yonghui Superstores Co. Ltd. Class A (XSSC) 3,529,775 5,144
  Tianqi Lithium Corp. Class A (XSHE) 447,543 5,135
  Hangzhou Robam Appliances Co. Ltd. Class A 731,804 5,133
* NanJi E-Commerce Co. Ltd. Class A 2,214,572 5,132
  Hisense Kelon Electrical Holdings Co. Ltd. Class A 2,097,006 5,125
  Ningbo Zhoushan Port Co. Ltd. Class A 5,301,983 5,113
  Guosen Securities Co. Ltd. Class A 2,592,241 5,107
  Shaanxi Coal Industry Co. Ltd. Class A 4,300,834 5,106
  Shanghai International Port Group Co. Ltd. Class A (XSSC) 3,899,232 5,085
  China Oil & Gas Group Ltd. 74,800,000 5,084
* China United Network Communications Ltd. Class A (XSHG) 4,397,800 5,075
  Dongxing Securities Co. Ltd. Class A (XSHG) 1,987,701 5,065
3 Shanghai Oriental Pearl Media Co. Ltd. Class A (XSSC) 1,646,242 5,060
  Jiangsu Yanghe Brewery Joint-Stock Co. Ltd. Class A (XSEC) 303,309 5,051
  Sinotrans Shipping Ltd. 17,586,500 5,027
  China Fangda Group Co. Ltd. Class B 7,946,481 5,025
*,^ Bitauto Holdings Ltd. ADR 111,080 5,017
^,2 Cosmo Lady China Holdings Co. Ltd. 12,523,000 5,013
* C C Land Holdings Ltd. 22,974,500 5,009
  Daqin Railway Co. Ltd. Class A (XSHG) 3,643,120 5,005
* Siasun Robot & Automation Co. Ltd. Class A 1,599,651 5,003
*,^ China Modern Dairy Holdings Ltd. 24,155,500 4,952
  STO Express Co. Ltd. Class A 1,175,776 4,913
^ Wasion Group Holdings Ltd. 9,490,000 4,881
  Zhejiang Longsheng Group Co. Ltd. Class A (XSSC) 3,137,250 4,869
  Shanxi Meijin Energy Co. Ltd. Class A 3,808,107 4,856
* Hangzhou Steam Turbine Co. Ltd. Class B 4,722,804 4,842
  Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A 548,676 4,839
  Kangde Xin Composite Material Group Co. Ltd. Class A (XSEC) 1,314,500 4,828
  Apeloa Pharmaceutical Co. Ltd. Class A 4,437,221 4,822
  Shenzhen Salubris Pharmaceuticals Co. Ltd. Class A 903,553 4,811
  Tianqi Lithium Corp. Class A (XSEC) 418,899 4,807
  Heilan Home Co. Ltd. Class A (XSSC) 3,256,579 4,783
  Bank of Communications Co. Ltd. Class A (XSHG) 5,057,900 4,748
  Greenland Holdings Corp. Ltd. Class A 4,164,281 4,733
  Youngor Group Co. Ltd. Class A (XSSC) 3,232,132 4,728
  Hangzhou Tigermed Consulting Co. Ltd. Class A 983,697 4,714
  Poly Culture Group Corp. Ltd. 1,955,900 4,707
  Bank of Beijing Co. Ltd. Class A (XSHG) 4,245,408 4,703
  Zijin Mining Group Co. Ltd. Class A (XSSC) 8,385,300 4,670
  TCL Multimedia Technology Holdings Ltd. 8,654,000 4,659
  Beijing Capital Retailing Group Co. Ltd. Class A 3,481,950 4,647
  Huaneng Power International Inc. Class A (XSSC) 4,530,197 4,601
  Tonghua Dongbao Pharmaceutical Co. Ltd. Class A (XSSC) 1,403,040 4,580

 

11


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Jiangxi Boya Bio-Pharmaceutical Co. Ltd. Class A 871,200 4,563
  Shanying International Holding Co. Ltd. Class A (XSSC) 6,235,561 4,547
  Suofeiya Home Collection Co. Ltd. Class A 773,978 4,545
  Anxin Trust Co. Ltd. Class A (XSSC) 2,149,298 4,511
  BBMG Corp. Class A (XSSC) 5,057,870 4,505
  Sichuan Kelun Pharmaceutical Co. Ltd. Class A 1,412,112 4,502
  Shanghai Shimao Co. Ltd. Class A (XSSC) 5,815,416 4,494
  Shenzhen Techand Ecology & Environment Co. Ltd. Class A 2,023,100 4,491
  Foshan Electrical and Lighting Co. Ltd. Class B 5,622,601 4,483
  Kingnet Network Co. Ltd. Class A 1,294,888 4,475
  Wanhua Chemical Group Co. Ltd. Class A (XSSC) 798,665 4,472
  Guangdong Haid Group Co. Ltd. Class A (XSEC) 1,511,459 4,471
* Founder Securities Co. Ltd. Class A (XSSC) 3,762,813 4,460
  Tsingtao Brewery Co. Ltd. Class A (XSSC) 853,586 4,453
  Shenzhen Chiwan Wharf Holdings Ltd. Class B 2,617,518 4,445
  Xishui Strong Year Co. Ltd. Inner Mongolia Class A 1,097,404 4,438
  Beijing Sanju Environmental Protection and New Material Co. Ltd. Class A (XSEC) 835,292 4,425
  Air China Ltd. Class A (XSHG) 3,077,214 4,408
^ Dawnrays Pharmaceutical Holdings Ltd. 7,412,000 4,391
  BlueFocus Communication Group Co. Ltd. Class A 3,944,983 4,389
  China Railway Group Ltd. Class A (XSHG) 3,248,829 4,389
*,3 Cultural Investment Holdings Co. Ltd. Class A 1,293,929 4,387
  Huangshan Tourism Development Co. Ltd. Class B 2,926,303 4,386
  Shenzhen Liantronics Co. Ltd. Class A 1,522,629 4,379
  CITIC Guoan Information Industry Co. Ltd. Class A 2,563,300 4,343
3 YunNan Metropolitan Real Estate Development Co. Ltd. Class A (XSSC) 5,508,778 4,339
  Sunvim Group Co. Ltd. Class A 4,106,800 4,332
  Beijing Sanju Environmental Protection and New Material Co. Ltd. Class A (XSHE) 817,560 4,330
  Western Securities Co. Ltd. Class A 2,020,851 4,320
3 Leshi Internet Information & Technology Corp. Beijing Class A (XSHE) 1,860,084 4,303
  Zhongshan Public Utilities Group Co. Ltd. Class A 2,683,836 4,298
  Shandong Nanshan Aluminum Co. Ltd. Class A 7,338,395 4,288
  AVIC Aircraft Co. Ltd. Class A (XSHE) 1,540,402 4,274
*,3 Coolpad Group Ltd. 46,232,600 4,267
*,^ Carnival Group International Holdings Ltd. 84,096,877 4,259
  Greenland Hong Kong Holdings Ltd. 8,872,000 4,254
  Huaxia Bank Co. Ltd. Class A (XSHG) 3,088,291 4,239
  Meinian Onehealth Healthcare Holdings Co. Ltd. Class A (XSHE) 1,467,977 4,235
  BYD Co. Ltd. Class A (XSEC) 444,238 4,227
  Hengtong Optic-electric Co. Ltd. Class A (XSSC) 761,682 4,222
  Hytera Communications Corp. Ltd. Class A 1,454,565 4,211
  Beijing Watertek Information Technology Co. Ltd. Class A (XSEC) 1,921,846 4,208
  GF Securities Co. Ltd. Class A (XSEC) 1,569,400 4,202
  Shanghai Huayi Group Corp. Ltd. Class B 4,398,334 4,189
  Dongguan Development Holdings Co. Ltd. Class A 2,257,901 4,167
  Bank of Nanjing Co. Ltd. Class A (XSSC) 3,452,568 4,154
  China Resources Sanjiu Medical & Pharmaceutical Co. Ltd. Class A 974,679 4,149
  Aisino Corp. Class A 1,461,426 4,136
* Walvax Biotechnology Co. Ltd. Class A 1,524,857 4,127
  China Northern Rare Earth Group High-Tech Co. Ltd. Class A (XSSC) 1,881,240 4,125
  RiseSun Real Estate Development Co. Ltd. Class A 2,871,785 4,118
  Fangda Carbon New Material Co. Ltd. Class A (XSSC) 934,100 4,110
  Shenzhen Yitoa Intelligent Control Co. Ltd. Class A 3,503,650 4,109
  Zhejiang Dahua Technology Co. Ltd. Class A (XSEC) 980,623 4,108
* Luxi Chemical Group Co. Ltd. Class A 2,352,888 4,107
  Shandong Gold Mining Co. Ltd. Class A (XSSC) 921,650 4,103
  Ningbo Joyson Electronic Corp. Class A (XSHG) 682,733 4,101
  Zhejiang Kaishan Compressor Co. Ltd. Class A 1,553,008 4,095
  China Everbright Bank Co. Ltd. Class A (XSHG) 6,695,800 4,083
  China Shineway Pharmaceutical Group Ltd. 4,354,000 4,081
  Shandong Huatai Paper Industry Shareholding Co. Ltd. Class A 3,886,792 4,077
  Shanghai Diesel Engine Co. Ltd. Class B 5,079,470 4,068
  Shandong Himile Mechanical Science & Technology Co. Ltd. Class A 1,322,857 4,055
  Tsingtao Brewery Co. Ltd. Class A (XSHG) 773,551 4,035

 

12


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Tengda Construction Group Co. Ltd. Class A 5,529,299 4,006
  Gemdale Corp. Class A (XSSC) 2,233,107 3,991
  361 Degrees International Ltd. 10,465,000 3,986
* Glorious Property Holdings Ltd. 36,481,000 3,975
  Xinhua Winshare Publishing and Media Co. Ltd. Class A 1,796,153 3,974
* Sinolink Worldwide Holdings Ltd. 26,494,000 3,974
  East Money Information Co. Ltd. Class A (XSEC) 2,129,500 3,973
  Industrial Securities Co. Ltd. Class A (XSSC) 3,352,265 3,963
  China Minsheng Banking Corp. Ltd. Class A (XSSC) 3,167,032 3,963
* Tatwah Smartech Co. Ltd. Class A 1,303,958 3,952
  Xinhua Winshare Publishing and Media Co. Ltd. 4,532,937 3,936
  Shanghai Industrial Urban Development Group Ltd. 18,104,000 3,903
  Shanghai International Airport Co. Ltd. Class A (XSHG) 587,126 3,878
  Wintime Energy Co. Ltd. Class A (XSSC) 7,316,650 3,876
  AECC Aviation Power Co. Ltd. Class A (XSHG) 844,113 3,875
^ China All Access Holdings Ltd. 13,186,000 3,872
  Weichai Power Co. Ltd. Class A (XSHE) 3,047,078 3,841
  Bank of Shanghai Co. Ltd. Class A 1,434,680 3,817
  Avic Capital Co. Ltd. Class A (XSSC) 4,125,848 3,816
* Huadian Energy Co. Ltd. Class B 7,910,644 3,805
  Guangdong No 2 Hydropower Engineering Co. Ltd. Class A 6,032,274 3,800
  CITIC Securities Co. Ltd. Class A (XSSC) 1,449,600 3,790
  Jiangxi Ganyue Expressway Co. Ltd. Class A (XSSC) 4,762,342 3,788
  Inner Mongolia M-Grass Ecology And Enviroment Group Co. Ltd. Class A 1,735,520 3,783
  Wuhu Shunrong Sanqi Interactive Entertainment Network Technology Co. Ltd. Class A 1,106,667 3,769
  Jiangling Motors Corp. Ltd. Class B 1,965,170 3,769
  Foshan Haitian Flavouring & Food Co. Ltd. Class A (XSSC) 485,336 3,756
  Changjiang Securities Co. Ltd. Class A 2,745,424 3,731
  Beijing New Building Materials plc Class A (XSEC) 1,054,697 3,726
* Shang Gong Group Co. Ltd. Class B 3,678,113 3,724
  Sinopec Shanghai Petrochemical Co. Ltd. Class A 3,861,940 3,696
  Chongqing Sokon Industry Group Co. Ltd. Class A 1,047,628 3,648
  Zhejiang Conba Pharmaceutical Co. Ltd. Class A (XSSC) 3,108,461 3,641
  Shenzhen Sunway Communication Co. Ltd. Class A (XSEC) 481,325 3,637
  Concord New Energy Group Ltd. 74,560,000 3,634
  Huayi Brothers Media Corp. Class A 2,727,702 3,611
*,3 China Shipbuilding Industry Co. Ltd. Class A (XSHG) 3,837,900 3,596
  Bohai Financial Investment Holding Co. Ltd. Class A 3,732,242 3,595
3 Beijing Xinwei Technology Group Co. Ltd. Class A 1,627,766 3,584
  Future Land Holdings Co. Ltd. Class A (XSHG) 1,159,973 3,577
  Qingling Motors Co. Ltd. 10,526,000 3,576
* Tongling Nonferrous Metals Group Co. Ltd. Class A 8,082,400 3,552
  Shandong Linglong Tyre Co. Ltd. Class A 1,213,391 3,552
3 Beijing Shiji Information Technology Co. Ltd. Class A (XSHE) 979,307 3,538
  Tahoe Group Co. Ltd. Class A 1,330,114 3,535
  Guangzhou Baiyun International Airport Co. Ltd. Class A 1,671,947 3,526
  NavInfo Co. Ltd. Class A 908,800 3,518
  Zhejiang Supor Cookware Co. Ltd. Class A 556,819 3,494
  Jiangsu Guotai International Group Guomao Co. Ltd. Class A (XSEC) 2,275,771 3,486
* China Greatwall Technology Group Co. Ltd. Class A 2,938,488 3,486
  Shanghai Zhenhua Heavy Industries Co. Ltd. Class A 3,820,033 3,470
  Qingdao TGOOD Electric Co. Ltd. Class A 1,447,916 3,459
  Hesteel Co. Ltd. Class A (XSEC) 5,459,083 3,455
  Chongqing Changan Automobile Co. Ltd. Class A 1,695,900 3,454
  Shanghai International Port Group Co. Ltd. Class A (XSHG) 2,640,400 3,443
* China Power Clean Energy Development Co. Ltd. 5,746,000 3,442
  Sanan Optoelectronics Co. Ltd. Class A (XSHG) 882,400 3,441
^ Sinosoft Technology Group Ltd. 11,211,800 3,437
*,3 Hua Han Health Industry Holdings Ltd. 50,548,000 3,434
  Unisplendour Corp. Ltd. Class A (XSEC) 358,505 3,419
  Tus-Sound Environmental Resources Co. Ltd. Class A 603,916 3,419
* Bengang Steel Plates Co. Ltd. Class B 8,157,311 3,410
  Everbright Jiabao Co. Ltd. Class A 1,157,224 3,408
  By-health Co. Ltd. Class A 1,642,219 3,406

 

13


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Shenzhen Sunway Communication Co. Ltd. Class A (XSHE) 447,624 3,382
  Jiangsu Lianfa Textile Co. Ltd. Class A 1,568,252 3,361
  Yinyi Real Estate Co. Ltd. Class A 2,405,411 3,334
  China Nuclear Engineering Corp. Ltd. Class A 1,920,882 3,331
3 Kingenta Ecological Engineering Group Co. Ltd. Cla (XSEC) 2,390,483 3,304
* Beijing Centergate Technologies Holding Co. Ltd. Class A 2,953,440 3,298
  Huayuan Property Co. Ltd. Class A (XSSC) 5,225,205 3,273
* GCL System Integration Technology Co. Ltd. Class A 5,274,325 3,272
  Oceanwide Holdings Co. Ltd. Class A 2,790,994 3,271
  Holitech Technology Co. Ltd. Class A 1,706,396 3,270
3 Kingenta Ecological Engineering Group Co. Ltd. Cla (XSHE) 2,362,788 3,267
  Sunwoda Electronic Co. Ltd. Class A 1,881,380 3,261
  Huayu Automotive Systems Co. Ltd. Class A (XSHG) 842,877 3,235
  Metallurgical Corp. of China Ltd. Class A (XSSC) 4,195,533 3,230
  Jinlong Machinery & Electronics Co. Ltd. Class A 1,520,985 3,225
*,^ North Mining Shares Co. Ltd. 156,730,000 3,214
* Caitong Securities Co. Ltd. Class A 929,500 3,213
  Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. Class A (XSSC) 661,594 3,211
  Xi'An Shaangu Power Co. Ltd. Class A (XSSC) 3,002,084 3,208
  Shenzhen Centralcon Investment Holding Co. Ltd. Class A 1,260,744 3,202
  Shanghai Yimin Commerce Group Co. Ltd. Class A (XSSC) 3,750,104 3,198
  Kangmei Pharmaceutical Co. Ltd. Class A (XSHG) 988,000 3,184
  Poly Real Estate Group Co. Ltd. Class A (XSHG) 1,912,852 3,144
  Sichuan Road & Bridge Co. Ltd. Class A (XSSC) 4,719,850 3,142
* Inner Mongolia BaoTou Steel Union Co. Ltd. Class A (XSHG) 7,999,740 3,140
  GD Power Development Co. Ltd. Class A (XSHG) 6,103,116 3,114
  Wuhan Department Store Group Co. Ltd. Class A 1,132,677 3,107
  Bright Dairy & Food Co. Ltd. Class A (XSSC) 1,410,000 3,105
  Jiangsu Phoenix Publishing & Media Corp. Ltd. Class A (XSSC) 2,252,506 3,104
  Zhejiang Sanhua Intelligent Controls Co. Ltd. Class A (XSHE) 1,148,411 3,101
  Hubei Dinglong Co. Ltd. Class A 2,133,008 3,089
  Guoyuan Securities Co. Ltd. Class A 1,654,275 3,081
  Chengdu Kanghong Pharmaceutical Group Co. Ltd. Class A 335,400 3,080
  Shanghai Shibei Hi-Tech Co. Ltd. Class B 5,203,124 3,075
*,^ Chiho Environmental Group Ltd. 6,128,000 3,074
  Fujian Expressway Development Co. Ltd. Class A (XSSC) 5,302,318 3,072
  China Construction Bank Corp. Class A 2,843,388 3,072
  Wangfujing Group Co. Ltd. Class A (XSSC) 1,023,642 3,057
  Shandong Bohui Paper Industrial Co. Ltd. Class A 3,243,600 3,051
  Suzhou Anjie Technology Co. Ltd. Class A 462,649 3,045
  Shengyi Technology Co. Ltd. Class A (XSSC) 1,325,283 3,040
  Zhejiang Huace Film & TV Co. Ltd. Class A 1,831,924 3,033
3 Zhongtian Financial Group Co. Ltd. Class A (XSHE) 2,734,166 3,032
  Shanxi Taigang Stainless Steel Co. Ltd. Class A 3,923,876 3,028
  Beijing Jingneng Power Co. Ltd. Class A (XSSC) 5,005,703 3,022
* Xinhu Zhongbao Co. Ltd. Class A (XSSC) 4,659,001 3,009
  Weiqiao Textile Co. 5,755,500 3,003
  Tianjin Guangyu Development Co. Ltd. Class A 1,360,000 2,995
  Joincare Pharmaceutical Group Industry Co. Ltd. Class A (XSSC) 1,774,588 2,993
  Xinxiang Chemical Fiber Co. Ltd. Class A 4,549,049 2,987
  Easysight Supply Chain Management Co. Ltd. Class A 1,721,088 2,986
  Ajisen China Holdings Ltd. 6,358,000 2,985
  Shanghai Highly Group Co. Ltd. Class A 1,408,500 2,982
  Zhejiang Narada Power Source Co. Ltd. Class A 1,161,462 2,980
  Offshore Oil Engineering Co. Ltd. Class A (XSSC) 3,187,570 2,980
* China Huiyuan Juice Group Ltd. 9,358,500 2,975
  Hubei Biocause Pharmaceutical Co. Ltd. Class A (XSEC) 2,149,300 2,967
  Shanghai Pharmaceuticals Holding Co. Ltd. Class A (XSHG) 784,985 2,961
  Guangdong Electric Power Development Co. Ltd. Class A 3,812,800 2,958
  YTO Express Group Co. Ltd. Class A 911,106 2,956
*,^ Rentian Technology Holdings Ltd. 61,479,713 2,956
* Sany Heavy Equipment International Holdings Co. Ltd. 16,694,000 2,955
  China Quanjude Group Co. Ltd. Class A 952,758 2,953
  Shanghai Pudong Road & Bridge Construction Co. Ltd. Class A (XSSC) 1,799,036 2,948

 

14


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Qinghai Salt Lake Industry Co. Ltd. Class A (XSHE) 1,262,100 2,941
  Tianjin Chase Sun Pharmaceutical Co. Ltd. Class A 4,475,005 2,938
  Changchun Faway Automobile Components Co. Ltd. Class A (XSSC) 974,654 2,937
  Financial Street Holdings Co. Ltd. Class A 1,676,851 2,937
  Hainan Airlines Co. Ltd. Class A (XSSC) 6,003,000 2,926
  Luthai Textile Co. Ltd. Class A 1,702,491 2,923
  Zhengzhou Yutong Bus Co. Ltd. Class A (XSSC) 760,514 2,921
* Shanghai Phoenix Enterprise Group Co. Ltd. Class B 3,009,500 2,919
  Sichuan Chuantou Energy Co. Ltd. Class A (XSSC) 1,925,161 2,908
3 Nanjing Xinjiekou Department Store Co. Ltd. Class A (XSSC) 499,409 2,905
  China National Accord Medicines Corp. Ltd. Class A 283,867 2,872
  China XD Electric Co. Ltd. Class A (XSSC) 3,641,107 2,869
  Power Construction Corp. of China Ltd. Class A (XSHG) 2,430,302 2,869
*,^ China Water Industry Group Ltd. 13,196,000 2,858
  Joeone Co. Ltd. Class A 1,211,177 2,854
* Zhejiang Huge Leaf Co. Ltd. Class A 2,624,440 2,845
  Central China Land Media Co. Ltd. Class A 1,857,208 2,842
  Global Top E-Commerce Co. Ltd. Class A (XSHE) 929,940 2,838
  Lomon Billions Group Co. Ltd. Class A 1,061,625 2,837
  Dong-E-E-Jiao Co. Ltd. Class A 293,067 2,834
  Southwest Securities Co. Ltd. Class A (XSSC) 3,433,481 2,829
  Huapont Life Sciences Co. Ltd. Class A (XSEC) 2,451,901 2,820
  Venustech Group Inc. Class A 779,436 2,818
  Eve Energy Co. Ltd. Class A 830,262 2,809
  Foshan Nationstar Optoelectronics Co. Ltd. Class A 850,525 2,809
  Jiangsu Broadcasting Cable Information Network Corp. Ltd. Class A (XSSC) 1,849,689 2,808
  China Electronics Optics Valley Union Holding Co. Ltd. 29,536,000 2,806
* Lushang Property Co. Ltd. Class A 4,115,979 2,797
  Comba Telecom Systems Holdings Ltd. 15,251,740 2,796
  Suzhou Dongshan Precision Manufacturing Co. Ltd. Class A 549,760 2,784
  Emei Shan Tourism Co. Class A 1,722,471 2,771
  Beijing Yanjing Brewery Co. Ltd. Class A 2,895,858 2,766
  Jiangsu Zhongtian Technology Co. Ltd. Class A (XSHG) 1,385,900 2,765
  Neway Valve Suzhou Co. Ltd. Class A (XSSC) 1,035,581 2,765
* Tianjin Realty Development Group Co. Ltd. Class A 2,925,000 2,762
  China Fortune Land Development Co. Ltd. Class A (XSHG) 594,137 2,761
  Gansu Gangtai Holding Group Co. Ltd. Class A (XSSC) 1,441,067 2,754
  Jiangsu Hoperun Software Co. Ltd. Class A 1,613,146 2,750
  Shenzhen Energy Group Co. Ltd. Class A 2,848,058 2,747
* Shanghai Greencourt Investment Group Co. Ltd. Class B 4,733,900 2,746
  Beijing Oriental Yuhong Waterproof Technology Co. Ltd. Class A 466,881 2,736
* Beijing Hualian Hypermarket Co. Ltd. Class A 3,095,345 2,728
  Shanghai Fosun Pharmaceutical Group Co. Ltd. Class A (XSHG) 452,300 2,720
*,^ Yashili International Holdings Ltd. 12,124,000 2,720
  Changzhou Xingyu Automotive Lighting Systems Co. Ltd. Class A (XSSC) 341,901 2,709
  Chongqing Fuling Zhacai Group Co. Ltd. Class A 1,048,559 2,703
  Henan Zhongyuan Expressway Co. Ltd. Class A (XSSC) 3,398,481 2,703
  Inner Mongolia MengDian HuaNeng Thermal Power Corp. Ltd. Class A (XSSC) 5,879,228 2,697
  Luthai Textile Co. Ltd. Class B 2,415,793 2,685
  Guangdong Haid Group Co. Ltd. Class A (XSHE) 907,167 2,683
* Shanghai M&G Stationery Inc. Class A (XSSC) 765,333 2,677
  Beijing Ultrapower Software Co. Ltd. Class A 2,592,068 2,676
  Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd. Class A (XSSC) 3,455,340 2,671
  Huaxin Cement Co. Ltd. Class A (XSSC) 1,334,003 2,664
  Anhui Heli Co. Ltd. Class A (XSSC) 1,706,475 2,664
  Jiangxi Wannianqing Cement Co. Ltd. Class A 2,082,071 2,657
  Hubei Energy Group Co. Ltd. Class A 3,564,555 2,652
  New Hope Liuhe Co. Ltd. Class A (XSHE) 2,373,324 2,650
  Shenzhen Heungkong Holding Co. Ltd. Class A (XSSC) 5,179,468 2,650
  CNHTC Jinan Truck Co. Ltd. Class A 1,045,742 2,645
  China Film Co. Ltd. Class A 1,041,800 2,641
  Huaneng Power International Inc. Class A (XSHG) 2,599,994 2,641
  Tianshui Huatian Technology Co. Ltd. Class A 2,153,548 2,637
  Sichuan Xichang Electric Power Co. Ltd. Class A 2,178,399 2,637

 

15


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Shanxi Zhangze Electric Power Co. Ltd. Class A 5,356,146 2,627
* Zhejiang Sanhua Intelligent Controls Co. Ltd. Class A (XSEC) 968,669 2,616
Jinke Properties Group Co. Ltd. Class A 3,657,625 2,609
Iflytek Co. Ltd. Class A (XSEC) 322,300 2,608
China Railway Hi-tech Industry Co. Ltd. Class A (XSHG) 1,220,600 2,605
Lao Feng Xiang Co. Ltd. Class A (XSHG) 406,700 2,595
First Tractor Co. Ltd. 5,310,000 2,594
GRG Banking Equipment Co. Ltd. Class A 2,300,350 2,587
Shenzhen Jieshun Science And Technology Industry Co. Ltd. Class A (XSEC) 1,130,626 2,582
* Guizhou Tyre Co. Ltd. Class A 3,345,876 2,581
Yonghui Superstores Co. Ltd. Class A (XSHG) 1,770,600 2,580
Huaan Securities Co. Ltd. Class A 1,778,632 2,577
Nanyang Topsec Technologies Group Inc. Class A 879,332 2,576
Jiangsu Bicon Pharmaceutical Listed Co. Class A (XSHE) 645,100 2,576
Ourpalm Co. Ltd. Class A 2,485,861 2,567
Bluestar Adisseo Co. Class A 1,491,041 2,550
Cinda Real Estate Co. Ltd. Class A (XSSC) 2,798,896 2,547
Dalian Zeus Entertainment Group Co. Ltd. Class A 803,569 2,529
Guangzhou Grandbuy Co. Ltd. Class A 1,453,667 2,527
Hongfa Technology Co. Ltd. Class A (XSHG) 372,024 2,527
Suzhou Gold Mantis Construction Decoration Co. Ltd. Class A 1,219,705 2,523
China National Chemical Engineering Co. Ltd. Class A (XSHG) 2,490,177 2,523
* Tieling Newcity Investment Holding Ltd. Class A 4,028,153 2,518
BOE Technology Group Co. Ltd. Class A (XSEC) 2,678,600 2,515
Foshan Haitian Flavouring & Food Co. Ltd. Class A (XSHG) 324,216 2,509
Guizhou Xinbang Pharmaceutical Co. Ltd. Class A 1,840,931 2,508
Zhejiang China Commodities City Group Co. Ltd. Class A (XSSC) 2,366,478 2,504
Shandong Hualu Hengsheng Chemical Co. Ltd. Class A (XSSC) 1,265,163 2,502
China Wuyi Co. Ltd. Class A 1,285,140 2,501
Wuchan Zhongda Group Co. Ltd. Class A 2,179,156 2,499
AECC Aviation Power Co. Ltd. Class A (XSSC) 544,366 2,499
Inner Mongolia First Machinery Group Co. Ltd. Class A 1,296,286 2,496
Beijing Dabeinong Technology Group Co. Ltd. Class A (XSHE) 2,655,387 2,493
Jinzhou Port Co. Ltd. Class B 4,738,200 2,491
Hna-Caissa Travel Group Co. Ltd. Class A 1,127,931 2,484
Inzone Group Co. Ltd. Class A (XSHG) 1,987,631 2,482
Zhongyuan Environment-Protection Co. Ltd. Class A 915,779 2,482
Tongwei Co. Ltd. Class A (XSSC) 1,668,122 2,478
Bank of Guiyang Co. Ltd. Class A 1,108,565 2,475
Beijing SPC Environment Protection Tech Co. Ltd. Class A 697,821 2,473
Shanxi Xishan Coal & Electricity Power Co. Ltd. Class A (XSHE) 1,685,573 2,469
Bank of Jiangsu Co. Ltd. Class A 2,012,300 2,466
Yifan Pharmaceutical Co. Ltd. Class A 740,302 2,459
Shandong Pharmaceutical Glass Co. Ltd. Class A 762,210 2,458
China Merchants Energy Shipping Co. Ltd. Class A 3,204,169 2,457
GEM Co. Ltd. Class A 2,179,354 2,453
Tianjin ZhongXin Pharmaceutical Group Corp. Ltd. Class A (XSSC) 943,429 2,450
Sichuan Swellfun Co. Ltd. Class A 347,502 2,450
Zhengzhou Yutong Bus Co. Ltd. Class A (XSHG) 635,800 2,442
Inspur Electronic Information Industry Co. Ltd. Class A 911,884 2,440
Risen Energy Co. Ltd. Class A (XSEC) 1,243,770 2,436
TianGuang ZhongMao Co. Ltd. Class A (XSHE) 1,696,512 2,432
Sou Yu Te Group Co. Ltd. Class A 2,415,182 2,431
Zhejiang Zheneng Electric Power Co. Ltd. Class A (XSSC) 3,004,652 2,426
Shenzhen Airport Co. Ltd. Class A 1,820,428 2,424
China National Chemical Engineering Co. Ltd. Class A (XSSC) 2,391,725 2,423
Shenghe Resources Holding Co. Ltd. Class A 809,100 2,418
Ogawa Smart Healthcare Technology Group Co. Ltd. Class A 865,200 2,416
Tande Co. Ltd. Class A 3,429,500 2,412
Unisplendour Corp. Ltd. Class A (XSHE) 252,659 2,410
* Yunnan Aluminium Co. Ltd. Class A (XSEC) 1,335,552 2,409
Tibet Rhodiola Pharmaceutical Holding Co. Class A 400,469 2,407
Guangdong Taiantang Pharmaceutical Co. Ltd. Class A 1,691,178 2,405
* AVIC International Holding HK Ltd. 35,988,000 2,402

 

16


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Shanghai Jinjiang International Industrial Investment Co. Ltd. Class B 1,711,010 2,399
  Hubei Biocause Pharmaceutical Co. Ltd. Class A (XSHE) 1,733,900 2,393
^ China Singyes Solar Technologies Holdings Ltd. 6,664,000 2,393
  Jiangsu Changqing Agrochemical Co. Ltd. Class A 973,206 2,386
  Guoxuan High-Tech Co. Ltd. 526,361 2,385
  Chinese Universe Publishing and Media Co. Ltd. Class A 788,436 2,381
  Hesteel Co. Ltd. Class A (XSHE) 3,757,200 2,378
  Tianjin Teda Co. Ltd. Class A 2,999,443 2,377
  Zhejiang Jinke Culture Industry Co. Ltd. Class A 1,383,880 2,371
*,3 Shenzhen Hifuture Electric Co. Ltd. Class A 924,162 2,369
*,3 Jianxin Mining Co. Ltd. Class A 1,433,400 2,368
  Yihua Healthcare Co. Ltd. Class A (XSEC) 577,498 2,366
  Han's Laser Technology Industry Group Co. Ltd. Class A (XSHE) 327,400 2,365
* Shanghai Lingang Holdings Corp. Ltd. Class A 454,300 2,361
*,^ China Yurun Food Group Ltd. 19,588,149 2,361
  Shanxi Securities Co. Ltd. Class A 1,558,546 2,357
* Bus Online Co. Ltd. 644,556 2,344
  Huangshan Tourism Development Co. Ltd. Class A 1,000,088 2,344
* Hengli Petrochemical Co. Ltd. Class A 1,637,536 2,342
  Jilin Aodong Pharmaceutical Group Co. Ltd. Class A 652,876 2,339
  Northeast Securities Co. Ltd. Class A 1,604,558 2,339
  Sany Heavy Industry Co. Ltd. Class A (XSHG) 1,887,126 2,336
  Wuxi Lead Intelligent Equipment Co. Ltd. Class A 190,800 2,334
  Xinxing Ductile Iron Pipes Co. Ltd. Class A (XSEC) 2,591,500 2,328
2 Orient Securities Co. Ltd. 2,280,800 2,328
  Hefei Meiling Co. Ltd. Class A 2,685,828 2,319
  AVIC Jonhon Optronic Technology Co. Ltd. Class A 411,928 2,311
* Luoniushan Co. Ltd. Class A 1,769,907 2,309
* PCI-Suntek Technology Co. Ltd. Class A 1,516,958 2,309
  Huaxin Cement Co. Ltd. Class B 1,992,230 2,305
  Vatti Corp. Ltd. Class A 512,499 2,290
  Beijing Water Business Doctor Co. Ltd. Class A 778,474 2,288
  Shanghai Datun Energy Resources Co. Ltd. Class A 1,156,850 2,287
* Shenyang Jinbei Automotive Co. Ltd. Class A 2,404,601 2,285
  Beijing Tongrentang Co. Ltd. Class A (XSSC) 449,297 2,283
  Zhejiang Weixing New Building Materials Co. Ltd. Class A 840,211 2,283
  LONGi Green Energy Technology Co. Ltd. Class A (XSHG) 460,600 2,282
* Jointown Pharmaceutical Group Co. Ltd. Class A (XSSC) 730,895 2,282
  Guangdong Goworld Co. Ltd. Class A 943,044 2,279
  Yonggao Co. Ltd. Class A 2,933,059 2,275
  Shenzhen Feima International Supply Chain Co. Ltd. Class A 1,141,791 2,274
  Titan Wind Energy Suzhou Co. Ltd. Class A 2,323,572 2,273
  Wanxiang Qianchao Co. Ltd. Class A (XSHE) 1,320,379 2,271
  INESA Intelligent Tech Inc. Class B 3,144,066 2,268
* Hubei Yihua Chemical Industry Co. Ltd. Class A 3,040,156 2,267
* Yunnan Chihong Zinc & Germanium Co. Ltd. Class A (XSSC) 2,126,424 2,265
  Zhongbai Holdings Group Co. Ltd. Class A 1,547,097 2,265
3 Zhonghong Holding Co. Ltd. Class A (XSEC) 7,731,145 2,263
  East Money Information Co. Ltd. Class A (XSHE) 1,211,290 2,262
  Sinoma Science & Technology Co. Ltd. Class A 515,740 2,259
  Guosheng Financial Holding Inc. Class A (XSHE) 778,598 2,257
  Beijing Strong Biotechnologies Inc. Class A 884,285 2,257
  Zhejiang NHU Co. Ltd. Class A 586,751 2,255
*,^ China Logistics Property Holdings Co. Ltd. 6,635,813 2,255
  Nantong Square Cold Chain Equipment Co. Ltd. Class A 514,064 2,254
  CECEP Solar Energy Co. Ltd. Class A 2,436,430 2,248
  FAWER Automotive Parts Co. Ltd. Class A 1,734,461 2,246
  China South Publishing & Media Group Co. Ltd. Class A (XSSC) 1,032,349 2,245
* TOP Energy Co. Ltd. Shanxi Class A (XSHG) 2,903,744 2,244
  AVIC Electromechanical Systems Co. Ltd. Class A (XSHE) 1,371,348 2,244
  Ninestar Corp. Class A 498,987 2,236
3 Sansteel Minguang Co. Ltd. Fujian Class A 945,704 2,235
  Youzu Interactive Co. Ltd. Class A 608,916 2,233
  Hangzhou Weiguang Electronic Co. Ltd. Class A 366,700 2,222

 

