0001752724-20-011535.txt : 20200124 0001752724-20-011535.hdr.sgml : 20200124 20200124171845 ACCESSION NUMBER: 0001752724-20-011535 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20191130 FILED AS OF DATE: 20200124 PERIOD START: 20200831 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SCHWAB STRATEGIC TRUST CENTRAL INDEX KEY: 0001454889 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22311 FILM NUMBER: 20546452 BUSINESS ADDRESS: STREET 1: 211 MAIN STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 BUSINESS PHONE: 1-415-667-7000 MAIL ADDRESS: STREET 1: 211 MAIN STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 FORMER COMPANY: FORMER CONFORMED NAME: Schwab Strategic Trust DATE OF NAME CHANGE: 20090127 0001454889 S000059091 Schwab 1000 Index ETF C000193734 Schwab 1000 Index ETF SCHK NPORT-P 1 primary_doc.xml NPORT-P false 0001454889 XXXXXXXX S000059091 C000193734 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1940803.52000000 0.212914171778 Long EC CORP US N 1 N N N AptarGroup Inc VNPEQDQFAA7IY1T2PX43 AptarGroup Inc 038336103 2000.00000000 NS USD 224240.00000000 0.024600055279 Long EC CORP US N 1 N N N Glacier Bancorp Inc N/A Glacier Bancorp Inc 37637Q105 2665.00000000 NS USD 116860.25000000 0.012820052666 Long EC CORP US N 1 N N N Babcock & Wilcox Co/The 549300NP85N265KWMS58 BWX Technologies Inc 05605H100 3044.00000000 NS USD 183035.72000000 0.020079775375 Long EC CORP US N 1 N N N Marathon Petroleum Corp 3BNYRYQHD39K4LCKQF12 Marathon Petroleum Corp 56585A102 20558.00000000 NS USD 1246637.12000000 0.136761247173 Long EC CORP US N 1 N N N Regency Centers Corp 529900053A7X7FJ97S58 Regency Centers Corp 758849103 5235.00000000 NS USD 340484.40000000 0.037352546655 Long EC US N 1 N N N Comerica Inc I9Q57JVPWHHZ3ZGBW498 Comerica Inc 200340107 4655.00000000 NS USD 327758.55000000 0.035956468286 Long EC CORP US N 1 N N N First Republic Bank/CA YWC0TIKBQM2JV8L4IV08 First Republic Bank/CA 33616C100 5245.00000000 NS USD 576425.50000000 0.063236260991 Long EC CORP US N 1 N N N Hill-Rom Holdings Inc JLZ01A0E2071OH26RE45 Hill-Rom Holdings Inc 431475102 2091.00000000 NS USD 224176.11000000 0.024593046282 Long EC CORP US N 1 N N N FirstEnergy Corp 549300SVYJS666PQJH88 FirstEnergy Corp 337932107 16753.00000000 NS USD 798950.57000000 0.087648181359 Long EC CORP US N 1 N N N West Pharmaceutical Services Inc 5493007NKRGM1RJQ1P16 West Pharmaceutical Services Inc 955306105 2295.00000000 NS USD 337433.85000000 0.037017888705 Long EC CORP US N 1 N N N New York Community Bancorp Inc 529900HVXOTLY61GL030 New York Community Bancorp Inc 649445103 14446.00000000 NS USD 172196.32000000 0.018890648372 Long EC CORP US N 1 N N N CenterPoint Energy Inc 21TPXMRRHFKOBHDC8J74 CenterPoint Energy Inc 15189T107 15618.00000000 NS USD 383578.08000000 0.042080101552 Long EC CORP US N 1 N N N EastGroup Properties Inc 31TIGQQZC4P6JMHKSW85 EastGroup Properties Inc 277276101 1145.00000000 NS USD 155937.55000000 0.017106994069 Long EC US N 1 N N N Cracker Barrel Old Country Store Inc 8P4PHQIUWPIECBFBW745 Cracker Barrel Old Country Store Inc 22410J106 742.00000000 NS USD 114075.08000000 