17


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Guilin Tourism Co. Ltd. Class A 1,623,123 2,220
  Bright Real Estate Group Co. Ltd. Class A (XSSC) 1,919,057 2,216
  China Merchants Securities Co. Ltd. Class A (XSHG) 784,200 2,211
  Shenzhen Yan Tian Port Holding Co. Ltd. Class A 1,679,432 2,209
* Lianhua Supermarket Holdings Co. Ltd. 5,216,000 2,208
  Shenergy Co. Ltd. Class A (XSSC) 2,486,691 2,207
  Beijing New Building Materials plc Class A (XSHE) 623,500 2,202
  Jiuzhitang Co. Ltd. Class A 745,255 2,201
  Glodon Co. Ltd. Class A 732,431 2,192
  Harbin Gloria Pharmaceuticals Co. Ltd. Class A 2,133,075 2,185
* Northcom Group Co. Class A 635,480 2,185
  Shanghai Pharmaceuticals Holding Co. Ltd. Class A (XSSC) 578,794 2,183
* Zheshang Securities Co. Ltd. Class A 832,600 2,175
  Beijing Kunlun Tech Co. Ltd. Class A (XSEC) 603,356 2,175
  Guangzhou Hengyun Enterprises Holdings Ltd. Class A 1,557,076 2,174
  NARI Technology Co. Ltd. Class A (XSSC) 850,399 2,172
  Taiji Computer Corp. Ltd. Class A 504,001 2,169
  China CAMC Engineering Co. Ltd. Class A 664,318 2,165
  China High-Speed Railway Technology Co. Ltd. Class A 1,560,400 2,162
  Realcan Pharmaceutical Co. Ltd. Class A 1,015,910 2,160
  Fujian Zhangzhou Development Co. Ltd. Class A 3,250,833 2,159
  North China Pharmaceutical Co. Ltd. Class A 2,549,560 2,156
  JPMF Guangdong Co. Ltd. Class A 1,589,000 2,154
  Tasly Pharmaceutical Group Co. Ltd. Class A (XSSC) 374,447 2,152
* Shenzhen Wongtee International Enterprise Co. Ltd. Class A 1,074,724 2,152
  Shandong Chenming Paper Holdings Ltd. Class A 794,900 2,151
* Tianma Bearing Group Co. Ltd. Class A 1,367,151 2,147
  Anhui Conch Cement Co. Ltd. Class A (XSHG) 544,000 2,146
* Henan Dayou Energy Co. Ltd. Class A 2,820,670 2,146
  Sieyuan Electric Co. Ltd. Class A 787,700 2,141
  Fiyta Holdings Ltd. Class A 1,190,485 2,139
  Sichuan Hebang Biotechnology Co. Ltd. Class A (XSSC) 6,242,363 2,138
  Angang Steel Co. Ltd. Class A 2,266,055 2,136
  Hualan Biological Engineering Inc. Class A 493,321 2,134
*,3 Searainbow Holding Corp. Class A 567,316 2,134
  Shenzhen Tagen Group Co. Ltd. Class A 1,262,881 2,134
  Transfar Zhilian Co. Ltd. Class A 927,422 2,128
  China Minsheng Banking Corp. Ltd. Class A (XSHG) 1,694,800 2,121
  Angel Yeast Co. Ltd. Class A (XSHG) 484,793 2,109
  Xinjiang Tianfu Energy Co. Ltd. Class A (XSSC) 1,877,888 2,106
  Bank of Nanjing Co. Ltd. Class A (XSHG) 1,748,376 2,104
  Metro Land Corp. Ltd. Class A 2,013,684 2,103
  Shenzhen World Union Properties Consultancy Inc. Class A (XSHE) 1,106,550 2,101
  Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class A (XSSC) 596,995 2,100
  Shenzhen Yinghe Technology Co. Ltd. Class A 438,507 2,099
  Hundsun Technologies Inc. Class A (XSSC) 272,220 2,098
  Shenzhen Sunlord Electronics Co. Ltd. Class A 725,578 2,092
  China Gezhouba Group Co. Ltd. Class A (XSHG) 1,409,100 2,090
  Guangxi Wuzhou Communications Co. Ltd. Class A 2,330,405 2,089
  Yuan Longping High-tech Agriculture Co. Ltd. Class A (XSHE) 547,439 2,088
  Changchun High & New Technology Industries Inc. Class A 81,381 2,084
*,^,3 National Agricultural Holdings Ltd. 13,660,000 2,084
  Zoomlion Heavy Industry Science and Technology Co. Ltd. Class A 2,973,591 2,083
  Zhejiang Crystal-Optech Co. Ltd. Class A 485,204 2,083
  Rainbow Department Store Co. Ltd. Class A 915,733 2,078
  Meidu Energy Corp. Class A (XSSC) 2,309,881 2,077
  Guangdong Golden Dragon Development Inc. Class A 722,300 2,077
  Xinjiang Zhongtai Chemical Co. Ltd. Class A (XSHE) 961,315 2,077
  INESA Intelligent Tech Inc. Class A 1,830,990 2,073
*,3 China Tianying Inc. Class A 2,041,714 2,070
* Shandong Hi-Speed Road & Bridge Co. Ltd. Class A 1,782,000 2,066
  Huadian Power International Corp. Ltd. Class A (XSSC) 3,213,300 2,066
* Shenma Industry Co. Ltd. Class A 1,715,449 2,064
  Shaanxi International Trust Co. Ltd. Class A 2,682,600 2,063

 

18


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Sany Heavy Industry Co. Ltd. Class A (XSSC) 1,657,301 2,051
  Jiangsu Hongdou Industrial Co. Ltd. Class A (XSSC) 1,938,467 2,046
  Guangshen Railway Co. Ltd. Class A (XSSC) 2,686,634 2,044
  Hangxiao Steel Structure Co. Ltd. Class A 1,145,151 2,041
  JSTI Group Class A 741,820 2,038
  Accelink Technologies Co. Ltd. Class A 513,948 2,027
* Shanghai Zhongyida Co. Ltd. Class B 4,643,648 2,026
  TBEA Co. Ltd. Class A (XSHG) 1,336,069 2,025
  Sealand Securities Co. Ltd. Class A 2,444,050 2,023
  Shanghai Pret Composites Co. Ltd. Class A (XSHE) 510,444 2,021
  Fiberhome Telecommunication Technologies Co. Ltd. Class A (XSSC) 395,854 2,019
  Shanghai Zhangjiang High-Tech Park Development Co. Ltd. Class A (XSSC) 768,700 2,017
  Hengdian Group DMEGC Magnetics Co. Ltd. Class A 1,241,400 2,017
  Neoglory Prosperity Inc. Class A 1,027,689 2,016
  Guangxi Liugong Machinery Co. Ltd. Class A 1,498,378 2,011
* Beijing Shougang Co. Ltd. Class A (XSHE) 1,993,600 2,008
3 Nanjing Xinjiekou Department Store Co. Ltd. Class A (XSHG) 345,011 2,007
  China Eastern Airlines Corp. Ltd. Class A (XSHG) 1,928,700 2,006
  Inner Mongolia Xingye Mining Co. Ltd. Class A 1,276,772 2,004
  Zibo Qixiang Tengda Chemical Co. Ltd. Class A 1,117,520 2,001
  Zhejiang Chint Electrics Co. Ltd. Class A (XSHG) 520,558 2,001
  Yonyou Network Technology Co. Ltd. Class A (XSSC) 570,162 1,997
* Tianjin Hi-Tech Development Co. Ltd. Class A 2,247,302 1,997
  Shanghai Tianchen Co. Ltd. Class A 1,088,338 1,997
  Shenzhen Fuanna Bedding and Furnishing Co. Ltd. Class A 1,309,240 1,986
  Tasly Pharmaceutical Group Co. Ltd. Class A (XSHG) 344,530 1,980
  Guangzhou Haige Communications Group Inc. Co. Class A 1,201,147 1,980
  Tibet Tianlu Co. Ltd. Class A 1,313,049 1,979
  Anxin Trust Co. Ltd. Class A (XSHG) 942,040 1,977
  Infore Environment Technology Group Co. Ltd. Class A 1,290,887 1,976
*,^ Capital Environment Holdings Ltd. 42,118,000 1,974
  Fujian Newland Computer Co. Ltd. Class A 618,095 1,973
  China Gezhouba Group Co. Ltd. Class A (XSSC) 1,329,375 1,972
* Anyang Iron & Steel Inc. Class A 2,944,180 1,970
  Jiangsu Nhwa Pharmaceutical Co. Ltd. Class A 849,296 1,969
  TangShan Port Group Co. Ltd. Class A (XSSC) 2,651,489 1,968
  Shenzhen Everwin Precision Technology Co. Ltd. Class A 397,066 1,964
  CGN Nuclear Technology Development Co. Ltd. Class A 809,829 1,964
  Beijing Capital Co. Ltd. Class A (XSSC) 2,205,443 1,961
  Jiangsu Zhongnan Construction Group Co. Ltd. Class A 2,118,077 1,961
  Xiamen Tungsten Co. Ltd. Class A (XSSC) 467,438 1,959
  Beijing Capital Development Co. Ltd. Class A (XSSC) 1,203,111 1,958
  China Galaxy Securities Co. Ltd. Class A 995,320 1,957
  Dare Power Dekor Home Co. Ltd. Class A 562,739 1,956
  China World Trade Center Co. Ltd. Class A (XSSC) 724,135 1,954
*,^ China Chengtong Development Group Ltd. 26,228,000 1,952
*,3 Jiangsu Shagang Co. Ltd. Class A 801,300 1,949
  Staidson Beijing Biopharmaceuticals Co. Ltd. Class A 831,119 1,945
  Beijing Dalong Weiye Real Estate Development Co. Ltd. Class A 2,920,409 1,943
  Beijing Electronic Zone Investment and Development Co. Ltd. Class A 1,208,621 1,941
  Wangsu Science & Technology Co. Ltd. Class A (XSHE) 1,245,519 1,940
  Shandong Hualu Hengsheng Chemical Co. Ltd. Class A (XSHG) 975,586 1,929
* Tangshan Jidong Cement Co. Ltd. Class A 851,877 1,929
  Jiangsu Asia-Pacific Light Alloy Technology Co. Ltd. Class A 1,778,766 1,928
  Jiangsu Zhongtian Technology Co. Ltd. Class A (XSSC) 965,100 1,926
  Fujian Longking Co. Ltd. Class A (XSSC) 718,680 1,925
  Xinjiang Tianshan Cement Co. Ltd. Class A 1,061,720 1,924
  Shenergy Co. Ltd. Class A (XSHG) 2,163,979 1,921
  Midea Group Co. Ltd. Class A (XSEC) 248,700 1,914
  Tibet Summit Industry Co. Ltd. Class A 285,589 1,914
  Moon Environment Technology Co. Ltd. Class A 1,411,584 1,913
  Guangdong Tapai Group Co. Ltd. Class A 931,036 1,912
  Zhejiang Weixing Industrial Development Co. Ltd. Class A 1,163,954 1,911
* Yechiu Metal Recycling China Ltd. Class A 2,802,500 1,908

 

19


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Luolai Lifestyle Technology Co. Ltd. Class A (XSHE) 1,008,394 1,908
  Anhui Zhongding Sealing Parts Co. Ltd. Class A (XSHE) 644,765 1,905
  Beijing Orient Landscape & Environment Co. Ltd. Class A (XSEC) 561,100 1,905
  Hithink RoyalFlush Information Network Co. Ltd. Class A (XSEC) 223,559 1,903
*,^ Baozun Inc. ADR 60,632 1,903
  Guizhou Bailing Group Pharmaceutical Co. Ltd. Class A 681,807 1,903
  Beijing UniStrong Science & Technology Co. Ltd. Class A 758,400 1,899
  Hangzhou Binjiang Real Estate Group Co. Ltd. Class A 1,801,683 1,898
* Hunan Jingfeng Pharmaceutical Co. Ltd. Class A 1,759,953 1,897
  Centre Testing International Group Co. Ltd. Class A 2,668,112 1,893
* Oppein Home Group Inc. Class A 106,355 1,891
  Jiangsu Hengli Hydraulic Co. Ltd. Class A 583,100 1,889
  Guangzhou Pearl River Industrial Development Co. Ltd. Class A (XSSC) 1,836,239 1,888
  Guangzhou Port Co. Ltd. Class A 1,745,300 1,882
  Fantasia Holdings Group Co. Ltd. 13,203,000 1,880
  Bank of Hangzhou Co. Ltd. Class A 968,520 1,879
* Yintai Resources Co. Ltd. Class A 906,456 1,874
*,3 Jiangsu Protruly Vision Technology Group Co. Ltd. Class A (XSHG) 1,193,900 1,872
* Joyoung Co. Ltd. Class A 682,392 1,871
  Greattown Holdings Ltd. Class A (XSHG) 1,641,600 1,871
  Hybio Pharmaceutical Co. Ltd. Class A 815,691 1,867
  Alpha Group Class A 827,701 1,865
*,3 Yangguang Co. Ltd. Class A 1,520,002 1,865
  Guangxi Wuzhou Zhongheng Group Co. Ltd. Class A (XSSC) 2,950,603 1,857
  Sinolink Securities Co. Ltd. Class A (XSSC) 1,143,000 1,857
3 Jiangsu Yoke Technology Co. Ltd. Class A 582,200 1,856
  Guangshen Railway Co. Ltd. Class A (XSHG) 2,437,700 1,855
* Xin Jiang Ready Health Industry Co. Ltd. Class A 1,328,260 1,854
  Xinjiang Goldwind Science & Technology Co. Ltd. Class A 850,862 1,849
  China Shipbuilding Industry Group Power Co. Ltd. Class A (XSSC) 462,637 1,848
* Shenzhen Neptunus Bioengineering Co. Ltd. Class A 1,950,950 1,846
  Tianjin Port Development Holdings Ltd. 11,774,000 1,844
2 Beijing Urban Construction Design & Development Group Co. Ltd. 3,189,000 1,844
  Shenzhen Gas Corp. Ltd. Class A (XSSC) 1,475,375 1,844
  Yingkou Port Liability Co. Ltd. Class A 3,501,300 1,843
* PW Medtech Group Ltd. 8,819,000 1,843
  Unigroup Guoxin Co. Ltd. Class A 374,793 1,838
* Hangzhou Hangyang Co. Ltd. Class A 926,150 1,835
  Heilan Home Co. Ltd. Class A (XSHG) 1,249,331 1,835
  Zhejiang Xianju Pharmaceutical Co. Ltd. Class A 1,294,950 1,835
* Hangzhou Iron & Steel Co. Class A 1,702,674 1,833
  Hubei Fuxing Science And Technology Co. Ltd. Class A 987,200 1,832
  Zhuzhou Kibing Group Co. Ltd. Class A (XSSC) 2,479,714 1,831
  Sichuan Chuantou Energy Co. Ltd. Class A (XSHG) 1,208,700 1,826
  Wonders Information Co. Ltd. Class A 911,000 1,823
  BTG Hotels Group Co. Ltd. Class A 416,436 1,822
  Norinco International Cooperation Ltd. Class A 483,900 1,820
  Eastern Communications Co. Ltd. Class A (XSSC) 1,682,562 1,819
  Hongrun Construction Group Co. Ltd. Class A 2,146,046 1,817
* Wuhan East Lake High Technology Group Co. Ltd. Class A 1,182,050 1,817
  Shenzhen Grandland Group Co. Ltd. Class A 1,277,051 1,814
  TBEA Co. Ltd. Class A (XSSC) 1,196,958 1,814
  Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A (XSSC) 177,127 1,811
  Hubei Jumpcan Pharmaceutical Co. Ltd. Class A (XSSC) 294,047 1,810
* Shanxi Guoxin Energy Corp. Ltd. Class A (XSSC) 1,479,242 1,809
* Fujian Dongbai Group Co. Ltd. Class A 992,900 1,806
  Anhui Jinhe Industrial Co. Ltd. Class A 513,300 1,806
  Gansu Qilianshan Cement Group Co. Ltd. Class A (XSSC) 999,850 1,801
  Jiangsu Changbao Steeltube Co. Ltd. Class A 2,189,654 1,796
*,3 Suzhou Hailu Heavy Industry Co. Ltd. Class A 1,456,715 1,795
  Greattown Holdings Ltd. Class A (XSSC) 1,572,121 1,792
  Wuhu Conch Profiles and Science Co. Ltd. Class A 1,315,613 1,791
* Baoding Tianwei Baobian Electric Co. Ltd. Class A 1,526,601 1,791
  Shanghai Shyndec Pharmaceutical Co. Ltd. Class A 831,538 1,790

 

20


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Shandong Sun Paper Industry JSC Ltd. Class A 1,277,100 1,787
  Zhongjin Gold Corp. Ltd. Class A (XSSC) 1,174,812 1,787
  Changchunjingkai Group Co. Ltd. Class A 1,151,871 1,784
  Sichuan Tuopai Shede Wine Co. Ltd. Class A 254,113 1,784
  Shenzhen Deren Electronic Co. Ltd. Class A 505,251 1,774
  Hithink RoyalFlush Information Network Co. Ltd. Class A (XSHE) 208,328 1,774
* Qingdao Hengshun Zhongsheng Group Co. Ltd. Class A 808,606 1,772
  Cachet Pharmaceutical Co. Ltd. Class A 343,843 1,772
  Hengyi Petrochemical Co. Ltd. Class A (XSEC) 758,500 1,769
  Oriental Energy Co. Ltd. Class A 1,067,921 1,767
  AVIC Aircraft Co. Ltd. Class A (XSEC) 636,800 1,767
* Shenzhen Huiding Technology Co. Ltd. Class A 110,147 1,767
  Lingyuan Iron & Steel Co. Ltd. Class A 2,019,700 1,766
  Suning Universal Co. Ltd. Class A 2,183,210 1,760
  China Jushi Co. Ltd. Class A (XSSC) 891,165 1,758
  Shandong Buchang Pharmaceuticals Co. Ltd. Class A 158,652 1,757
  Luyang Energy-Saving Materials Co. Ltd. 815,727 1,757
  Shaan Xi Provincial Natural Gas Co. Ltd. Class A 1,388,989 1,755
  Hainan Airlines Co. Ltd. Class A (XSHG) 3,599,600 1,755
  China Resources Double Crane Pharmaceutical Co. Ltd. Class A (XSHG) 511,285 1,752
2 Everbright Securities Co. Ltd. 1,264,800 1,746
  Gosuncn Technology Group Co. Ltd. Class A 821,227 1,743
  Zhejiang Huahai Pharmaceutical Co. Ltd. Class A (XSHG) 464,144 1,740
* Contemporary Eastern Investment Co. Ltd. Class A 980,025 1,740
  Beijing SL Pharmaceutical Co. Ltd. Class A 345,900 1,737
  Yiwu Huading Nylon Co. Ltd. Class A 990,139 1,731
  SDIC Power Holdings Co. Ltd. Class A (XSHG) 1,529,000 1,731
  Fortune Ng Fung Food Hebei Co. Ltd. Class A 930,674 1,729
  Ningbo Sanxing Electric Co. Ltd. Class A (XSSC) 1,089,936 1,728
* Ningxia Western Venture Industrial Co. Ltd. Class A 2,071,451 1,726
* Beijing Vantone Real Estate Co. Ltd. Class A 2,640,410 1,722
*,3 China CSSC Holdings Ltd. Class A (XSSC) 460,980 1,716
  Jiangsu Wujiang China Eastern Silk Market Co. Ltd. Class A 2,029,853 1,715
  Hengtong Optic-electric Co. Ltd. Class A (XSHG) 309,400 1,715
  Shenzhen Fastprint Circuit Tech Co. Ltd. Class A 1,947,300 1,714
  Eastern Gold Jade Co. Ltd. Class A 1,062,360 1,712
* Yunnan Coal Energy Co. Ltd. Class A 2,410,493 1,707
* Heilongjiang Interchina Water Treatment Co. Ltd. Class A 2,623,124 1,706
  Gemdale Corp. Class A (XSHG) 953,400 1,704
  Jiangsu Sunrain Solar Energy Co. Ltd. Class A 1,355,759 1,703
*,3 Beijing Tensyn Digital Marketing Technology JSC Class A 755,700 1,702
* Yunnan Aluminium Co. Ltd. Class A (XSHE) 943,800 1,702
  Zhejiang Zheneng Electric Power Co. Ltd. Class A (XSHG) 2,095,862 1,692
^ Enerchina Holdings Ltd. 83,896,500 1,691
*,3 Zhonglu Co. Ltd. Class B 1,084,642 1,690
  Wolong Electric Group Co. Ltd. Class A (XSSC) 1,287,033 1,690
  Jiangsu Broadcasting Cable Information Network Corp. Ltd. Class A (XSHG) 1,112,150 1,689
  Hunan Friendship & Apollo Commercial Co. Ltd. Class A 1,641,000 1,687
* Kangxin New Materials Co. Ltd. Class A 1,153,880 1,686
  Tongding Interconnection Information Co. Ltd. Class A 858,300 1,680
  Beijing North Star Co. Ltd. Class A (XSSC) 1,915,531 1,679
  Hainan Haiyao Co. Ltd. Class A (XSEC) 844,915 1,677
  Changjiang & Jinggong Steel Building Group Co. Ltd. Class A (XSSC) 2,308,797 1,675
* Jiangsu Sunshine Co. Ltd. Class A 3,160,555 1,670
* Kaidi Ecological and Environmental Technology Co. Ltd. Class A 2,185,200 1,666
  Dr Peng Telecom & Media Group Co. Ltd. Class A (XSSC) 564,679 1,664
  Guangdong Baolihua New Energy Stock Co. Ltd. Class A 1,475,460 1,661
  Beijing Zhong Ke San Huan High-Tech Co. Ltd. Class A 689,408 1,658
  Hakim Unique Internet Co. Ltd. Class A 636,551 1,653
  Shenzhen Das Intellitech Co. Ltd. Class A 1,832,196 1,652
  Sino GeoPhysical Co. Ltd. Class A 446,065 1,651
  Jinyu Bio-Technology Co. Ltd. Class A (XSSC) 391,580 1,650
  Jihua Group Corp. Ltd. Class A (XSSC) 1,398,940 1,650
  Markor International Home Furnishings Co. Ltd. Class A 1,715,633 1,648

 

21


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Sunsea Telecommunications Co. Ltd. Class A 407,845 1,644
* Dezhan Healthcare Co. Ltd. Class A 1,444,422 1,642
  Ningbo Shanshan Co. Ltd. Class A (XSSC) 497,723 1,642
  Yangzhou Yangjie Electronic Technology Co. Ltd. Class A 431,004 1,641
  Jiangsu Yuyue Medical Equipment & Supply Co. Ltd. Class A 498,915 1,636
  Zhejiang Dun'An Artificial Environment Co. Ltd. Class A 1,111,291 1,634
* Wingtech Technology Co. Ltd. Class A 348,500 1,633
  Hunan Mendale Hometextile Co. Ltd. Class A 1,520,254 1,629
  Hefei Meiya Optoelectronic Technology Inc. Class A (XSEC) 594,958 1,628
  Shanghai Aerospace Automobile Electromechanical Co. Class A 1,444,129 1,628
*,^ China Beidahuang Industry Group Holdings Ltd. 33,798,000 1,625
  Guangdong Zhongsheng Pharmaceutical Co. Ltd. Class A (XSHE) 852,417 1,622
  UTour Group Co. Ltd. Class A 929,925 1,622
  HyUnion Holding Co. Ltd. Class A 1,013,582 1,622
  Hongda Xingye Co. Ltd. Class A 1,392,019 1,618
  China Baoan Group Co. Ltd. Class A 1,314,680 1,617
  Tiangong International Co. Ltd. 13,708,000 1,617
  Nanjing Pharmaceutical Co. Ltd. Class A 1,494,262 1,617
  Yunnan Wenshan Electric Power Co. Ltd. Class A 1,008,527 1,616
  Xiamen International Airport Co. Ltd. Class A (XSSC) 440,255 1,616
* Founder Securities Co. Ltd. Class A (XSHG) 1,362,890 1,615
  Shenyang Chemical Industry Class A 1,716,100 1,614
  Hubei Xinyangfeng Fertilizer Co. Ltd. Class A 1,008,156 1,613
3 Shanghai Oriental Pearl Media Co. Ltd. Class A (XSHG) 524,612 1,612
* Shandong Sinobioway Biomedicine Co. Ltd. Class A 506,060 1,612
  Meisheng Cultural & Creative Corp. Ltd. Class A 553,282 1,611
  Huayi Compressor Co. Ltd. Class A 1,592,880 1,610
  Chengzhi Co. Ltd. Class A (XSEC) 607,300 1,609
  Shanghai Construction Group Co. Ltd. Class A (XSSC) 2,758,182 1,608
* Meson Fintech Co. Ltd. 307,640 1,607
* Danhua Chemical Technology Co. Ltd. Class A 1,794,610 1,606
  Huafa Industrial Co. Ltd. Zhuhai Class A (XSSC) 1,437,226 1,605
* Maanshan Iron & Steel Co. Ltd. Class A (XSSC) 2,539,472 1,603
  Yibin Tianyuan Group Co. Ltd. Class A 1,120,929 1,603
  Guangdong Vanward New Electric Co. Ltd. Class A 498,189 1,602
  Huafu Fashion Co. Ltd. Class A 907,007 1,596
  Pacific Securities Co. Ltd. Class A (XSSC) 2,676,600 1,596
  Shimge Pump Industry Group Co. Ltd. Class A 1,369,158 1,596
  Nanjing Gaoke Co. Ltd. Class A (XSSC) 713,193 1,596
  Shandong Hi-speed Co. Ltd. Class A (XSSC) 1,735,154 1,595
* Guangdong Huatie Tongda High-speed Railway Equipment Corp. Class A 1,116,230 1,594
* Tianjin Jinbin Development Co. Ltd. Class A 2,589,100 1,594
  Beijing SDL Technology Co. Ltd. Class A 716,927 1,593
  Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A (XSHG) 155,775 1,592
  Nanjing Chixia Development Co. Ltd. Class A 1,765,800 1,589
  Anhui Honglu Steel Construction Group Co. Ltd. Class A 650,805 1,589
  NAURA Technology Group Co. Ltd. Class A 317,300 1,586
  Guangdong Xinbao Electrical Appliances Holdings Co. Ltd. Class A 804,713 1,586
  Canny Elevator Co. Ltd. Class A (XSEC) 1,052,077 1,585
  Gree Real Estate Co. Ltd. Class A (XSSC) 1,721,028 1,582
  Wuhan Yangtze Communications Industry Group Co. Ltd. Class A 375,860 1,580
  Guangzhou Guangri Stock Co. Ltd. Class A (XSHG) 961,200 1,580
* Sunny Loan Top Co. Ltd. Class A (XSSC) 1,074,547 1,579
*,3 Shenwu Energy Saving Co. Ltd. Class A 361,405 1,579
  Shenzhen Bauing Construction Holding Group Co. Ltd. Class A 1,084,024 1,579
  Sichuan Languang Development Co. Ltd. Class A (XSHG) 1,219,900 1,578
*,3 China Fiber Optic Network System Group Ltd. 17,564,000 1,576
* Hunan Dakang International Food & Agriculture Co. Ltd. Class A 3,566,835 1,572
  Gansu Jingyuan Coal Industry and Electricity Power Co. Ltd. Class A 2,791,386 1,568
  Xinyu Iron & Steel Co. Ltd. Class A 1,870,600 1,565
  Jointo Energy Investment Co. Ltd. Hebei Class A 1,058,144 1,565
  Guangzhou Tinci Materials Technology Co. Ltd. Class A 215,981 1,563
  Zhejiang Juhua Co. Ltd. Class A (XSSC) 882,019 1,558
  Zhejiang Haiyue Co. Ltd. Class A (XSSC) 893,841 1,555

 

22


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Create Technology & Science Co. Ltd. Class A 1,136,256 1,554
Zhejiang Semir Garment Co. Ltd. Class A (XSHE) 1,353,320 1,553
* Hunan Valin Steel Co. Ltd. Class A 1,254,700 1,552
Jolywood Suzhou Sunwatt Co. Ltd. Class A 248,744 1,552
Beijing Lier High-temperature Materials Co. Ltd. Class A 1,731,571 1,551
* Orient Group Inc. Class A (XSSC) 2,059,211 1,551
Shenzhen Hepalink Pharmaceutical Group Co. Ltd. Class A 634,480 1,549
* Shandong Iron and Steel Co. Ltd. Class A 4,441,710 1,542
3 Guangdong East Power Co. Ltd. Class A 1,175,600 1,541
Shanghai Highly Group Co. Ltd. Class B 1,732,974 1,539
* Sichuan Meifeng Chemical IND Class A 1,301,751 1,539
* GuangYuYuan Chinese Herbal Medicine Co. Ltd. Class A 242,100 1,538
Zhengzhou Sino Crystal Diamond Co. Ltd. Class A 759,964 1,538
Changzhou Xingyu Automotive Lighting Systems Co. Ltd. Class A (XSHG) 194,117 1,538
Kunming Yunnei Power Co. Ltd. Class A 2,646,054 1,537
Fujian Sunner Development Co. Ltd. Class A (XSHE) 652,847 1,536
Shanghai Xujiahui Commercial Co. Ltd. Class A 786,770 1,535
Jilin Liyuan Precision Manufacturing Co. Ltd. Class A 943,730 1,534
* Zhejiang Huafeng Spandex Co. Ltd. Class A 1,999,101 1,527
Henan Hengxing Science & Technology Co. Ltd. Class A 1,720,395 1,527
C&S Paper Co. Ltd. Class A 677,700 1,524
3 Inner Mongolia Lantai Industrial Co. Ltd. Class A 802,400 1,524
* Huatian Hotel Group Co. Ltd. Class A 2,175,677 1,523
China Communications Construction Co. Ltd. Class A 669,000 1,523
Suzhou New District Hi-Tech Industrial Co. Ltd. Class A (XSSC) 1,415,906 1,519
Hubei Sanxia New Building Material Co. Ltd. Class A 1,092,825 1,518
Beijing Lanxum Technology Co. Ltd. Class A 866,539 1,517
Guilin Sanjin Pharmaceutical Co. Ltd. Class A 563,464 1,515
* Guangzhou Echom Science & Technology Co. Ltd. Class A 1,605,500 1,512
Hangzhou Lianluo Interactive Information Technology Co. Ltd. Class A (XSEC) 1,161,700 1,512
Tianjin Port Co. Ltd. Class A (XSHG) 878,396 1,511
Leyard Optoelectronic Co. Ltd. Class A (XSHE) 449,844 1,511
Shaanxi J&R Optimum Energy Co. Ltd. Class A (XSHE) 1,017,168 1,511
Zhejiang Dian Diagnostics Co. Ltd. Class A 354,237 1,510
BYD Co. Ltd. Class A (XSHE) 158,600 1,509
Lier Chemical Co. Ltd. Class A 707,644 1,508
Guodian Changyuan Electric Power Co. Ltd. Class A 2,237,894 1,507
Hubei Chutian Expressway Co. Ltd. Class A 1,807,951 1,506
Shanxi Lu'an Environmental Energy Development Co. Ltd. Class A (XSHG) 1,066,800 1,505
Fujian Funeng Co. Ltd. Class A (XSHG) 1,105,261 1,504
Shanghai Shibei Hi-Tech Co. Ltd. Class A 1,141,730 1,503
Chongqing Department Store Co. Ltd. Class A 374,760 1,502
Haining China Leather Market Co. Ltd. Class A 1,252,410 1,500
Guangdong Fenghua Advanced Technology Holding Co. Ltd. Class A 1,084,395 1,499
Shandong Shanda WIT Science & Tech Co. Ltd. Class A 273,150 1,499
* H&R Century Union Corp. Class A 1,231,176 1,499
Nanjing Redsun Co. Ltd. Class A 462,551 1,498
Wuxi Commercial Mansion Grand Orient Co. Ltd. Class A (XSSC) 1,240,338 1,498
Langold Real Estate Co. Ltd. Class A 1,962,979 1,497
Guangdong Dongfang Precision Science & Technology Co. Ltd. Class A 763,020 1,496
* Tonghua Golden-Horse Pharmaceutical Industry Co. Ltd. Class A (XSEC) 708,878 1,496
Westone Information Industry Inc. Class A 429,179 1,494
Insigma Technology Co. Ltd. Class A 728,100 1,494
SooChow Securities Co. Ltd. Class A (XSSC) 913,430 1,494
Xiamen Port Development Co. Ltd. Class A 739,716 1,493
* Shenzhen Kondarl Group Co. Ltd. Class A 414,279 1,493
3 Guangdong Sunwill Precising Plastic Co. Ltd. Class A 618,660 1,492
^ China Electronics Corp. Holdings Co. Ltd. 8,296,000 1,491
China Media Group Class A 962,720 1,489
Chuying Agro-pastora Group Co. Ltd. Class A 2,227,192 1,486
^ China Merchants Land Ltd. 7,872,000 1,484
Jiangsu Bicon Pharmaceutical Listed Co. Class A (XSEC) 371,639 1,484
* Hanwang Technology Co. Ltd. Class A 333,500 1,482
Sunflower Pharmaceutical Group Co. Ltd. Class A 302,054 1,481

 

23


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Tianjin Lisheng Pharmaceutical Co. Ltd. Class A 270,403 1,481
  Zhejiang Jingsheng Mechanical & Electrical Co. Ltd. Class A 586,275 1,478
  Shijiazhuang Changshan BeiMing Technology Co. Ltd. Class A 999,275 1,476
  CCS Supply Chain Management Co. Ltd. Class A (XSSC) 755,328 1,476
  Tonghua Dongbao Pharmaceutical Co. Ltd. Class A (XSHG) 451,184 1,473
  XCMG Construction Machinery Co. Ltd. Class A 2,593,215 1,472
3 Northern United Publishing & Media Group Co. Ltd. Class A 1,073,800 1,470
  Shanghai East China Computer Co. Ltd. Class A (XSSC) 474,730 1,469
*,3 Digital China Group Co. Ltd. Class A (XSHE) 450,736 1,469
* Shanghai Bairun Investment Holding Group Co. Ltd. Class A 581,853 1,468
  Chongqing Brewery Co. Ltd. Class A 464,151 1,467
  Changyuan Group Ltd. Class A (XSHG) 522,960 1,464
  Tellhow Sci-Tech Co. Ltd. Class A 756,834 1,464
  Jiangxi Copper Co. Ltd. Class A 548,544 1,462
  Guizhou Guihang Automotive Components Co. Ltd. Class A 549,703 1,462
  Beijing Shouhang Resources Saving Co. Ltd. Class A 1,272,541 1,460
  Shenzhen Desay Battery Technology Co. Class A 184,400 1,458
  Huagong Tech Co. Ltd. Class A 536,500 1,457
  Jiangsu Chengxing Phosph-Chemicals Co. Ltd. Class A 1,678,333 1,457
  NARI Technology Co. Ltd. Class A (XSHG) 570,200 1,456
* Datang Huayin Electric Power Co. Ltd. Class A 2,052,700 1,456
  LingNan Landscape Co. Ltd. Class A (XSHE) 316,500 1,455
  Kuangda Technology Group Co. Ltd. Class A 1,736,484 1,455
  Hangzhou Century Co. Ltd. Class A 799,700 1,455
  China Spacesat Co. Ltd. Class A (XSSC) 358,897 1,455
  Zhejiang Hisoar Pharmaceutical Co. Ltd. Class A (XSHE) 1,479,817 1,454
  Guorui Properties Ltd. 4,925,000 1,453
  North Electro-Optic Co. Ltd. Class A 494,561 1,449
* Hubei Mailyard Share Co. Ltd. Class A 787,600 1,447
  Hang Zhou Great Star Industrial Co. Ltd. Class A 601,900 1,445
  Qingdao Hanhe Cable Co. Ltd. Class A (XSHE) 2,629,604 1,445
  Nanfang Zhongjin Environment Co. Ltd. Class A 623,052 1,445
  China Eastern Airlines Corp. Ltd. Class A (XSSC) 1,386,700 1,443
  Everbright Securities Co. Ltd. Class A (XSHG) 640,900 1,442
  Hefei Department Store Group Co. Ltd. Class A 1,084,817 1,441
  Tianjin Tianbao Infrastructure Co. Ltd. Class A 1,474,283 1,441
  Spring Airlines Co. Ltd. Class A (XSSC) 260,939 1,435
* Inner Mongolia Yuan Xing Energy Co. Ltd. Class A 3,088,732 1,431
  Myhome Real Estate Development Group Co. Ltd. Class A 2,899,500 1,431
* Tonghua Golden-Horse Pharmaceutical Industry Co. Ltd. Class A (XSHE) 677,183 1,429
* Jilin Jian Yisheng Pharmaceutical Co. Ltd. Class A 915,086 1,428
  Grand Industrial Holding Group Co. Ltd. 602,984 1,428
* Jiangsu SINOJIT Wind Energy Technology Co. Ltd. Class A (XSSC) 2,323,427 1,427
* Liaoning Cheng Da Co. Ltd. Class A (XSSC) 510,220 1,426
  Shanghai Kaibao Pharmaceutical Co. Ltd. Class A 1,345,208 1,425
  Better Life Commercial Chain Share Co. Ltd. Class A 672,220 1,425
  Beijing BDStar Navigation Co. Ltd. Class A 339,651 1,424
  Leo Group Co. Ltd. Class A 2,993,280 1,423
  Shanghai Electric Power Co. Ltd. Class A (XSSC) 844,723 1,423
  Tianjin Development Holdings Ltd. 2,766,000 1,419
*,2 China Metal Resources Utilization Ltd. 3,616,000 1,419
* Shanghai Electric Group Co. Ltd. Class A (XSHG) 1,045,430 1,417
* Huadian Heavy Industries Co. Ltd. Class A (XSSC) 1,526,509 1,417
  Beijing Kunlun Tech Co. Ltd. Class A (XSHE) 392,631 1,415
  Liaoning SG Automotive Group Co. Ltd. Class A 926,034 1,415
* Shanghai Chinafortune Co. Ltd. Class A (XSSC) 812,561 1,413
  Zhejiang Hailiang Co. Ltd. Class A 1,087,716 1,413
*,^ Munsun Capital Group Ltd. 152,812,000 1,411
  Neusoft Corp. Class A (XSSC) 593,614 1,408
  Tsinghua Tongfang Co. Ltd. Class A (XSSC) 863,708 1,407
  Zhejiang Yasha Decoration Co. Ltd. Class A 1,071,760 1,406
* Sichuan Hongda Co. Ltd. Class A 1,560,500 1,403
  Guangdong Ellington Electronics Technology Co. Ltd. Class A (XSSC) 562,164 1,403
  Sinosteel Engineering & Technology Co. Ltd. Class A 1,202,994 1,402

 

24


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Suzhou Electrical Apparatus Science Academy Co. Ltd. Class A 884,800 1,400
  SDIC Power Holdings Co. Ltd. Class A (XSSC) 1,236,493 1,400
  Bros Eastern Co. Ltd. Class A (XSSC) 1,661,679 1,399
  Ningbo Huaxiang Electronic Co. Ltd. Class A 354,700 1,397
  Beijing Changjiu Logistics Corp. Class A 287,843 1,397
  Beijing Tongrentang Co. Ltd. Class A (XSHG) 274,800 1,397
2 Kangda International Environmental Co. Ltd. 5,524,000 1,396
  Shenzhen Guangju Energy Co. Ltd. Class A 684,388 1,393
  Sichuan Yahua Industrial Group Co. Ltd. Class A 545,100 1,393
  Shenzhen Capchem Technology Co. Ltd. Class A 415,900 1,392
  Kingsignal Technology Co. Ltd. Class A 477,200 1,390
* Shandong Xinhua Pharmaceutical Co. Ltd. Class A 531,109 1,386
* Sinopec Oilfield Service Corp. Class A 3,057,700 1,384
  Avic Capital Co. Ltd. Class A (XSHG) 1,493,800 1,382
  Shenzhen Huaqiang Industry Co. Ltd. Class A 372,600 1,378
  Jiangxi Special Electric Motor Co. Ltd. Class A 704,500 1,378
  Ningbo Ligong Environment And Energy Technology Co. Ltd. Class A 408,869 1,377
  Jiangsu Holly Corp. Class A 846,694 1,374
* Changchun Sinoenergy Corp. Class A (XSSC) 836,045 1,373
  Dawning Information Industry Co. Ltd. Class A (XSSC) 232,582 1,371
  Dongguan Winnerway Industrial Zone Ltd. Class A 1,608,200 1,371
3 Shaanxi Yanchang Petroleum Chemical Engineering Co. Ltd. Class A 1,639,667 1,371
  Shanghai Industrial Development Co. Ltd. Class A (XSSC) 1,323,492 1,370
  Shenzhen Laibao Hi-tech Co. Ltd. Class A 961,687 1,370
  Changyuan Group Ltd. Class A (XSSC) 488,983 1,369
  Fujian Star-net Communication Co. Ltd. Class A 369,581 1,369
  Shenzhen Comix Group Co. Ltd. Class A (XSEC) 506,357 1,362
  Guangzhou Pearl River Piano Group Co. Ltd. Class A 768,101 1,361
* Pengxin International Mining Co. Ltd. Class A 879,207 1,360
  Shanghai Jinqiao Export Processing Zone Development Co. Ltd. Class A 489,657 1,358
  Shanghai Yanhua Smartech Group Co. Ltd. Class A 704,400 1,355
* Changchun Sinoenergy Corp. Class A (XSHG) 823,800 1,353
* Baotailong New Materials Co. Ltd. Class A 820,700 1,352
  China Union Holdings Ltd. Class A 937,300 1,351
  Do-Fluoride Chemicals Co. Ltd. Class A 398,450 1,348
*,3 Aurora Optoelectronics Co. Ltd. Class A (XSHG) 513,198 1,347
3 HPGC Renmintongtai Pharmaceutical Corp. Class A (XSHG) 729,534 1,347
  Palm Eco-Town Development Co. Ltd. Class A 908,402 1,347
  Taihai Manoir Nuclear Equipment Co. Ltd. Class A 294,996 1,345
* Nuode Investment Co. Ltd. Class A 773,000 1,342
3 Maoye Communication and Network Co. Ltd. Class A 532,830 1,341
  Baoxiniao Holding Co. Ltd. Class A 2,412,700 1,340
  Shenzhen Kaifa Technology Co. Ltd. Class A 958,400 1,340
  China Shenhua Energy Co. Ltd. Class A (XSHG) 427,130 1,340
  Shenzhen Woer Heat-Shrinkable Material Co. Ltd. Class A 1,390,724 1,339
  Anhui Quanchai Engine Co. Ltd. Class A 1,043,078 1,339
  Shanghai Runda Medical Technology Co. Ltd. Class A 580,320 1,338
* Anhui Golden Seed Winery Co. Ltd. Class A 984,601 1,336
  Qingdao Huaren Pharmaceutical Co. Ltd. Class A 714,144 1,336
  Shandong Denghai Seeds Co. Ltd. Class A 683,618 1,336
  Guangdong Macro Co. Ltd. Class A 864,971 1,335
  DongFeng Automobile Co. Ltd. Class A 1,412,412 1,335
  Universal Scientific Industrial Shanghai Co. Ltd. Class A (XSSC) 576,952 1,334
  Hollysys Automation Technologies Ltd. 59,400 1,334
* Hainan Yedao Co. Ltd. Class A 919,500 1,333
  Jinzhou Cihang Group Co. Ltd. Class A 1,189,728 1,332
  Shenzhen Fenda Technology Co. Ltd. Class A (XSHE) 716,195 1,332
* Dongfang Electronics Co. Ltd. Class A 1,727,250 1,332
  Kunwu Jiuding Investment Holdings Co. Ltd. Class A (XSHG) 319,099 1,332
  Eternal Asia Supply Chain Management Ltd. Class A 1,037,500 1,330
  Hangzhou Advance Gearbox Group Co. Ltd. Class A 942,109 1,328
  Zhejiang Dilong Culture Development Co. Ltd. Class A 587,836 1,328
* China Rare Earth Holdings Ltd. 17,838,800 1,328
  Zhuhai Port Co. Ltd. Class A 853,300 1,326

 

25


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Taiyuan Heavy Industry Co. Ltd. Class A (XSSC) 2,206,513 1,326
  Zhejiang Yankon Group Co. Ltd. Class A (XSSC) 1,473,339 1,325
  Zhejiang Satellite Petrochemical Co. Ltd. Class A 601,905 1,325
  Chongqing Taiji Industry Group Co. Ltd. Class A 554,600 1,325
  Central China Securities Co. Ltd. Class A (XSHG) 1,063,100 1,325
  Tunghsu Azure Renewable Energy Co. Ltd. Class A 597,100 1,324
* Shandong Oriental Ocean Sci-Tech Co. Ltd. Class A (XSEC) 685,600 1,324
  Guangdong Homa Appliances Co. Ltd. Class A 393,265 1,321
  Metallurgical Corp. of China Ltd. Class A (XSHG) 1,714,400 1,320
  Jiangsu Linyang Energy Co. Ltd. Class A (XSSC) 998,525 1,319
  Shenzhen Agricultural Products Co. Ltd. Class A 1,056,629 1,317
  Goldenmax International Technology Ltd. Class A 538,100 1,317
  Guangzhou Zhujiang Brewery Co. Ltd. Class A 717,800 1,317
* Northeast Pharmaceutical Group Co. Ltd. Class A 759,012 1,316
  Wanxiang Qianchao Co. Ltd. Class A (XSEC) 764,600 1,315
  China Resources Double Crane Pharmaceutical Co. Ltd. Class A (XSSC) 383,626 1,314
  Shandong New Beiyang Information Technology Co. Ltd. Class A 721,300 1,310
  Tecon Biology Co. Ltd. Class A 1,063,904 1,307
  Cangzhou Mingzhu Plastic Co. Ltd. Class A 642,921 1,306
3 Shenzhen Zhenye Group Co. Ltd. Class A 878,400 1,306
* Jiangsu Akcome Science & Technology Co. Ltd. Class A 3,458,800 1,305
* Datang International Power Generation Co. Ltd. Class A (XSSC) 1,974,340 1,305
  Shandong Gold Mining Co. Ltd. Class A (XSHG) 293,000 1,304
* Shanghai Environment Group Co. Ltd. Class A (XSHG) 311,847 1,303
  Eastern Communications Co. Ltd. Class B 1,942,674 1,302
* Anhui Wanjiang Logistics Group Co. Ltd. Class A 2,035,500 1,302
  Laobaixing Pharmacy Chain JSC Class A (XSSC) 153,900 1,302
  Fujian Longxi Bearing Group Co. Ltd. Class A 804,399 1,299
  Humanwell Healthcare Group Co. Ltd. Class A (XSSC) 452,907 1,298
  Jiangsu Yabang Dyestuff Co. Ltd. Class A (XSSC) 469,788 1,298
  Western Mining Co. Ltd. Class A (XSSC) 1,053,500 1,297
  Puyang Refractories Group Co. Ltd. Class A 1,516,881 1,296
  Jiangsu King's Luck Brewery JSC Ltd. Class A (XSSC) 552,395 1,296
  Guangdong Shirongzhaoye Co. Ltd. Class A 916,961 1,295
  Fangda Special Steel Technology Co. Ltd. Class A (XSSC) 669,649 1,295
  Yunnan Tourism Co. Ltd. Class A 939,999 1,295
  China Southern Airlines Co. Ltd. Class A (XSSC) 983,183 1,295
*,3 Shangying Global Co. Ltd. Class A 337,100 1,293
  Tianjin Tianyao Pharmaceutical Co. Ltd. Class A 1,597,548 1,292
* Shandong Xinchao Energy Co. Ltd. Class A 2,095,700 1,291
  Xinzhi Motor Co. Ltd. Class A 262,300 1,290
  SDIC Essence Holdings Co. Ltd. Class A (XSSC) 559,500 1,290
  Shanghai Jahwa United Co. Ltd. Class A (XSHG) 232,700 1,289
  Aotecar New Energy Technology Co. Ltd. Class A 2,083,760 1,289
  Hunan Aihua Group Co. Ltd. Class A 225,620 1,288
* Chongqing Zaisheng Technology Corp. Ltd. Class A 578,923 1,288
* Zhengzhou Coal Industry & Electric Power Co. Ltd. Class A 1,363,912 1,287
  Yantai Tayho Advanced Materials Co. Ltd. Class A (XSHE) 668,261 1,287
  Hangzhou Lianluo Interactive Information Technology Co. Ltd. Class A (XSHE) 988,358 1,286
* Sinopec Oilfield Equipment Corp. Class A 748,494 1,283
  Beijing Sinnet Technology Co. Ltd. Class A (XSHE) 620,016 1,283
  Beijing Jingyuntong Technology Co. Ltd. Class A (XSSC) 1,596,888 1,280
  Yifeng Pharmacy Chain Co. Ltd. Class A (XSSC) 200,992 1,278
* Youngy Co. Ltd. Class A 183,076 1,277
  Xuchang Yuandong Drive Shaft Co. Ltd. Class A 1,033,700 1,277
* Shandong Oriental Ocean Sci-Tech Co. Ltd. Class A (XSHE) 660,600 1,275
  Chengdu Xingrong Environment Co. Ltd. Class A 1,448,400 1,275
* Anhui Liuguo Chemical Co. Ltd. Class A 1,319,100 1,275
  Xinjiang Yilite Industry Co. Ltd. Class A (XSHG) 342,900 1,273
  Harbin Boshi Automation Co. Ltd. Class A 740,755 1,272
  Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. Class A (XSHG) 262,000 1,272
  LianChuang Electronic Technology Co. Ltd. Class A 442,403 1,271
* Jilin Yatai Group Co. Ltd. Class A (XSSC) 1,597,167 1,271
3 Harbin Pharmaceutical Group Co. Ltd. Class A (XSSC) 1,447,577 1,269

 

26


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* G-bits Network Technology Xiamen Co. Ltd. Class A 39,600 1,268
Beijing Kingee Culture Development Co. Ltd. Class A (XSHE) 641,780 1,267
Shanghai Construction Group Co. Ltd. Class A (XSHG) 2,169,991 1,265
Shinva Medical Instrument Co. Ltd. Class A (XSSC) 493,041 1,265
Shanghai Jinjiang International Hotels Development Co. Ltd. Class A 269,824 1,264
Xinjiang Beixin Road & Bridge Group Co. Ltd. Class A 599,600 1,264
* HNA Innovation Co. Ltd. Class A 1,456,300 1,259
Rongsheng Petro Chemical Co. Ltd. Class A 841,131 1,258
Ningxia Building Materials Group Co. Ltd. Class A (XSSC) 634,288 1,258
Shenzhen Clou Electronics Co. Ltd. Class A 826,100 1,256
Beijing Urban & Rural Commercial Group Co. Ltd. Class A 740,548 1,255
Yuan Longping High-tech Agriculture Co. Ltd. Class A (XSEC) 329,100 1,255
Yunnan Hongxiang Yixintang Pharmaceutical Co. Ltd. Class A 417,554 1,254
Hainan Ruize New Building Material Co. Ltd. Class A 766,704 1,254
Shantou Dongfeng Printing Co. Ltd. Class A (XSSC) 757,046 1,253
Fujian Expressway Development Co. Ltd. Class A (XSHG) 2,156,400 1,250
Haoxiangni Jujube Co. Ltd. Class A 612,988 1,249
Huafon Microfibre Shanghai Co. Ltd. Class A 343,308 1,248
Zhejiang Hisun Pharmaceutical Co. Ltd. Class A (XSSC) 568,100 1,248
Henan Mingtai Al Industrial Co. Ltd. Class A 616,254 1,244
* Shanghai SMI Holding Co. Ltd. Class A (XSSC) 858,852 1,241
Changjiang Publishing & Media Co. Ltd. Class A 1,105,865 1,240
Shanghai Jiao Yun Co. Ltd. Class A (XSSC) 1,006,690 1,240
Guangdong Chj Industry Co. Ltd. Class A 727,900 1,234
Hilong Holding Ltd. 7,749,000 1,234
Henan Rebecca Hair Products Co. Ltd. Class A (XSSC) 1,442,294 1,234
Maoye Commericial Co. Ltd. Class A (XSSC) 1,210,937 1,234
Yantai Jereh Oilfield Services Group Co. Ltd. Class A 534,742 1,233
Shanghai Jinfeng Wine Co. Ltd. Class A 758,496 1,233
Haitong Securities Co. Ltd. Class A 564,115 1,233
Maoming Petro-Chemical Shihua Co. Ltd. Class A 1,284,209 1,233
* Jiangsu Sihuan Bioengineering Co. Ltd. Class A 1,119,200 1,233
Haisco Pharmaceutical Group Co. Ltd. Class A 636,064 1,232
Xiamen Faratronic Co. Ltd. Class A (XSSC) 148,115 1,232
Wasu Media Holding Co. Ltd. Class A (XSEC) 581,500 1,229
* Gem-Year Industrial Co. Ltd. Class A (XSSC) 746,111 1,229
Changchai Co. Ltd. Class A 1,196,785 1,228
* Shaanxi Fenghuo Electronics Co. Ltd. Class A 864,429 1,226
China Automotive Engineering Research Institute Co. Ltd. Class A 850,441 1,225
First Capital Securities Co. Ltd. Class A 711,520 1,225
* Hubei Kaile Science & Technology Co. Ltd. Class A (XSHG) 265,300 1,225
Zhongzhu Healthcare Holding Co. Ltd. Class A 1,060,760 1,224
China Northern Rare Earth Group High-Tech Co. Ltd. Class A (XSHG) 557,700 1,223
* V1 Group Ltd. 37,376,000 1,223
Guangxi Liuzhou Pharmaceutical Co. Ltd. Class A 149,269 1,221
Wenfeng Great World Chain Development Corp. Class A (XSSC) 1,921,613 1,218
Jizhong Energy Resources Co. Ltd. Class A 1,315,107 1,217
CMST Development Co. Ltd. Class A (XSSC) 779,838 1,215
Winning Health Technology Group Co. Ltd. Class A 1,090,814 1,214
Kunwu Jiuding Investment Holdings Co. Ltd. Class A (XSSC) 290,768 1,213
Sinochem International Corp. Class A (XSSC) 794,851 1,213
Guoguang Electric Co. Ltd. Class A 459,400 1,213
Jingwei Textile Machinery Co. Ltd. Class A 359,700 1,213
Shenzhen Zhongjin Lingnan Nonfemet Co. Ltd. Class A 721,700 1,212
* Jinduicheng Molybdenum Co. Ltd. Class A (XSSC) 1,035,740 1,212
* Datang International Power Generation Co. Ltd. Class A (XSHG) 1,831,400 1,211
Dalian Refrigeration Co. Ltd. Class A 1,193,220 1,210
North Navigation Control Technology Co. Ltd. Class A (XSSC) 597,204 1,207
* JC Finance & Tax Interconnect Holdings Ltd. Class A 296,900 1,207
China XD Electric Co. Ltd. Class A (XSHG) 1,531,400 1,207
Eastcompeace Technology Co. Ltd. Class A 767,109 1,206
* Jiangsu Hagong Intelligent Robot Co. Ltd. Class A 527,000 1,204
Sanquan Food Co. Ltd. Class A 896,000 1,203
Renhe Pharmacy Co. Ltd. Class A (XSEC) 1,332,501 1,203

 

27


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Shenzhen MTC Co. Ltd. Class A 2,237,255 1,202
  Shanghai AJ Group Co. Ltd. Class A (XSHG) 566,300 1,199
  China Nonferrous Metal Industry's Foreign Engineering and Construction Co. Ltd. Class A 1,132,500 1,199
* China Resource and Environment Co. Ltd. Class A 1,207,900 1,198
  Zhejiang Hailide New Material Co. Ltd. Class A 1,186,917 1,197
  Risen Energy Co. Ltd. Class A (XSHE) 610,625 1,196
  Shanghai Tofflon Science & Technology Co. Ltd. Class A 741,754 1,196
  Hainan Strait Shipping Co. Ltd. Class A 382,400 1,195
  Beijing Jingxi Culture & Tourism Co. Ltd. Class A 520,396 1,193
* Beijing Miteno Communication Technology Co. Ltd. Class A 202,639 1,192
  Shenzhen Invt Electric Co. Ltd. Class A 844,252 1,191
  Fiberhome Telecommunication Technologies Co. Ltd. Class A (XSHG) 233,300 1,190
  Baosheng Science and Technology Innovation Co. Ltd. Class A (XSSC) 1,454,355 1,190
  Zhongjin Gold Corp. Ltd. Class A (XSHG) 781,160 1,188
  Qingdao Doublestar Co. Ltd. Class A 1,264,900 1,188
  Tianjin Port Co. Ltd. Class A (XSSC) 689,783 1,187
  Fujian Torch Electron Technology Co. Ltd. Class A 271,012 1,186
  Zhuhai Orbita Control Engineering Co. Ltd. Class A 535,608 1,185
*,3 CITIC Guoan Wine Co. Ltd. Class A 1,041,500 1,182
  Wuhan Guide Infrared Co. Ltd. Class A 448,972 1,181
  Hengdeli Holdings Ltd. 23,036,000 1,181
* Jiaozuo Wanfang Aluminum Manufacturing Co. Ltd. Class A 763,986 1,180
  Avic Real Estate Holding Co. Ltd. Class A 744,416 1,179
  Yifeng Pharmacy Chain Co. Ltd. Class A (XSHG) 185,452 1,179
  Hubei Xingfa Chemicals Group Co. Ltd. Class A (XSSC) 442,875 1,179
* Liuzhou Liangmianzhen Co. Ltd. Class A 1,080,093 1,178
* Hainan Expressway Co. Ltd. Class A 1,056,400 1,178
  Zhejiang Daily Digital Culture Group Co. Ltd. (XSHG) 477,200 1,177
* MCC Meili Cloud Computing Industry Investment Co. Ltd. Class A 399,728 1,177
  Ningbo Medical System Biotechnology Co. Ltd. Class A 346,583 1,176
  Qingdao East Steel Tower Stock Co. Ltd. Class A 822,581 1,176
  Shanghai Baosteel Packaging Co. Ltd. Class A 1,258,200 1,175
  Fujian Septwolves Industry Co. Ltd. Class A 824,109 1,174
  Jiangsu Kanion Pharmaceutical Co. Ltd. Class A (XSHG) 505,566 1,173
  Inner Mongolia MengDian HuaNeng Thermal Power Corp. Ltd. Class A (XSHG) 2,555,201 1,172
  China Meheco Co. Ltd. Class A (XSSC) 281,360 1,171
  Dongxing Securities Co. Ltd. Class A (XSSC) 459,313 1,171
* Genimous Technology Co. Ltd. Class A 531,565 1,170
  Suzhou New Sea Union Telecom Technology Co. Ltd. Class A 1,214,400 1,168
  Hengyi Petrochemical Co. Ltd. Class A (XSHE) 500,114 1,166
  Topchoice Medical Investment Corp. Class A 263,079 1,166
  Jiangsu Expressway Co. Ltd. Class A (XSSC) 766,800 1,165
  First Tractor Co. Ltd. Class A (XSSC) 935,289 1,165
  Shenzhen Topway Video Communication Co. Ltd. Class A 625,920 1,163
  Sailun Jinyu Group Co. Ltd. (XSSC) 2,021,815 1,163
  Jiangsu Yangnong Chemical Co. Ltd. Class A (XSSC) 166,900 1,162
  Hangzhou First Applied Material Co. Ltd. Class A 196,490 1,161
  Sichuan Expressway Co. Ltd. Class A (XSSC) 1,682,510 1,160
*,3 Chengdu Qian Feng Electronics Co. Ltd. Class A 153,129 1,159
  Jinling Pharmaceutical Co. Ltd. Class A (XSHE) 758,131 1,159
  Shanghai Bailian Group Co. Ltd. Class A 479,788 1,159
* Wuhan Fingu Electronic Technology Co. Ltd. Class A 553,215 1,159
  Guangdong Advertising Group Co. Ltd. Class A 1,247,124 1,158
* China Aerospace Times Electronics Co. Ltd. Class A (XSHG) 924,160 1,155
  Beijing Join-Cheer Software Co. Ltd. Class A 636,090 1,154
* Beijing Sanyuan Foods Co. Ltd. Class A 1,155,178 1,154
  Beijing Bewinner Communications Co. Ltd. Class A 695,710 1,154
  Shenzhen YUTO Packaging Technology Co. Ltd. Class A 110,245 1,153
  Keda Group Co. Ltd. Class A (XSHG) 647,538 1,152
  TianGuang ZhongMao Co. Ltd. Class A (XSEC) 803,200 1,151
  Zhejiang Conba Pharmaceutical Co. Ltd. Class A (XSHG) 982,257 1,150
  Xiamen Xiangyu Co. Ltd. Class A 749,419 1,150
* Henan Taloph Pharmaceutical Stock Co. Ltd. Class A 1,275,030 1,149
  Beijing Shunxin Agriculture Co. Ltd. Class A 384,118 1,149

 

28


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Enjoyor Co. Ltd. Class A 602,900 1,148
  Hangzhou Shunwang Technology Co. Ltd. Class A (XSEC) 416,035 1,147
  Founder Technology Group Corp. Class A (XSSC) 2,014,872 1,146
  Shanghai Hanbell Precise Machinery Co. Ltd. Class A 560,880 1,146
  LingNan Landscape Co. Ltd. Class A (XSEC) 249,100 1,145
* Zhe Jiang Kangsheng Co. Ltd. Class A (XSEC) 841,000 1,145
  China CYTS Tours Holding Co. Ltd. Class A (XSSC) 367,868 1,144
* Datang Telecom Technology Co. Ltd. Class A 561,507 1,143
  Jiangsu Hongdou Industrial Co. Ltd. Class A (XSHG) 1,082,730 1,143
* Tech Pro Technology Development Ltd. 122,060,000 1,142
  China Railway Construction Corp. Ltd. Class A (XSHG) 631,100 1,141
  Anhui Huamao Textile Co. Class A 1,495,364 1,140
  Glarun Technology Co. Ltd. Class A (XSSC) 302,032 1,140
  Guangxi Nanning Waterworks Co. Ltd. Class A 730,159 1,140
* Baida Group Co. Ltd. Class A 767,300 1,140
  Dalian Yi Qiao Sea Cucumber Co. Ltd. Class A 1,223,662 1,139
  Xinxing Ductile Iron Pipes Co. Ltd. Class A (XSHE) 1,266,700 1,138
  Keda Clean Energy Co. Ltd. Class A (XSHG) 591,200 1,138
  Wintime Energy Co. Ltd. Class A (XSHG) 2,148,110 1,138
  Shenzhen Properties & Resources Development Group Ltd. Class A 389,552 1,137
  Xiamen Kingdomway Group Co. Class A 462,900 1,133
* New Huadu Supercenter Co. Ltd. Class A 589,800 1,132
* Nanjing Iron & Steel Co. Ltd. Class A 1,601,500 1,132
3 Tianjin Zhonghuan Semiconductor Co. Ltd. Class A 910,252 1,132
3 Zhongtian Financial Group Co. Ltd. Class A (XSEC) 1,019,212 1,130
  Zhejiang Xinan Chemical Industrial Group Co. Ltd. Class A (XSSC) 727,579 1,130
  Shanghai Zhixin Electric Co. Ltd. Class A (XSSC) 1,131,046 1,128
  Shenzhen Kstar Science And Technology Co. Ltd. Class A 429,004 1,128
  ENN Ecological Holdings Co. Ltd. Class A (XSHG) 505,614 1,126
  Zhejiang Zhongcheng Packing Material Co. Ltd. Class A 524,621 1,125
  Xiamen Kehua Hengsheng Co. Ltd. Class A 207,200 1,125
  Songz Automobile Air Conditioning Co. Ltd. Class A 552,297 1,124
  China Shipbuilding Industry Group Power Co. Ltd. Class A (XSHG) 279,700 1,118
  Huapont Life Sciences Co. Ltd. Class A (XSHE) 971,200 1,117
  Qinghai Huzhu Barley Wine Co. Ltd. Class A 433,000 1,115
  Ningbo Boway Alloy Material Co. Ltd. Class A 623,270 1,114
  Shanghai Kinetic Medical Co. Ltd. Class A 830,843 1,114
  Talkweb Information System Co. Ltd. Class A (XSHE) 844,649 1,113
* Xiamen King Long Motor Group Co. Ltd. Class A 458,046 1,113
  People.cn Co. Ltd. Class A (XSSC) 556,581 1,112
  Qingdao Hanhe Cable Co. Ltd. Class A (XSEC) 2,019,276 1,109
*,3 Mingfa Group International Co. Ltd. 4,570,000 1,107
* Changchun Gas Co. Ltd. Class A 1,091,800 1,106
  Jiangsu Dewei Advanced Materials Co. Ltd. Class A 1,164,200 1,104
  Yantai Tayho Advanced Materials Co. Ltd. Class A (XSEC) 572,800 1,103
* Anyuan Coal Industry Group Co. Ltd. Class A (XSSC) 1,812,542 1,103
  Black Peony Group Co. Ltd. Class A (XSSC) 983,187 1,102
* Rising Nonferrous Metals Share Co. Ltd. Class A 181,820 1,101
  North Huajin Chemical Industries Co. Ltd. Class A 687,903 1,100
  Zhejiang Jingxin Pharmaceutical Co. Ltd. Class A 582,116 1,099
  Hangzhou Boiler Group Co. Ltd. Class A 646,818 1,096
  CECEP Wind-Power Corp. Class A (XSSC) 1,938,694 1,095
  Fangda Special Steel Technology Co. Ltd. Class A (XSHG) 565,690 1,094
  Shenzhen SDG Information Co. Ltd. Class A 654,162 1,094
  Wangsu Science & Technology Co. Ltd. Class A (XSEC) 701,438 1,093
  Newcapec Electronics Co. Ltd. Class A 469,200 1,092
  Befar Group Co. Ltd. Class A (XSSC) 827,456 1,091
* Henan Ancai Hi-Tech Co. Ltd. Class A 1,024,750 1,090
  Jiangsu Lianyungang Port Co. Ltd. Class A 1,211,925 1,090
  Huangshan Novel Co. Ltd. Class A 584,144 1,087
  Offshore Oil Engineering Co. Ltd. Class A (XSHG) 1,162,500 1,087
  Focus Technology Co. Ltd. Class A 275,400 1,086
  Beyondsoft Corp. Class A 638,200 1,083
  Valiant Co. Ltd. Class A 510,250 1,083

 

29


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
China Meheco Co. Ltd. Class A (XSHG) 260,100 1,082
Baotou Huazi Industry Co. Ltd. Class A 606,000 1,082
Nanjing Kangni Mechanical & Electrical Co. Ltd. Class A 476,985 1,081
Beijing Science Sun Pharmaceutical Co. Ltd. Class A 226,961 1,081
Teamax Smart City Technology Corp. Ltd. Class A 432,700 1,078
Anhui Sierte Fertilizer Industry Ltd. Co. Class A 798,125 1,078
Xinjiang Zhongtai Chemical Co. Ltd. Class A (XSEC) 498,800 1,078
* Zhejiang Yongtai Technology Co. Ltd. Class A 502,960 1,076
Fujian Longma Environmental Sanitation Equipment Co. Ltd. Class A 229,300 1,075
China Animal Husbandry Industry Co. Ltd. Class A (XSSC) 370,713 1,075
Shanghai Tongji Science & Technology Industrial Co. Ltd. Class A (XSSC) 642,481 1,074
Zhejiang NetSun Co. Ltd. Class A 170,500 1,074
Befar Group Co. Ltd. Class A (XSHG) 814,263 1,074
* FAW CAR Co. Ltd. Class A 589,943 1,074
* CNNC Hua Yuan Titanium Dioxide Co. Ltd. Class A 1,148,100 1,073
Beijing Orient National Communication Science & Technology Co. Ltd. Class A 511,595 1,072
Lingyun Industrial Corp. Ltd. Class A (XSSC) 415,941 1,070
Jiajia Food Group Co. Ltd. Class A 1,089,263 1,070
Longmaster Information & Technology Co. Ltd. Class A 246,300 1,070
DeHua TB New Decoration Materials Co. Ltd. Class A 595,750 1,070
Zhejiang Red Dragonfly Footwear Co. Ltd. Class A 404,701 1,070
* Shanghai Yatong Co. Ltd. Class A 511,000 1,066
* Xinfengming Group Co. Ltd. Class A 185,100 1,065
Zhejiang Huamei Holding Co. Ltd. Class A 956,853 1,062
East China Engineering Science and Technology Co. Ltd. Class A 589,564 1,061
* Zhongrun Resources Investment Corp. Class A 867,700 1,061
3 Dynavolt Renewable Power Technology Co. Ltd. Class A 331,383 1,061
Beijing Urban Construction Investment & Development Co. Ltd. Class A (XSSC) 471,011 1,061
* TongFu Microelectronics Co. Ltd. Class A 644,588 1,061
Fangda Carbon New Material Co. Ltd. Class A (XSHG) 240,900 1,060
* Gansu Jiu Steel Group Hongxing Iron & Steel Co. Ltd. Class A (XSHG) 2,262,800 1,060
CPT Technology Group Co. Ltd. Class A 1,305,529 1,058
* Kingswood Enterprise Co. Ltd. Class A (XSSC) 1,447,500 1,058
Macrolink Culturaltainment Development Co. Ltd. Class A 1,056,632 1,053
^ Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co. Ltd. 1,934,000 1,052
Chenzhou City Jingui Silver Industry Co. Ltd. Class A 363,400 1,051
Xinjiang Joinworld Co. Ltd. Class A (XSSC) 1,029,753 1,051
* Ningxia Xinri Hengli Steel Wire Co. Ltd. Class A 480,200 1,051
* Guangxi Guitang Group Co. Class A 887,856 1,048
Jiangsu Rainbow Heavy Industries Co. Ltd. Class A 1,134,336 1,048
Shenzhen Jiawei Photovoltaic Lighting Co. Ltd. Class A 433,702 1,046
* Shanghai Ground Food Tech Co. Ltd. Class A 730,743 1,045
* Shenzhen H&T Intelligent Control Co. Ltd. Class A 708,842 1,043
Changzhou Qianhong Biopharma Co. Ltd. Class A (XSHE) 1,146,300 1,043
Zhongshan Broad Ocean Motor Co. Ltd. Class A 893,700 1,043
Beih-Property Co. Ltd. Class A 816,513 1,042
Guanghui Energy Co. Ltd. Class A (XSHG) 1,637,925 1,041
Zhejiang Runtu Co. Ltd. Class A 385,101 1,040
Shanghai New Huangpu Real Estate Co. Ltd. Class A (XSHG) 395,400 1,039
Beijing Capital Co. Ltd. Class A (XSHG) 1,167,800 1,038
Jiangxi Ganyue Expressway Co. Ltd. Class A (XSHG) 1,305,500 1,038
Daye Special Steel Co. Ltd. Class A 556,300 1,037
Yihua Healthcare Co. Ltd. Class A (XSHE) 253,040 1,037
Hainan Haiyao Co. Ltd. Class A (XSHE) 522,317 1,037
Kailuan Energy Chemical Co. Ltd. Class A (XSHG) 1,071,969 1,036
China Jushi Co. Ltd. Class A (XSHG) 524,832 1,036
Hongli Zhihui Group Co. Ltd. Class A 509,200 1,033
Changchun Faway Automobile Components Co. Ltd. Class A (XSHG) 342,800 1,033
Zhejiang China Commodities City Group Co. Ltd. Class A (XSHG) 976,000 1,033
Sundiro Holding Co. Ltd. Class A 1,009,900 1,032
Chongqing Road & Bridge Co. Class A 1,310,980 1,031
Hubei Jumpcan Pharmaceutical Co. Ltd. Class A (XSHG) 167,500 1,031
Shanghai New Huangpu Real Estate Co. Ltd. Class A (XSSC) 391,430 1,029
* Jilin Power Share Co. Ltd. Class A 1,452,680 1,028

 

30


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  China Zhenhua Group Science & Technology Co. Ltd. Class A (XSHE) 432,542 1,028
  Hangzhou Jiebai Group Co. Ltd. Class A (XSSC) 693,786 1,027
* Shanxi Lanhua Sci-Tech Venture Co. Ltd. Class A 779,000 1,026
  Shanghai Tunnel Engineering Co. Ltd. Class A (XSHG) 711,300 1,024
  Jiangsu Yinhe Electronics Co. Ltd. Class A 946,533 1,023
*,^ Loudong General Nice Resources China Holdings Ltd. 26,592,000 1,023
  Shandong Meichen Science & Technology Co. Ltd. Class A 446,900 1,022
  Chengdu Leejun Industrial Co. Ltd. Class A 718,961 1,021
  Anhui Anke Biotechnology Group Co. Ltd. Class A 348,479 1,020
* Wuhan DDMC Culture Co. Ltd. Class A 437,950 1,020
  Shijiazhuang Dongfang Energy Co. Ltd. Class A 986,256 1,020
  Beijing Sinnet Technology Co. Ltd. Class A (XSEC) 492,900 1,020
3 COFCO Property Group Co. Ltd. Class A 844,131 1,019
  Infund Holding Co. Ltd. 873,334 1,018
  Da An Gene Co. Ltd. of Sun Yat-Sen University Class A 352,200 1,018
  Guangxi Guiguan Electric Power Co. Ltd. Class A (XSSC) 1,175,359 1,018
  Zhejiang Shuanghuan Driveline Co. Ltd. Class A 635,080 1,017
  Huadian Power International Corp. Ltd. Class A (XSHG) 1,581,717 1,017
  Shuangliang Eco-Energy Systems Co. Ltd. Class A (XSSC) 1,412,260 1,017
  Tangshan Sanyou Chemical Industries Co. Ltd. Class A (XSSC) 620,352 1,014
  Zhejiang Talent Television & Film Co. Ltd. Class A 271,176 1,014
  SDIC Essence Holdings Co. Ltd. Class A (XSHG) 439,500 1,013
  JS Corrugating Machinery Co. Ltd. Class A 441,096 1,013
* Shaanxi Ligeance Mineral Resources Co. Ltd. Class A (XSEC) 262,000 1,013
^ Phoenix Satellite Television Holdings Ltd. 6,922,000 1,012
  Henan Huanghe Whirlwind Co. Ltd. Class A (XSSC) 664,380 1,011
  Guosheng Financial Holding Inc. Class A (XSEC) 348,160 1,010
  Jiangxi Zhengbang Technology Co. Ltd. Class A (XSHE) 1,210,308 1,009
  Guangdong Hongda Blasting Co. Ltd. Class A 759,658 1,009
  XJ Electric Co. Ltd. Class A 443,400 1,009
  Anhui Zhongding Sealing Parts Co. Ltd. Class A (XSEC) 340,400 1,006
  Shanghai 2345 Network Holding Group Co. Ltd. Class A 981,369 1,006
  Dalian Refrigeration Co. Ltd. Class B 1,763,581 1,005
* Gansu Dunhuang Seed Co. Ltd. Class A 819,370 1,005
  Zhejiang China Light & Textile Industrial City Group Co. Ltd. Class A (XSSC) 1,001,432 1,004
  Wangfujing Group Co. Ltd. Class A (XSHG) 335,920 1,003
* Hainan HNA Infrastructure Investment Group Co. Ltd. Class A 465,531 1,000
  Zhejiang Jiuzhou Pharmaceutical Co. Ltd. Class A 406,428 1,000
  China National Complete Plant Import & Export Corp. Ltd. Class A 410,475 999
  Sailun Jinyu Group Co. Ltd. (XSHG) 1,737,560 999
  CCOOP Group Co. Ltd. Class A 1,140,210 998
* Yunnan Tin Co. Ltd. Class A 476,300 997
* Shanghai Environment Group Co. Ltd. Class A (XSSC) 238,530 997
  Hunan TV & Broadcast Intermediary Co. Ltd. Class A 650,700 996
  Anhui Guofeng Plastic Industry Co. Ltd. Class A 1,347,300 994
  Jiangsu Leike Defense Technology Co. Ltd. Class A 602,323 994
  Fujian Yanjing Huiquan Brewery Co. Ltd. Class A 676,980 994
  Changshu Fengfan Power Equipment Co. Ltd. Class A (XSSC) 845,828 994
3 Zhonghong Holding Co. Ltd. Class A (XSHE) 3,392,620 993
3 Shenzhen Selen Science & Technology Co. Ltd. Class A 275,000 992
3 Shanghai Yuyuan Tourist Mart Co. Ltd. Class A (XSSC) 580,256 991
  Sichuan Road & Bridge Co. Ltd. Class A (XSHG) 1,487,624 990
*,3 Dongguan Kingsun Optoelectronic Co. Ltd. Class A 806,250 990
3 Beijing Tiantan Biological Products Corp. Ltd. Class A (XSSC) 190,867 990
* Shanghai AtHub Co. Ltd. Class A 131,900 990
* Sinopec Shandong Taishan Petroleum Co. Ltd. Class A 728,500 989
  Zhejiang Fuchunjiang Environmental Thermoelectric Co. Ltd. Class A 585,500 988
  Spring Airlines Co. Ltd. Class A (XSHG) 179,600 988
  China Oil HBP Science & Technology Co. Ltd. Class A 1,184,212 987
* Lanpec Technologies Ltd. Class A 638,300 985
  Nanjing Keyuan Automatic Corp. Co. Ltd. Class A 359,646 985
  Qiaqia Food Co. Ltd. Class A 440,621 983
  Jiangsu Huifeng Agrochemical Co. Ltd. Class A 1,096,279 983
  Tibet Galaxy Science & Technology Development Co. Ltd. Class A 469,400 982

 

31


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Chengtun Mining Group Co. Ltd. Class A (XSSC) 757,325 982
  Launch Tech Co. Ltd. 867,000 982
  Sinomach Automobile Co. Ltd. Class A (XSSC) 531,194 981
  Guangzhou Holike Creative Home Co. Ltd. Class A 220,658 981
  Hefei Meiya Optoelectronic Technology Inc. Class A (XSHE) 358,050 980
* Guangdong Weihua Corp. Class A 366,774 979
  Gohigh Data Networks Technology Co. Ltd. Class A 612,100 979
  Tian Di Science & Technology Co. Ltd. Class A (XSSC) 1,340,984 979
  Henan Senyuan Electric Co. Ltd. Class A (XSEC) 427,000 979
  Guangdong Shenglu Telecommunication Tech Co. Ltd. Class A 553,537 978
  Nanjing Doron Technology Co. Ltd. Class A 587,777 978
  Zhongnan Red Culture Group Co. Ltd. Class A 429,800 975
  Zhejiang Weiming Environment Protection Co. Ltd. Class A 289,800 975
  Jiangnan Mould and Plastic Technology Co. Ltd. Class A 977,300 974
  Stanley Agricultural Group Co. Ltd. Class A 860,128 972
  Shandong Hi-speed Co. Ltd. Class A (XSHG) 1,057,400 972
  WUS Printed Circuit Kunshan Co. Ltd. Class A 1,164,076 972
  Beijing Jetsen Technology Co. Ltd. Class A (XSHE) 680,212 971
  Long Yuan Construction Group Co. Ltd. Class A (XSSC) 566,024 971
* Minmetals Development Co. Ltd. Class A (XSHG) 508,486 970
  Ningbo Jifeng Auto Parts Co. Ltd. Class A 485,016 970
  Shenzhen Jinjia Group Co. Ltd. Class A (XSHE) 597,600 970
* Shandong Shengli Co. Class A 821,977 968
* Vtron Group Co. Ltd. Class A 468,923 968
  Shengyi Technology Co. Ltd. Class A (XSHG) 421,392 967
* Changsha Jingjia Microelectronics Co. Ltd. Class A 136,638 965
  Jiangsu Changhai Composite Materials Co. Ltd. Class A 469,128 965
  Minmetals Land Ltd. 6,472,000 963
  Shanxi Lu'an Environmental Energy Development Co. Ltd. Class A (XSSC) 682,702 963
  Jiangsu Etern Co. Ltd. Class A 796,900 963
  Beiqi Foton Motor Co. Ltd. Class A (XSHG) 2,096,576 959
  China Avionics Systems Co. Ltd. Class A (XSSC) 411,820 956
  Guomai Technologies Inc. Class A (XSHE) 680,179 953
  Hisense Kelon Electrical Holdings Co. Ltd. Class A (XHKG) 758,000 952
  Jangho Group Co. Ltd. Class A (XSSC) 616,507 950
  Hangzhou Silan Microelectronics Co. Ltd. Class A (XSSC) 632,600 949
* Shandong Yisheng Livestock & Poultry Breeding Co. Ltd. Class A 237,005 949
* Fujian Qingshan Paper Industry Co. Ltd. Class A 1,432,300 949
  Sichuan Jiuyuan Yinhai Software Co. Ltd. Class A 157,000 949
  Suzhou Chunxing Precision Mechanical Co. Ltd. Class A 781,900 948
  Anhui Kouzi Distillery Co. Ltd. Class A (XSSC) 129,827 948
* Jointown Pharmaceutical Group Co. Ltd. Class A (XSHG) 303,520 948
  Chengzhi Co. Ltd. Class A (XSHE) 357,628 947
  Citychamp Dartong Co. Ltd. Class A (XSSC) 925,633 947
  Zhejiang Aokang Shoes Co. Ltd. Class A 359,876 945
  MYS Group Co. Ltd. 789,767 943
  Shanghai Shimao Co. Ltd. Class A (XSHG) 1,219,830 943
*,3 Zhongfu Straits Pingtan Development Co. Ltd. Class A 1,084,944 941
  Shenzhen Danbond Technology Co. Ltd. Class A 446,643 941
* Shandong Tyan Home Co. Ltd. Class A (XSHG) 576,500 941
  Jiangsu Sainty Corp. Ltd. Class A 797,700 940
  Qingdao Citymedia Co. Ltd. Class A 682,800 940
* Kee Ever Bright Decorative Technology Co. Ltd. Class A 187,547 940
  Zhe Jiang Kangsheng Co. Ltd. Class A (XSHE) 688,800 938
* AUCMA Co. Ltd. Class A 1,103,101 937
* Pingdingshan Tianan Coal Mining Co. Ltd. Class A (XSHG) 1,035,882 937
  Shenyang Jinshan Energy Co. Ltd. Class A 1,680,158 936
  Jiangsu High Hope International Group Corp. Class A (XSHG) 916,300 935
  Jiangsu Aucksun Co. Ltd. Class A 653,250 935
  Yotrio Group Co. Ltd. Class A 994,750 933
  Hunan Gold Corp. Ltd. Class A 665,040 933
* Yunnan Copper Co. Ltd. Class A (XSHE) 447,200 933
* Asymchem Laboratories Tianjin Co. Ltd. Class A 96,376 933
  YUD Yangtze River Investment Industry Co. Ltd. Class A (XSSC) 347,125 933