0.012514508000 Long EC CORP US N 1 N N N Lockheed Martin Corp DPRBOZP0K5RM2YE8UU08 Lockheed Martin Corp 539830109 7747.00000000 NS USD 3029309.41000000 0.332327769114 Long EC CORP US N 1 N N N MKS Instruments Inc 549300KEQATBHAGVF505 MKS Instruments Inc 55306N104 1697.00000000 NS USD 180357.16000000 0.019785926267 Long EC CORP US N 1 N N N Intuit Inc VI90HBPH7XSFMB9E4M29 Intuit Inc 461202103 8099.00000000 NS USD 2096750.11000000 0.230022157573 Long EC CORP US N 1 N N N Invesco Ltd ECPGFXU8A2SHKVVGJI15 Invesco Ltd 000000000 12029.00000000 NS USD 211229.24000000 0.023172721105 Long EC CORP BM N 1 N N N Alexion Pharmaceuticals Inc M1YXUUZR0EIMU8T0EM75 Alexion Pharmaceuticals Inc 015351109 7037.00000000 NS USD 801795.78000000 0.087960312661 Long EC CORP US N 1 N N N Liberty Media Corp-Liberty Formula One N/A Liberty Media Corp-Liberty Formula One 531229854 6270.00000000 NS USD 282714.30000000 0.031014927793 Long EC CORP US N 1 N N N Zscaler Inc N/A Zscaler Inc 98980G102 1998.00000000 NS USD 104155.74000000 0.011426315384 Long EC CORP US N 1 N N N Weingarten Realty Investors 549300JMKTJNB8GWHU88 Weingarten Realty Investors 948741103 3696.00000000 NS USD 117680.64000000 0.012910052842 Long EC US N 1 N N N Chegg Inc 549300AKX7O8JG0O3G77 Chegg Inc 163092109 3545.00000000 NS USD 137439.65000000 0.015077697947 Long EC CORP US N 1 N N N AMERCO 5493003WIDMLDHYC6Y24 AMERCO 023586100 250.00000000 NS USD 90555.00000000 0.009934257964 Long EC CORP US N 1 N N N Oshkosh Corp 549300FEKNPCFSA2B506 Oshkosh Corp 688239201 2178.00000000 NS USD 197021.88000000 0.021614114963 Long EC CORP US N 1 N N N Martin Marietta Materials Inc 5299005MZ4WZECVATV08 Martin Marietta Materials Inc 573284106 1958.00000000 NS USD 525527.20000000 0.057652507006 Long EC CORP US N 1 N N N Ingevity Corp 5493009UTFC4B5IMGF87 Ingevity Corp 45688C107 1286.00000000 NS USD 116138.66000000 0.012740891260 Long EC CORP US N 1 N N N Boston Scientific Corp Y6ZDD9FP4P8JSSJMW954 Boston Scientific Corp 101137107 43442.00000000 NS USD 1878866.50000000 0.206119424561 Long EC CORP US N 1 N N N Pinnacle Financial Partners Inc 54930098EZ8JMSAZGS24 Pinnacle Financial Partners Inc 72346Q104 2236.00000000 NS USD 137335.12000000 0.015066230573 Long EC CORP US N 1 N N N CME Group Inc LCZ7XYGSLJUHFXXNXD88 CME Group Inc 12572Q105 11159.00000000 NS USD 2262264.07000000 0.248179723421 Long EC CORP US N 1 N N N Trimble Inc 549300E2MI7NSZFQWS19 Trimble Inc 896239100 7931.00000000 NS USD 321443.43000000 0.035263673507 Long EC CORP US N 1 N N N Liberty Global PLC 549300BSGXG3QLIQYT84 Liberty Global PLC 000000000 12818.00000000 NS USD 275587.00000000 0.030233033510 Long EC CORP GB N 1 N N N Sarepta Therapeutics Inc 549300IKDPIED8J8IG21 Sarepta Therapeutics Inc 803607100 2200.00000000 NS USD 247478.00000000 0.027149359974 Long EC CORP US N 1 N N N Etsy Inc 54930089Q7XT501AEA40 Etsy Inc 29786A106 3720.00000000 NS USD 161410.80000000 0.017707432227 Long EC CORP US N 1 N N N Gardner Denver Holdings Inc 5299004C02FMZCUOIR50 Gardner Denver Holdings Inc 36555P107 4184.00000000 NS USD 141712.08000000 0.015546401185 Long EC CORP US N 1 N N N NetApp Inc QTX3D84DZDD5JYOCYH15 NetApp Inc 64110D104 7423.00000000 NS USD 449759.57000000 0.049340484680 Long EC CORP US N 1 N N N Apple Inc HWUPKR0MPOU8FGXBT394 Apple Inc 037833100 132506.00000000 NS USD 35412228.50000000 3.884867903531 Long EC CORP US N 1 N N N Jones Lang LaSalle Inc 6SYKCME112RT8TQUO411 Jones Lang LaSalle Inc 48020Q107 1589.00000000 NS USD 264298.37000000 0.028994624118 Long EC CORP US N 1 N N N Becton Dickinson and Co ICE2EP6D98PQUILVRZ91 Becton Dickinson and Co 075887109 8415.00000000 NS USD 2175277.50000000 0.238636936984 Long EC CORP US N 1 N N N Peabody Energy Corp EJCO258LNNVSKAR2JX59 Peabody Energy Corp 704551100 2252.00000000 NS USD 21799.36000000 0.002391479936 Long EC CORP US N 1 N N N Expeditors International of Washington Inc N/A Expeditors International of Washington Inc 302130109 5319.00000000 NS USD 397648.44000000 0.043623678228 Long EC CORP US N 1 N N N Zynga Inc N/A Zynga Inc 98986T108 29404.00000000 NS USD 183186.92000000 0.020096362640 Long EC CORP US N 1 N N N Hasbro Inc 549300NUB6D2R1ITYR45 Hasbro Inc 418056107 3922.00000000 NS USD 398867.40000000 0.043757403181 Long EC CORP US N 1 N N N Morningstar Inc 529900YGNQPOVAXQ7F29 Morningstar Inc 617700109 640.00000000 NS USD 100544.00000000 0.011030092570 Long EC CORP US N 1 N N N Sage Therapeutics Inc 5493000JX4BJS9W6CN35 Sage Therapeutics Inc 78667J108 1614.00000000 NS USD 249798.78000000 0.027403959136 Long EC CORP US N 1 N N N EQT Corp 4NT01YGM4X7ZX86ISY52 EQT Corp 26884L109 7925.00000000 NS USD 69185.25000000 0.007589908020 Long EC CORP US N 1 N N N Occidental Petroleum Corp IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corp 674599105 27794.00000000 NS USD 1072014.58000000 0.117604432433 Long EC CORP US N 1 N N N Loews Corp R8V1FN4M5ITGZOG7BS19 Loews Corp 540424108 8114.00000000 NS USD 413002.60000000 0.045308093073 Long EC CORP US N 1 N N N Kilroy Realty Corp 549300CXXI18B214UN80 Kilroy Realty Corp 49427F108 2886.00000000 NS USD 240230.64000000 0.026354294612 Long EC US N 1 N N N United Bankshares Inc/WV 5299005O3BAMJ9Z92V62 United Bankshares Inc/WV 909907107 3145.00000000 NS USD 119101.15000000 0.013065888663 Long EC CORP US N 1 N N N Boeing Co/The RVHJWBXLJ1RFUBSY1F30 Boeing Co/The 097023105 16677.00000000 NS USD 6106783.86000000 0.669939442289 Long EC CORP US N 1 N N N Flowserve Corp 6Y0GK87T6V7NJKZJVM41 Flowserve Corp 34354P105 4045.00000000 NS USD 196991.50000000 0.021610782151 Long EC CORP US N 1 N N N AvalonBay Communities Inc K9G90K85RBWD2LAGQX17 AvalonBay Communities Inc 053484101 4388.00000000 NS USD 940831.08000000 0.103213060012 Long EC US N 1 N N N Alphabet Inc 5493006MHB84DD0ZWV18 Alphabet, Inc. Class A 02079K305 9341.00000000 NS USD 12181504.69000000 1.336361437600 Long EC CORP US N 1 N N N 2019-12-30 SCHWAB STRATEGIC TRUST Mark Fischer Mark Fischer CFO XXXX NPORT-EX 2 SchwabUSEquityETFs_zlzykxyx.htm
Schwab Strategic Trust
Schwab U.S. Broad Market ETF

Portfolio Holdings as of November 30, 2019 (Unaudited)
The following are the portfolio holdings as of the report date. For more information, please refer to the fund’s semiannual or annual shareholder reports.    