 

32


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Jiangsu Zhongli Group Co. Ltd. Class A (XSHE) 436,400 932
3 Beijing Sanlian Hope Shin-Gosen Technical Service Co. Ltd. Class A 181,769 930
  YGSOFT Inc. Class A 546,115 928
*,3 China CSSC Holdings Ltd. Class A (XSHG) 249,270 928
* Hunan Jinjian Cereals Industry Co. Class A 1,176,000 927
  Beijing Homyear Capital Holdings Co. Ltd. Class A (XSSC) 647,616 926
  Ningbo Marine Co. Ltd. Class A 938,000 924
  HeiLongJiang ZBD Pharmaceutical Co. Ltd. Class A 370,400 923
  Heilongjiang Agriculture Co. Ltd. Class A 517,150 923
* Beingmate Baby & Child Food Co. Ltd. Class A (XSEC) 616,557 922
*,3 Gosun Holding Co. Ltd. Class A 363,924 922
* Yunnan Yuntianhua Co. Ltd. Class A 747,100 922
* Org Packaging Co. Ltd. Class A 897,007 921
  Nanjing Yunhai Special Metals Co. Ltd. Class A 615,234 919
  Xiwang Foodstuffs Co. Ltd. Class A 306,500 919
  China Spacesat Co. Ltd. Class A (XSHG) 226,387 917
  Guangzhou Development Group Inc. Class A (XSSC) 858,971 917
  JiuGui Liquor Co. Ltd. Class A 217,000 917
  Far East Smarter Energy Co. Ltd. Class A (XSSC) 901,200 915
* Shenzhen Infinova Ltd. Class A 1,076,307 915
  Inspur Software Co. Ltd. Class A (XSSC) 312,726 914
  Thunder Software Technology Co. Ltd. Class A 177,727 914
  Pengqi Technology Development Co. Ltd. Class A (XSSC) 502,032 913
  Jishi Media Co. Ltd. Class A (XSHG) 1,827,200 910
  An Hui Wenergy Co. Ltd. Class A 1,093,644 910
  Hebei Chengde Lolo Co. Class A 559,720 909
  Yonyou Network Technology Co. Ltd. Class A (XSHG) 259,500 909
* HNA Investment Group Co. Ltd. Class A 1,371,500 909
* CSSC Science & Technology Co. Ltd. Class A 375,000 908
  Qingdao Eastsoft Communication Technology Co. Ltd. Class A 312,800 908
  China Coal Energy Co. Ltd. Class A (XSSC) 1,018,694 907
* Shanghai Ganglian E-Commerce Holdings Co. Ltd. Class A 161,187 907
* LandOcean Energy Services Co. Ltd. Class A 599,400 907
  Jihua Group Corp. Ltd. Class A (XSHG) 768,000 906
  Tungkong Inc. Class A 245,184 905
  Tsinghua Tongfang Co. Ltd. Class A (XSHG) 554,900 904
* Shandong Jinjing Science & Technology Co. Ltd. Class A (XSSC) 1,271,196 904
  Shanghai STEP Electric Corp. Class A 503,347 903
  Air China Ltd. Class A (XSSC) 630,438 903
  Shenzhen Gas Corp. Ltd. Class A (XSHG) 722,397 903
  Zhejiang Longsheng Group Co. Ltd. Class A (XSHG) 581,200 902
* Shenzhen Zowee Tech Co. Ltd. Class A 575,635 902
* Top Energy Co. Ltd. Shanxi Class A (XSSC) 1,166,372 901
  Jiangsu Sopo Chemical Co. Class A 571,400 901
* Huaxun Fangzhou Co. Ltd. 408,600 900
  Jiangxi Lianchuang Optoelectronic Science & Technology Co. Ltd. Class A (XSSC) 443,776 900
  Industrial Securities Co. Ltd. Class A (XSHG) 760,890 900
* Hebei Baoshuo Co. Class A 476,999 898
  Orient Securities Co. Ltd. Class A (XSHG) 390,100 897
  Shenzhen Zhengtong Electronics Co. Ltd. Class A 449,500 897
  Zhongxing Shenyang Commercial Building Group Co. Ltd. Class A 568,538 897
  Shanghai ShenTong Metro Co. Ltd. Class A 531,176 897
  Julong Co. Ltd. Class A 332,900 895
  Shunfa Hengye Corp. Class A 1,413,801 894
* Rongyu Group Co. Ltd. Class A 395,857 893
  AVIC Helicopter Co. Ltd. Class A (XSSC) 131,603 893
3 China TransInfo Technology Co. Ltd. Class A 425,300 893
* Shandong Humon Smelting Co. Ltd. Class A 550,100 892
  Guangdong Zhengye Technology Co. Ltd. Class A 150,025 892
* Hengbao Co. Ltd. Class A 620,300 892
* MIE Holdings Corp. 10,522,000 891
  Sichuan Maker Biotechnology Co. Ltd. Class A 235,730 889
* Hunan Corun New Energy Co. Ltd. Class A 690,330 889
  Zhejiang Guyuelongshan Shaoxing Wine Co. Ltd. Class A (XSHG) 609,690 888

 

33


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Visual China Group Co. Ltd. Class A 323,812 888
* Qianjiang Water Resources Development Co. Ltd. Class A 521,300 888
Anhui Xinhua Media Co. Ltd. Class A (XSSC) 490,455 886
* Haima Automobile Group Co. Ltd. Class A 1,131,800 886
Beijing Aerospace Changfeng Co. Ltd. Class A 339,187 885
Nanjing Central Emporium Class A (XSSC) 693,445 884
Guangdong Guanghong Holdings Co. Ltd. Class A 720,203 884
Shenzhen Jieshun Science And Technology Industry Co. Ltd. Class A (XSHE) 386,900 883
Xiamen Xindeco Co. Ltd. Class A 486,051 883
* Dalian Dafu Enterprises Holdings Co. Ltd. Class A 2,197,336 883
* Harbin Air Conditioning Co. Ltd. Class A 590,300 881
Beijing Kingee Culture Development Co. Ltd. Class A (XSEC) 446,400 881
Yantai Zhenghai Magnetic Material Co. Ltd. Class A 582,654 881
Materials Industry Zhongda Group Co. Ltd. Class A (XSHG) 767,715 880
* Jiangsu Dagang Co. Ltd. Class A 423,089 879
Guangzhou Automobile Group Co. Ltd. Class A (XSSC) 209,522 879
Nantong Jianghai Capacitor Co. Ltd. Class A 584,148 878
Shanghai Electric Power Co. Ltd. Class A (XSHG) 521,400 878
Beijing Soft Rock Investment Group Corp. Class A 440,067 878
Shenzhen Kingdom Sci-Tech Co. Ltd. Class A (XSSC) 340,049 878
Lianhe Chemical Technology Co. Ltd. Class A 457,600 877
AVIC Electromechanical Systems Co. Ltd. Class A (XSEC) 535,830 877
* Zhongtong Bus & Holding Co. Ltd. Class A 470,700 877
Zhengzhou Coal Mining Machinery Group Co. Ltd. Cla (XSSC) 819,425 875
Dongfeng Electronic Technology Co. Ltd. Class A (XSSC) 451,788 875
* Avic Aviation High-Technology Co. Ltd. Class A (XSHG) 510,148 875
* Anhui Hengyuan Coal Industry and Electricity Power Co. Ltd. Class A (XSHG) 547,500 875
Jonjee High-Tech Industrial And Commercial Holding Co. Ltd. Class A (XSHG) 234,200 874
Hundsun Technologies Inc. Class A (XSHG) 113,400 874
China Southern Airlines Co. Ltd. Class A (XSHG) 663,500 874
Shenzhen Fenda Technology Co. Ltd. Class A (XSEC) 469,596 873
Chongqing Water Group Co. Ltd. Class A (XSSC) 846,450 873
Shanghai M&G Stationery Inc. Class A (XSHG) 249,275 872
Jinyu Bio-Technology Co. Ltd. Class A (XSHG) 206,920 872
Shanghai Kehua Bio-Engineering Co. Ltd. Class A (XSHE) 352,700 872
Canny Elevator Co. Ltd. Class A (XSHE) 578,496 872
Henan Senyuan Electric Co. Ltd. Class A (XSHE) 379,562 870
Youngor Group Co. Ltd. Class A (XSHG) 594,720 870
* Jilin Zixin Pharmaceutical Industrial Co. Ltd. Class A 833,200 868
3 Shenzhen Sunrise New Energy Co. Ltd. Class A 1,309,200 867
* Jiangsu Aoyang Technology Corp. Ltd. Class A 784,900 867
Jiangsu King's Luck Brewery JSC Ltd. Class A (XSHG) 368,662 865
China Sports Industry Group Co. Ltd. Class A (XSSC) 430,900 864
Wisesoft Co. Ltd. Class A 247,414 863
Harbin High-Tech Group Co. Class A 807,104 862
* Shanghai Xin Nanyang Co. Ltd. Class A 266,349 861
China Grand Automotive Services Co. Ltd. Class A (XSHG) 640,770 861
Xinjiang Guannong Fruit & Antler Group Co. Ltd. Class A (XSSC) 687,142 860
China Zhenhua Group Science & Technology Co. Ltd. Class A (XSEC) 361,800 860
Qiming Information Technology Co. Ltd. Class A 478,073 859
Bright Dairy & Food Co. Ltd. Class A (XSHG) 389,800 858
Zhejiang Feida Environmental Science & Technology Co. Ltd. Class A (XSSC) 474,799 858
Guangdong Mingzhu Group Co. Ltd. Class A 387,024 858
Anhui Truchum Advanced Materials & Technology Co. Ltd. Class A 745,000 858
Guangdong Eastone Century Technology Co. Ltd. Class A 482,114 858
Shanying International Holding Co. Ltd. Class A (XSHG) 1,176,000 857
3 Liuzhou Iron & Steel Co. Ltd. Class A 711,900 857
Ningxia Qinglong Pipes Industry Co. Ltd. Class A 430,090 857
Zhejiang Guyuelongshan Shaoxing Wine Co. Ltd. Class A (XSSC) 588,398 857
3 Beijing Tiantan Biological Products Corp. Ltd. Class A (XSHG) 165,230 857
Beijing eGOVA Co. Ltd. Class A 312,103 856
Wuxi Taiji Industry Co. Ltd. Class A (XSSC) 784,831 856
JiangSu Yabaite Technology Co. Ltd. Class A 611,343 854
Mayinglong Pharmaceutical Group Co. Ltd. Class A (XSSC) 259,926 853

 

34


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Anhui Tongfeng Electronics Co. Ltd. Class A 924,200 852
  Jinhong Holding Group Co. Ltd. Class A 372,375 852
  Shenzhen Topraysolar Co. Ltd. Class A 1,218,258 851
  Chongqing Three Gorges Water Conservancy & Electric Power Co. Ltd. Class A (XSHG) 613,200 851
* Hubei Shuanghuan Science and Technology Stock Co. Ltd. Class A 885,700 850
  Renhe Pharmacy Co. Ltd. Class A (XSHE) 941,747 850
  Der Future Science & Technology Holding Group Co. Ltd. Class A 405,040 847
  Sinodata Co. Ltd. Class A 212,735 847
  Hangzhou Zhongheng Electric Co. Ltd. Class A (XSEC) 428,200 847
  Shanghai Hile Bio-Technology Co. Ltd. Class A 433,341 846
  China Animal Husbandry Industry Co. Ltd. Class A (XSHG) 291,800 846
  Henan Thinker Automatic Equipment Co. Ltd. Class A (XSSC) 104,239 845
* Anhui Wanwei Updated High-Tech Material Industry Co. Ltd. Class A (XSSC) 1,344,100 844
  Jiangsu Guotai International Group Guomao Co. Ltd. Class A (XSHE) 550,290 843
  Tongkun Group Co. Ltd. Class A (XSSC) 347,785 843
  Shijiazhuang Yiling Pharmaceutical Co. Ltd. Class A 329,061 843
  Beijing Sifang Automation Co. Ltd. Class A (XSSC) 617,639 842
  KPC Pharmaceuticals Inc. Class A (XSSC) 523,308 839
  Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd. Class A (XSHG) 1,085,600 839
  Shanghai Xinhua Media Co. Ltd. Class A (XSSC) 805,781 839
  China CYTS Tours Holding Co. Ltd. Class A (XSHG) 269,300 838
*,3 DEA General Aviation Holding Co. Ltd. Class A 240,200 837
  Xiamen International Port Co. Ltd. 4,320,000 836
  Zhejiang Huahai Pharmaceutical Co. Ltd. Class A (XSSC) 222,945 836
  Guanghui Energy Co. Ltd. Class A (XSSC) 1,314,856 836
* Xinhu Zhongbao Co. Ltd. Class A (XSHG) 1,292,000 834
* Jiangsu Yulong Steel Pipe Co. Ltd. Class A 601,600 834
  Humanwell Healthcare Group Co. Ltd. Class A (XSHG) 291,000 834
  GITI Tire Corp. Class A 219,400 834
  Daheng New Epoch Technology Inc. Class A 518,400 832
  Eastern Pioneer Driving School Co. Ltd. Class A 160,654 831
  Shenzhen World Union Properties Consultancy Inc. Class A (XSEC) 437,605 831
* Shandong Longlive Bio-Technology Co. Ltd. Class A 564,000 831
  Shenzhen Ysstech Info-tech Co. Ltd. Class A 455,175 830
* Jason Furniture Hangzhou Co. Ltd. Class A 100,600 829
  China National Medicines Corp. Ltd. Class A (XSHG) 185,586 828
  Jiangxi Huangshanghuang Group Food Co. Ltd. Class A 270,900 828
  Harbin Churin Group Jointstock Co. Ltd. Class A 631,198 827
  Suzhou Victory Precision Manufacture Co. Ltd. Class A 902,842 827
* Shenzhen Huakong SEG Co. Ltd. Class A 858,900 827
3 Shenzhen Infogem Technologies Co. Ltd. Class A 326,680 825
  Changchun Eurasia Group Co. Ltd. Class A (XSSC) 193,201 824
  Jinling Pharmaceutical Co. Ltd. Class A (XSEC) 538,552 824
* China Calxon Group Co. Ltd. Class A 788,400 821
* Kunshan Kersen Science & Technology Co. Ltd. Class A 127,120 820
  Tibet Cheezheng Tibetan Medicine Co. Ltd. Class A 120,960 817
3 Shandong Sinocera Functional Material Co. Ltd. Class A 235,000 817
  Sichuan Chengfei Integration Technology Corp. Class A 216,379 817
  EGing Photovoltaic Technology Co. Ltd. Class A (XSSC) 1,137,674 815
  Chongqing Gangjiu Co. Ltd. Class A 802,300 815
  Shanghai Shunho New Materials Technology Co. Ltd. Class A 826,600 815
  Hubei Xingfa Chemicals Group Co. Ltd. Class A (XSHG) 306,000 815
  United Electronics Co. Ltd. Class A 324,587 814
  Zijin Mining Group Co. Ltd. Class A (XSHG) 1,461,400 814
^ Wisdom Sports Group 5,801,000 811
  Ciwen Media Co. Ltd. 147,292 811
  Sinoma International Engineering Co. Class A (XSSC) 595,222 810
* Zhejiang Rifa Precision Machinery Co. Ltd. Class A 561,702 809
  Anhui Jianghuai Automobile Group Corp. Ltd. Class A (XSHG) 534,301 809
* Lotus Health Group Co. Class A 1,349,937 809
  Wanxiang Doneed Co. Ltd. Class A 459,048 807
  Fujian Funeng Co. Ltd. Class A (XSSC) 592,188 806
  Henan Pinggao Electric Co. Ltd. Class A 498,800 806
* Shanghai Potevio Co. Ltd. Class A 404,003 804

 

35


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Jilin Sino-Microelectronics Co. Ltd. Class A 673,700 804
  YanTai Shuangta Food Co. Ltd. Class A 815,400 804
  Chongqing Yukaifa Co. Ltd. Class A 731,800 803
*,^ China Dynamics Holdings Ltd. 30,680,000 803
  Beijing WKW Automotive Parts Co. Ltd. Class A 652,976 803
* Yang Quan Coal Industry Group Co. Ltd. Class A (XSHG) 729,300 803
  Guodian Nanjing Automation Co. Ltd. Class A 851,900 802
  Dalian Tianbao Green Foods Co. Ltd. Class A 679,700 802
  Yihua Lifestyle Technology Co. Ltd. Class A 526,699 801
*,3 Suzhou Tianma Specialty Chemicals Co. Ltd. Class A 681,900 800
  Jiangsu Yangnong Chemical Co. Ltd. Class A (XSHG) 114,900 800
  Henan Tongli Cement Co. Ltd. Class A 258,900 798
* Chengdu Santai Holding Group Co. Ltd. Class A 800,731 797
  Juli Sling Co. Ltd. Class A 686,926 797
* Chifeng Jilong Gold Mining Co. Ltd. Class A 854,988 796
  China CIFCO Investment Co. Ltd. Class A 394,800 796
* Huaming Power Equipement Co. Ltd. Class A 505,362 795
*,3 EGLS Co. Ltd. Class A 827,145 795
  Sichuan Jiuzhou Electric Co. Ltd. Class A 711,368 795
* Shaanxi Ligeance Mineral Resources Co. Ltd. Class A (XSHE) 205,566 794
  CTS International Logistics Corp. Ltd. Class A (XSHG) 450,986 794
*,3 Shenzhen Special Economic Zone Real Estate & Properties Group Co. Ltd. Class A 471,000 794
* Blackcow Food Co. Ltd. Class A 273,150 793
  Shenzhen Glory Medical Co. Ltd. Class A 528,222 791
  CITIC Securities Co. Ltd. Class A (XSHG) 302,500 791
  JCHX Mining Management Co. Ltd. Class A (XSHG) 439,296 788
3 Digital China Information Service Co. Ltd. Class A 311,643 787
  CASIN Guoxing Property Development Co. Ltd. 849,801 786
  AVIC Helicopter Co. Ltd. Class A (XSHG) 115,800 786
  China South Publishing & Media Group Co. Ltd. Class A (XSHG) 361,000 785
* Xining Special Steel Co. Class A 906,600 783
  Henan Yuguang Gold & Lead Co. Ltd. Class A 710,800 782
  Beijing Forever Technology Co. Ltd. Class A 146,398 782
  Tongwei Co. Ltd. Class A (XSHG) 526,200 782
* Ningbo Bird Co. Ltd. Class A 774,100 781
  Camel Group Co. Ltd. Class A (XSSC) 367,658 780
  Surfilter Network Technology Co. Ltd. Class A 339,800 780
  Beijing Philisense Technology Co. Ltd. Class A (XSHE) 619,200 780
  Xi'An Shaangu Power Co. Ltd. Class A (XSHG) 728,545 779
3 Yantai Dongcheng Pharmaceutical Co. Ltd. Class A 426,300 779
* Lanhai Medical Investment Co. Ltd. Class A 605,722 778
  Xiamen ITG Group Corp. Ltd. Class A (XSSC) 478,674 777
  Changchun Eurasia Group Co. Ltd. Class A (XSHG) 182,041 776
  Shenzhen Expressway Co. Ltd. Class A (XSSC) 526,804 776
* Pingdingshan Tianan Coal Mining Co. Ltd. Class A (XSSC) 856,653 775
  China CITIC Bank Corp. Ltd. Class A (XSHG) 824,050 773
* Henan Yuneng Holdings Co. Ltd. Class A 829,200 773
  Tianjin Capital Environmental Protection Group Co. Ltd. Class A (XSSC) 329,936 773
* Dasheng Times Cultural Investment Co. Ltd. Class A 464,000 773
* Hareon Solar Technology Co. Ltd. Class A 3,766,600 773
* Henan Zhongfu Industry Co. Ltd. Class A 861,000 772
  Beijing TRS Information Technology Co. Ltd. Class A 387,406 771
  Shenzhen New Nanshan Holding Group Co. Ltd. Class A 898,744 770
* Huludao Zinc Industry Co. Class A 943,200 768
  Baoji Titanium Industry Co. Ltd. Class A 233,400 768
* Guangdong Chaohua Technology Co. Ltd. Class A 809,488 767
  Guangzhou Yuetai Group Co. Ltd. 772,500 766
  Zhejiang Vie Science & Technology Co. Ltd. Class A 336,000 765
  Jinzhou Port Co. Ltd. Class A 1,144,371 765
  Shanghai Join Buy Co. Ltd. Class A 421,900 765
* Sundy Land Investment Co. Ltd. Class A 1,220,600 763
  Lanzhou LS Heavy Equipment Co. Ltd. Class A (XSSC) 489,203 763
* 263 Network Communications Co. Ltd. Class A 545,388 762
3 YunNan Metropolitan Real Estate Development Co. Ltd. Class A (XSHG) 967,050 762

 

36


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Cinda Real Estate Co. Ltd. Class A (XSHG) 837,122 762
  Fujian Cement Inc. Class A (XSHG) 612,500 761
  Grandblue Environment Co. Ltd. Class A (XSHG) 316,000 761
  Yabao Pharmaceutical Group Co. Ltd. Class A (XSSC) 623,083 761
  Dr Peng Telecom & Media Group Co. Ltd. Class A (XSHG) 257,100 758
  Hangzhou Sunrise Technology Co. Ltd. Class A 403,128 757
  China Railway Tielong Container Logistics Co. Ltd. Class A (XSHG) 450,150 756
  Anhui Huilong Agricultural Means of Production Co. Ltd. Class A 591,250 756
*,^ China Minsheng Drawin Technology Group Ltd. 22,680,000 756
  Zhejiang China Light & Textile Industrial City Group Co. Ltd. Class A (XSHG) 753,800 756
  ZhongYeDa Electric Co. Ltd. Class A 395,000 756
  Western Mining Co. Ltd. Class A (XSHG) 613,700 755
  Shanghai Jinjiang International Industrial Investment Co. Ltd. Class A (XSSC) 280,900 755
  GEPIC Energy Development Co. Ltd. Class A 551,040 755
*,3 Tianjin Faw Xiali Automobile Co. Ltd. Class A 865,700 755
* Huayi Electric Co. Ltd. Class A (XSHG) 364,092 753
  Guangxi Guiguan Electric Power Co. Ltd. Class A (XSHG) 868,300 752
  Colour Life Services Group Co. Ltd. 1,260,000 751
* Tibet Mineral Development Co. Class A 291,700 750
  Pubang Landscape Architecture Co. Ltd. Class A 897,097 747
* Henan Yinge Industrial Investment Holding Co. Ltd. Class A 568,300 744
  Sichuan Xun You Network Technology Co. Ltd. Class A 97,194 743
  Royal Group Co. Ltd. Class A 593,878 743
  Beijing E-Hualu Information Technology Co. Ltd. Class A 193,900 743
  Zhejiang Medicine Co. Ltd. Class A (XSHG) 463,550 742
* Shenzhen Wongtee International Enterprise Co. Ltd. Class B 1,247,940 741
  Beijing VRV Software Corp. Ltd. Class A 935,500 740
  Guangzhou Guangri Stock Co. Ltd. Class A (XSSC) 450,352 740
  Yanzhou Coal Mining Co. Ltd. Class A (XSSC) 409,900 740
* Antong Holdings Co. Ltd. Class A 204,900 738
* Shanghai Dragon Corp. Class A 364,000 738
* Jilin Forest Industry Co. Ltd. Class A 535,502 737
  Invengo Information Technology Co. Ltd. Class A 473,000 737
  Shenzhen Batian Ecotypic Engineering Co. Ltd. Class A (XSHE) 651,251 736
  Whirlpool China Co. Ltd. Class A 599,150 736
  Fujian Rongji Software Co. Ltd. Class A 500,500 735
  Guangdong Highsun Group Co. Ltd. Class A 1,356,380 735
  Shenzhen Jinjia Group Co. Ltd. Class A (XSEC) 452,536 734
* Shenzhen Tellus Holding Co. Ltd. Class A 110,007 733
* GI Technologies Group Co. Ltd. Class A 199,200 733
* Jiangmen Kanhoo Industry Co. Ltd. Class A 63,400 733
  Xinjiang Urban Construction Group Co. Ltd. Class A (XSHG) 449,600 732
* China First Heavy Industries Class A (XSHG) 1,200,650 732
* Dongfang Electric Corp. Ltd. Class A (XSSC) 448,691 730
  Mingsheng Holdings Co. Ltd. Class A 642,355 728
  CMST Development Co. Ltd. Class A (XSHG) 467,300 728
  Loncin Motor Co. Ltd. Class A (XSSC) 645,000 727
*,^ China Soft Power Technology Holdings Ltd. 41,223,635 725
* Shanghai Guangdian Electric Group Co. Ltd. Class A 1,095,200 724
  Guangdong Guanghua Sci-Tech Co. Ltd. Class A 267,742 724
* Qinghai Spring Medicinal Resources Technology Co. Ltd. Class A 388,781 723
3 Bright Oceans Inter-Telecom Corp. Class A (XSSC) 413,502 723
  Sanjiang Shopping Club Co. Ltd. Class A 185,300 722
  Anhui Gujing Distillery Co. Ltd. Class A 65,540 722
* Shanghai SMI Holding Co. Ltd. Class A (XSHG) 499,088 721
  Xiamen International Airport Co. Ltd. Class A (XSHG) 196,455 721
* IRICO Display Devices Co. Ltd. Class A 574,500 718
*,3 Aurora Optoelectronics Co. Ltd. Class A (XSSC) 273,422 718
  Zhuhai Huajin Capital Co. Ltd. Class A 381,017 718
  South Huiton Co. Ltd. Class A 423,300 717
  Sinolink Securities Co. Ltd. Class A (XSHG) 441,000 716
  Guangdong Shaoneng Group Co. Ltd. Class A 591,240 714
3 CSSC Offshore and Marine Engineering Group Co. Ltd. Class A (XSSC) 177,401 714
  Jiangsu Huaxicun Co. Ltd. Class A 704,200 712

 

37


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Advanced Technology & Materials Co. Ltd. Class A 501,000 712
  Zhuzhou Qianjin Pharmaceutical Co. Ltd. Class A (XSSC) 324,967 712
  Tangshan Sanyou Chemical Industries Co. Ltd. Class A (XSHG) 435,200 711
  Jiangsu Wuzhong Industrial Co. Class A (XSSC) 359,939 711
  Wuxi Huaguang Boiler Co. Ltd. Class A 283,300 710
  Zhejiang Hisun Pharmaceutical Co. Ltd. Class A (XSHG) 322,800 709
  Harbin Hatou Investment Co. Ltd. Class A 585,669 708
* Maanshan Iron & Steel Co. Ltd. Class A (XSHG) 1,120,600 708
  Montnets Rongxin Technology Group Co. Ltd. Class A 437,000 707
* Elec-Tech International Co. Ltd. Class A 968,445 705
  Beijing SuperMap Software Co. Ltd. Class A 283,000 704
  Juneyao Airlines Co. Ltd. Class A 326,939 703
  Wutong Holding Group Co. Ltd. Class A 826,122 701
* Unilumin Group Co. Ltd. Class A 308,200 700
3 Beijing GeoEnviron Engineering & Technology Inc. Class A 326,400 699
  Beijing Capital Development Co. Ltd. Class A (XSHG) 428,652 698
  Henan Zhongyuan Expressway Co. Ltd. Class A (XSHG) 876,400 697
  Shanghai Jiaoda Onlly Co. Ltd. Class A 651,750 696
  Yinchuan Xinhua Commercial Group Co. Ltd. Class A 212,170 696
  Shanghai Huayi Group Corp. Ltd. Class A 449,976 695
* Guangdong Dowstone Technology Co. Ltd. Class A 98,500 695
* Harbin Electric Corp. Jiamusi Electric Machine Co. Ltd. Class A 566,508 693
  Beijing Hualian Department Store Co. Ltd. Class A 1,344,700 692
  Skyworth Digital Co. Ltd. Class A (XSHE) 423,200 692
  Integrated Electronic Systems Lab Co. Ltd. Class A 423,130 692
* Innuovo Technology Co. Ltd. Class A 676,055 691
  Tianjin Capital Environmental Protection Group Co. Ltd. Class A (XSHG) 294,500 690
* Shaanxi J&R Optimum Energy Co. Ltd. Class A (XSEC) 464,186 689
  Luolai Lifestyle Technology Co. Ltd. Class A (XSEC) 362,895 687
  Henan Splendor Science & Technology Co. Ltd. Class A 514,800 686
  Cosmos Group Co. Ltd. Class A 876,400 685
*,3 Guangdong HEC Technology Holding Co. Ltd. Class A (XSSC) 622,738 685
  Shenzhen Center Power Tech Co. Ltd. Class A 252,250 685
* Datong Coal Industry Co. Ltd. Class A (XSHG) 721,035 684
  Kingfa Sci & Tech Co. Ltd. Class A (XSSC) 755,423 683
* Zhejiang Wanjia Co. Ltd. Class A 493,970 683
* China First Heavy Industries Class A (XSSC) 1,118,300 682
* PKU Healthcare Corp. Ltd. Class A 476,696 681
* Aerospace Hi-Tech Holdings Grp Ltd. Class A 162,987 679
  ZYNP Corp. Class A 447,900 679
  Hongbaoli Group Corp. Ltd. Class A 714,859 677
* Jiangsu Zongyi Co. Ltd. Class A 611,800 676
* Hubei Kaile Science & Technology Co. Ltd. Class A (XSSC) 146,423 676
  Hisense Electric Co. Ltd. Class A (XSSC) 295,362 676
  Shenzhen Click Technology Co. Ltd. Class A 257,800 675
* Guangzhou KingTeller Technology Co. Ltd. Class A 817,028 675
  Nanjing Xinlian Electronics Co. Ltd. Class A 771,541 673
  Lanzhou Great Wall Electrical Co. Ltd. Class A 584,000 673
  Toyou Feiji Electronics Co. Ltd. Class A 288,235 672
* Meinian Onehealth Healthcare Holdings Co. Ltd. Class A (XSEC) 232,680 672
* Sanxiang Impression Co. Ltd. Class A 645,800 671
  Neway Valve Suzhou Co. Ltd. Class A (XSHG) 251,288 671
* Shandong Jinling Mining Co. Ltd. Class A 584,300 670
  Shanghai Wanye Enterprises Co. Ltd. Class A (XSHG) 357,600 669
  Jiangling Motors Corp. Ltd. Class A 234,298 669
  Shanghai Zhangjiang High-Tech Park Development Co. Ltd. Class A (XSHG) 254,200 667
  Beijing Dabeinong Technology Group Co. Ltd. Class A (XSEC) 710,400 667
  China National Software & Service Co. Ltd. Class A (XSSC) 242,434 666
  Xian International Medical Investment Co. Ltd. Class A 860,950 665
  Zhejiang Golden Eagle Co. Ltd. Class A 492,600 664
  Shenzhen Sunline Tech Co. Ltd. Class A 233,912 664
  Shandong Homey Aquatic Development Co. Ltd. Class A 1,296,098 663
  Welling Holding Ltd. 3,250,000 663
* Steyr Motors Co. Ltd. Class A 519,800 661

 

38


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Qinghai Salt Lake Industry Co. Ltd. Class A (XSEC) 283,500 661
* Ningxia Zhongyin Cashmere Co. Ltd. Class A 1,130,400 660
*,3 Digital China Group Co. Ltd. Class A (XSEC) 202,500 660
  Shanghai Shenqi Pharmaceutical Investment Management Co. Ltd. Class A 424,381 658
* Ningbo Tuopu Group Co. Ltd. Class A (XSHG) 159,900 658
  Shanghai Belling Co. Ltd. Class A (XSSC) 350,844 658
*,3 Guizhou Chitianhua Co. Ltd. Class A 614,300 658
* Grinm Advanced Materials Co. Ltd. Class A (XSSC) 449,200 658
3 Chongqing Dima Industry Co. Ltd. Class A 868,700 657
  Porton Fine Chemicals Ltd. Class A 321,250 657
  Fujian Longking Co. Ltd. Class A (XSHG) 245,222 657
  Bros Eastern Co. Ltd. Class A (XSHG) 778,810 656
  Zhejiang Chint Electrics Co. Ltd. Class A (XSSC) 170,624 656
  Hangzhou Cable Co. Ltd. Class A 505,100 655
  Neusoft Corp. Class A (XSHG) 275,400 653
  Hangzhou Shunwang Technology Co. Ltd. Class A (XSHE) 236,990 653
  Xiangtan Electric Manufacturing Co. Ltd. Class A (XSSC) 344,549 653
  Sanlux Co. Ltd. Class A 412,600 653
  CTS International Logistics Corp. Ltd. Class A (XSSC) 370,600 653
  Guangbo Group Stock Co. Ltd. Class A 409,434 652
  Jiangsu Expressway Co. Ltd. Class A (XSHG) 428,998 652
*,3 Zhonglu Co. Ltd. Class A (XSSC) 189,037 652
  Hongbo Co. Ltd. Class A 358,650 651
  Greatoo Intelligent Equipment Inc. 1,407,600 650
  Shandong Sunway Petrochemical Engineering Co. Ltd. Class A 577,700 650
  Zhejiang Juhua Co. Ltd. Class A (XSHG) 367,800 650
  Tongyu Communication Inc. Class A 121,650 649
3 Harbin Pharmaceutical Group Co. Ltd. Class A (XSHG) 739,354 648
* Tianjin Quanye Bazaar (Group) Co. Ltd. Class A 505,939 647
* Shanghai Shenhua Holdings Co. Ltd. Class A 1,337,862 646
* Yunnan Chihong Zinc & Germanium Co. Ltd. Class A (XSHG) 604,980 644
  Beijing Watertek Information Technology Co. Ltd. Class A (XSHE) 294,303 644
  Beijing Teamsun Technology Co. Ltd. Class A (XSSC) 420,486 644
  Hangzhou Zhongheng Electric Co. Ltd. Class A (XSHE) 325,667 644
* Future Land Holdings Co. Ltd. Class A (XSSC) 208,808 644
  Xinjiang International Industry Co. Ltd. Class A 688,237 643
  Zhejiang Founder Motor Co. Ltd. Class A 378,586 643
  Jiangsu Shuangxing Color Plastic New Materials Co. Ltd. Class A 562,085 642
* SRE Group Ltd. 24,746,000 641
  Jiangsu Kanion Pharmaceutical Co. Ltd. Class A (XSSC) 276,418 641
  Hubei Broadcasting & Television Information Network Co. Ltd. Class A (XSHE) 372,800 641
* CITIC Heavy Industries Co. Ltd. Class A (XSSC) 831,227 641
  Shenzhen Absen Optoelectronic Co. Ltd. Class A 316,981 641
* Tian Jin Global Magnetic Card Co. Ltd. Class A 557,171 639
* Yunnan Lincang Xinyuan Germanium Industrial Co. Ltd. Class A 396,095 639
* Weichai Heavy Machinery Co. Ltd. Class A 398,324 638
  Hubei Jiuzhiyang Infrared System Co. Ltd. Class A 74,225 637
  Asian Star Anchor Chain Co. Ltd. Jiangsu Class A 529,350 635
  Jiangsu General Science Technology Co. Ltd. Class A 345,300 634
  Sinochem International Corp. Class A (XSHG) 414,700 633
  Hangzhou Sunyard System Engineering Co. Ltd. Class A (XSSC) 334,854 633
  Yunda Holding Co. Ltd. Class A 81,588 632
  Jiangsu Jiangnan High Polymer Fiber Co. Ltd. Class A (XSSC) 707,781 631
  Sino-Platinum Metals Co. Ltd. Class A (XSSC) 190,878 631
  Wolong Real Estate Group Co. Ltd. Class A (XSSC) 662,901 630
  Global Top E-Commerce Co. Ltd. Class A (XSEC) 206,400 630
  Shanghai Zhezhong Group Co. Ltd. Class A 165,900 630
  Hangzhou Silan Microelectronics Co. Ltd. Class A (XSHG) 419,500 630
  Shandong Polymer Biochemicals Co. Ltd. Class A 587,400 629
*,^ Leyou Technologies Holdings Ltd. 2,435,000 628
  Jishi Media Co. Ltd. Class A (XSSC) 1,259,300 627
  SooChow Securities Co. Ltd. Class A (XSHG) 382,200 625
  Weihai Guangtai Airport Equipment Co. Ltd. Class A 245,902 625
  Xiangtan Electric Manufacturing Co. Ltd. Class A (XSHG) 328,934 623

 