 
Security Number
of Shares
Value ($)
Common Stock 99.8% of net assets
 
Automobiles & Components 0.7%
Adient plc * 45,750 1,000,095
American Axle & Manufacturing Holdings, Inc. * 55,866 550,839
Aptiv plc 130,888 12,287,765
Autoliv, Inc. 40,158 3,281,712
BorgWarner, Inc. 105,938 4,454,693
Cooper Tire & Rubber Co. 26,238 756,179
Cooper-Standard Holding, Inc. * 8,903 253,112
Dana, Inc. 73,244 1,241,486
Delphi Technologies plc * 44,264 551,529
Dorman Products, Inc. * 14,736 1,095,180
Ford Motor Co. 2,001,768 18,136,018
Fox Factory Holding Corp. * 19,357 1,276,207
Garrett Motion, Inc. * 37,770 436,999
General Motors Co. 642,666 23,135,976
Gentex Corp. 128,602 3,652,297
Gentherm, Inc. * 15,880 664,578
Harley-Davidson, Inc. 79,084 2,877,076
LCI Industries 13,071 1,391,539
Lear Corp. 28,408 3,417,766
Modine Manufacturing Co. * 22,904 169,948
Motorcar Parts of America, Inc. * 8,248 160,918
Standard Motor Products, Inc. 10,594 533,620
Stoneridge, Inc. * 13,143 396,130
Tenneco, Inc., Class A 31,587 391,363
Tesla, Inc. * 72,155 23,806,821
The Goodyear Tire & Rubber Co. 119,245 1,906,728
Thor Industries, Inc. 28,211 1,799,015
Veoneer, Inc. * 51,507 833,898
Visteon Corp. * 14,476 1,353,940
Winnebago Industries, Inc. 17,110 813,238
    112,626,665
 
Banks 5.9%
1st Source Corp. 7,168 368,507
Allegiance Bancshares, Inc. * 9,846 353,275
Ameris Bancorp 33,378 1,456,950
Arrow Financial Corp. 8,234 295,271
Associated Banc-Corp. 83,867 1,798,109
Atlantic Union Bankshares Corp. 41,983 1,586,957
Axos Financial, Inc. * 26,514 780,837
Banc of California, Inc. 22,182 340,716
BancFirst Corp. 9,630 569,037
BancorpSouth Bank 46,297 1,439,837
Bank of America Corp. 4,285,156 142,781,398
Bank of Hawaii Corp. 20,766 1,871,224
Bank of Marin Bancorp 5,969 269,381
Bank OZK 61,784 1,833,749
BankUnited, Inc. 48,351 1,695,186
Banner Corp. 17,628 963,018
BB&T Corp. 394,340 21,578,285
Berkshire Hills Bancorp, Inc. 21,330 672,962
Security Number
of Shares
Value ($)
BOK Financial Corp. 16,353 1,362,859
Boston Private Financial Holdings, Inc. 45,850 538,279
Bridge Bancorp, Inc. 9,109 297,682
Bridgewater Bancshares, Inc. * 12,349 157,820
Brookline Bancorp, Inc. 38,060 610,863
Bryn Mawr Bank Corp. 9,913 389,284
Byline Bancorp, Inc. * 11,701 215,181
Cadence BanCorp 67,107 1,107,937
Camden National Corp. 7,353 319,414
Capitol Federal Financial, Inc. 73,287 1,039,210
Carolina Financial Corp. 10,731 453,814
Carter Bank & Trust * 11,003 232,383
Cathay General Bancorp 39,363 1,449,346
CBTX, Inc. 9,565 282,359
CenterState Bank Corp. 65,842 1,674,362
Central Pacific Financial Corp. 14,868 432,064
CIT Group, Inc. 48,250 2,196,340
Citigroup, Inc. 1,156,349 86,864,937
Citizens Financial Group, Inc. 228,528 8,789,187
City Holding Co. 8,550 679,554
Columbia Banking System, Inc. 36,404 1,422,668
Columbia Financial, Inc. * 25,031 417,016
Comerica, Inc. 76,284 5,371,156
Commerce Bancshares, Inc. 49,942 3,347,612
Community Bank System, Inc. 25,882 1,756,094
Community Trust Bancorp, Inc. 8,676 389,899
ConnectOne Bancorp, Inc. 16,437 414,048
CrossFirst Bankshares, Inc. * 5,241 69,496
Cullen/Frost Bankers, Inc. 29,147 2,726,993
Customers Bancorp, Inc. * 14,617 341,745
CVB Financial Corp. 67,724 1,446,585
Dime Community Bancshares, Inc. 15,493 312,339
Eagle Bancorp, Inc. 17,984 798,849
East West Bancorp, Inc. 74,003 3,390,817
Enterprise Financial Services Corp. 13,626 615,895
Equity Bancshares, Inc., Class A * 7,919 233,215
Essent Group Ltd. 50,034 2,734,358
F.N.B. Corp. 164,289 2,040,469
FB Financial Corp. 9,056 348,656
Federal Agricultural Mortgage Corp., Class A 993 72,688
Federal Agricultural Mortgage Corp., Class C 4,347 361,018
Fifth Third Bancorp 372,381 11,242,182
Financial Institutions, Inc. 8,314 270,870
First BanCorp 110,630 1,161,615
First Bancorp (North Carolina) 15,211 594,750
First Bancshares, Inc. 8,493 285,025
First Busey Corp. 25,315 673,379
First Citizens BancShares, Inc., Class A 4,431 2,303,234
First Commonwealth Financial Corp. 50,470 717,179
First Community Bankshares, Inc. 6,253 190,654
First Defiance Financial Corp. 10,416 314,042
First Financial Bancorp 51,497 1,252,407
First Financial Bankshares, Inc. 69,640 2,407,455
First Financial Corp. 6,960 307,771
First Foundation, Inc. 18,749 307,296
 
1

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
First Hawaiian, Inc. 67,973 1,939,949
First Horizon National Corp. 158,653 2,551,140
First Interstate BancSystem, Inc., Class A 18,773 790,343
First Merchants Corp. 28,700 1,162,063
First Mid Bancshares, Inc. 6,529 228,384
First Midwest Bancorp, Inc. 57,694 1,243,883
First Republic Bank 85,238 9,367,656
Flagstar Bancorp, Inc. 16,505 614,976
Flushing Financial Corp. 16,072 340,726
Fulton Financial Corp. 87,082 1,494,327
German American Bancorp, Inc. 11,780 396,986
Glacier Bancorp, Inc. 43,092 1,889,584
Great Southern Bancorp, Inc. 5,046 307,957
Great Western Bancorp, Inc. 29,151 1,001,920
Hancock Whitney Corp. 46,351 1,882,314
Hanmi Financial Corp. 14,683 288,227
Harborone Bancorp, Inc. * 32,649 346,406
Heartland Financial USA, Inc. 16,895 797,782
Heritage Commerce Corp. 22,479 280,988
Heritage Financial Corp. 20,045 552,841
Hilltop Holdings, Inc. 37,334 919,536
Home BancShares, Inc. 78,742 1,481,924
HomeStreet, Inc. * 11,406 364,080
HomeTrust Bancshares, Inc. 7,188 187,822
Hope Bancorp, Inc. 64,935 942,207
Horizon Bancorp, Inc. 20,361 383,194
Huntington Bancshares, Inc. 529,935 7,890,732
IBERIABANK Corp. 26,896 1,963,139
Independent Bank Corp. 17,518 1,475,016
Independent Bank Group, Inc. 18,251 1,051,805
International Bancshares Corp. 29,749 1,261,953
Investors Bancorp, Inc. 113,316 1,366,591
JPMorgan Chase & Co. 1,634,937 215,419,299
Kearny Financial Corp. 39,650 559,065
KeyCorp 511,413 9,916,298
Lakeland Bancorp, Inc. 24,877 414,948
Lakeland Financial Corp. 12,430 585,702
LendingTree, Inc. * 3,950 1,424,094
Live Oak Bancshares, Inc. 11,397 207,995
Luther Burbank Corp. 7,170 82,885
M&T Bank Corp. 68,154 11,227,690
Mercantile Bank Corp. 8,806 310,412