39


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
*,^ Boer Power Holdings Ltd. 2,418,000 623
  Zhejiang Hisoar Pharmaceutical Co. Ltd. Class A (XSEC) 634,000 623
* Donlinks International Investment Co. Ltd. Class A 450,400 622
  Zhejiang Asia-Pacific Mechanical & Electronic Co. Ltd. Class A 385,700 621
*,3 Zhonghe Co. Ltd. Class A 404,301 620
* Orient Group Inc. Class A (XSHG) 821,470 619
  FSPG Hi-Tech Co. Ltd. Class A 556,700 619
  Fiyta Holdings Ltd. Class B 681,898 618
  Shenzhen Minkave Technology Co. Ltd. Class A 163,100 617
  Dalian Friendship Group Class A 491,252 616
  Zhuzhou Times New Material Technology Co. Ltd. Class A (XSSC) 348,522 616
* COSCO SHIPPING Holdings Co. Ltd. Class A 587,790 615
  Shenzhen Tempus Global Travel Holdings Ltd. Class A 281,100 614
  Shanghai Jahwa United Co. Ltd. Class A (XSSC) 110,843 614
* Qinchuan Machine Tool & Tool Group Co. Ltd. Class A 549,605 614
  Shaanxi Broadcast & TV Network Intermediary Co. Ltd. Class A (XSSC) 416,916 613
* China Hainan Rubber Industry Group Co. Ltd. Class A (XSHG) 655,100 613
  Shenzhen Hongtao Decoration Co. Ltd. Class A 691,360 613
  Shanghai Lansheng Corp. Class A (XSSC) 238,891 613
  Beiqi Foton Motor Co. Ltd. Class A (XSSC) 1,333,710 610
  Laobaixing Pharmacy Chain JSC Class A (XSHG) 72,121 610
3 Goody Science & Technology Co. Ltd. Class A 185,304 610
  China Avionics Systems Co. Ltd. Class A (XSHG) 262,584 610
  Chengdu Xinzhu Road & Bridge Machinery Co. Ltd. Class A 482,514 609
  Tangel Publishing Co. Ltd. Class A 408,820 609
  Zhefu Holding Group Co. Ltd. Class A 862,700 608
  Jiangzhong Pharmaceutical Co. Ltd. Class A (XSSC) 128,400 607
  Chunghsin Technology Group Co. Ltd. Class A 225,463 607
* Huayi Electric Co. Ltd. Class A (XSSC) 293,437 607
  Shanghai Wanye Enterprises Co. Ltd. Class A (XSSC) 323,932 606
  China Molybdenum Co. Ltd. Class A (XSHG) 558,700 605
  Jinfa Labi Maternity & Baby Articles Co. Ltd. Class A 197,340 603
* Guangdong Guangzhou Daily Media Co. Ltd. Class A 730,428 603
  Beibu Gulf Tourism Corp. Ltd. Class A 164,200 601
* Shenzhen Textile Holdings Co. Ltd. Class A 361,875 600
* Dongfang Electric Corp. Ltd. Class A (XSHG) 368,700 600
  Changzheng Engineering Co. Ltd. Class A (XSSC) 171,551 599
  Zhejiang Wanma Co. Ltd. Class A 383,972 599
3 Beijing Shiji Information Technology Co. Ltd. Class A (XSEC) 165,412 598
  Zhejiang Daily Digital Culture Group Co. Ltd. (XSSC) 241,888 597
  Jiangsu Zhongli Group Co. Ltd. Class A (XSEC) 279,049 596
  Shanghai AJ Group Co. Ltd. Class A (XSSC) 280,727 595
  Shanghai Tunnel Engineering Co. Ltd. Class A (XSSC) 412,700 594
  China Television Media Ltd. Class A (XSHG) 241,500 593
*,3 Cofco Biochemical Co. Ltd. Class A 292,300 593
  Chongqing Water Group Co. Ltd. Class A (XSHG) 575,000 593
  Beijing Gehua CATV Network Co. Ltd. Class A (XSHG) 270,900 592
  Guirenniao Co. Ltd. Class A (XSSC) 191,699 592
  Hunan Nanling Industry Explosive Material Co. Ltd. Class A 413,559 592
* Hunan Huasheng Co. Ltd. Class A 610,598 591
* Qinqin Foodstuffs Group Cayman Co. Ltd. 2,215,980 591
  Guizhou Red Star Developing Co. Ltd. Class A 321,100 590
* Shantui Construction Machinery Co. Ltd. Class A 722,635 588
  Mayinglong Pharmaceutical Group Co. Ltd. Class A (XSHG) 179,100 588
  Beijing Urban Construction Investment & Development Co. Ltd. Class A (XSHG) 260,600 587
* Jiangsu Yunyi Electric Co. Ltd. Class A 452,540 587
* Jinduicheng Molybdenum Co. Ltd. Class A (XSHG) 501,200 586
  Anhui Sinonet & Xonglong Science & Technology Co. Ltd. Class A 375,002 586
  COFCO Tunhe Sugar Co. Ltd. Class A 421,800 586
  Rizhao Port Co. Ltd. Class A (XSSC) 912,650 585
* Hexing Electrical Co. Ltd. Class A 92,324 584
*,3 Jiangsu Protruly Vision Technology Group Co. Ltd. Class A (XSSC) 372,100 583
  Guangxi Guidong Electric Power Co. Ltd. Class A 616,200 583
  V V Food & Beverage Co. Ltd. Class A (XSSC) 772,770 582

 

40


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Sichuan Golden Summit Group Class A 314,600 582
  Ningbo Yunsheng Group Co. Ltd. Class A (XSSC) 210,795 581
  Shenzhen ESUN Display Co. Ltd. Class A 90,126 581
* Beingmate Baby & Child Food Co. Ltd. Class A (XSHE) 387,500 580
  Jonjee High-Tech Industrial And Commercial Holding Co. Ltd. Class A (XSSC) 155,047 579
  Jiangsu Wanlin Modern Logistics Co. Ltd. Class A 329,200 579
* CEC CoreCast Corp. Ltd. Class A 109,701 578
  Anhui Jianghuai Automobile Group Corp. Ltd. Class A (XSSC) 381,428 578
  Tongyu Heavy Industry Co. Ltd. Class A 1,451,300 576
  Beijing Easpring Material Technology Co. Ltd. Class A 130,000 574
  Suzhou New District Hi-Tech Industrial Co. Ltd. Class A (XSHG) 534,800 574
* Shanghai Zhongyida Co. Ltd. Class A 527,500 572
* Mesnac Co. Ltd. Class A 438,189 572
* Andon Health Co. Ltd. Class A 324,156 571
3 Hebei Hengshui Laobaigan Liquor Co. Ltd. Class A (XSHG) 167,497 570
  Nanjing Panda Electronics Co. Ltd. Class A (XSSC) 375,700 569
* Nanjing Huadong Electronics Information & Technology Co. Ltd. Class A 1,322,852 569
  Fujian Sunner Development Co. Ltd. Class A (XSEC) 240,967 567
  Zhejiang Hangmin Co. Ltd. Class A (XSHG) 318,100 566
* Jinxi Axle Co. Ltd. Class A (XSSC) 501,211 566
  Xiamen ITG Group Corp. Ltd. Class A (XSHG) 348,100 565
*,3 Beijing IRTOUCH Systems Co. Ltd. Class A 167,558 563
  Guangzhou Wondfo Biotech Co. Ltd. Class A 45,353 563
  Jiangxi Hongdu Aviation Industry Co. Ltd. Class A (XSSC) 240,800 563
* Zhejiang Jingu Co. Ltd. Class A 327,907 563
  Zhejiang Yankon Group Co. Ltd. Class A (XSHG) 625,675 563
  Jiangsu Fasten Co. Ltd. Class A 505,700 563
  Guangdong Delian Group Co. Ltd. Class A 634,135 562
  Chongqing Three Gorges Water Conservancy & Electric Power Co. Ltd. Class A (XSSC) 404,858 562
  Xiamen Tungsten Co. Ltd. Class A (XSHG) 134,000 562
  Suzhou Good-Ark Electronics Co. Ltd. Class A 480,300 561
* Shaanxi Aerospace Power Hi-Tech Co. Ltd. Class A (XSSC) 236,600 561
* Tianjin Songjiang Co. Ltd. Class A 685,700 560
  Guizhou Jiulian Industrial Explosive Material Development Co. Ltd. Class A 303,301 559
3 Sichuan Tianyi Science & Technology Co. Ltd. Class A 270,800 558
  Besttone Holdings Co. Ltd. Class A (XSSC) 218,900 557
* Pang Da Automobile Trade Co. Ltd. Class A (XSHG) 1,316,800 556
  AECC Aero-Engine Control Co. Ltd. Class A 196,500 556
* Betta Pharmaceuticals Co. Ltd. Class A 53,200 555
  Sichuan EM Technology Co. Ltd. Class A (XSHG) 537,500 555
3 Shanghai Yuyuan Tourist Mart Co. Ltd. Class A (XSHG) 324,100 554
  Zhejiang JIULI Hi-tech Metals Co. Ltd. Class A 449,450 553
* Saturday Co. Ltd. Class A 413,568 553
  Xinjiang Yilite Industry Co. Ltd. Class A (XSSC) 148,688 552
* China Hainan Rubber Industry Group Co. Ltd. Class A (XSSC) 589,600 552
  Gansu Qilianshan Cement Group Co. Ltd. Class A (XSHG) 306,100 551
* COSCO SHIPPING Specialized Carriers Co. Ltd. Class A (XSHG) 557,401 551
  Guangdong Rongtai Industry Co. Ltd. Class A 540,200 550
  Shanghai Pret Composites Co. Ltd. Class A (XSEC) 138,869 550
  GD Power Development Co. Ltd. Class A (XSSC) 1,075,915 549
  Shenzhen Aisidi Co. Ltd. Class A 352,100 548
  Simei Media Co. Ltd. Class A 144,198 546
  Shanghai Sinyang Semiconductor Materials Co. Ltd. Class A 101,400 546
* Linzhou Heavy Machinery Group Co. Ltd. Class A 695,460 545
  Hunan Investment Group Co. Ltd. Class A 490,600 542
  Anhui Jiangnan Chemical Industry Co. Ltd. Class A 532,600 542
  Shanghai New World Co. Ltd. Class A (XSSC) 314,400 541
* Yunnan Copper Co. Ltd. Class A (XSEC) 259,200 541
* Zhejiang Great Southeast Co. Ltd. Class A 1,101,400 540
  Kingfa Sci & Tech Co. Ltd. Class A (XSHG) 596,600 539
  Shaanxi Jinye Science Technology And Education Co. Ltd. Group Class A 435,808 537
  Nationz Technologies Inc. Class A 266,700 536
  Shanghai Feilo Acoustics Co. Ltd. Class A (XSHG) 301,800 535
* Inner Mongolia Pingzhuang Energy Co. Ltd. Class A 711,300 534

 

41


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Yueyang Xingchang Petrochemical Class A 228,952 534
* Shen Zhen Mindata Holding Co. Ltd. Class A 424,200 533
  Hefei Meiling Co. Ltd. Class B 962,200 533
  Changchai Co. Ltd. Class B 954,342 533
  Aerosun Corp. Class A (XSSC) 276,162 532
  Shenzhen Comix Group Co. Ltd. Class A (XSHE) 197,593 532
* Shanxi Guoxin Energy Corp. Ltd. Class A (XSHG) 434,126 531
* Shanghai Yaoji Playing Card Co. Ltd. Class A 262,459 527
  Qtone Education Group Guandong Ltd. Class A 296,692 525
  Ningbo Shanshan Co. Ltd. Class A (XSHG) 159,200 525
  Hisense Electric Co. Ltd. Class A (XSHG) 229,200 524
  Dongjiang Environmental Co. Ltd. 339,600 521
  Shanghai Zi Jiang Enterprise Group Co. Ltd. Class A (XSSC) 597,218 521
  Sunward Intelligent Equipment Co. Ltd. Class A 424,600 521
  Anhui Heli Co. Ltd. Class A (XSHG) 333,240 520
* Rongan Property Co. Ltd. Class A 814,200 520
  Nanjing Gaoke Co. Ltd. Class A (XSHG) 232,200 520
  North Navigation Control Technology Co. Ltd. Class A (XSHG) 256,600 519
  Chengdu Wintrue Holding Co. Ltd. Class A 479,170 517
  Jiangsu Yueda Investment Co. Ltd. Class A (XSSC) 486,700 516
  Sichuan Changhong Electric Co. Ltd. Class A (XSHG) 917,600 515
* Chengdu Techcent Environment Co. Ltd. Class A 215,300 515
* Avic Aviation High-Technology Co. Ltd. Class A (XSSC) 300,067 515
  Aerospace Communications Holding Group Co. Ltd. Class A 256,319 514
* China Tungsten And Hightech Materials Co. Ltd. Class A 259,900 513
* Yueyang Forest & Paper Co. Ltd. Class A (XSSC) 402,600 513
  Sichuan Hebang Biotechnology Co. Ltd. Class A (XSHG) 1,495,340 512
  Tibet Urban Development and Investment Co. Ltd. Class A (XSSC) 267,344 512
* China Hi-Tech Group Co. Class A (XSHG) 449,600 512
  Tianjin Benefo Tejing Electric Co. Ltd. Class A (XSSC) 430,333 511
  Jiangsu Zhangjiagang Rural Commercial Bank Co. Ltd. Class A 270,600 509
  Loncin Motor Co. Ltd. Class A (XSHG) 448,250 505
3 Leshi Internet Information & Technology Corp. Beijing Class A (XSEC) 218,000 504
* Guangdong Provincial Expressway Development Co. Ltd. Class A 392,500 504
  Changzhou Qianhong Biopharma Co. Ltd. Class A (XSEC) 553,950 504
  Western Region Gold Co. Ltd. Class A 194,400 503
* Shanghai Metersbonwe Fashion & Accessories Co. Ltd. Class A 926,300 503
*,3 Citic Offshore Helicopter Co. Ltd. Class A 296,000 503
  Shenzhen Silver Basis Technology Co. Ltd. Class A 266,346 502
  Liaoning Wellhope Agri-Tech JSC Ltd. Class A (XSHG) 371,300 500
  Guangdong Xinhui Meida Nylon Co. Ltd. Class A 337,800 500
  Xinjiang Tianye Co. Ltd. Class A 370,020 499
  Sino Wealth Electronic Ltd. Class A 99,113 496
  NSFOCUS Information Technology Co. Ltd. Class A 343,400 496
  Shanghai Pudong Road & Bridge Construction Co. Ltd. Class A (XSHG) 301,900 495
  Gansu Yasheng Industrial Group Co. Ltd. Class A (XSSC) 721,600 494
*,3 Zhongyuan Union Cell & Gene Engineering Corp. Ltd. Class A (XSHG) 115,300 494
  Shenzhen Gongjin Electronics Co. Ltd. Class A (XSHG) 306,240 493
* Liaoning Cheng Da Co. Ltd. Class A (XSHG) 176,400 493
* North Industries Group Red Arrow Co. Ltd. Class A 329,543 493
  Zhejiang Jingxing Paper JSC Ltd. Class A 490,500 492
  Sinoma International Engineering Co. Class A (XSHG) 361,650 492
  Anhui Xinli Finance Co. Ltd. Class A 239,800 491
* Beijing Haohua Energy Resource Co. Ltd. Class A (XSSC) 386,714 491
  Guangdong Kinlong Hardware Products Co. Ltd. Class A 153,600 491
  Dawning Information Industry Co. Ltd. Class A (XSHG) 83,200 490
  Pacific Securities Co. Ltd. Class A (XSHG) 821,535 490
  Zhejiang Hangmin Co. Ltd. Class A (XSSC) 274,993 489
* Bestway Marine & Energy Technology Co. Ltd. Class A 401,050 489
  Sichuan Haite High-tech Co. Ltd. Class A 302,880 489
* Konka Group Co. Ltd. Class A 535,900 488
* Qingdao Kingking Applied Chemistry Co. Ltd. Class A 141,100 488
  Shenzhen Kingdom Sci-Tech Co. Ltd. Class A (XSHG) 188,500 487
* Zhejiang Guangsha Co. Ltd. Class A 706,650 485

 

42


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Shandong Minhe animal Husbandry Co. Ltd. Class A 222,583 485
* Nanning Sugar Industry Co. Ltd. Class A 296,059 485
  Xiamen Faratronic Co. Ltd. Class A (XSHG) 58,248 484
  Luyin Investment Group Co. Ltd. Class A 515,800 484
  Long Yuan Construction Group Co. Ltd. Class A (XSHG) 281,700 483
* Oriental Times Media Corp. Class A (XSEC) 342,456 483
* Rightway Holdings Co. Ltd. Class A 757,300 482
* CITIC Heavy Industries Co. Ltd. Class A (XSHG) 624,200 481
* Tianjin Tianhai Investment Co. Ltd. Class A 527,800 481
  Lao Feng Xiang Co. Ltd. Class A (XSSC) 75,384 481
  Rastar Group Class A 431,500 480
* Xinjiang Xuefeng Sci-Tech Group Co. Ltd. Class A 458,800 480
  Dashang Group Co. Ltd. Class A (XSHG) 84,700 480
  Shanghai Feilo Acoustics Co. Ltd. Class A (XSSC) 270,600 480
  Time Publishing and Media Co. Ltd. Class A (XSSC) 239,408 478
  Xinjiang Tianfu Energy Co. Ltd. Class A (XSHG) 425,800 477
  Guizhou Yibai Pharmaceutical Co. Ltd. Class A (XSSC) 237,100 476
  Sinotrans Air Transportation Development Co. Ltd. Class A (XSSC) 161,950 474
* Xinjiang Sailimu Modern Agriculture Co. Ltd. Class A 580,800 474
  Shinva Medical Instrument Co. Ltd. Class A (XSHG) 184,248 473
  Sufa Technology Industry Co. Ltd. CNNC Class A 190,700 472
* Beijing Shougang Co. Ltd. Class A (XSEC) 467,100 470
* TDG Holdings Co. Ltd. Class A 320,500 469
* China Aerospace Times Electronics Co. Ltd. Class A (XSSC) 373,500 467
  Lifan Industry Group Co. Ltd. Class A (XSSC) 388,900 466
  China World Trade Center Co. Ltd. Class A (XSHG) 172,500 466
* Yueyang Forest & Paper Co. Ltd. Class A (XSHG) 365,300 465
  Shanxi Xishan Coal & Electricity Power Co. Ltd. Class A (XSEC) 317,700 465
* Shandong Wohua Pharmaceutical Co. Ltd. Class A 238,400 465
  China Oilfield Services Ltd. Class A 270,177 465
* Changshu Tianyin Electromechanical Co. Ltd. Class A 188,393 464
  Linewell Software Co. Ltd. Class A 266,576 463
  Deluxe Family Co. Ltd. Class A (XSSC) 437,436 463
  Far East Smarter Energy Co. Ltd. Class A (XSHG) 455,060 462
3 Huachangda Intelligent Equipment Group Co. Ltd. Class A 178,356 462
  Zhangjiagang Freetrade Science and Technology Co. Ltd. Class A (XSSC) 696,286 461
  Shenzhen Prolto Supply Chain Management Co. Ltd. Class A 193,329 461
*,3 Chongqing Iron & Steel Co. Ltd. Class A (XSHG) 1,419,100 460
* Shandong Hongda Mining Co. Ltd. Class A (XSHG) 250,782 458
  Huawei Culture Co. Ltd. Class A (XSEC) 351,400 457
* Guizhou Changzheng Tiancheng Holding Co. Ltd. Class A (XSSC) 351,094 457
  Nanjing Central Emporium Class A (XSHG) 358,100 457
  Guangzhou Development Group Inc. Class A (XSHG) 427,000 456
*,3 Guangdong HEC Technology Holding Co. Ltd. Class A (XSHG) 414,200 456
  Xinjiang Joinworld Co. Ltd. Class A (XSHG) 446,160 455
  Huolinhe Opencut Coal Industry Corp. Ltd. of Inner Mongolia Class A 251,700 454
  Huawei Culture Co. Ltd. Class A (XSHE) 348,240 453
  Lucky Film Co. Class A (XSSC) 219,191 453
* Hangzhou Electronic Soul Network Technology Co. Ltd. Class A 82,109 452
* Ningbo Fuda Co. Ltd. Class A 692,700 452
* Xiamen 35.com Technology Co. Ltd. Class A 289,600 452
  Shanghai Maling Aquarius Co. Ltd. Class A (XSHG) 323,200 451
  Southwest Securities Co. Ltd. Class A (XSHG) 547,606 451
  Zhejiang Semir Garment Co. Ltd. Class A (XSEC) 393,200 451
* Shanghai DZH Ltd. Class A 556,241 450
  KPC Pharmaceuticals Inc. Class A (XSHG) 280,088 449
  Shenzhen Batian Ecotypic Engineering Co. Ltd. Class A (XSEC) 395,100 447
  Meidu Energy Corp. Class A (XSHG) 496,400 446
*,3 Zhongyuan Union Cell & Gene Engineering Corp. Ltd. Class A (XSSC) 103,883 445
  Ningbo BaoSi Energy Equipment Co. Ltd. Class A 115,541 443
  Sichuan Changhong Electric Co. Ltd. Class A (XSSC) 787,438 442
* Anshan Heavy Duty Mining Machinery Co. Ltd. Class A 164,300 442
  Jiangsu Phoenix Property Investment Co. Ltd. Class A (XSSC) 533,520 440
  Jiangxi Zhengbang Technology Co. Ltd. Class A (XSEC) 528,000 440

 

43


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Dashang Group Co. Ltd. Class A (XSSC) 77,700 440
China National Medicines Corp. Ltd. Class A (XSSC) 98,552 440
Jiangsu Phoenix Publishing & Media Corp. Ltd. Class A (XSHG) 319,000 440
First Tractor Co. Ltd. Class A (XSHG) 352,300 439
* Xinhuanet Co. Ltd. Class A 102,200 437
* Beijing Interact Technology Co. Ltd. Class A 269,800 436
Shanghai Jinjiang International Industrial Investment Co. Ltd. Class A (XSHG) 161,800 435
* Guangxi Radio and Television Information Network Corp. Ltd. Class A 392,102 435
* Shenzhen Noposion Agrochemicals Co. Ltd. Class A 383,200 434
Shanghai U9 Game Co. Ltd. Class A 318,000 433
* COSCO SHIPPING Development Co. Ltd. Class A (XSSC) 730,576 433
Gansu Gangtai Holding Group Co. Ltd. Class A (XSHG) 226,680 433
MIG Unmobi Technology Inc. Class A 306,220 433
3 CSSC Offshore and Marine Engineering Group Co. Ltd. Class A (XSHG) 107,500 432
Wuxi Commercial Mansion Grand Orient Co. Ltd. Class A (XSHG) 357,771 432
Guangdong Silver Age Sci & Tech Co. Ltd. Class A 165,995 431
Guangxi Wuzhou Zhongheng Group Co. Ltd. Class A (XSHG) 683,200 430
Skyworth Digital Co. Ltd. Class A (XSEC) 262,900 430
Dalian Port PDA Co. Ltd. Class A 958,410 430
Lecron Internet Media Industry Co. Ltd. Class A 178,500 429
Changjiang & Jinggong Steel Building Group Co. Ltd. Class A (XSHG) 590,400 428
Shanghai Shenda Co. Ltd. Class A (XSSC) 280,493 428
Guizhou Panjiang Refined Coal Co. Ltd. Class A (XSHG) 385,200 428
* Shenzhen Fountain Corp. Class A 599,700 428
* Xiamen XGMA Machinery Co. Ltd. Class A 600,000 427
3 Shenzhen Capstone Industrial Co. Ltd. Class A 142,240 424
* Suzhou China Create Special Material Co. Ltd. 182,800 424
Eastern Communications Co. Ltd. Class A (XSHG) 392,200 424
Guangdong Zhongsheng Pharmaceutical Co. Ltd. Class A (XSEC) 222,700 424
* Lander Sports Development Co. Ltd. Class A 448,950 422
Top Resource Conservation & Environment Corp. Class A 364,100 422
Beijing Philisense Technology Co. Ltd. Class A (XSEC) 335,133 422
Dalian Huarui Heavy Industry Group Co. Ltd. Class A 683,920 421
Beijing Tongtech Co. Ltd. Class A 194,800 420
Ningbo David Medical Device Co. Ltd. Class A 182,500 419
Guangdong Meiyan Jixiang Hydropower Co. Ltd. Class A 586,600 419
Zhejiang Ming Jewelry Co. Ltd. Class A 328,100 418
Guangzhou Great Power Energy & Technology Co. Ltd. Class A 87,300 417
Mianyang Fulin Precision Machining Co. Ltd. Class A 120,000 417
Hunan China Sun Pharmaceutical Machinery Co. Ltd. Class A 128,200 416
Central China Securities Co. Ltd. Class A (XSSC) 334,200 416
Pengqi Technology Development Co. Ltd. Class A (XSHG) 228,600 416
Talkweb Information System Co. Ltd. Class A (XSEC) 314,007 414
Universal Scientific Industrial Shanghai Co. Ltd. Class A (XSHG) 178,938 414
3 Chongqing Zongshen Power Machinery Co. Ltd. Class A 367,200 413
Beijing Bashi Media Co. Ltd. Class A (XSSC) 439,434 413
Jiangzhong Pharmaceutical Co. Ltd. Class A (XSHG) 87,100 412
Anhui Xinhua Media Co. Ltd. Class A (XSHG) 227,560 411
Maoye Commericial Co. Ltd. Class A (XSHG) 402,600 410
Ningbo Sanxing Electric Co. Ltd. Class A (XSHG) 258,500 410
Triumph Science & Technology Co. Ltd. Class A (XSSC) 309,550 409
Shanghai Maling Aquarius Co. Ltd. Class A (XSSC) 291,998 408
* China Security & Fire Co. Ltd. Class A (XSSC) 421,300 407
China Western Power Industrial Co. Ltd. Class A 249,800 407
* Shanghai Jielong Industry Group Corp. Ltd. Class A 418,400 404
Triangle Tyre Co. Ltd. Class A 113,100 403
China Railway Hi-tech Industry Co. Ltd. Class A (XSSC) 188,400 402
Jiangsu Yabang Dyestuff Co. Ltd. Class A (XSHG) 145,500 402
Xingmin Intelligent Transportation Systems Group Co. Ltd. Class A 245,226 401
V V Food & Beverage Co. Ltd. Class A (XSHG) 532,402 401
Luxin Venture Capital Group Co. Ltd. Class A (XSSC) 165,708 401
Joincare Pharmaceutical Group Industry Co. Ltd. Class A (XSHG) 237,600 401
Keda Group Co. Ltd. Class A (XSSC) 225,100 401
Glarun Technology Co. Ltd. Class A (XSHG) 105,660 399

 

44


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Sichuan Western Resources Holding Co. Ltd. Class A 315,200 398
  Shanghai Kehua Bio-Engineering Co. Ltd. Class A (XSEC) 160,900 398
  China Pacific Insurance Group Co. Ltd. Class A (XSHG) 61,300 396
  Zhejiang Kaier New Materials Co. Ltd. Class A 208,000 395
  Fuan Pharmaceutical Group Co. Ltd. Class A 390,000 393
* Jilin Yatai Group Co. Ltd. Class A (XSHG) 492,000 391
  Chengdu B-Ray Media Co. Ltd. Class A (XSSC) 439,200 391
  Wuxi Hodgen Technology Co. Ltd. Class A 228,121 391
  Shandong Lukang Pharma Class A 320,300 391
  Shanghai Yimin Commerce Group Co. Ltd. Class A (XSHG) 457,500 390
* AECC Aero Science and Technology Co. Ltd. Class A (XSSC) 103,600 390
  Liaoning Wellhope Agri-Tech JSC Ltd. Class A (XSSC) 289,101 390
  Motic Xiamen Electric Group Co. Ltd. Class A 317,129 389
  China Harzone Industry Corp. Ltd. Class A 101,850 389
* Fushun Special Steel Co. Ltd. Class A (XSSC) 440,720 388
* Hainan Mining Co. Ltd. Class A (XSHG) 239,100 388
*,3 Chengdu Taihe Health Technology Group Inc. Ltd. Class A 282,917 388
  Sotech Smarter Equipment Co. Ltd. Class A 243,501 385
  Beijing Homyear Capital Holdings Co. Ltd. Class A (XSHG) 269,440 385
*,3 Yunnan Yunwei Co. Ltd. Class A 761,940 385
* Huadian Heavy Industries Co. Ltd. Class A (XSHG) 414,676 385
* Shanghai SK Petroleum & Chemical Equipment Corp. Ltd. Class A 253,600 383
  Beijing Gehua CATV Network Co. Ltd. Class A (XSSC) 173,800 380
* Real Nutriceutical Group Ltd. 8,797,000 378
  Jiangsu Linyang Energy Co. Ltd. Class A (XSHG) 284,900 376
* Xinjiang Qingsong Building Materials and Chemicals Group Co. Ltd. Class A (XSHG) 627,400 376
  Time Publishing and Media Co. Ltd. Class A (XSHG) 187,800 375
  Rizhao Port Co. Ltd. Class A (XSHG) 580,400 372
  Zhejiang Qianjiang Biochem Class A 299,800 372
  Chengtun Mining Group Co. Ltd. Class A (XSHG) 286,400 372
* Shanghai Zhongji Investment Holding Co. Ltd. Class A (XSSC) 129,600 371
  Guizhou Panjiang Refined Coal Co. Ltd. Class A (XSSC) 333,800 371
  Shandong Xiantan Co. Ltd. Class A 86,194 371
  Shanghai Industrial Development Co. Ltd. Class A (XSHG) 357,890 371
* Shenyang Machine Tool Co. Ltd. Class A 262,000 369
* Taiyuan Heavy Industry Co. Ltd. Class A (XSHG) 613,100 368
  CCS Supply Chain Management Co. Ltd. Class A (XSHG) 188,300 368
  Tianjin ZhongXin Pharmaceutical Group Corp. Ltd. Class A (XSHG) 141,500 368
3 Baofeng Group Co. Ltd. Class A 120,363 367
* Beijing Haohua Energy Resource Co. Ltd. Class A (XSHG) 286,200 363
  Beijing Sifang Automation Co. Ltd. Class A (XSHG) 266,300 363
* Shenzhen Rapoo Technology Co. Ltd. Class A 120,590 363
* Sichuan Guodong Construction Co. Ltd. Class A 570,200 363
* Jinxi Axle Co. Ltd. Class A (XSHG) 321,000 362
  Shenguan Holdings Group Ltd. 6,646,000 362
  Shanghai Jiao Yun Co. Ltd. Class A (XSHG) 293,500 362
  Beijing Jingyuntong Technology Co. Ltd. Class A (XSHG) 450,160 361
  People.cn Co. Ltd. Class A (XSHG) 180,600 361
  Hangzhou Jiebai Group Co. Ltd. Class A (XSHG) 243,100 360
  Jiangsu Changjiang Electronics Technology Co. Ltd. Class A (XSSC) 109,750 360
* Jinzi Ham Co. Ltd. Class A 258,518 359
  Orient International Enterprise Ltd. Class A (XSSC) 151,830 359
  Guangzhou Zhiguang Electric Co. Ltd. Class A 377,400 359
  Guizhou Yibai Pharmaceutical Co. Ltd. Class A (XSHG) 178,600 358
  Ningbo Yunsheng Group Co. Ltd. Class A (XSHG) 129,300 356
  Gansu Yasheng Industrial Group Co. Ltd. Class A (XSHG) 519,200 356
  Angel Yeast Co. Ltd. Class A (XSSC) 81,788 356
* Shanghai Yanshi Enterprise Development Co. Ltd. Class A 348,000 355
  Zhengzhou Coal Mining Machinery Group Co. Ltd. Cla (XSHG) 332,200 355
  Hubei Broadcasting & Television Information Network Co. Ltd. Class A (XSEC) 205,897 354
* Grinm Advanced Materials Co. Ltd. Class A (XSHG) 241,500 354
* Pang Da Automobile Trade Co. Ltd. Class A (XSSC) 833,600 352
  Citychamp Dartong Co. Ltd. Class A (XSHG) 343,700 352
  Guangzhou Pearl River Industrial Development Co. Ltd. Class A (XSHG) 342,120 352

 

45


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Chongqing Machinery & Electric Co. Ltd. 2,886,000 351
  Henan Huanghe Whirlwind Co. Ltd. Class A (XSHG) 230,400 351
  Zhangjiagang Freetrade Science and Technology Co. Ltd. Class A (XSHG) 525,800 348
*,3 Jiangsu Nonghua Intelligent Agriculture Technology Co. Ltd. Class A 447,000 347
  Anhui Yingliu Electromechanical Co. Ltd. Class A (XSSC) 138,800 346
  Jiangsu Changjiang Electronics Technology Co. Ltd. Class A (XSHG) 105,300 345
  Bright Real Estate Group Co. Ltd. Class A (XSHG) 298,870 345
  Fangda Jinhua Chemical Technology Co. Ltd. Class A 202,350 342
  Tongkun Group Co. Ltd. Class A (XSHG) 141,000 342
  Southern Publishing & Media Co. Ltd. Class A 180,249 340
* Geeya Technology Co. Ltd. Class A 344,900 339
* Ningxia Younglight Chemicals Co. Ltd. Class A 131,734 339
  Guangdong Guanhao High-Tech Co. Ltd. Class A 423,300 339
  Huabei Expressway Co. Ltd. Class A 242,006 339
  Jiangsu Phoenix Property Investment Co. Ltd. Class A (XSHG) 409,000 338
  Henan Thinker Automatic Equipment Co. Ltd. Class A (XSHG) 41,500 336
  BBMG Corp. Class A (XSHG) 377,414 336
  Guomai Technologies Inc. Class A (XSEC) 238,886 335
  Shanghai Cooltech Power Co. Ltd. Class A 157,500 335
  Tian Di Science & Technology Co. Ltd. Class A (XSHG) 456,100 333
* Oriental Times Media Corp. Class A (XSHE) 234,500 331
  Yabao Pharmaceutical Group Co. Ltd. Class A (XSHG) 270,400 330
  Shanghai Lonyer Fuels Co. Ltd. Class A 153,300 330
  JCHX Mining Management Co. Ltd. Class A (XSSC) 183,573 329
* Hubei Wuchangyu Co. Ltd. Class A 320,300 329
2 CSC Financial Co. Ltd. 357,000 327
  Sinomach Automobile Co. Ltd. Class A (XSHG) 177,150 327
  Chongyi Zhangyuan Tungsten Co. Ltd. Class A 201,600 325
* Gem-Year Industrial Co. Ltd. Class A (XSHG) 196,000 323
  China Coal Energy Co. Ltd. Class A (XSHG) 361,900 322
3 Addsino Co. Ltd. Class A 197,600 321
*,3 YongXing Special Stainless Steel Co. Ltd. Class A 75,068 319
  China Television Media Ltd. Class A (XSSC) 129,531 318
  China Railway Tielong Container Logistics Co. Ltd. Class A (XSSC) 189,300 318
3 Hebei Hengshui Laobaigan Liquor Co. Ltd. Class A (XSSC) 93,500 318
3 Nanjing Quanxin Cable Technology Co. Ltd. Class A 91,630 317
  Gansu Mogao Industrial Development Co. Ltd. Class A 174,820 315
  China Sports Industry Group Co. Ltd. Class A (XSHG) 156,000 313
  Changzhou Tronly New Electronic Materials Co. Ltd. Class A 86,376 312
* Ningbo Tuopu Group Co. Ltd. Class A (XSSC) 75,737 312
  Camel Group Co. Ltd. Class A (XSHG) 146,600 311
  Changshu Fengfan Power Equipment Co. Ltd. Class A (XSHG) 263,500 310
  Huafa Industrial Co. Ltd. Zhuhai Class A (XSHG) 276,840 309
  Shenzhen Expressway Co. Ltd. Class A (XSHG) 206,700 305
  Besttone Holdings Co. Ltd. Class A (XSHG) 119,700 304
  Founder Technology Group Corp. Class A (XSHG) 533,300 303
* Shanghai Fukong Interactive Entertainment Co. Ltd. Class A 105,700 303
  Guangzhou Automobile Group Co. Ltd. Class A (XSHG) 72,086 302
* 21Vianet Group Inc. ADR 40,027 301
  Lifan Industry Group Co. Ltd. Class A (XSHG) 250,700 301
* Xiangxue Pharmaceutical Co. Ltd. Class A 207,900 300
* Shaanxi Aerospace Power Hi-Tech Co. Ltd. Class A (XSHG) 126,100 299
  Jangho Group Co. Ltd. Class A (XSHG) 193,400 298
  Shanghai Shenda Co. Ltd. Class A (XSHG) 195,100 298
  Shuangliang Eco-Energy Systems Co. Ltd. Class A (XSHG) 412,005 297
  Avic Heavy Machinery Co. Ltd. Class A (XSHG) 147,200 295
  Tianjin Benefo Tejing Electric Co. Ltd. Class A (XSHG) 247,500 294
  Wenfeng Great World Chain Development Corp. Class A (XSHG) 460,200 292
* Shanghai Chinafortune Co. Ltd. Class A (XSHG) 165,500 288
3 Bright Oceans Inter-Telecom Corp. Class A (XSHG) 164,500 288
  Jiangxi Hongdu Aviation Industry Co. Ltd. Class A (XSHG) 123,000 288
  Shanghai Lansheng Corp. Class A (XSHG) 110,800 284
* Fushun Special Steel Co. Ltd. Class A (XSHG) 322,000 284
* Shandong Molong Petroleum Machinery Co. Ltd. Class A 377,928 282

 

46


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Wasu Media Holding Co. Ltd. Class A (XSHE) 133,500 282
  Anhui Expressway Co. Ltd. Class A 144,600 282
  Sinotrans Air Transportation Development Co. Ltd. Class A (XSHG) 96,100 281
  Zhuzhou Qianjin Pharmaceutical Co. Ltd. Class A (XSHG) 128,300 281
* China Security & Fire Co. Ltd. Class A (XSHG) 286,000 276
  Beijing Teamsun Technology Co. Ltd. Class A (XSHG) 180,320 276
  Huayuan Property Co. Ltd. Class A (XSHG) 440,570 276
  Deluxe Family Co. Ltd. Class A (XSHG) 257,500 272
  Beijing Bohui Innovation Technology Co. Ltd. Class A 279,637 272
  Shanghai Qiangsheng Holding Co. Ltd. Class A (XSHG) 250,900 272
* Jiangsu SINOJIT Wind Energy Technology Co. Ltd. Class A (XSHG) 441,600 271
  Yunnan Energy Investment Co. Ltd. Class A 153,900 270
  Keda Clean Energy Co. Ltd. Class A (XSSC) 140,100 270
  Shanghai Belling Co. Ltd. Class A (XSHG) 143,000 268
  China National Software & Service Co. Ltd. Class A (XSHG) 97,500 268
  Zhuzhou Times New Material Technology Co. Ltd. Class A (XSHG) 151,400 267
* Bode Energy Equipment Co. Ltd. Class A 147,258 267
  Xinjiang Urban Construction Group Co. Ltd. Class A (XSSC) 162,900 265
  Shanghai Dazhong Public Utilities Group Co. Ltd. Class A (XSHG) 345,800 264
  Zhuzhou Kibing Group Co. Ltd. Class A (XSHG) 356,400 263
*,^ Chongqing Iron & Steel Co. Ltd. 1,228,000 263
  Sichuan Languang Development Co. Ltd. Class A (XSSC) 202,266 262
* Langfang Development Co. Ltd. Class A 142,100 261
* Chang Jiang Shipping Group Phoenix Co. Ltd. Class A 341,600 260
  Shanghai New World Co. Ltd. Class A (XSHG) 149,800 258
  Jiangsu High Hope International Group Corp. Class A (XSSC) 252,100 257
* Anyuan Coal Industry Group Co. Ltd. Class A (XSHG) 422,000 257
  Guangdong Sky Dragon Printing Ink Group Co. Ltd. Class A 269,170 256
  Ningxia Building Materials Group Co. Ltd. Class A (XSHG) 129,000 256
  Shanghai Dazhong Public Utilities Group Co. Ltd. Class A (XSSC) 333,600 255
* Kingswood Enterprise Co. Ltd. Class A (XSHG) 348,200 254
  Xinjiang Guannong Fruit & Antler Group Co. Ltd. Class A (XSHG) 203,200 254
  Beijing HualuBaina Film & TV Co. Ltd. Class A 124,000 254
  Ningbo Joyson Electronic Corp. Class A (XSSC) 42,100 253
  Black Peony Group Co. Ltd. Class A (XSHG) 225,400 253
  Lingyun Industrial Corp. Ltd. Class A (XSHG) 98,200 253
  Guirenniao Co. Ltd. Class A (XSHG) 81,674 252
  Guangdong Ellington Electronics Technology Co. Ltd. Class A (XSHG) 101,000 252
  Shenzhen Chiwan Wharf Holdings Ltd. Class A 65,700 252
* Shanghai 3F New Materials Co. Class A (XSHG) 121,500 250
* Daphne International Holdings Ltd. 3,682,000 250
  Gree Real Estate Co. Ltd. Class A (XSHG) 271,320 249
  China Public Procurement Ltd. 9,029,600 249
* Hainan Mining Co. Ltd. Class A (XSSC) 153,262 249
  Tongling Jingda Special Magnet Wire Co. Ltd. Class A (XSSC) 385,000 248
  Lucky Film Co. Class A (XSHG) 120,000 248
  Anhui Yingliu Electromechanical Co. Ltd. Class A (XSHG) 98,400 245
  Tongling Jingda Special Magnet Wire Co. Ltd. Class A (XSHG) 374,934 242
  YUD Yangtze River Investment Industry Co. Ltd. Class A (XSHG) 89,650 241
* Shougang Concord International Enterprises Co. Ltd. 8,074,000 237
  Wolong Electric Group Co. Ltd. Class A (XSHG) 180,200 237
  Shanghai Xinhua Media Co. Ltd. Class A (XSHG) 226,400 236
  Luxin Venture Capital Group Co. Ltd. Class A (XSHG) 97,300 235
  Guangdong Anjubao Digital Technology Co. Ltd. Class A 220,636 233
  Shenzhen Heungkong Holding Co. Ltd. Class A (XSHG) 454,350 232
* Huadian Energy Co. Ltd. Class A 382,900 232
  Orient International Enterprise Ltd. Class A (XSHG) 97,700 231
* Anhui Wanwei Updated High-Tech Material Industry Co. Ltd. Class A (XSHG) 357,950 225
  Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class A (XSHG) 63,720 224
  Shanghai East China Computer Co. Ltd. Class A (XSHG) 72,280 224
  Yanzhou Coal Mining Co. Ltd. Class A (XSHG) 123,865 224
  TangShan Port Group Co. Ltd. Class A (XSHG) 300,960 223
  Sino-Platinum Metals Co. Ltd. Class A (XSHG) 67,500 223
  Wuxi Taiji Industry Co. Ltd. Class A (XSHG) 204,420 223