Merchants Bancorp 8,543 153,603
Meridian Bancorp, Inc. 27,939 562,412
Meta Financial Group, Inc. 17,781 632,470
MGIC Investment Corp. 178,306 2,569,389
Midland States Bancorp, Inc. 10,512 295,177
Mr Cooper Group, Inc. * 37,056 498,033
National Bank Holdings Corp., Class A 15,801 566,308
NBT Bancorp, Inc. 22,425 897,000
New York Community Bancorp, Inc. 238,799 2,846,484
Nicolet Bankshares, Inc. * 3,934 285,058
NMI Holdings, Inc., Class A * 35,074 1,177,434
Northfield Bancorp, Inc. 21,162 357,638
Northwest Bancshares, Inc. 50,097 833,614
OceanFirst Financial Corp. 26,478 634,942
Ocwen Financial Corp. * 55,509 86,594
OFG Bancorp 26,287 563,856
Old National Bancorp 87,733 1,586,213
Opus Bank 9,933 255,377
Origin Bancorp, Inc. 10,230 364,904
Oritani Financial Corp. 18,718 348,155
Pacific Premier Bancorp, Inc. 30,849 988,402
PacWest Bancorp 59,914 2,231,197
Park National Corp. 7,013 703,614
Peapack Gladstone Financial Corp. 8,422 251,818
PennyMac Financial Services, Inc. 21,182 726,754
People's United Financial, Inc. 223,686 3,690,819
People's Utah Bancorp 9,032 265,089
Security Number
of Shares
Value ($)
Peoples Bancorp, Inc. 9,934 324,941
Peoples Financial Services Corp. 2,611 128,252
Pinnacle Financial Partners, Inc. 37,205 2,285,131
Popular, Inc. 49,138 2,717,823
Preferred Bank 7,217 398,018
Prosperity Bancshares, Inc. 48,920 3,436,630
Provident Financial Services, Inc. 31,408 763,843
QCR Holdings, Inc. 8,246 344,683
Radian Group, Inc. 102,220 2,641,365
Regions Financial Corp. 510,050 8,487,232
Renasant Corp. 29,655 1,049,787
Republic Bancorp, Inc., Class A 5,429 250,820
S&T Bancorp, Inc. 17,641 665,419
Sandy Spring Bancorp, Inc. 18,314 647,583
Seacoast Banking Corp. of Florida * 26,293 782,217
ServisFirst Bancshares, Inc. 24,347 885,257
Signature Bank 27,618 3,406,957
Simmons First National Corp., Class A 58,228 1,508,688
South State Corp. 17,188 1,431,417
Southside Bancshares, Inc. 16,311 572,679
Sterling Bancorp 104,286 2,129,520
Sterling Bancorp, Inc. 10,142 98,276
Stock Yards Bancorp, Inc. 11,381 471,060
SunTrust Banks, Inc. 225,576 15,979,804
SVB Financial Group * 26,351 6,106,317
Synovus Financial Corp. 78,931 3,006,482
TCF Financial Corp. 78,440 3,332,916
Texas Capital Bancshares, Inc. * 25,854 1,494,361
TFS Financial Corp. 26,503 537,746
The Bancorp, Inc. * 25,037 277,660
The First of Long Island Corp. 13,180 319,351
The PNC Financial Services Group, Inc. 227,377 34,836,430
Tompkins Financial Corp. 6,151 533,599
Towne Bank 33,642 947,022
TriCo Bancshares 12,442 480,883
TriState Capital Holdings, Inc. * 11,258 272,781
Triumph Bancorp, Inc. * 12,687 454,956
TrustCo Bank Corp. 51,526 452,398
Trustmark Corp. 32,173 1,105,464
U.S. Bancorp 733,922 44,057,338
UMB Financial Corp. 22,295 1,499,785
Umpqua Holdings Corp. 113,134 1,852,004
United Bankshares, Inc. 52,001 1,969,278
United Community Banks, Inc. 40,740 1,262,940
Univest Financial Corp. 15,235 397,786
Valley National Bancorp 171,421 1,985,055
Veritex Holdings, Inc. 24,957 649,132
Walker & Dunlop, Inc. 14,230 934,057
Washington Federal, Inc. 41,381 1,523,235
Washington Trust Bancorp, Inc. 7,680 400,819
Waterstone Financial, Inc. 14,513 273,860
Webster Financial Corp. 47,282 2,302,161
Wells Fargo & Co. 2,049,563 111,619,201
WesBanco, Inc. 33,672 1,228,355
Westamerica Bancorp 13,787 896,155
Western Alliance Bancorp 47,807 2,493,613
Wintrust Financial Corp. 28,805 1,956,148
WSFS Financial Corp. 27,804 1,239,780
Zions Bancorp NA 90,488 4,504,493
    940,285,205
 
Capital Goods 7.0%
3M Co. 294,385 49,977,741
A.O. Smith Corp. 71,111 3,441,772
AAON, Inc. 20,263 1,000,384
AAR Corp. 17,100 764,199
Actuant Corp., Class A 27,953 686,526
Acuity Brands, Inc. 19,694 2,575,581
 
2

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Advanced Drainage Systems, Inc. 26,365 1,006,088
AECOM * 80,910 3,505,830
Aegion Corp. * 14,955 323,925
Aerojet Rocketdyne Holdings, Inc. * 36,780 1,625,676
AeroVironment, Inc. * 10,618 651,308
AGCO Corp. 31,886 2,491,253
Air Lease Corp. 52,511 2,438,086
Aircastle Ltd. 27,223 870,864
Alamo Group, Inc. 4,692 538,642
Albany International Corp., Class A 16,026 1,341,056
Allegion plc 47,482 5,699,264
Allison Transmission Holdings, Inc. 61,213 2,962,709
Altra Industrial Motion Corp. 34,260 1,126,126
Ameresco, Inc., Class A * 11,005 179,932
American Woodmark Corp. * 7,785 801,076
AMETEK, Inc. 116,314 11,516,249
Apogee Enterprises, Inc. 13,236 506,145
Applied Industrial Technologies, Inc. 19,167 1,223,813
Arconic, Inc. 198,036 6,131,195
Arcosa, Inc. 24,669 967,271
Argan, Inc. 6,886 252,303
Armstrong Flooring, Inc. * 4,481 17,969
Armstrong World Industries, Inc. 24,567 2,358,923
Astec Industries, Inc. 11,292 422,998
Astronics Corp. * 12,680 369,622
Atkore International Group, Inc. * 23,639 986,219
Axon Enterprise, Inc. * 30,798 2,272,892
AZZ, Inc. 12,853 489,314
Babcock & Wilcox Enterprises, Inc. * 14,448 49,990
Barnes Group, Inc. 25,044 1,482,354
Beacon Roofing Supply, Inc. * 34,794 1,031,642
BMC Stock Holdings, Inc. * 33,393 988,767
Briggs & Stratton Corp. 17,349 92,817
Builders FirstSource, Inc. * 57,168 1,452,639
BWX Technologies, Inc. 48,645 2,925,024
CAI International, Inc. * 9,301 224,154
Carlisle Cos., Inc. 28,760 4,485,985
Caterpillar, Inc. 288,535 41,759,671
Chart Industries, Inc. * 18,285 1,009,332
CIRCOR International, Inc. * 10,014 444,221
Colfax Corp. * 42,748 1,440,608
Columbus McKinnon Corp. 13,041 535,724
Comfort Systems USA, Inc. 18,183 929,151
Continental Building Products, Inc. * 18,727 688,966
Cornerstone Building Brands, Inc. * 38,143 263,187
Crane Co. 25,650 2,130,745
CSW Industrials, Inc. 7,844 579,123
Cubic Corp. 15,986 951,966
Cummins, Inc. 80,639 14,745,648
Curtiss-Wright Corp. 21,539 2,957,520
Deere & Co. 160,469 26,966,815
Donaldson Co., Inc. 64,753 3,631,348
Douglas Dynamics, Inc. 12,323 666,798
Dover Corp. 74,267 8,279,285
DXP Enterprises, Inc. * 7,503 289,091
Dycom Industries, Inc. * 16,525 860,126
Eaton Corp. plc 214,012 19,796,110