 

47


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* AECC Aero Science and Technology Co. Ltd. Class A (XSHG) 59,100 222
  Shaanxi Broadcast & TV Network Intermediary Co. Ltd. Class A (XSHG) 149,200 219
  Beijing North Star Co. Ltd. Class A (XSHG) 247,700 217
  Jiangsu Yueda Investment Co. Ltd. Class A (XSHG) 202,800 215
  Avic Heavy Machinery Co. Ltd. Class A (XSSC) 107,075 215
  Shantou Dongfeng Printing Co. Ltd. Class A (XSHG) 129,000 214
  Zhejiang Xinan Chemical Industrial Group Co. Ltd. Class A (XSHG) 136,600 212
  Henan Rebecca Hair Products Co. Ltd. Class A (XSHG) 247,320 212
  Wolong Real Estate Group Co. Ltd. Class A (XSHG) 220,900 210
  Shanghai Zhixin Electric Co. Ltd. Class A (XSHG) 209,544 209
  Triumph Science & Technology Co. Ltd. Class A (XSHG) 153,600 203
  Lanzhou LS Heavy Equipment Co. Ltd. Class A (XSHG) 129,885 202
  Shenzhen Gongjin Electronics Co. Ltd. Class A (XSSC) 125,048 201
  Tibet Urban Development and Investment Co. Ltd. Class A (XSHG) 104,570 200
* Minmetals Development Co. Ltd. Class A (XSSC) 104,800 200
  Jiangxi Lianchuang Optoelectronic Science & Technology Co. Ltd. Class A (XSHG) 98,300 199
  Qingdao Haier Co. Ltd. Class A (XSHG) 75,300 197
  Sichuan Expressway Co. Ltd. Class A (XSHG) 284,100 196
  Zhejiang Haiyue Co. Ltd. Class A (XSHG) 112,600 196
* Shandong Jinjing Science & Technology Co. Ltd. Class A (XSHG) 275,100 196
  ChangjiangRunfa Medicine Co. Ltd. Class A 71,137 196
  EGing Photovoltaic Technology Co. Ltd. Class A (XSHG) 271,800 195
  SPIC Yuanda Environmental-Protection Co. Ltd. Class A (XSHG) 123,400 194
  Shanghai Zi Jiang Enterprise Group Co. Ltd. Class A (XSHG) 217,600 190
  Inspur Software Co. Ltd. Class A (XSHG) 64,900 190
  Beijing Bashi Media Co. Ltd. Class A (XSHG) 200,236 188
  Nanjing Panda Electronics Co. Ltd. Class A (XSHG) 124,000 188
  Shanghai Mechanical and Electrical Industry Co. Ltd. Class A 60,430 187
  Changzheng Engineering Co. Ltd. Class A (XSHG) 53,100 185
  Baosheng Science and Technology Innovation Co. Ltd. Class A (XSHG) 226,566 185
  Zhejiang Feida Environmental Science & Technology Co. Ltd. Class A (XSHG) 101,500 183
  New China Life Insurance Co. Ltd. Class A (XSHG) 19,000 183
  Shanghai Qiangsheng Holding Co. Ltd. Class A (XSSC) 168,000 182
* Global Bio-Chem Technology Group Co. Ltd. 10,418,000 182
  Aerosun Corp. Class A (XSHG) 90,800 175
  Hangzhou Sunyard System Engineering Co. Ltd. Class A (XSHG) 91,600 173
  Dongfeng Electronic Technology Co. Ltd. Class A (XSHG) 86,000 167
* Gansu Jiu Steel Group Hongxing Iron & Steel Co. Ltd. Class A (XSSC) 348,000 163
  China Wafer Level CSP Co. Ltd. Class A (XSHG) 37,400 162
*,3 Chengdu Huaze Cobalt & Nickel Material Co. Ltd. Class A 84,700 160
  Shanghai Tongji Science & Technology Industrial Co. Ltd. Class A (XSHG) 93,600 157
  Beijing Jingneng Power Co. Ltd. Class A (XSHG) 252,800 153
  Jiangsu Jiangnan High Polymer Fiber Co. Ltd. Class A (XSHG) 167,900 150
3 COSCO SHIPPING Energy Transportation Co. Ltd. Class A (XSHG) 153,200 149
  Fujian Cement Inc. Class A (XSSC) 119,800 149
* COSCO SHIPPING Development Co. Ltd. Class A (XSHG) 242,900 144
* Sunny Loan Top Co. Ltd. Class A (XSHG) 94,700 139
  Zhejiang Medicine Co. Ltd. Class A (XSSC) 83,700 134
  Shanghai Fudan Forward S & T Co. Ltd. Class A (XSHG) 117,520 134
  Duzhe Publishing & Media Co. Ltd. Class A 93,800 133
  Huaxin Cement Co. Ltd. Class A (XSHG) 65,900 132
  China Wafer Level CSP Co. Ltd. Class A (XSSC) 29,828 129
  CECEP Wind-Power Corp. Class A (XSHG) 225,800 128
3 HPGC Renmintongtai Pharmaceutical Corp. Class A (XSSC) 69,000 127
* Anhui Hengyuan Coal Industry and Electricity Power Co. Ltd. Class A (XSSC) 74,500 119
* Datong Coal Industry Co. Ltd. Class A (XSSC) 125,300 119
  Kailuan Energy Chemical Co. Ltd. Class A (XSSC) 121,600 118
  Hongfa Technology Co. Ltd. Class A (XSSC) 17,100 116
* Canadian Solar Inc. 6,344 112
* Yang Quan Coal Industry Group Co. Ltd. Class A (XSSC) 100,700 111
  SPIC Yuanda Environmental-Protection Co. Ltd. Class A (XSSC) 68,861 108
* Guizhou Changzheng Tiancheng Holding Co. Ltd. Class A (XSHG) 81,200 106
  Chengdu B-Ray Media Co. Ltd. Class A (XSHG) 115,100 103
  Sichuan EM Technology Co. Ltd. Class A (XSSC) 97,800 101

 

48


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Silver Plaza Group Co. Ltd. Class A 78,132 98
^ Maoye International Holdings Ltd. 824,000 95
  Jiangsu Wuzhong Industrial Co. Class A (XSHG) 45,400 90
  China International Marine Containers Group Co. Ltd. Class A 30,200 88
* Sinovel Wind Group Co. Ltd. Class A 321,200 87
  Huatai Securities Co. Ltd. Class A (XSHG) 28,800 85
* Shandong Tyan Home Co. Ltd. Class A (XSSC) 51,734 84
* Xinjiang Xinxin Mining Industry Co. Ltd. 577,000 79
* EverChina International Holdings Co. Ltd. 3,240,669 77
  Anhui Kouzi Distillery Co. Ltd. Class A (XSHG) 10,400 76
*,3 Chongqing Iron & Steel Co. Ltd. Class A (XSSC) 206,200 67
* COSCO SHIPPING Specialized Carriers Co. Ltd. Class A (XSSC) 67,400 67
*,3 Zhonglu Co. Ltd. Class A (XSHG) 19,300 66
* Xinjiang Qingsong Building Materials and Chemicals Group Co. Ltd. Class A (XSSC) 102,800 62
3 COSCO SHIPPING Energy Transportation Co. Ltd. Class A (XSSC) 53,000 52
* Shandong Hongda Mining Co. Ltd. Class A (XSSC) 27,800 51
* Shanghai 3F New Materials Co. Class A (XSSC) 9,500 20
* China Hi-Tech Group Co. Class A (XSSC) 16,500 19
  ENN Ecological Holdings Co. Ltd. Class A (XSSC) 8,300 18
  China Merchants Shekou Industrial Zone Holdings Co. Ltd. Class A (XSEC) 6,000 16
  Shanghai Fudan Forward S & T Co. Ltd. Class A (XSSC) 10,910 12
* Hidili Industry International Development Ltd. 260,000 10
  Ping An Bank Co. Ltd. Class A (XSEC) 4,000 7
*,^,3 China Huishan Dairy Holdings Co. Ltd. 70,679,103
* Achieve Life Sciences Inc. 2
*,3 Ya Hsin Industrial Co. Ltd. 5,306,018
      27,605,513
Colombia (0.4%)    
  Bancolombia SA ADR 2,020,494 76,274
  Grupo de Inversiones Suramericana SA 3,977,199 50,492
  Interconexion Electrica SA ESP 6,706,081 29,363
  Cementos Argos SA 7,955,755 29,029
^ Ecopetrol SA ADR 2,348,335 26,043
  Almacenes Exito SA 4,149,579 22,289
  Ecopetrol SA 39,691,902 21,724
  Grupo de Inversiones Suramericana SA Preference Shares 1,715,888 21,186
  Grupo Aval Acciones y Valores Preference Shares 50,650,305 21,062
  Bancolombia SA 2,084,841 19,327
  Bancolombia SA Preference Shares 1,634,187 15,579
* CEMEX Latam Holdings SA 3,359,151 11,904
  Banco Davivienda SA Preference Shares 1,203,378 11,860
  Grupo Aval Acciones y Valores SA ADR 1,305,808 10,864
  Cementos Argos SA Preference Shares 3,279,578 10,511
  Avianca Holdings SA Preference Shares 4,622,292 4,057
  Corp Financiera Colombiana SA 19,215 181
      381,745
Czech Republic (0.2%)    
  CEZ AS 2,859,354 62,698
  Komercni banka as 1,426,544 61,336
2 Moneta Money Bank AS 9,522,154 32,544
  O2 Czech Republic AS 514,107 6,261
  Philip Morris CR AS 6,698 4,956
      167,795
Egypt (0.2%)    
  Commercial International Bank Egypt SAE 17,331,283 77,465
* Global Telecom Holding SAE 42,356,861 16,281
  Egyptian Financial Group-Hermes Holding Co. 9,519,251 12,668
  Talaat Moustafa Group 18,513,715 10,085
  ElSewedy Electric Co. 1,282,551 8,283
* Orascom Construction Ltd. 742,891 5,954
* Palm Hills Developments SAE 24,223,862 5,679
  Medinet Nasr Housing 8,105,802 4,857
  Telecom Egypt Co. 5,842,749 4,316

 

49


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Heliopolis Housing 2,338,420 4,040
* Ezz Steel 3,558,889 3,508
* Six of October Development & Investment 3,326,445 3,499
  Orascom Telecom Media And Technology Holding SAE 65,022,731 3,094
* Pioneers Holding for Financial Investments SAE 5,084,349 2,733
  Sidi Kerir Petrochemicals Co. 2,204,960 2,658
  Oriental Weavers 2,557,341 2,639
* Citadel Capital SAE 30,486,401 2,367
* South Valley Cement 2,865,683 953
  Juhayna Food Industries 450,000 233
      171,312
Greece (0.4%)    
  Hellenic Telecommunications Organization SA 4,090,468 48,610
* Alpha Bank AE 23,386,134 46,631
  OPAP SA 3,692,957 41,378
* National Bank of Greece SA 98,579,289 32,605
  JUMBO SA 1,753,073 28,181
* Eurobank Ergasias SA 30,749,293 25,117
  Motor Oil Hellas Corinth Refineries SA 999,296 23,929
* Mytilineos Holdings SA 1,839,726 19,263
  Titan Cement Co. SA 676,350 16,347
  Piraeus Bank SA 4,893,692 14,078
* FF Group 500,563 10,487
  Hellenic Petroleum SA 985,436 8,702
  Grivalia Properties REIC AE 829,084 8,650
  Hellenic Exchanges SA 1,110,965 6,213
* GEK Terna Holding Real Estate Construction SA 1,178,077 5,820
  Aegean Airlines SA 576,434 5,245
* Ellaktor SA 2,232,976 4,246
  Fourlis Holdings SA 632,040 4,102
* Holding Co. ADMIE IPTO SA 1,744,182 3,737
* Public Power Corp. SA 1,713,062 3,713
  Athens Water Supply & Sewage Co. SA 342,138 2,453
  Terna Energy SA 380,426 1,849
      361,356
Hong Kong (0.1%)    
*,2 China Resources Pharmaceutical Group Ltd. 20,014,000 24,381
*,^ HengTen Networks Group Ltd. 352,620,734 18,779
*,^ China Minsheng Financial Holding Corp. Ltd. 189,393,937 10,320
*,^ CMBC Capital Holdings Ltd. 77,870,000 6,802
* Future World Financial Holdings Ltd. 580,618 12
* Shougang Concord International Enterprises Co. Ltd. Rights Exp. 11/08/2017 8,074,000 4
      60,298
Hungary (0.4%)    
  OTP Bank plc 4,233,311 170,669
* MOL Hungarian Oil & Gas plc 7,667,872 91,828
  Richter Gedeon Nyrt 2,617,738 65,115
  Magyar Telekom Telecommunications plc 8,925,640 15,489
      343,101
India (11.9%)    
  Reliance Industries Ltd. 55,243,365 803,162
  Housing Development Finance Corp. Ltd. 27,316,850 720,422
  Infosys Ltd. 32,815,428 467,228
  Tata Consultancy Services Ltd. 8,032,812 325,610
  Maruti Suzuki India Ltd. 2,110,560 267,749
  Axis Bank Ltd. 29,342,196 237,192
  Hindustan Unilever Ltd. 12,329,548 235,631
  ITC Ltd. 50,255,592 206,339
  Bharti Airtel Ltd. 22,375,173 171,893
  Sun Pharmaceutical Industries Ltd. 18,937,602 161,767
  Oil & Natural Gas Corp. Ltd. 53,891,530 159,240
  Vedanta Ltd. 29,271,884 150,273

 

50


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Bharat Petroleum Corp. Ltd. 17,541,208 146,764
* Yes Bank Ltd. 25,323,225 123,092
Indian Oil Corp. Ltd. 19,003,715 122,019
HCL Technologies Ltd. 9,166,052 121,132
* Tata Motors Ltd. 18,141,675 120,132
Eicher Motors Ltd. 231,011 115,062
Mahindra & Mahindra Ltd. 5,342,119 110,986
Larsen & Toubro Ltd. 5,867,146 110,816
Indiabulls Housing Finance Ltd. 5,681,795 109,237
Hero MotoCorp Ltd. 1,761,993 104,863
Coal India Ltd. 22,799,891 100,891
ICICI Bank Ltd. 21,068,102 98,764
NTPC Ltd. 34,992,918 97,992
Adani Ports & Special Economic Zone Ltd. 14,686,010 97,668
UltraTech Cement Ltd. 1,428,584 97,170
Asian Paints Ltd. 5,182,018 94,627
State Bank of India 20,002,365 94,467
JSW Steel Ltd. 21,537,650 86,054
Grasim Industries Ltd. 4,407,832 83,583
Bharti Infratel Ltd. 12,048,306 82,366
Zee Entertainment Enterprises Ltd. 9,787,273 81,963
Bajaj Finance Ltd. 2,898,046 80,600
UPL Ltd. 6,129,395 75,740
Hindustan Petroleum Corp. Ltd. 10,699,604 73,908
State Bank of India GDR 1,559,124 73,805
Bajaj Auto Ltd. 1,303,180 65,589
Hindalco Industries Ltd. 15,616,705 64,531
Godrej Consumer Products Ltd. 4,468,588 64,472
Tech Mahindra Ltd. 8,541,325 63,551
Piramal Enterprises Ltd. 1,462,866 62,098
Lupin Ltd. 3,880,974 61,640
Motherson Sumi Systems Ltd. 10,899,988 61,514
Ambuja Cements Ltd. 13,519,230 58,802
IndusInd Bank Ltd. 2,335,918 58,711
Cipla Ltd. 5,987,608 58,052
Wipro Ltd. 12,773,188 58,048
Aurobindo Pharma Ltd. 4,760,745 55,907
Shriram Transport Finance Co. Ltd. 3,089,421 55,775
Kotak Mahindra Bank Ltd. 3,498,983 55,403
Bajaj Finserv Ltd. 710,707 55,025
Titan Co. Ltd. 5,379,409 52,767
GAIL India Ltd. 7,287,619 52,369
* United Spirits Ltd. 1,081,639 50,998
Dabur India Ltd. 9,774,010 50,240
^ Wipro Ltd. ADR 9,344,001 50,084
Nestle India Ltd. 428,490 47,873
Tata Steel Ltd. 4,297,591 46,738
Power Grid Corp. of India Ltd. 14,078,119 46,058
Shree Cement Ltd. 155,472 45,474
Bosch Ltd. 139,458 45,284
LIC Housing Finance Ltd. 4,726,611 43,741
Marico Ltd. 8,544,069 41,613
Britannia Industries Ltd. 549,804 39,406
Vakrangee Ltd. 4,528,289 39,338
Ashok Leyland Ltd. 19,325,726 39,169
Bharat Forge Ltd. 3,576,536 38,603
* Idea Cellular Ltd. 25,362,302 36,382
Bharat Electronics Ltd. 12,446,730 35,511
Federal Bank Ltd. 18,847,272 35,489
Cadila Healthcare Ltd. 4,520,671 35,155
Mahindra & Mahindra Financial Services Ltd. 5,266,080 35,114
Dewan Housing Finance Corp. Ltd. 3,420,528 33,982
Rural Electrification Corp. Ltd. 12,280,199 32,869
Siemens Ltd. 1,630,622 32,071

 

51


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
^ Dr Reddy's Laboratories Ltd. ADR 877,840 31,927
Rajesh Exports Ltd. 2,487,939 30,077
Havells India Ltd. 3,992,457 29,920
Pidilite Industries Ltd. 2,458,684 29,710
2 ICICI Prudential Life Insurance Co. Ltd. 4,483,189 28,098
NMDC Ltd. 14,149,549 28,021
* Bharat Financial Inclusion Ltd. 1,722,766 25,982
Power Finance Corp. Ltd. 11,652,419 25,043
Edelweiss Financial Services Ltd. 5,757,353 25,037
Glenmark Pharmaceuticals Ltd. 2,617,336 24,964
Bharat Heavy Electricals Ltd. 16,419,658 24,860
Tata Power Co. Ltd. 18,722,231 24,563
Page Industries Ltd. 79,688 24,550
Dr Reddy's Laboratories Ltd. 657,542 24,530
ACC Ltd. 871,914 24,376
DLF Ltd. 7,827,428 24,362
Crompton Greaves Consumer Electricals Ltd. 6,970,704 23,831
Bajaj Holdings & Investment Ltd. 517,013 23,714
* Steel Authority of India Ltd. 19,310,562 23,274
Bank of Baroda 8,481,305 22,254
* Punjab National Bank 7,234,119 22,047
Hindustan Zinc Ltd. 4,513,578 21,994
L&T Finance Holdings Ltd. 7,024,469 21,840
Oracle Financial Services Software Ltd. 403,462 21,809
Reliance Capital Ltd. 2,441,496 21,798
United Breweries Ltd. 1,371,654 21,769
Divi's Laboratories Ltd. 1,552,172 21,158
Natco Pharma Ltd. 1,404,803 21,012
Colgate-Palmolive India Ltd. 1,275,741 20,970
TVS Motor Co. Ltd. 1,867,515 20,875
ABB India Ltd. 974,208 20,858
Sun TV Network Ltd. 1,560,224 20,640
IDFC Bank Ltd. 23,369,370 20,454
Apollo Hospitals Enterprise Ltd. 1,261,491 20,255
* Max Financial Services Ltd. 2,217,065 20,110
* Tata Motors Ltd. Class A 5,281,920 19,658
Emami Ltd. 989,904 19,246
Reliance Infrastructure Ltd. 2,447,238 19,030
Cummins India Ltd. 1,354,725 18,945
Alkem Laboratories Ltd. 642,914 18,604
Petronet LNG Ltd. 4,394,366 17,646
Info Edge India Ltd. 1,001,288 17,586
* Jindal Steel & Power Ltd. 6,790,238 17,108
MRF Ltd. 16,625 17,064
Mphasis Ltd. 1,592,935 17,056
Mindtree Ltd. 2,234,412 16,558
NHPC Ltd. 37,450,685 16,521
Dalmia Bharat Ltd. 355,311 16,430
CESC Ltd. 1,041,462 16,395
Berger Paints India Ltd. 3,873,333 15,929
Tata Communications Ltd. 1,489,399 15,751
GlaxoSmithKline Consumer Healthcare Ltd. 200,893 15,728
* Indiabulls Real Estate Ltd. 4,370,333 15,188
Jubilant Foodworks Ltd. 598,218 15,084
Oil India Ltd. 2,602,615 14,844
KRBL Ltd. 1,470,005 14,653
Apollo Tyres Ltd. 3,747,912 14,244
Castrol India Ltd. 2,297,508 14,192
Exide Industries Ltd. 4,341,212 14,015
Torrent Pharmaceuticals Ltd. 713,128 13,984
NBCC India Ltd. 3,442,960 13,846
Voltas Ltd. 1,564,857 13,721
Muthoot Finance Ltd. 1,740,248 13,260
Canara Bank 2,116,364 13,259

 

52


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Biocon Ltd. 2,379,397 13,209
2 InterGlobe Aviation Ltd. 663,463 12,798
* Future Retail Ltd. 1,531,186 12,323
* Bank of India 4,104,442 12,121
*,2 Avenue Supermarts Ltd. 683,995 12,052
  Jubilant Life Sciences Ltd. 1,192,837 11,805
  Kajaria Ceramics Ltd. 1,091,604 11,486
  AIA Engineering Ltd. 535,062 11,380
  Godrej Industries Ltd. 1,237,429 11,332
  Arvind Ltd. 1,819,766 11,279
  Kansai Nerolac Paints Ltd. 1,421,046 11,261
  Manappuram Finance Ltd. 7,205,137 11,234
  National Aluminium Co. Ltd. 7,586,457 11,212
* GMR Infrastructure Ltd. 37,144,365 11,028
  GlaxoSmithKline Pharmaceuticals Ltd. 266,976 10,666
  NCC Ltd. 6,335,807 10,662
  Cholamandalam Investment and Finance Co. Ltd. 598,364 10,637
  Indian Hotels Co. Ltd. Rights Receipt Line 5,996,796 10,505
* CG Power and Industrial Solutions Ltd. 8,185,947 10,490
  Tata Global Beverages Ltd. 2,983,312 10,470
* Suzlon Energy Ltd. 39,675,885 10,400
  Balkrishna Industries Ltd. 385,900 10,183
  JSW Energy Ltd. 7,688,614 10,141
  Adani Enterprises Ltd. 4,959,216 10,141
  Whirlpool of India Ltd. 471,920 10,050
  GRUH Finance Ltd. 1,296,874 9,979
  Container Corp. of India Ltd. 459,938 9,822
  PI Industries Ltd. 769,682 9,764
  Ramco Cements Ltd. 876,223 9,756
  Gillette India Ltd. 104,178 9,602
  Strides Shasun Ltd. 711,782 9,116
  Mangalore Refinery & Petrochemicals Ltd. 4,132,814 9,084
  PC Jeweller Ltd. 1,651,728 8,951
  Oberoi Realty Ltd. 1,210,268 8,870
  Torrent Power Ltd. 2,113,931 8,853
  Supreme Industries Ltd. 501,807 8,765
  Century Textiles & Industries Ltd. 408,949 8,592
  Care Ratings Ltd. 367,555 8,546
  Hexaware Technologies Ltd. 1,941,490 8,544
  Indraprastha Gas Ltd. 348,793 8,534
  Coromandel International Ltd. 1,037,846 8,256
  PVR Ltd. 383,335 8,212
  Sundaram Finance Ltd. 298,957 8,110
  Prestige Estates Projects Ltd. 1,705,656 8,014
  Karur Vysya Bank Ltd. 3,970,945 7,788
  Ceat Ltd. 297,289 7,691
  Persistent Systems Ltd. 760,664 7,661
* Adani Power Ltd. 15,060,774 7,624
* IDBI Bank Ltd. 7,844,091 7,585
  Redington India Ltd. 3,065,067 7,466
  Gujarat Pipavav Port Ltd. 3,312,856 7,254
* Sun Pharma Advanced Research Co. Ltd. 1,115,603 7,231
* TI Financial Holdings Ltd. 559,898 7,200
  Indian Bank 1,471,239 7,155
  Bayer CropScience Ltd. 118,799 7,075
  Jain Irrigation Systems Ltd. 4,416,342 7,002
  IRB Infrastructure Developers Ltd. 1,852,943 6,958
  Welspun India Ltd. 6,708,669 6,946
  KPIT Technologies Ltd. 3,021,488 6,921
* Reliance Power Ltd. 10,547,220 6,648
  Amara Raja Batteries Ltd. 606,400 6,556
  Wockhardt Ltd. 638,923 6,389
* Union Bank of India 2,335,536 6,368
* Just Dial Ltd. 883,195 6,356

 

53


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Ajanta Pharma Ltd. 335,362 6,320
* Aditya Birla Fashion and Retail Ltd. 2,604,733 6,312
Balrampur Chini Mills Ltd. 2,358,961 6,254
Engineers India Ltd. 2,176,470 6,236
Srei Infrastructure Finance Ltd. 3,494,023 6,195
IDFC Ltd. 6,285,732 6,116
Blue Dart Express Ltd. 93,488 6,053
Cox & Kings Ltd. 1,482,559 5,987
Gujarat State Petronet Ltd. 1,882,808 5,948
eClerx Services Ltd. 296,539 5,862
Thermax Ltd. 374,651 5,734
India Cements Ltd. 1,889,968 5,671
Gujarat Fluorochemicals Ltd. 392,000 5,633
Sadbhav Engineering Ltd. 1,132,623 5,533
* Adani Transmissions Ltd. 1,717,547 5,519
* Jaiprakash Associates Ltd. 18,964,999 5,423
WABCO India Ltd. 55,063 5,417
* Sintex Plastics Technology Ltd. 3,750,442 5,382
Great Eastern Shipping Co. Ltd. 878,930 5,298
Ipca Laboratories Ltd. 641,603 5,283
* Mahindra CIE Automotive Ltd. 1,362,555 5,270
* Reliance Communications Ltd. 19,685,598 5,200
GE T&D India Ltd. 842,761 5,089
PTC India Ltd. 2,630,256 5,003
* Fortis Healthcare Ltd. 2,228,849 4,954
Sanofi India Ltd. 75,136 4,850
Repco Home Finance Ltd. 504,928 4,827
Jindal Saw Ltd. 2,501,190 4,823
* Dish TV India Ltd. 3,989,003 4,787
Gujarat Gas Ltd. 336,484 4,740
Karnataka Bank Ltd. 1,855,436 4,661
2 Syngene International Ltd. 596,693 4,660
* Hindustan Construction Co. Ltd. 7,450,944 4,597
SRF Ltd. 173,316 4,523
Symphony Ltd. 199,171 4,496
* Housing Development & Infrastructure Ltd. 4,877,229 4,452
Alembic Pharmaceuticals Ltd. 569,208 4,442
Sobha Ltd. 553,058 4,348
South Indian Bank Ltd. 8,957,774 4,233
* Oriental Bank of Commerce 1,934,227 4,210
Pfizer Ltd. 153,189 4,107
Bajaj Corp. Ltd. 568,659 4,089
* IFCI Ltd. 10,892,947 4,081
* Syndicate Bank 3,117,293 3,975
Chambal Fertilizers and Chemicals Ltd. 1,697,887 3,953
Kaveri Seed Co. Ltd. 430,711 3,827
Radico Khaitan Ltd. 1,118,798 3,791
Welspun Corp. Ltd. 1,668,231 3,780
* Unitech Ltd. 34,945,519 3,623
* TV18 Broadcast Ltd. 5,100,914 3,435
Multi Commodity Exchange of India Ltd. 206,525 3,364
* Aditya Birla Capital Ltd. 1,182,115 3,247
* Reliance Home Finance Ltd. 2,388,370 3,199
2 Dr Lal PathLabs Ltd. 266,448 3,180
VA Tech Wabag Ltd. 344,406 3,124
Motilal Oswal Financial Services Ltd. 140,234 2,978
* Indian Overseas Bank 7,504,203 2,927
Gateway Distriparks Ltd. 712,092 2,915
Vijaya Bank 2,789,455 2,843
* Jammu & Kashmir Bank Ltd. 2,201,271 2,816
* Equitas Holdings Ltd. 1,189,264 2,707
* Bajaj Hindusthan Sugar Ltd. 11,726,716 2,702
* Allahabad Bank 2,197,982 2,663
Raymond Ltd. 186,308 2,567

 

54


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
* Central Bank of India 1,990,196 2,514
* Jet Airways India Ltd. 277,508 2,507
Sintex Industries Ltd. 6,043,284 2,491
Gujarat Mineral Development Corp. Ltd. 906,524 2,453
* RattanIndia Power Ltd. 27,653,128 2,434
* JM Financial Ltd. 951,614 2,423
Escorts Ltd. 196,759 2,314
* Corp Bank 3,209,758 2,246
* Shipping Corp. of India Ltd. 1,518,067 2,166
Varun Beverages Ltd. 268,886 2,091
* Indian Hotels Co. Ltd. Rights Exp. 10/27/2017 1,185,304 2,072
Marksans Pharma Ltd. 2,886,931 1,997
* UCO Bank 3,911,966 1,958
* Godrej Properties Ltd. 181,657 1,906
Indiabulls Ventures Ltd. 409,542 1,808
* Rolta India Ltd. 2,063,604 1,794
ICICI Bank Ltd. ADR 180,190 1,649
2 Laurus Labs Ltd. 169,197 1,406
* Shree Renuka Sugars Ltd. 6,112,736 1,361
* DEN Networks Ltd. 890,858 1,179
* Andhra Bank 1,075,660 1,097
GE Power India Ltd. 77,455 814
Infosys Ltd. ADR 54,158 804
* Amtek Auto Ltd. 1,547,517 591
* Karur Vysya Bank Ltd. Rights Exp. 11/10/2017 654,344 514
* Reliance Naval and Engineering Ltd. 465,415 390
McLeod Russel India Ltd. 126,557 325
* Videocon Industries Ltd. 1,311,966 323
2 Reliance Industries Ltd. GDR 2,576 74
* JITF Infralogistics Ltd. 93,891 55
HDFC Bank Ltd. ADR 393 36
    10,544,015
Indonesia (2.3%)    
Bank Central Asia Tbk PT 164,469,711 253,356
Telekomunikasi Indonesia Persero Tbk PT 809,389,335 241,495
Bank Rakyat Indonesia Persero Tbk PT 181,225,180 208,500
Astra International Tbk PT 340,985,877 201,136
Bank Mandiri Persero Tbk PT 322,285,105 167,396
Bank Negara Indonesia Persero Tbk PT 128,482,542 72,023
Unilever Indonesia Tbk PT 19,277,756 70,501
United Tractors Tbk PT 26,822,732 68,550
Indofood Sukses Makmur Tbk PT 76,873,566 46,474
Hanjaya Mandala Sampoerna Tbk PT 150,554,737 44,156
Gudang Garam Tbk PT 8,146,515 42,043
Semen Indonesia Persero Tbk PT 49,658,507 39,897
Kalbe Farma Tbk PT 336,821,783 39,736
Indocement Tunggal Prakarsa Tbk PT 23,013,667 38,081
Charoen Pokphand Indonesia Tbk PT 128,836,631 31,353
Adaro Energy Tbk PT 230,743,552 31,052
Matahari Department Store Tbk PT 41,069,832 26,032
Indofood CBP Sukses Makmur Tbk PT 39,662,406 25,744
Perusahaan Gas Negara Persero Tbk PT 176,699,300 23,975
Bank Danamon Indonesia Tbk PT 59,252,896 22,289
Ciputra Development Tbk PT 237,933,685 21,231
Jasa Marga Persero Tbk PT 43,094,600 20,654
Surya Citra Media Tbk PT 112,121,400 17,780
Pakuwon Jati Tbk PT 382,057,600 17,743
Tower Bersama Infrastructure Tbk PT 34,172,912 17,172
Lippo Karawaci Tbk PT 331,996,111 16,894
Bumi Serpong Damai Tbk PT 129,601,800 16,449
* XL Axiata Tbk PT 65,978,205 16,445
AKR Corporindo Tbk PT 26,478,200 14,548
Summarecon Agung Tbk PT 179,798,364 13,724
Tambang Batubara Bukit Asam Persero Tbk PT 15,382,748 13,018

 

55


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Indo Tambangraya Megah Tbk PT 7,943,608 13,004
  Bank Tabungan Negara Persero Tbk PT 58,915,700 11,989
  Media Nusantara Citra Tbk PT 98,255,050 11,300
  Waskita Karya Persero Tbk PT 65,017,500 10,164
  Ace Hardware Indonesia Tbk PT 107,840,900 9,980
  Semen Baturaja Persero TBK PT 42,272,298 8,696
  Japfa Comfeed Indonesia Tbk PT 84,966,600 8,617
  Pembangunan Perumahan Persero Tbk PT 40,579,822 8,531
* Aneka Tambang Persero Tbk PT 163,063,652 7,755
* Vale Indonesia Tbk PT 34,477,991 7,478
  Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT 39,908,700 7,210
  Astra Agro Lestari Tbk PT 6,523,962 7,012
  Wijaya Karya Persero Tbk PT 45,193,059 6,565
  Link Net Tbk PT 15,591,000 5,733
* Medco Energi Internasional Tbk PT 94,778,716 5,527
  Global Mediacom Tbk PT 123,817,489 5,340
  Alam Sutera Realty Tbk PT 175,617,300 5,262
  Perusahaan Perkebunan London Sumatra Indonesia Tbk PT 40,605,400 4,521
  Mitra Adiperkasa Tbk PT 8,463,500 4,087
  Adhi Karya Persero Tbk PT 23,977,636 3,871
  Kawasan Industri Jababeka Tbk PT 137,199,187 3,075
* Panin Financial Tbk PT 164,231,300 2,859
* Eagle High Plantations Tbk PT 147,060,500 2,646
* Siloam International Hospitals Tbk PT 3,476,151 2,499
* Tiga Pilar Sejahtera Food Tbk 28,518,100 2,050
  Ramayana Lestari Sentosa Tbk PT 29,261,839 1,975
  Wijaya Karya Beton Tbk PT 37,553,800 1,815
* Krakatau Steel Persero Tbk PT 49,570,190 1,798
  Surya Semesta Internusa Tbk PT 38,924,900 1,694
  Timah Persero Tbk PT 25,268,131 1,528
  Agung Podomoro Land Tbk PT 66,241,600 1,280
* Matahari Putra Prima Tbk PT 29,655,900 1,268
  Salim Ivomas Pratama Tbk PT 32,805,500 1,258
  Intiland Development Tbk PT 40,073,600 1,147
  Gajah Tunggal Tbk PT 19,993,600 1,025
* Lippo Cikarang Tbk PT 3,536,800 992
  Bekasi Fajar Industrial Estate Tbk PT 40,037,600 839
  BISI International Tbk PT 2,523,700 305
  Sampoerna Agro PT 1,608,700 296
*,3 Sigmagold Inti Perkasa Tbk PT 41,608,500 153
      2,062,591
Malaysia (3.1%)    
  Public Bank Bhd. (Local) 52,842,510 255,363
  Tenaga Nasional Bhd. 69,045,205 244,635
  Malayan Banking Bhd. 98,938,098 216,180
  CIMB Group Holdings Bhd. 110,701,892 160,555
  Sime Darby Bhd. 61,506,042 133,672
  Axiata Group Bhd. 79,103,194 100,733
  Petronas Chemicals Group Bhd. 49,473,922 86,127
  Genting Bhd. 39,231,590 83,861
  DiGi.Com Bhd. 65,360,150 77,193
  IHH Healthcare Bhd. 49,193,176 65,552
  IOI Corp. Bhd. 60,242,778 63,484
  Maxis Bhd. 44,447,050 62,455
  Genting Malaysia Bhd. 51,302,429 60,977
  Petronas Gas Bhd. 13,689,296 58,335
  Kuala Lumpur Kepong Bhd. 8,932,904 51,926
  Gamuda Bhd. 39,543,716 49,040
  IJM Corp. Bhd. 59,732,500 45,009
  PPB Group Bhd. 11,311,408 44,853
  Hong Leong Bank Bhd. 11,495,600 43,280
  Dialog Group Bhd. 78,482,700 41,910
  MISC Bhd. 25,417,491 41,692
  AMMB Holdings Bhd. 35,211,842 35,609

 

56


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Telekom Malaysia Bhd. 21,573,240 32,372
Malaysia Airports Holdings Bhd. 16,547,300 32,353
Petronas Dagangan Bhd. 5,709,900 32,317
Press Metal Aluminium Holdings Bhd. 28,241,920 29,553
Sapura Energy Bhd. 74,371,162 28,145
YTL Corp. Bhd. 89,440,205 26,832
2 Astro Malaysia Holdings Bhd. 39,131,600 25,975
British American Tobacco Malaysia Bhd. 2,605,987 24,137
RHB Bank Bhd. 19,041,530 22,849
Top Glove Corp. Bhd. 14,506,300 21,926
AirAsia Bhd. 27,030,048 21,330
Hartalega Holdings Bhd. 11,542,800 20,789
My EG Services Bhd. 38,909,150 20,129
IOI Properties Group Bhd. 40,351,495 18,982
Alliance Bank Malaysia Bhd. 21,717,717 18,926
Hong Leong Financial Group Bhd. 4,575,815 18,055
Westports Holdings Bhd. 20,351,924 17,854
KLCCP Stapled Group Bhd. 8,862,000 16,758
YTL Power International Bhd. 53,645,133 16,472
Felda Global Ventures Holdings Bhd. 34,814,757 15,703
* UMW Holdings Bhd. 12,573,420 15,563
Inari Amertron Bhd. 22,284,400 14,788
HAP Seng Consolidated Bhd. 6,516,300 14,289
Genting Plantations Bhd. 5,544,400 13,988
Bursa Malaysia Bhd. 5,823,800 13,740
* Bumi Armada Bhd. 70,306,340 12,136
Sunway REIT 25,762,300 10,463
Sunway Bhd. 25,421,538 10,382
TIME dotCom Bhd. 4,303,300 9,333
VS Industry Bhd. 12,752,200 9,278
Berjaya Sports Toto Bhd. 15,979,298 9,096
Malaysian Resources Corp. Bhd. 36,244,400 9,074
Malakoff Corp. Bhd. 37,109,000 9,031
KPJ Healthcare Bhd. 35,860,800 8,640
Pos Malaysia Bhd. 6,480,200 8,407
MMC Corp. Bhd. 17,427,200 8,191
Malaysia Building Society Bhd. 31,218,000 8,182
* UMW Oil & Gas Corp. Bhd. 106,338,267 8,047
* UEM Sunrise Bhd. 29,773,600 7,809
Mah Sing Group Bhd. 21,401,366 7,794
Unisem M Bhd. 7,629,800 7,211
Kossan Rubber Industries Bhd. 3,942,300 6,723
Yinson Holdings Bhd. 6,926,800 6,472
IGB REIT 16,595,170 6,468
* WCT Holdings Bhd. 16,025,462 6,282
DRB-Hicom Bhd. 15,376,100 6,177
Cahya Mata Sarawak Bhd. 6,958,400 6,081
QL Resources Bhd. 5,553,120 5,103
* Eco World Development Group Bhd. 9,892,000 3,624
Capitaland Malaysia Mall Trust Bhd. 9,747,763 3,406
Bermaz Auto Bhd. 6,734,200 3,244
Eastern & Oriental Bhd. 8,533,200 3,106
Syarikat Takaful Malaysia Bhd. 2,897,100 2,634
Pavilion REIT 6,381,700 2,579
Fraser & Neave Holdings Bhd. 414,400 2,478
* AirAsia X Bhd. 27,661,300 2,451
* Berjaya Corp. Bhd. 28,920,989 2,288
Supermax Corp. Bhd. 4,344,400 1,816
Datasonic Group Bhd. 4,951,100 1,438
* Malaysia Marine and Heavy Engineering Holdings Bhd. 6,575,735 1,275
Sunway Construction Group Bhd. 2,138,100 1,162
* Mulpha International Bhd. 1,877,950 1,109
* Parkson Holdings Bhd. 6,931,016 1,064
* KNM Group Bhd. 16,010,600 1,060

 

57


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Muhibbah Engineering M Bhd. 1,452,600 978
* UMW Oil & Gas Corp. Bhd. Warrants 20,487,188 895
* Dayang Enterprise Holdings Bhd. 3,249,800 664
  Coastal Contracts Bhd. 1,957,900 588
* Sunway Bhd. Warrants 3,268,483 494
  SP Setia Bhd Group 532,000 411
*,3 RHB Bank Bhd. (XKLS) 11,952,935 137
* Malaysian Resources Corp. Bhd. Warrants Exp. 12/31/2027 3,624,440
      2,781,547
Mexico (3.5%)    
  America Movil SAB de CV 508,514,658 438,710
  Fomento Economico Mexicano SAB de CV 35,959,255 313,926
  Grupo Financiero Banorte SAB de CV 39,252,757 232,956
* Cemex SAB de CV 261,579,907 212,574
  Wal-Mart de Mexico SAB de CV 89,214,354 199,353
  Grupo Televisa SAB CV 43,385,350 189,932
  Grupo Mexico SAB de CV Class B 57,010,384 185,378
  Grupo Bimbo SAB de CV Class A 40,640,066 93,949
  Fibra Uno Administracion SA de CV 52,094,055 81,979
  Grupo Aeroportuario del Sureste SAB de CV Class B 3,752,238 66,920
  Grupo Financiero Inbursa SAB de CV 38,568,615 66,287
  Grupo Aeroportuario del Pacifico SAB de CV Class B 6,501,078 61,658
  Coca-Cola Femsa SAB de CV 8,168,952 55,183
  Alfa SAB de CV Class A 51,416,125 53,718
  Infraestructura Energetica Nova SAB de CV 10,222,319 52,195
  Industrias Penoles SAB de CV 2,134,939 49,631
  Grupo Financiero Santander Mexico SAB de CV Class B 28,943,081 48,747
  Mexichem SAB de CV 17,448,205 44,923
  Gruma SAB de CV Class B 3,375,900 44,221
  Grupo Elektra SAB DE CV 1,045,420 41,928
  Arca Continental SAB de CV 6,100,535 38,824
  Promotora y Operadora de Infraestructura SAB de CV (XMEX) 3,816,960 36,247
  Alsea SAB de CV 10,178,790 30,857
  Megacable Holdings SAB de CV 6,187,079 24,475
  Kimberly-Clark de Mexico SAB de CV Class A 14,205,156 24,459
  Grupo Aeroportuario del Centro Norte SAB de CV Class B 4,717,108 23,802
  El Puerto de Liverpool SAB de CV 3,476,134 23,680
  Grupo Carso SAB de CV 6,303,784 20,445
  Gentera SAB de CV 20,168,135 20,429
* Telesites SAB de CV 24,787,353 18,308
  Banregio Grupo Financiero SAB de CV 3,311,852 17,618
  Macquarie Mexico Real Estate Management SA de CV 14,175,737 17,006
* Genomma Lab Internacional SAB de CV Class B 14,357,969 16,753
  Industrias Bachoco SAB de CV Class B 3,135,312 15,397
  Bolsa Mexicana de Valores SAB de CV 9,006,912 15,038
  PLA Administradora Industrial S de RL de CV 8,991,087 13,840
  Grupo Lala SAB de CV 8,749,595 13,513
* Industrias CH SAB de CV Class B 3,049,940 12,135
  Grupo Comercial Chedraui SA de CV 5,869,140 11,410
  Prologis Property Mexico SA de CV 5,679,302 11,115
* Becle SAB de CV 6,808,300 10,906
* Controladora Vuela Cia de Aviacion SAB de CV Class A 10,461,179 10,662
  Corp Inmobiliaria Vesta SAB de CV 8,217,155 10,201
* Organizacion Soriana SAB de CV Class B 4,838,650 10,191
* La Comer SAB de CV 9,847,500 9,554
2 Nemak SAB de CV 10,766,165 8,092
* Grupo Aeromexico SAB de CV 4,425,499 7,017
  Grupo Financiero Interacciones SA de CV 1,520,600 6,973
  Concentradora Fibra Danhos SA de CV 3,954,814 6,700
* Hoteles City Express SAB de CV 5,188,073 6,338
  Promotora y Operadora de Infraestructura SAB de CV 817,086 6,111
  Alpek SAB de CV 5,787,363 6,053
  Grupo Herdez SAB de CV 2,413,926 5,165
  Credito Real SAB de CV SOFOM ER 2,536,578 4,067

 

58


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Unifin Financiera SAB de CV SOFOM ENR 1,149,645 3,915
  Qualitas Controladora SAB de CV 2,291,400 3,792
  TV Azteca SAB de CV 20,446,303 3,711
2 Concentradora Fibra Hotelera Mexicana SA de CV 5,232,906 3,505
* Minera Frisco SAB de CV 5,669,325 3,333
* Grupo Simec SAB de CV Class B 999,230 3,278
* Grupo GICSA SA de CV 5,144,800 3,113
  Rassini SAB de CV 441,141 1,664
*,2 Elementia SAB de CV 1,218,750 1,599
  OHL Mexico SAB de CV 716,216 1,267
* Axtel SAB de CV 5,707,300 1,235
  Consorcio ARA SAB de CV 2,366,068 837
*,3 Empresas ICA SAB de CV 104,678 8
      3,078,806
Pakistan (0.2%)    
  Habib Bank Ltd. 11,750,162 17,895
  Lucky Cement Ltd. 3,504,404 16,202
  Oil & Gas Development Co. Ltd. 11,650,700 15,910
  Hub Power Co. Ltd. 15,025,943 14,636
  Engro Corp. Ltd. 5,416,242 14,295
  Pakistan State Oil Co. Ltd. 4,305,750 13,894
  Pakistan Petroleum Ltd. 6,949,789 11,860
  United Bank Ltd. 6,757,000 11,478
  Pakistan Oilfields Ltd. 1,779,700 9,980
  Fauji Fertilizer Co. Ltd. 9,679,374 7,357
  DG Khan Cement Co. Ltd. 5,276,614 6,826
  Searle Co. Ltd. 1,992,620 5,785
  Kot Addu Power Co. Ltd. 9,131,721 5,554
  Engro Fertilizers Ltd. 8,092,380 4,991
* SUI Southern Gas Co. Ltd. 14,985,400 4,278
  National Bank of Pakistan Ltd. 8,789,900 3,686
  Nishat Mills Ltd. 2,665,900 3,290
  Thal Ltd. 548,366 2,645
* SUI Northern Gas Pipeline Ltd. 1,649,800 1,791
  Fauji Cement Co. Ltd. 5,841,901 1,544
  MCB Bank Ltd. 610,600 1,152
  Pakistan Telecommunication Co. Ltd. 8,638,500 1,083
  Mari Petroleum Co. Ltd. 66,520 915
  Fauji Fertilizer Bin Qasim Ltd. 2,622,500 824
  Millat Tractors Ltd. 4,190 45
      177,916
Peru (0.3%)    
  Credicorp Ltd. (XNYS) 769,190 161,099
  Credicorp Ltd. (XLIM) 357,268 74,965
  Cia de Minas Buenaventura SAA ADR 2,953,802 40,733
  Volcan Cia Minera SAA Class B 33,027,173 16,257
3 Cia de Minas Buenaventura SAA 461,011 6,242
      299,296
Philippines (1.6%)    
  SM Investments Corp. 8,497,286 157,369
  SM Prime Holdings Inc. 158,378,797 113,623
  Ayala Land Inc. 121,767,687 101,988
  BDO Unibank Inc. 33,454,185 89,146
  Ayala Corp. 4,332,709 86,460
  JG Summit Holdings Inc. 51,996,490 77,534
  PLDT Inc. 2,013,228 66,766
  Aboitiz Equity Ventures Inc. 40,749,777 59,194
  Bank of the Philippine Islands 28,796,403 54,721
  Universal Robina Corp. 15,715,359 43,497
  Metropolitan Bank & Trust Co. 24,396,816 40,940
  International Container Terminal Services Inc. 18,409,472 37,704
  Jollibee Foods Corp. 7,673,183 37,053
  Security Bank Corp. 7,507,330 35,786

 

59


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Metro Pacific Investments Corp. 244,125,900 32,174
  GT Capital Holdings Inc. 1,396,336 31,947
  Manila Electric Co. 4,759,930 26,908
  Aboitiz Power Corp. 30,645,026 25,231
  DMCI Holdings Inc. 80,905,650 24,031
  Megaworld Corp. 230,308,713 23,779
* Alliance Global Group Inc. 73,262,495 22,726
  Semirara Mining & Power Corp. Class A 25,564,208 21,044
  LT Group Inc. 55,941,727 19,488
  Globe Telecom Inc. 452,959 17,926
  Puregold Price Club Inc. 14,367,600 14,196
  Pilipinas Shell Petroleum Corp. 11,453,590 13,808
  Robinsons Retail Holdings Inc. 6,517,310 12,252
* Bloomberry Resorts Corp. 64,106,772 11,737
  Robinsons Land Corp. 23,279,200 11,389
  Petron Corp. 50,367,400 9,509
  Manila Water Co. Inc. 13,064,200 7,848
* DoubleDragon Properties Corp. 9,555,080 7,497
  First Gen Corp. 19,240,100 6,553
  Vista Land & Lifescapes Inc. 51,551,005 6,080
  D&L Industries Inc. 29,817,800 5,997
  Cosco Capital Inc. 31,114,200 5,137
  Cebu Air Inc. 2,253,640 4,760
  Filinvest Land Inc. 110,726,000 4,252
  Century Pacific Food Inc. 14,185,200 4,178
* Melco Resorts And Entertainment Philippines Corp. 30,230,400 3,975
  Nickel Asia Corp. 22,537,800 3,058
  Energy Development Corp. 24,512,388 2,742
  Emperador Inc. 19,166,153 2,674
  First Philippine Holdings Corp. 1,876,410 2,322
  Lopez Holdings Corp. 20,564,700 2,315
      1,389,314
Poland (1.4%)    
  Polski Koncern Naftowy ORLEN SA 5,350,164 189,233
* Powszechna Kasa Oszczednosci Bank Polski SA 14,623,369 155,641
  Powszechny Zaklad Ubezpieczen SA 9,604,277 123,949
^ Bank Pekao SA 2,622,525 85,693
  KGHM Polska Miedz SA 2,366,643 79,995
^ LPP SA 25,266 59,507
  Polskie Gornictwo Naftowe i Gazownictwo SA 29,088,531 53,455
  Bank Zachodni WBK SA 494,625 49,627
* PGE Polska Grupa Energetyczna SA 12,464,030 44,690
  CD Projekt SA 1,101,129 36,473
* Alior Bank SA 1,662,895 33,032
  Grupa Lotos SA 1,745,458 31,653
* mBank SA 236,438 29,897
^ CCC SA 393,461 29,504
* Jastrzebska Spolka Weglowa SA 889,919 23,933
* Bank Millennium SA 10,782,700 23,632
  KRUK SA 282,184 21,624
  Asseco Poland SA 1,574,737 20,645
  Cyfrowy Polsat SA 2,794,412 19,464
*,2 PLAY Communications SA 1,816,711 18,362
* Tauron Polska Energia SA 18,624,818 18,008
* Orange Polska SA 10,753,061 16,570
  Grupa Azoty SA 802,184 16,084
^ Eurocash SA 1,530,312 15,477
  Enea SA 3,900,931 14,927
  Energa SA 3,896,576 13,541
^ Synthos SA 8,666,847 11,733
  Kernel Holding SA 865,669 11,630
  Bank Handlowy w Warszawie SA 538,508 11,012
  Budimex SA 128,822 6,602
* Ciech SA 366,504 6,231

 

60


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* PKP Cargo SA 374,719 5,348
*,^ Getin Noble Bank SA 5,921,365 2,619
  Warsaw Stock Exchange 192,668 2,435
  Lubelski Wegiel Bogdanka SA 99,693 2,020
* Boryszew SA 498,060 1,368
  Neuca SA 18,116 1,220
  UNIWHEELS AG 14,091 1,146
* Getin Holding SA 1,133,479 501
* Bioton SA 227,644 279
      1,288,760
Qatar (0.6%)    
  Qatar National Bank QPSC 3,893,906 130,180
  Industries Qatar QSC 2,527,494 66,269
  Masraf Al Rayan QSC 6,366,269 62,595
  Ooredoo QPSC 1,449,078 34,128
  Qatar Insurance Co. SAQ 2,261,771 27,630
  Qatar Islamic Bank SAQ 1,012,983 26,959
  Qatar Electricity & Water Co. QSC 471,447 23,679
* Commercial Bank PQSC 3,206,168 23,152
  Doha Bank QPSC 2,638,227 20,420
  Qatar Gas Transport Co. Ltd. 4,661,289 19,411
  Barwa Real Estate Co. 1,726,161 14,203
* Vodafone Qatar QSC 5,751,970 11,058
  United Development Co. QSC 2,993,930 10,944
  Qatar International Islamic Bank QSC 687,660 9,145
  Ezdan Holding Group QSC 2,726,132 7,124
  Aamal Co. 2,432,730 5,070
  Salam International Investment Ltd. QSC 2,369,430 4,545
  Medicare Group 238,866 4,489
  Gulf International Services QSC 932,092 4,488
  Al Meera Consumer Goods Co. QSC 93,648 3,656
  Qatari Investors Group QSC 164,873 1,329
  Qatar Navigation QSC 77,039 1,131
      511,605
Russia (3.5%)    
  Sberbank of Russia PJSC 180,778,078 599,090
  Lukoil PJSC ADR 4,709,628 250,168
  Gazprom PJSC ADR 45,545,160 195,635
  Gazprom PJSC 89,203,693 192,044
  LUKOIL PJSC 3,302,301 174,828
  Magnit PJSC GDR 5,326,321 150,739
  Tatneft PJSC ADR 2,877,413 129,528
  Novatek PJSC GDR 951,176 108,563
  Novatek PJSC 8,821,587 98,202
  Mobile TeleSystems PJSC ADR 8,511,801 90,310
  MMC Norilsk Nickel PJSC ADR 4,836,155 88,995
  AK Transneft OAO Preference Shares 26,899 85,094
  Tatneft PJSC 9,279,982 69,187
  Rosneft Oil Co. PJSC GDR 12,291,933 67,392
  Surgutneftegas OAO Preference Shares 126,665,810 62,813
  VTB Bank PJSC 60,709,531,072 62,288
  MMC Norilsk Nickel PJSC 317,850 57,570
  Alrosa PJSC 42,914,600 55,184
  Moscow Exchange MICEX-RTS PJSC 23,385,808 47,196
  Surgutneftegas OJSC ADR 9,371,720 46,839
  Rosneft Oil Co. PJSC 7,546,235 41,125
  Severstal PJSC 2,533,881 38,922
  Novolipetsk Steel PJSC GDR 1,669,536 38,491
  Inter RAO UES PJSC 496,439,670 30,382
  VTB Bank PJSC GDR 13,734,387 28,433
  PhosAgro PJSC GDR 1,865,033 25,643
  MegaFon PJSC GDR 2,162,045 22,597
  Sberbank of Russia PJSC ADR 1,569,312 22,523
  RusHydro PJSC 1,579,839,418 22,071

 

61


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Rostelecom PJSC 18,256,325 21,322
  Aeroflot PJSC 6,789,524 20,898
  Magnitogorsk Iron & Steel Works PJSC 23,953,284 18,084
  Surgutneftegas OJSC 35,147,149 17,535
  Federal Grid Co. Unified Energy System PJSC 4,602,744,717 12,436
* Bashneft PJSC 318,389 11,972
  Tatneft PAO Preference Shares 2,069,850 11,213
  Sistema PJSC FC GDR 2,368,806 11,134
  LSR Group PJSC GDR 3,594,385 10,352
  Unipro PJSC 230,721,198 10,120
* Uralkali PJSC 3,914,452 8,722
  ROSSETI PJSC 536,105,584 8,682
  Bashneft PAO Preference Shares 300,228 7,685
* Mechel PJSC 2,848,636 7,280
  Acron PJSC 117,629 7,271
  Severstal PJSC GDR 439,550 6,704
  TMK PJSC GDR 1,039,590 5,717
* Raspadskaya OJSC 3,545,583 5,426
  Mosenergo PJSC 90,179,234 4,732
* DIXY Group PJSC 709,702 4,067
2 Detsky Mir PJSC 2,137,150 3,709
* Safmar Financial Investment 281,023 3,686
^ Rostelecom PJSC ADR 381,333 2,765
  Mobile TeleSystems PJSC 440,959 2,123
  TGC-1 PJSC 8,801,055,345 2,114
  TMK PJSC 1,111,110 1,511
* OGK-2 PJSC 157,137,880 1,476
  Sistema PJSC FC 5,036,000 1,134
* Sollers PJSC 76,039 802
* Mechel PJSC ADR 160,175 793
  Novolipetsk Steel PJSC 180,757 412
      3,133,729
Singapore (0.1%)    
  Yangzijiang Shipbuilding Holdings Ltd. 27,771,900 32,084
  Yanlord Land Group Ltd. 4,813,100 6,325
*,^ Beijing Gas Blue Sky Holdings Ltd. 84,632,000 5,751
*,^ Ying Li International Real Estate Ltd. 451,400 47
  SIIC Environment Holdings Ltd. 97,600 38
* Midas Holdings Ltd. 244,000 38
* COSCO SHIPPING International Singapore Co. Ltd. 170,800 36
      44,319
South Africa (7.0%)    
  Naspers Ltd. 7,315,154 1,782,211
  Sasol Ltd. 9,421,238 275,268
  MTN Group Ltd. 30,848,498 267,861
  Standard Bank Group Ltd. 21,665,375 251,586
  FirstRand Ltd. 54,519,082 197,895
  Steinhoff International Holdings NV (XJSE) 43,457,176 188,651
  Sanlam Ltd. 28,423,627 142,271
  Aspen Pharmacare Holdings Ltd. 5,939,196 134,194
  Remgro Ltd. 8,737,448 132,251
  Bid Corp. Ltd. 5,770,274 126,886
  Shoprite Holdings Ltd. 7,772,503 111,271
  Vodacom Group Ltd. 10,181,634 110,653
  Barclays Africa Group Ltd. 11,049,099 109,453
  Growthpoint Properties Ltd. 47,891,909 83,074
  Tiger Brands Ltd. 2,868,285 78,338
  NEPI Rockcastle plc 5,388,250 75,009
  Bidvest Group Ltd. 5,810,019 70,541
  Redefine Properties Ltd. 88,387,684 66,381
  Woolworths Holdings Ltd. 16,429,514 65,528
  Sappi Ltd. 9,740,267 65,226
  AngloGold Ashanti Ltd. 6,966,477 64,276
  Capitec Bank Holdings Ltd. 951,437 63,269

 

62


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Discovery Ltd. 5,808,038 60,249
  Gold Fields Ltd. 13,908,736 55,365
  Nedbank Group Ltd. 3,619,426 53,042
  Mr Price Group Ltd. 4,222,359 52,332
  Clicks Group Ltd. 4,649,341 52,075
  RMB Holdings Ltd. 11,713,128 51,783
  Resilient REIT Ltd. 5,082,983 50,644
  Mondi Ltd. 2,043,171 49,011
  Netcare Ltd. 25,915,380 45,625
  Life Healthcare Group Holdings Ltd. 24,249,251 44,959
  Imperial Holdings Ltd. 2,890,604 41,457
  AVI Ltd. 5,932,084 41,362
^ Truworths International Ltd. 7,745,907 41,269
  SPAR Group Ltd. 3,434,889 40,430
  Fortress Income Fund Ltd. Class B 13,927,890 39,522
  Sibanye Gold Ltd. 29,585,262 38,302
  Barloworld Ltd. 3,847,991 36,295
  Foschini Group Ltd. 3,746,053 35,906
  Hyprop Investments Ltd. 4,647,592 34,929
  Investec Ltd. 4,784,361 32,629
* Impala Platinum Holdings Ltd. 11,628,996 32,268
  PSG Group Ltd. 1,699,358 31,549
  Rand Merchant Investment Holdings Ltd. 10,867,317 30,385
  Exxaro Resources Ltd. 2,970,680 30,188
* Anglo American Platinum Ltd. 1,058,226 29,448
  Pick n Pay Stores Ltd. 6,447,301 27,038
  Coronation Fund Managers Ltd. 4,905,834 24,740
  MMI Holdings Ltd. 17,110,972 22,735
* Northam Platinum Ltd. 6,088,842 22,654
  Pioneer Foods Group Ltd. 2,561,509 21,527
  Brait SE 5,560,498 20,785
  Telkom SA SOC Ltd. 5,332,453 19,973
  Fortress Income Fund Ltd. Class A 16,554,220 19,840
^ Kumba Iron Ore Ltd. 953,977 18,354
  Tongaat Hulett Ltd. 2,191,627 17,856
  EOH Holdings Ltd. 2,310,496 17,226
  JSE Ltd. 1,763,959 16,724
  AECI Ltd. 2,209,824 16,516
  African Rainbow Minerals Ltd. 1,866,553 16,380
  Liberty Holdings Ltd. 2,033,225 15,983
* Attacq Ltd. 11,971,751 15,811
* Super Group Ltd. 5,586,865 15,792
  Reunert Ltd. 3,188,966 15,680
* Nampak Ltd. 11,470,190 15,100
  DataTec Ltd. 3,460,656 14,675
  KAP Industrial Holdings Ltd. 22,873,503 13,751
  Massmart Holdings Ltd. 1,811,885 13,737
* PPC Ltd. 25,896,177 13,512
  Assore Ltd. 602,231 13,174
  Vukile Property Fund Ltd. 9,347,092 13,038
  Tsogo Sun Holdings Ltd. 8,756,697 12,866
  Santam Ltd. 716,026 12,759
*,2 Steinhoff Africa Retail Ltd. 7,581,300 12,317
  SA Corporate Real Estate Ltd. 33,685,649 11,406
  Harmony Gold Mining Co. Ltd. 6,661,849 11,392
  Omnia Holdings Ltd. 1,089,223 11,237
  Wilson Bayly Holmes-Ovcon Ltd. 1,007,068 10,781
* Grindrod Ltd. 9,393,949 10,350
*,^ Famous Brands Ltd. 1,313,770 9,506
  Astral Foods Ltd. 626,265 8,571
  Alexander Forbes Group Holdings Ltd. 16,179,920 8,338
  Murray & Roberts Holdings Ltd. 7,228,082 8,187
  Advtech Ltd. 6,081,104 7,623
^ Trencor Ltd. 2,301,048 7,167

 

63


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
  Cashbuild Ltd. 275,870 7,108
  Blue Label Telecoms Ltd. 5,766,465 7,034
*,2 Dis-Chem Pharmacies Ltd. 2,922,595 6,845
* Sun International Ltd. 1,901,428 6,774
  Zeder Investments Ltd. 12,444,004 5,503
  Emira Property Fund Ltd. 5,901,802 5,480
  Peregrine Holdings Ltd. 2,505,941 5,026
  Adcock Ingram Holdings Ltd. 1,187,535 4,936
  Mpact Ltd. 2,693,879 4,926
*,^ Curro Holdings Ltd. 1,722,054 4,903
  Steinhoff International Holdings NV (XETR) 1,075,902 4,764
  Ascendis Health Ltd. 3,570,902 4,416
  MAS Real Estate Inc. 1,824,278 3,988
  Arrowhead Properties Ltd. 6,677,824 3,759
  Metair Investments Ltd. 2,703,842 3,633
  Rebosis Property Fund Ltd. 3,728,610 2,823
  Oceana Group Ltd. 440,079 2,804
  City Lodge Hotels Ltd. 313,727 2,795
* ArcelorMittal South Africa Ltd. 6,205,154 2,792
* Royal Bafokeng Platinum Ltd. 1,124,719 2,593
* Alviva Holdings Ltd. 1,832,376 2,545
  Raubex Group Ltd. 1,666,762 2,394
  Hosken Consolidated Investments Ltd. 257,940 2,260
  Lewis Group Ltd. 1,109,237 2,132
  Delta Property Fund Ltd. 4,037,390 2,111
  Invicta Holdings Ltd. 539,027 2,088
^ DRDGOLD Ltd. 5,749,093 1,958
  Hudaco Industries Ltd. 210,547 1,877
* Consolidated Infrastructure Group Ltd. 1,913,886 1,544
  Merafe Resources Ltd. 11,051,594 1,392
  Distell Group Ltd. 144,842 1,330
*,^ Stadio Holdings Ltd. 2,781,932 1,204
  Clover Industries Ltd. 1,137,858 1,150
  Adcorp Holdings Ltd. 1,104,072 1,112
* Aveng Ltd. 5,233,387 934
  Group Five Ltd. 908,530 836
* Adcock Ingram Holdings Ltd. Warrants Exp. 07/26/2019 73,897 40
*,3 Rockcastle Global Real Estate Co. Ltd. (Temporary Line) 5,642,207
*,3 New Europe Property Investments plc (Temporary Line) 4,286,940
      6,218,027
South Korea (0.0%)    
*,2 CEMEX Holdings Philippines Inc. 34,913,823 3,091
 
Taiwan (15.2%)    
  Taiwan Semiconductor Manufacturing Co. Ltd. 236,202,845 1,909,535
  Taiwan Semiconductor Manufacturing Co. Ltd. ADR 35,159,079 1,488,284
  Hon Hai Precision Industry Co. Ltd. 255,388,895 949,266
  Largan Precision Co. Ltd. 1,737,706 329,399
  MediaTek Inc. 25,358,864 288,572
  Formosa Plastics Corp. 83,140,730 253,452
  Nan Ya Plastics Corp. 96,337,946 237,744
  Cathay Financial Holding Co. Ltd. 133,864,556 221,200
  CTBC Financial Holding Co. Ltd. 315,624,555 202,083
  Fubon Financial Holding Co. Ltd. 126,347,983 201,362
  Delta Electronics Inc. 36,934,736 177,717
  Formosa Chemicals & Fibre Corp. 57,999,943 176,205
  Uni-President Enterprises Corp. 83,593,359 174,660
  China Steel Corp. 212,452,740 173,001
  Mega Financial Holding Co. Ltd. 189,735,523 149,151
  Catcher Technology Co. Ltd. 12,839,259 136,647
  Advanced Semiconductor Engineering Inc. 102,891,886 124,394
  First Financial Holding Co. Ltd. 173,180,121 111,728

 

64


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Quanta Computer Inc. 46,112,889 108,634
Chunghwa Telecom Co. Ltd. ADR 3,147,308 107,071
E.Sun Financial Holding Co. Ltd. 174,430,565 106,174
Asustek Computer Inc. 12,037,810 104,249
Chunghwa Telecom Co. Ltd. 29,708,913 101,462
Taiwan Mobile Co. Ltd. 27,806,415 99,136
Yuanta Financial Holding Co. Ltd. 208,862,634 92,889
President Chain Store Corp. 9,855,058 88,617
Pegatron Corp. 34,160,181 88,518
Taiwan Cooperative Financial Holding Co. Ltd. 160,022,141 86,516
Hotai Motor Co. Ltd. 7,282,220 84,548
Formosa Petrochemical Corp. 23,593,432 82,591
Hua Nan Financial Holdings Co. Ltd. 148,709,100 81,383
China Development Financial Holding Corp. 256,665,802 78,687
Taishin Financial Holding Co. Ltd. 175,603,681 76,882
Far EasTone Telecommunications Co. Ltd. 29,213,482 68,594
Innolux Corp. 150,660,054 66,035
Foxconn Technology Co. Ltd. 20,178,279 64,358
Cheng Shin Rubber Industry Co. Ltd. 31,904,558 62,973
Taiwan Cement Corp. 55,614,877 61,816
^ United Microelectronics Corp. ADR 23,543,112 61,212
Far Eastern New Century Corp. 70,787,124 60,710
Pou Chen Corp. 48,041,670 60,546
SinoPac Financial Holdings Co. Ltd. 190,266,678 58,374
Chang Hwa Commercial Bank Ltd. 106,680,816 57,840
Win Semiconductors Corp. 6,758,292 55,368
Compal Electronics Inc. 74,433,762 54,803
Lite-On Technology Corp. 38,198,049 53,943
China Life Insurance Co. Ltd. (XTAI) 56,836,994 53,737
* Macronix International 28,886,853 52,824
Chailease Holding Co. Ltd. 18,344,000 47,319
Advantech Co. Ltd. 6,806,307 46,513
Yageo Corp. 5,701,367 45,289
Shin Kong Financial Holding Co. Ltd. 137,754,034 44,078
United Microelectronics Corp. 83,295,970 42,989
Inventec Corp. 54,863,346 42,635
Globalwafers Co. Ltd. 3,534,000 40,996
Wistron Corp. 49,077,661 40,994
Hiwin Technologies Corp. 4,042,171 40,571
Winbond Electronics Corp. 46,255,000 40,110
Eclat Textile Co. Ltd. 3,280,269 39,216
Airtac International Group 2,412,181 39,101
AU Optronics Corp. 92,924,669 38,078
Asia Cement Corp. 42,085,529 37,551
Novatek Microelectronics Corp. 10,119,288 37,482
Powertech Technology Inc. 11,748,000 36,790
WPG Holdings Ltd. 25,922,000 35,512
Realtek Semiconductor Corp. 9,097,241 34,252
Teco Electric and Machinery Co. Ltd. 36,557,000 34,143
Siliconware Precision Industries Co. Ltd. 21,475,906 34,060
Nanya Technology Corp. 12,053,246 32,767
Synnex Technology International Corp. 25,382,920 32,176
Siliconware Precision Industries Co. Ltd. ADR 4,053,309 31,940
Phison Electronics Corp. 2,631,000 31,323
Vanguard International Semiconductor Corp. 16,343,774 31,037
Chroma ATE Inc. 6,354,000 30,988
Tripod Technology Corp. 8,338,000 30,707
Walsin Lihwa Corp. 59,758,443 30,544
General Interface Solution Holding Ltd. 3,280,070 30,115
* Epistar Corp. 18,321,732 29,692
* HTC Corp. 12,757,225 28,630
Accton Technology Corp. 8,783,000 28,320
Giant Manufacturing Co. Ltd. 5,463,315 28,088
Micro-Star International Co. Ltd. 11,435,000 27,945

 

65


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Feng TAY Enterprise Co. Ltd. 6,166,208 27,821
Chicony Electronics Co. Ltd. 11,068,559 27,722
Acer Inc. 50,134,062 25,943
Sino-American Silicon Products Inc. 8,896,292 24,841
^ AU Optronics Corp. ADR 5,973,527 24,551
Nien Made Enterprise Co. Ltd. 2,333,000 24,280
* Ruentex Development Co. Ltd. 23,538,000 24,174
Taiwan Business Bank 85,551,311 23,635
Compeq Manufacturing Co. Ltd. 19,321,000 22,733
* TaiMed Biologics Inc. 3,073,000 22,275
E Ink Holdings Inc. 15,530,000 21,692
Merry Electronics Co. Ltd. 2,833,528 21,675
Highwealth Construction Corp. 16,151,000 21,607
Formosa Taffeta Co. Ltd. 20,836,868 21,386
Merida Industry Co. Ltd. 4,532,000 21,125
Walsin Technology Corp. 8,173,501 21,106
Long Chen Paper Co. Ltd. 13,745,474 20,250
Ruentex Industries Ltd. 12,497,000 20,018
Silergy Corp. 923,620 19,949
* Evergreen Marine Corp. Taiwan Ltd. 33,078,358 19,814
Elite Material Co. Ltd. 4,966,246 19,778
King Yuan Electronics Co. Ltd. 17,848,000 18,928
Zhen Ding Technology Holding Ltd. 7,529,000 18,893
HannStar Display Corp. 48,626,000 18,886
Eva Airways Corp. 38,291,609 18,874
St. Shine Optical Co. Ltd. 759,000 18,564
Chipbond Technology Corp. 9,485,000 18,511
* China Petrochemical Development Corp. 41,348,000 18,453
* China Airlines Ltd. 45,110,050 18,402
Eternal Materials Co. Ltd. 18,179,393 18,358
FLEXium Interconnect Inc. 4,739,260 18,172
Taiwan Fertilizer Co. Ltd. 13,775,687 18,003
* Tatung Co. Ltd. 38,995,000 17,997
* Taiwan High Speed Rail Corp. 22,348,482 17,864
Standard Foods Corp. 7,045,403 17,454
Parade Technologies Ltd. 1,068,000 17,415
Qisda Corp. 23,509,000 17,173
Taiwan Paiho Ltd. 4,114,000 16,997
Simplo Technology Co. Ltd. 2,939,400 16,919
Tong Yang Industry Co. Ltd. 7,980,000 16,660
* Taiwan Glass Industry Corp. 31,707,818 16,366
Taiwan Secom Co. Ltd. 5,506,805 16,215
CTCI Corp. 10,408,000 16,136
Feng Hsin Steel Co. Ltd. 9,268,310 16,016
Transcend Information Inc. 5,594,978 15,894
Radiant Opto-Electronics Corp. 7,099,291 15,791
Capital Securities Corp. 45,365,422 15,726
Asia Optical Co. Inc. 3,844,000 15,703
Hota Industrial Manufacturing Co. Ltd. 3,359,562 15,700
* TPK Holding Co. Ltd. 4,740,018 15,659
LCY Chemical Corp. 11,447,000 15,646
King's Town Bank Co. Ltd. 14,021,000 15,324
Unimicron Technology Corp. 26,840,754 15,318
Land Mark Optoelectronics Corp. 1,141,900 14,576
Bizlink Holding Inc. 1,445,191 14,494
* Genius Electronic Optical Co. Ltd. 1,259,775 14,198
ITEQ Corp. 6,750,000 14,135
eMemory Technology Inc. 1,128,000 13,827
Primax Electronics Ltd. 5,301,000 13,765
King Slide Works Co. Ltd. 1,021,000 13,656
Poya International Co. Ltd. 1,064,703 13,655
TSRC Corp. 11,653,000 13,359
Wistron NeWeb Corp. 4,634,294 13,308
Mitac Holdings Corp. 10,630,691 13,224

 

66


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Yulon Motor Co. Ltd. 15,785,584 13,200
Cheng Uei Precision Industry Co. Ltd. 8,004,473 13,025
Makalot Industrial Co. Ltd. 2,805,987 12,988
Lien Hwa Industrial Corp. 12,152,918 12,896
Far Eastern International Bank 40,921,939 12,704
Chin-Poon Industrial Co. Ltd. 6,058,000 12,643
Oriental Union Chemical Corp. 14,502,000 12,486
Gourmet Master Co. Ltd. 1,079,650 12,393
China Motor Corp. 13,567,000 12,149
Grand Pacific Petrochemical 15,939,000 12,083
Gigabyte Technology Co. Ltd. 7,762,000 12,034
Sercomm Corp. 4,173,000 11,943
Great Wall Enterprise Co. Ltd. 10,408,000 11,838
Kinsus Interconnect Technology Corp. 4,599,000 11,603
ASPEED Technology Inc. 501,000 11,601
A-DATA Technology Co. Ltd. 3,971,000 11,570
Voltronic Power Technology Corp. 613,355 11,558
TTY Biopharm Co. Ltd. 3,712,000 11,461
U-Ming Marine Transport Corp. 9,587,356 11,377
* YFY Inc. 28,968,000 11,338
Kenda Rubber Industrial Co. Ltd. 8,472,571 11,242
Everlight Electronics Co. Ltd. 7,322,000 11,186
Taiwan Semiconductor Co. Ltd. 4,491,000 11,108
Global Unichip Corp. 1,114,000 11,107
* Asia Pacific Telecom Co. Ltd. 33,103,000 10,958
* OBI Pharma Inc. 1,907,000 10,887
Sinbon Electronics Co. Ltd. 3,739,315 10,705
* PharmaEssentia Corp. 2,226,526 10,523
Huaku Development Co. Ltd. 4,603,000 10,332
Advanced Semiconductor Engineering Inc. ADR 1,671,715 10,298
Greatek Electronics Inc. 5,561,000 10,280
Cub Elecparts Inc. 1,026,597 10,136
Elan Microelectronics Corp. 6,575,000 10,098
Ennoconn Corp. 704,085 10,029
WT Microelectronics Co. Ltd. 6,301,050 9,966
Ardentec Corp. 10,493,317 9,946
Clevo Co. 9,661,000 9,942
Chunghwa Precision Test Tech Co. Ltd. 268,443 9,762
China Synthetic Rubber Corp. 6,998,650 9,753
Grape King Bio Ltd. 1,689,039 9,728
Wan Hai Lines Ltd. 15,915,450 9,640
Tong Hsing Electronic Industries Ltd. 2,251,000 9,634
Yungtay Engineering Co. Ltd. 4,740,000 9,428
Chong Hong Construction Co. Ltd. 3,842,000 9,394
Taichung Commercial Bank Co. Ltd. 28,750,567 9,209
Nan Kang Rubber Tire Co. Ltd. 10,099,000 9,144
Taiwan Hon Chuan Enterprise Co. Ltd. 5,040,000 9,111
Advanced Ceramic X Corp. 828,615 9,098
* Wafer Works Corp. 7,227,647 9,036
Cheng Loong Corp. 15,148,000 8,869
* President Securities Corp. 18,536,293 8,822
Charoen Pokphand Enterprise 4,023,476 8,501
PChome Online Inc. 1,467,873 8,497
Yieh Phui Enterprise Co. Ltd. 22,227,820 8,484
PharmaEngine Inc. 1,504,456 8,457
Holtek Semiconductor Inc. 3,633,000 8,414
Pixart Imaging Inc. 1,878,000 8,329
Getac Technology Corp. 5,908,000 8,251
China Bills Finance Corp. 16,233,000 8,154
TCI Co. Ltd. 1,176,768 8,006
Coretronic Corp. 6,642,400 7,955
Tung Ho Steel Enterprise Corp. 9,716,000 7,816
Elite Advanced Laser Corp. 1,882,045 7,654
* Mercuries Life Insurance Co. Ltd. 14,218,559 7,501

 

67


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
TA Chen Stainless Pipe 11,751,748 7,447
Cathay Real Estate Development Co. Ltd. 13,270,700 7,417
Pharmally International Holding Co. Ltd. 479,000 7,413
Taiwan Acceptance Corp. 2,065,000 7,398
Darwin Precisions Corp. 6,784,000 7,347
Pan Jit International Inc. 7,277,000 7,295
OptoTech Corp. 10,551,120 7,287
Sanyang Motor Co. Ltd. 10,075,000 7,285
* Egis Technology Inc. 970,100 7,276
* Gintech Energy Corp. 14,165,242 7,193
Hu Lane Associate Inc. 1,257,000 7,175
Visual Photonics Epitaxy Co. Ltd. 3,216,500 7,157
Lung Yen Life Service Corp. 2,895,000 7,038
Waterland Financial Holdings Co. Ltd. 23,155,939 7,026
China Steel Chemical Corp. 1,754,000 7,009
Lotes Co. Ltd. 1,116,000 6,889
Sigurd Microelectronics Corp. 7,894,000 6,864
Kinpo Electronics 19,470,000 6,716
* Center Laboratories Inc. 4,109,424 6,559
Taiwan TEA Corp. 12,263,000 6,528
Tung Thih Electronic Co. Ltd. 1,005,000 6,527
China General Plastics Corp. 6,905,284 6,473
Tainan Spinning Co. Ltd. 14,346,000 6,449
Ton Yi Industrial Corp. 14,195,000 6,426
Taiwan Styrene Monomer 9,483,000 6,419
Namchow Chemical Industrial Co. Ltd. 3,173,000 6,408
United Integrated Services Co. Ltd. 3,547,000 6,354
Sunny Friend Environmental Technology Co. Ltd. 1,002,000 6,349
Elite Semiconductor Memory Technology Inc. 3,840,000 6,337
AmTRAN Technology Co. Ltd. 12,277,000 6,294
Topco Scientific Co. Ltd. 2,494,300 6,288
Shin Zu Shing Co. Ltd. 2,261,000 6,269
Pan-International Industrial Corp. 7,265,000 6,174
Casetek Holdings Ltd. 1,644,000 6,165
Taiwan Surface Mounting Technology Corp. 6,306,000 5,994
* Foxsemicon Integrated Technology Inc. 837,612 5,962
Taiwan Union Technology Corp. 2,316,772 5,949
Far Eastern Department Stores Ltd. 11,781,000 5,803
USI Corp. 11,597,060 5,733
TXC Corp. 4,272,000 5,713
Gloria Material Technology Corp. 8,615,640 5,686
Sunplus Technology Co. Ltd. 9,365,000 5,647
AcBel Polytech Inc. 7,390,000 5,626
UPC Technology Corp. 10,077,175 5,601
Career Technology MFG. Co. Ltd. 4,794,000 5,593
Asia Vital Components Co. Ltd. 5,770,000 5,476
* China Man-Made Fiber Corp. 18,738,050 5,459
IEI Integration Corp. 3,898,000 5,427
Prince Housing & Development Corp. 14,513,000 5,344
FocalTech Systems Co. Ltd. 4,920,000 5,301
Mercuries & Associates Holding Ltd. 6,521,526 5,279
Wowprime Corp. 1,036,000 5,207
Farglory Land Development Co. Ltd. 4,735,000 5,175
* Lealea Enterprise Co. Ltd. 13,801,000 5,171
Taiwan PCB Techvest Co. Ltd. 4,710,000 5,148
Syncmold Enterprise Corp. 2,210,000 5,124
Rechi Precision Co. Ltd. 4,972,000 5,114
Ginko International Co. Ltd. 728,000 5,107
Systex Corp. 2,600,000 5,106
YC INOX Co. Ltd. 5,911,200 5,050
Faraday Technology Corp. 3,281,000 5,044
* Goldsun Building Materials Co. Ltd. 16,839,000 5,039
* Motech Industries Inc. 6,447,883 5,038
Kinik Co. 1,929,000 5,037

 

68


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Soft-World International Corp. 2,269,000 5,030
Firich Enterprises Co. Ltd. 3,095,486 4,991
Shinkong Synthetic Fibers Corp. 15,356,000 4,950
* Yang Ming Marine Transport Corp. 11,976,237 4,911
Lite-On Semiconductor Corp. 3,846,000 4,842
* Lextar Electronics Corp. 7,921,000 4,796
Wah Lee Industrial Corp. 2,720,000 4,773
Hung Sheng Construction Ltd. 5,948,000 4,701
* Ho Tung Chemical Corp. 15,494,459 4,682
* Gintech Energy Corp. 7,457,705 4,680
Depo Auto Parts Ind Co. Ltd. 1,748,000 4,673
YungShin Global Holding Corp. 3,486,000 4,635
* CMC Magnetics Corp. 30,868,000 4,580
Sitronix Technology Corp. 1,581,000 4,479
Flytech Technology Co. Ltd. 1,588,000 4,471
Cleanaway Co. Ltd. 776,000 4,467
International Games System Co. Ltd. 846,000 4,464
ScinoPharm Taiwan Ltd. 3,986,576 4,403
Aten International Co. Ltd. 1,715,000 4,393
Taiflex Scientific Co. Ltd. 2,698,920 4,334
Everlight Chemical Industrial Corp. 6,884,200 4,315
* Unitech Printed Circuit Board Corp. 9,089,000 4,298
Xxentria Technology Materials Corp. 2,017,000 4,282
Yulon Nissan Motor Co. Ltd. 529,188 4,249
Chung-Hsin Electric & Machinery Manufacturing Corp. 6,079,000 4,244
* Radium Life Tech Co. Ltd. 9,422,000 4,219
Adlink Technology Inc. 1,843,790 4,209
* Gigastorage Corp. 6,582,000 4,206
* Orient Semiconductor Electronics Ltd. 13,772,000 4,204
Advanced Wireless Semiconductor Co. 2,079,000 4,166
Test Research Inc. 2,969,000 4,135
* Ritek Corp. 24,366,586 4,051
Hsin Kuang Steel Co. Ltd. 4,041,000 4,030
ITE Technology Inc. 3,336,000 3,994
* Taiwan Land Development Corp. 11,881,201 3,979
BES Engineering Corp. 17,308,000 3,969
Lingsen Precision Industries Ltd. 7,333,000 3,920
Darfon Electronics Corp. 4,273,000 3,757
Nan Ya Printed Circuit Board Corp. 4,144,521 3,753
Formosa International Hotels Corp. 744,000 3,738
CyberTAN Technology Inc. 6,098,000 3,734
Test Rite International Co. Ltd. 4,897,000 3,719
* Etron Technology Inc. 6,578,000 3,659
Chaun-Choung Technology Corp. 1,084,000 3,615
Basso Industry Corp. 1,277,000 3,530
Brogent Technologies Inc. 407,000 3,525
Posiflex Technology Inc. 787,764 3,487
* Wei Chuan Foods Corp. 5,030,000 3,368
Kindom Construction Corp. 5,222,000 3,336
TYC Brother Industrial Co. Ltd. 2,895,000 3,313
Dynapack International Technology Corp. 1,939,000 3,293
Zeng Hsing Industrial Co. Ltd. 777,000 3,248
Gemtek Technology Corp. 3,989,000 3,227
Li Cheng Enterprise Co. Ltd. 1,758,220 3,221
Sporton International Inc. 610,356 3,097
Iron Force Industrial Co. Ltd. 717,000 3,092
Global Mixed Mode Technology Inc. 1,333,000 3,068
* Microbio Co. Ltd. 4,422,000 3,065
Taiwan FamilyMart Co. Ltd. 497,000 3,032
* HannsTouch Solution Inc. 8,494,000 2,974
Yeong Guan Energy Technology Group Co. Ltd. 1,284,000 2,965
Nan Liu Enterprise Co. Ltd. 563,000 2,959
L&K Engineering Co. Ltd. 2,341,000 2,932
Quanta Storage Inc. 2,255,000 2,929

 

69


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Sampo Corp. 6,331,000 2,918
Alpha Networks Inc. 3,710,000 2,884
Universal Cement Corp. 3,717,991 2,879
Gigasolar Materials Corp. 316,000 2,860
D-Link Corp. 7,598,000 2,851
momo.com Inc. 380,000 2,811
Jentech Precision Industrial Co. Ltd. 1,093,000 2,804
Altek Corp. 2,882,000 2,789
Tyntek Corp. 5,985,000 2,762
Weltrend Semiconductor 2,617,000 2,683
Federal Corp. 5,681,040 2,665
Taiwan Shin Kong Security Co. Ltd. 2,063,000 2,650
Asia Polymer Corp. 4,238,182 2,636
Globe Union Industrial Corp. 3,939,000 2,634
Sonix Technology Co. Ltd. 2,123,000 2,611
* Taigen Biopharmaceuticals Holdings Ltd. 3,741,820 2,564
Toung Loong Textile Manufacturing 967,000 2,537
Unizyx Holding Corp. 5,295,000 2,530
Swancor Holding Co. Ltd. 1,006,000 2,523
* Elitegroup Computer Systems Co. Ltd. 3,216,000 2,518
Ability Enterprise Co. Ltd. 3,587,491 2,498
Taiwan Cogeneration Corp. 3,179,000 2,488
KEE TAI Properties Co. Ltd. 7,078,000 2,465
China Metal Products 2,658,000 2,445
Chlitina Holding Ltd. 674,000 2,437
Wisdom Marine Lines Co. Ltd. 2,707,844 2,425
Long Bon International Co. Ltd. 5,204,000 2,424
Global Brands Manufacture Ltd. 5,173,000 2,386
Holy Stone Enterprise Co. Ltd. 1,272,600 2,372
* Solartech Energy Corp. 4,499,000 2,352
* Ichia Technologies Inc. 4,266,000 2,322
Taiyen Biotech Co. Ltd. 2,457,000 2,298
3 MIN AIK Technology Co. Ltd. 2,115,200 2,295
Formosan Rubber Group Inc. 4,658,135 2,294
* Silicon Integrated Systems Corp. 7,452,468 2,251
Hong Pu Real Estate Development Co. Ltd. 3,326,000 2,234
Jess-Link Products Co. Ltd. 1,986,750 2,234
Senao International Co. Ltd. 1,290,000 2,215
* Gold Circuit Electronics Ltd. 6,265,000 2,142
Unity Opto Technology Co. Ltd. 5,295,000 2,091
* Shining Building Business Co. Ltd. 5,980,800 2,073
Masterlink Securities Corp. 7,376,670 2,065
Sinyi Realty Inc. 1,755,990 2,041
WUS Printed Circuit Co. Ltd. 3,243,600 2,039
* Li Peng Enterprise Co. Ltd. 7,079,000 2,027
Zinwell Corp. 1,943,000 1,958
Sunrex Technology Corp. 3,246,904 1,918
San Shing Fastech Corp. 940,000 1,898
* Green Energy Technology Inc. 2,940,000 1,889
* ALI Corp. 2,977,000 1,887
Cyberlink Corp. 852,000 1,885
Sheng Yu Steel Co. Ltd. 1,687,000 1,876
* Kuoyang Construction Co. Ltd. 4,577,000 1,852
ACES Electronic Co. Ltd. 2,045,000 1,848
China Chemical & Pharmaceutical Co. Ltd. 3,009,000 1,786
* E-Ton Solar Tech Co. Ltd. 5,429,000 1,778
Tong-Tai Machine & Tool Co. Ltd. 2,617,000 1,775
* Medigen Biotechnology Corp. 1,336,000 1,767
* AGV Products Corp. 7,062,370 1,764
CHC Healthcare Group 1,412,899 1,748
Rich Development Co. Ltd. 5,537,000 1,710
* Chimei Materials Technology Corp. 3,740,000 1,706
Green Seal Holding Ltd. 707,300 1,679
Yung Chi Paint & Varnish Manufacturing Co. Ltd. 626,000 1,651

 

70


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* Phihong Technology Co. Ltd. 3,758,000 1,609
  Huang Hsiang Construction Corp. 1,545,000 1,600
* G Tech Optoelectronics Corp. 2,016,481 1,572
* Concord Securities Co. Ltd. 5,500,000 1,536
* GeoVision Inc. 1,068,079 1,523
  Evergreen International Storage & Transport Corp. 3,228,000 1,499
  FSP Technology Inc. 1,896,120 1,478
  Sincere Navigation Corp. 2,046,000 1,475
* CSBC Corp. Taiwan 3,374,000 1,443
  Chung Hwa Pulp Corp. 4,020,000 1,427
* China Electric Manufacturing Corp. 4,538,000 1,424
  Infortrend Technology Inc. 2,973,000 1,375
  Tsann Kuen Enterprise Co. Ltd. 1,773,000 1,370
  Kung Long Batteries Industrial Co. Ltd. 281,000 1,361
* Lotus Pharmaceutical Co. Ltd. 862,000 1,354
* Ta Ya Electric Wire & Cable 4,319,000 1,331
  Chun Yuan Steel 3,524,000 1,321
*,3 Pihsiang Machinery Manufacturing Co. Ltd. 2,219,000 1,273
  Topkey Corp. 367,615 1,178
* TWi Pharmaceuticals Inc. 527,000 1,124
  Bank of Kaohsiung Co. Ltd. 3,595,284 1,102
* King's Town Construction Co. Ltd. 1,429,000 1,078
* Chilisin Electronics Corp. 300,000 1,025
* Dynamic Electronics Co. Ltd. 2,613,000 1,014
* Kuo Toong International Co. Ltd. 1,610,950 970
  ENG Electric Co. Ltd. 2,291,702 927
  Jih Sun Financial Holdings Co. Ltd. 3,353,647 890
  Johnson Health Tech Co. Ltd. 787,000 861
  Nien Hsing Textile Co. Ltd. 804,375 799
  Ambassador Hotel 997,000 760
  Chinese Maritime Transport Ltd. 755,370 709
  Advanced International Multitech Co. Ltd. 561,000 696
* Winbond Electronics Corp. Rights Exp. 12/11/2017 4,134,524 562
*,3 XPEC Entertainment Inc. 988,965 433
* Shih Wei Navigation Co. Ltd. 679,000 197
* Champion Building Materials Co. Ltd. 637,000 162
  Taiwan Sanyo Electric Co. Ltd. 53,000 41
* Yang Ming Marine Transport Corp. Rights Exp. 11/17/2017 3,060,488 36
* TA Chen Stainless Pipe Rights Exp. 12/11/2017 926,737 34
* CTBC Financial Holding Co. Ltd. Rights Exp. 12/15/2017 4,322,880 7
      13,474,248
Thailand (3.8%)    
* PTT PCL 16,667,500 210,873
* CP ALL PCL (Local) 89,037,341 187,635
* Siam Commercial Bank PCL (Local) 32,213,809 142,096
* Airports of Thailand PCL 75,444,029 135,256
  Siam Cement PCL NVDR 8,237,596 121,504
* Advanced Info Service PCL (Local) 19,660,884 115,075
* Central Pattana PCL 41,532,328 99,469
  PTT PCL (Foreign) 7,634,268 96,587
* Bangkok Dusit Medical Services PCL 148,259,500 94,638
* Kasikornbank PCL 13,374,996 88,586
  Kasikornbank PCL (Foreign) 11,089,187 76,118
  Kasikornbank PCL (XBKK) 11,109,000 73,578
  Siam Cement PCL (Foreign) 4,886,517 72,076
* Minor International PCL 53,592,430 69,765
* PTT Exploration and Production PCL (Local) 24,118,866 62,698
* Thai Oil PCL 17,419,400 53,500
  Intouch Holdings PCL 29,305,750 51,161
* Bangkok Bank PCL (Local) 8,652,086 50,266
  PTT Global Chemical PCL 18,702,007 45,048
* Bumrungrad Hospital PCL 6,425,568 42,560
  Krung Thai Bank PCL (Foreign) 75,274,051 41,254
* PTT Global Chemical PCL (XBKK) 15,640,400 37,674

 

71


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
^ Siam Commercial Bank PCL 8,522,768 37,594
* Home Product Center PCL 94,365,679 36,362
* Charoen Pokphand Foods PCL 45,482,000 35,582
* TMB Bank PCL 440,789,400 34,241
  Land & Houses PCL 103,794,780 34,054
* BTS Group Holdings PCL 130,382,400 33,374
* Electricity Generating PCL 4,756,200 32,928
* Bangkok Expressway & Metro PCL 136,227,103 32,005
^ IRPC PCL (Foreign) 145,139,859 28,179
  Indorama Ventures PCL 19,863,664 27,514
* Banpu PCL (Local) 52,102,700 27,466
* True Corp. PCL 134,644,577 24,924
* Energy Absolute PCL 18,887,600 24,587
* Bangchak Corp. PCL 19,036,100 23,931
^ Charoen Pokphand Foods PCL (Foreign) 29,573,700 23,136
* Kiatnakin Bank PCL 9,946,300 22,672
* KCE Electronics PCL 7,331,100 22,056
* Total Access Communication PCL (Local) 13,686,600 21,931
* Thai Union Group PCL 39,747,600 21,899
* Delta Electronics Thailand PCL 8,436,094 21,835
* Thanachart Capital PCL 13,167,600 21,705
* Digital Telecommunications Infrastructure Fund 47,924,245 21,230
^ Ratchaburi Electricity Generating Holding PCL 12,443,200 20,885
* Robinson PCL 8,503,500 19,011
* Central Plaza Hotel PCL 13,416,700 18,475
* BTS Rail Mass Transit Growth Infrastructure Fund 51,425,100 18,269
* Srisawad Corp. PCL 8,662,005 18,123
* Jasmine Broadband Internet Infrastructure Fund 48,180,900 17,406
* Hana Microelectronics PCL 11,703,400 17,170
^ Glow Energy PCL (Foreign) 6,332,855 17,156
* Muangthai Leasing PCL 13,395,200 15,830
* Berli Jucker PCL (XBKK) 9,591,100 15,451
* Tisco Financial Group PCL 5,784,900 15,284
* Siam Global House PCL 26,860,083 14,798
* CH Karnchang PCL 17,887,000 14,670
* Carabao Group PCL 4,611,600 14,643
* Sino-Thai Engineering & Construction PCL 19,087,600 14,251
*,2 Star Petroleum Refining PCL 26,995,100 14,148
* Siam Cement PCL 954,400 14,077
* Supalai PCL 18,724,000 13,859
* Bangkok Land PCL 242,898,600 13,528
  Krung Thai Bank PCL 24,389,000 13,366
^ Berli Jucker PCL 8,087,837 13,025
^ Tisco Financial Group PCL (XBKK) 4,883,800 12,903
* Sansiri PCL (Local) 179,191,100 12,619
* Siam City Cement PCL (Local) 1,466,186 12,318
* WHA Corp. PCL 103,002,100 11,906
* Amata Corp. PCL 18,365,600 11,885
* AP Thailand PCL 43,374,200 11,624
* Quality Houses PCL 126,190,700 11,171
  Bangkok Life Assurance PCL 9,813,500 10,929
* Bangkok Chain Hospital PCL 21,564,300 10,705
  Tesco Lotus Retail Growth Freehold & Leasehold Property Fund 20,379,200 10,614
* TPI Polene PCL 157,173,300 10,603
* Krungthai Card PCL 2,548,400 10,550
* Thai Airways International PCL 18,520,400 10,371
* Major Cineplex Group PCL 10,406,800 10,191
  Beauty Community PCL 18,717,903 10,083
* VGI Global Media PCL 54,245,800 10,042
  Global Power Synergy PCL 5,454,500 10,017
* Esso Thailand PCL 20,831,377 9,601
* Superblock PCL 232,458,400 8,744
* Chularat Hospital PCL 111,369,500 8,718
* Indorama Ventures PCL (XBKK) 6,225,400 8,623

 

72


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
      Market
      Value
    Shares ($000)
* IRPC PCL 43,001,300 8,349
^ Banpu PCL 15,582,547 8,214
* Dynasty Ceramic PCL 66,773,500 8,163
  Pruksa Real Estate PCL 11,775,000 8,055
* Tipco Asphalt PCL 11,913,100 8,031
* Vibhavadi Medical Center PCL 94,265,000 7,889
* TTW PCL 23,986,500 7,869
* Taokaenoi Food & Marketing PCL 10,049,743 7,785
* Italian-Thai Development PCL 62,757,800 7,672
* Thoresen Thai Agencies PCL 26,205,800 7,649
^ BEC World PCL (Foreign) 14,539,925 7,619
* CK Power PCL 57,280,900 7,483
* Workpoint Entertainment PCL 2,515,231 7,420
*,^ True Corp. PCL (XBKK) 39,654,243 7,340
  Unique Engineering & Construction PCL 13,712,000 7,308
* Gunkul Engineering PCL 59,647,862 7,255
* Thai Vegetable Oil PCL 8,357,400 6,979
* Univentures PCL 18,314,200 6,841
* Bangkok Airways PCL 12,140,600 6,721
* Jasmine International PCL 29,143,000 6,666
* LPN Development PCL 16,212,400 6,393
* PTG Energy PCL 8,783,700 6,346
* SPCG PCL 8,234,300 6,196
* Banpu Power PCL 5,898,400 5,461
* GFPT PCL 9,532,000 5,305
* Thaicom PCL 12,540,800 5,204
* TICON Industrial Connection PCL 10,273,500 5,165
* IMPACT Growth REIT 12,120,400 5,148
* Sri Trang Agro-Industry 13,375,900 5,114
* Cal-Comp Electronics Thailand PCL 46,736,400 4,894
* Intouch Holdings PCL (XBKK) 2,636,900 4,603
* Samart Corp. PCL 11,620,400 4,475
^ Thai Union Frozen Products PCL (Foreign) 8,061,700 4,442
* Precious Shipping PCL 12,566,800 4,051
^ Siam City Cement PCL (Foreign) 434,041 3,646
* Thaifoods Group PCL 18,706,000 3,406
  Thanachart Capital PCL (XBKK) 1,986,600 3,275
* BEC World PCL 5,752,100 3,014
* Supalai PCL Warrants Exp. 10/20/2018 4,610,850 2,859
^ Central Pattana PCL (XBKK) 1,146,400 2,746
* Group Lease PCL (XBKK) 10,523,679 2,423
*,3 Inter Far East Energy Corp. 25,054,900 2,338
* U City PCL 2,521,311,800 2,277
* Glow Energy PCL 837,700 2,269
  Siam Commercial Bank PCL (Foreign) 501,800 2,213
* Thai Reinsurance PCL 33,312,300 1,917
  Bangkok Bank PCL (Foreign) 282,900 1,712
* Land & Houses PCL (XBKK) 4,864,200 1,596
* Maybank Kim Eng Securities Thailand PCL 2,314,100 1,539
  CP ALL PCL (Foreign) 724,200 1,526
* Krung Thai Bank PCL (XBKK) 2,591,100 1,420
^ Kiatnakin Bank PCL (XBKK) 532,800 1,214
^ Sri Trang Agro-Industry Shares F 2,703,296 1,033
  Minor International PCL (Foreign) 662,651 863
^ Electricity Generating PCL (Foreign) 110,600 766
^ Group Lease PCL 2,827,000 651
^ Italian-Thai Development PCL (XBKK) 5,127,000 627
*,^ Superblock PCL Warrants Exp. 08/30/2020 44,649,180 551
* Pruksa Holding PCL 282,800 215
* Vibhavadi Medical Center PCL Warrants Exp. 05/09/2022 6,561,153 115
* Thaifoods Group PCL Warrants Exp. 04/28/2020 1,785,490
      3,404,580
Turkey (1.2%)    
  Turkiye Garanti Bankasi AS 36,421,623 100,345

 

73


 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2017    
 
    Market
    Value
  Shares ($000)
Akbank TAS 34,962,847 92,490
BIM Birlesik Magazalar AS 3,912,712 79,849
Tupras Turkiye Petrol Rafinerileri AS 2,137,122 76,999
Turkcell Iletisim Hizmetleri AS 18,387,349 68,902
Eregli Demir ve Celik Fabrikalari TAS 24,202,572 56,879
KOC Holding AS 12,337,771 55,247
Turkiye Is Bankasi 24,458,870 46,163
Haci Omer Sabanci Holding AS (Bearer) 14,837,828 41,304
Turkiye Halk Bankasi AS 11,096,771 32,417
Turkiye Vakiflar Bankasi TAO 19,255,315 32,209
* Turk Hava Yollari AO 10,571,086 29,011
Aselsan Elektronik Sanayi Ve Ticaret AS 2,960,636 26,521
* Emlak Konut Gayrimenkul Yatirim Ortakligi AS 34,451,603 24,044
Anadolu Efes Biracilik Ve Malt Sanayii AS 3,719,395 21,543
Petkim Petrokimya Holding AS 11,930,157 20,918
Tofas Turk Otomobil Fabrikasi AS 2,377,812 19,396
* Yapi ve Kredi Bankasi AS 14,131,834 17,188
Ford Otomotiv Sanayi AS 1,177,576 16,636
Arcelik AS 3,025,626 16,555
* Turk Telekomunikasyon AS 9,148,572 15,591
Ulker Biskuvi Sanayi AS 2,782,442 14,858
Turkiye Sise ve Cam Fabrikalari AS 12,558,132 14,755
TAV Havalimanlari Holding AS 2,948,739 14,701
Enka Insaat ve Sanayi AS 9,595,667 14,570
Coca-Cola Icecek AS 1,313,222 13,387
* Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS 13,133,429 8,402
Turkiye Sinai Kalkinma Bankasi AS 23,148,964 8,364
Soda Sanayii AS 5,551,496 7,686
Tekfen Holding AS 2,186,476 7,397
* Koza Altin Isletmeleri AS 716,950 6,228
Aygaz AS 1,457,751 6,198
Turk Traktor ve Ziraat Makineleri AS 272,515 5,445
* Koza Anadolu Metal Madencilik Isletmeleri AS 3,019,024 4,898
Trakya Cam Sanayii AS 4,378,319 4,751
Yazicilar Holding AS Class A 757,359 4,450
* Migros Ticaret AS 558,869 3,851
* Pegasus Hava Tasimaciligi AS 463,032 3,665
* Dogan Sirketler Grubu Holding AS 14,235,709 3,461
* Dogus Otomotiv Servis ve Ticaret AS 1,485,165 3,286
Cimsa Cimento Sanayi VE Ticaret AS 736,455 2,784
Otokar Otomotiv Ve Savunma Sanayi A.S. 89,815 2,611
* Logo Yazilim Sanayi Ve Ticaret AS 156,538 2,476
* Ipek Dogal Enerji Kaynaklari Arastirma Ve Uretim AS 1,448,989 2,330
Aksa Akrilik Kimya Sanayii AS 660,379 2,327
Akcansa Cimento AS 743,848 2,228
EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS 1,816,293 2,213
* Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS Class A 2,988,034 1,989
* Aksa Enerji Uretim AS Class B 1,999,979 1,812
Is Gayrimenkul Yatirim Ortakligi AS 4,955,678 1,736
* Zorlu Enerji Elektrik Uretim AS 3,988,238 1,719
Goltas Goller Bolgesi Cimento Sanayi ve Ticaret A.S. 86,576 1,673
* Afyon Cimento Sanayi TAS 741,444 1,591
* Besiktas Futbol Yatirimlari Sanayi ve Ticaret AS 1,267,381 1,508
Torunlar Gayrimenkul Yatirim Ortakligi AS 774,531 1,350
* Ihlas Holding AS 6,574,294 1,061
* Vakif Gayrimenkul Yatirim Ortakligi AS 1,393,437 1,035
* Sekerbank TAS 2,539,127 1,027
* Vestel Elektronik Sanayi ve Ticaret AS 372,155 971
Tat Gida Sanayi AS 592,839 873
EGE Endustri VE Ticaret AS 10,840 848
* Aksigorta AS 966,287 798
* Gubre Fabrikalari TAS 564,159 703
Anadolu Hayat Emeklilik AS 374,246 666
* Brisa Bridgestone Sabanci Sanayi ve Ticaret AS 296,216 579

 

74


 

Vanguard® Emerging Markets Stock Index Fund        
Schedule of Investments        
October 31, 2017        
 
          Market
          Value
        Shares ($000)
* NET Holding AS     976,703 533
  Alarko Holding AS     269,472 531
  Anadolu Cam Sanayii AS     795,881 502
* Bagfas Bandirma Gubre Fabrikalari AS     175,462 485
* Turcas Petrol AS     633,476 467
  AvivaSA Emeklilik ve Hayat AS     91,652 452
  Albaraka Turk Katilim Bankasi AS     1,150,710 395
* Bizim Toptan Satis Magazalari AS     152,937 330
  Konya Cimento Sanayii AS     4,231 295
  Adana Cimento Sanayii TAS Class A     146,658 248
* Akenerji Elektrik Uretim AS     914,448 222
*,3 Asya Katilim Bankasi AS     6,317,442
          1,083,928
United Arab Emirates (0.9%)        
  Emirates Telecommunications Group Co. PJSC     29,161,510 141,560
  Emaar Properties PJSC     60,877,913 137,381
  First Abu Dhabi Bank PJSC     46,258,757 130,243
  DP World Ltd.     2,874,942 68,251
  Abu Dhabi Commercial Bank PJSC     32,420,820 65,310
  Aldar Properties PJSC     58,111,808 37,699
  Dubai Islamic Bank PJSC     22,095,695 36,823
  DAMAC Properties Dubai Co. PJSC     30,814,253 33,062
  Emaar Malls PJSC     38,380,212 24,090
  Dubai Investments PJSC     27,094,802 19,411
  Air Arabia PJSC     42,325,717 14,274
* DXB Entertainments PJSC     58,571,286 11,806
* Dana Gas PJSC     53,817,166 10,962
* Dubai Financial Market PJSC     34,271,470 10,814
* Arabtec Holding PJSC     12,654,429 10,108
  Al Waha Capital PJSC     18,800,423 8,880
  Amanat Holdings PJSC     24,232,616 7,850
* Eshraq Properties Co. PJSC     26,939,818 5,789
* Union Properties PJSC     22,887,770 5,551
* Deyaar Development PJSC     34,487,159 4,996
  National Central Cooling Co. PJSC     8,318,553 4,748
  Aramex PJSC     3,054,575 4,250
  RAK Properties PJSC     20,584,860 3,977
* Drake & Scull International PJSC     4,230,859 2,289
* Amlak Finance PJSC     5,398,387 1,588
  Union National Bank PJSC     1,344,100 1,574
 
          803,286
 
Total Common Stocks (Cost $74,061,468)       87,751,771
 
Preferred Stocks (0.0%)        
* Vedanta Ltd. Pfd. (Cost $4,972)     32,051,576 5,122
 
 
    Coupon      
 
Temporary Cash Investments (2.2%)1        
Money Market Fund (2.1%)        
4,5 Vanguard Market Liquidity Fund 1.246%   19,317,567 1,931,950
 
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.1%)        
6 United States Cash Management Bill 1.035%—1.048% 1/2/18 16,000 15,971

 

75


 

Vanguard® Emerging Markets Stock Index Fund        
Schedule of Investments        
October 31, 2017        
 
        Face Market
      Maturity Amount Value
    Coupon Date ($000) ($000)
6 United States Treasury Bill 1.056% 11/24/17 10,000 9,994
6 United States Treasury Bill 1.087% 3/1/18 14,000 13,946
6 United States Treasury Bill 1.169% 3/22/18 8,000 7,962
          47,873
Total Temporary Cash Investments (Cost $1,979,845)       1,979,823
Total Investments (100.9%) (Cost $76,046,285)       89,736,716
Other Assets and Liabilities—Net (-0.9%)5       (810,162)
Net Assets (100%)       88,926,554

 

* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $839,552,000.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving
effect to futures and swap investments, the fund's effective common stock and temporary cash investment positions represent 100.0% and
0.9%, respectively, of net assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2017, the aggregate value of these securities was $917,995,000,
representing 1.0% of net assets.
3 Security value determined using significant unobservable inputs.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
5 Includes $963,626,000 of collateral received for securities on loan.
6 Securities with a value of $44,029,000 have been segregated as initial margin for open futures contracts.
ADR—American Depositary Receipt.
GDR—Global Depositary Receipt.
NVDR—Non-Voting Depository Receipt.
REIT—Real Estate Investment Trust.

76


 

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© 2017 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.

SNA5330 122017



Report of Independent Registered Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard European Stock Index Fund and Vanguard Pacific Stock Index Fund

In our opinion, the accompanying statements of net assets investments summary and the related statements of operations and of changes in net assets and the financial highlights (included in Item 1 of this Form N-CSR) and the schedules of investments (included in Item 6 of this Form N-CSR) present fairly, in all material respects, the financial position of Vanguard European Stock Index Fund and Vanguard Pacific Stock Index Fund (constituting separate portfolios of Vanguard International Equity Index Funds, hereafter referred to as the "Funds") as of October 31, 2017, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period then ended and the financial highlights for each of the periods indicated, in conformity with accounting principles generally accepted in the United States of America. These financial statements, financial highlights, and schedules of investments (hereafter referred to as "financial statements") are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities as of October 31, 2017 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.


December 19, 2017

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042
T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us



Report of Independent Registered Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard Total World Stock Index Fund

In our opinion, the accompanying statement of net assetsinvestments summary and the related statements of operations and of changes in net assets and the financial highlights (included in Item 1 of this Form N-CSR) and the schedule of investments (included in Item 6 of this Form N-CSR) present fairly, in all material respects, the financial position of Vanguard Total World Stock Index Fund (constituting a separate portfolio of Vanguard International Equity Index Funds, hereafter referred to as the "Fund") as of October 31, 2017, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements, financial highlights, and schedule of investments (hereafter referred to as "financial statements") are the responsibility of the Fund's management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities as of October 31, 2017 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.


December 19, 2017

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042
T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us



Report of Independent Registered Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard FTSE All-World ex-US Index Fund and Vanguard FTSE All-World ex-US Small-Cap Index Fund

In our opinion, the accompanying statement of assets and liabilities of Vanguard FTSE All-World ex-US Small-Cap Index Fund and statements of net assets investments summary of Vanguard FTSE All-World ex-US Index Fund and Vanguard FTSE All-World ex-US Small-Cap Index Fund (constituting separate portfolios of Vanguard International Equity Index Funds, hereafter referred to as the “Funds”), and the related statements of operations and of changes in net assets and the financial highlights (included in Item 1 of this Form N-CSR) and the schedules of investments (included in Item 6 of this Form N-CSR) present fairly, in all material respects, the financial position of the Funds as of October 31, 2017, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period then ended and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements, financial highlights, and schedules of investments (hereafter referred to as "financial statements") are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities as of October 31, 2017 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.


December 19, 2017

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042
T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us



Report of Independent Registered Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard Emerging Markets Stock Index Fund

In our opinion, the accompanying statement of net assetsinvestments summary and the related statements of operations and of changes in net assets and the financial highlights (included in Item 1 of this Form N-CSR) and the schedule of investments (included in Item 6 of this Form N-CSR) present fairly, in all material respects, the financial position of Vanguard Emerging Markets Stock Index Fund (constituting a separate portfolio of Vanguard International Equity Index Funds, hereafter referred to as the "Fund") as of October 31, 2017, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements, financial highlights, and schedule of investments (hereafter referred to as "financial statements") are the responsibility of the Fund’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities as of October 31, 2017 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.


December 13, 2017

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042
T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us


Item 7: Disclosure of Proxy Voting Policies and Procedures for Closed-End Management
Investment Companies.

Not Applicable.

Item 8: Portfolio Managers of Closed-End Management Investment Companies.

Not Applicable.

Item 9: Purchase of Equity Securities by Closed-End Management Investment Company and
Affiliated Purchasers.

Not Applicable.

Item 10: Submission of Matters to a Vote of Security Holders.

Not Applicable.

Item 11: Controls and Procedures.

     (a) Disclosure Controls and Procedures. The Principal Executive and Financial Officers concluded that the Registrant’s Disclosure Controls and Procedures are effective based on their evaluation of the Disclosure Controls and Procedures as of a date within 90 days of the filing date of this report.

     (b) Internal Control Over Financial Reporting. There were no significant changes in Registrant’s Internal Control Over Financial Reporting or in other factors that could significantly affect this control subsequent to the date of the evaluation, including any corrective actions with regard to significant deficiencies and material weaknesses.

Item 12: Disclosure of Securities Lending Activities for Closed-End Management Investment Companies.

Not Applicable.

Item 13: Exhibits.

(a) Code of Ethics.
(b) Certifications.


 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

  VANGUARD INTERNATIONAL EQUITY INDEX FUNDS
 
 
BY: /s/ F. WILLIAM MCNABB III*
  F. WILLIAM MCNABB III
  CHIEF EXECUTIVE OFFICER
 
Date: December 21, 2017

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

  VANGUARD INTERNATIONAL EQUITY INDEX FUNDS
 
BY: /s/ F. WILLIAM MCNABB III*
  F. WILLIAM MCNABB III
  CHIEF EXECUTIVE OFFICER

 

Date: December 21, 2017

 

 

VANGUARD INTERNATIONAL EQUITY INDEX FUNDS

 

BY:

/s/ THOMAS J. HIGGINS*
  THOMAS J. HIGGINS
  CHIEF FINANCIAL OFFICER
Date: December 21, 2017

 

* By: /s/ Anne E. Robinson
Anne E. Robinson, pursuant to a Power of Attorney filed on October 4, 2016 see file Number
33-32548, Incorporated by Reference.