EMCOR Group, Inc. 28,747 2,556,471
Emerson Electric Co. 313,831 23,179,558
Encore Wire Corp. 10,309 601,427
Energy Recovery, Inc. * 16,124 140,440
EnerSys 21,414 1,502,620
EnPro Industries, Inc. 10,558 700,946
ESCO Technologies, Inc. 13,348 1,175,558
Evoqua Water Technologies Corp. * 36,793 696,859
Fastenal Co. 291,534 10,355,288
Federal Signal Corp. 29,971 987,245
Flowserve Corp. 67,229 3,274,052
Fluor Corp. 71,565 1,248,094
Security Number
of Shares
Value ($)
Fortive Corp. 150,325 10,848,955
Fortune Brands Home & Security, Inc. 71,629 4,531,251
Foundation Building Materials, Inc. * 8,058 164,706
Franklin Electric Co., Inc. 19,689 1,092,149
Gardner Denver Holdings, Inc. * 67,064 2,271,458
Gates Industrial Corp. plc * 24,138 287,001
GATX Corp. 18,495 1,494,951
Generac Holdings, Inc. * 31,824 3,134,664
General Dynamics Corp. 119,965 21,802,439
General Electric Co. 4,453,631 50,192,421
Gibraltar Industries, Inc. * 16,214 846,695
GMS, Inc. * 21,360 661,306
Graco, Inc. 85,585 4,134,611
GrafTech International Ltd. 31,660 446,089
Graham Corp. 5,416 115,036
Granite Construction, Inc. 23,672 609,791
Great Lakes Dredge & Dock Corp. * 32,568 347,826
Griffon Corp. 22,596 479,487
H&E Equipment Services, Inc. 14,838 489,654
Harsco Corp. * 41,975 933,944
HD Supply Holdings, Inc. * 87,170 3,471,109
HEICO Corp. 21,045 2,733,535
HEICO Corp., Class A 36,391 3,655,112
Helios Technologies, Inc. 15,115 676,850
Herc Holdings, Inc. * 11,798 551,674
Hexcel Corp. 43,206 3,440,494
Hillenbrand, Inc. 38,699 1,223,662
Honeywell International, Inc. 368,517 65,798,710
Hubbell, Inc. 27,775 4,083,480
Huntington Ingalls Industries, Inc. 20,964 5,276,010
Hyster-Yale Materials Handling, Inc. 4,933 292,182
IDEX Corp. 38,677 6,294,295
Illinois Tool Works, Inc. 150,335 26,207,901
Ingersoll-Rand plc 123,449 16,185,398
Insteel Industries, Inc. 9,132 213,050
ITT, Inc. 44,667 3,116,863
Jacobs Engineering Group, Inc. 69,139 6,367,010
JELD-WEN Holding, Inc. * 33,621 764,878
John Bean Technologies Corp. 16,164 1,770,766
Johnson Controls International plc 405,644 17,373,732
Kadant, Inc. 5,979 582,355
Kaman Corp. 14,568 926,525
Kennametal, Inc. 42,179 1,469,095
Kratos Defense & Security Solutions, Inc. * 47,280 853,877
L.B. Foster Co., Class A * 5,772 109,322
L3Harris Technologies, Inc. 113,931 22,910,385
Lennox International, Inc. 18,048 4,617,581
Lincoln Electric Holdings, Inc. 31,489 2,905,175
Lindsay Corp. 5,879 530,403
Lockheed Martin Corp. 127,206 49,741,362
Lydall, Inc. * 7,826 145,720
Masco Corp. 146,852 6,835,961
Masonite International Corp. * 12,232 878,258
MasTec, Inc. * 30,781 2,042,012
Mercury Systems, Inc. * 29,804 2,183,143
Meritor, Inc. * 43,404 1,095,951
Moog, Inc., Class A 16,551 1,421,234
MRC Global, Inc. * 43,260 577,088
MSC Industrial Direct Co., Inc., Class A 22,850 1,677,418
Mueller Industries, Inc. 28,836 905,162
Mueller Water Products, Inc., Class A 78,988 890,985
MYR Group, Inc. * 7,779 267,286
National Presto Industries, Inc. 2,248 200,027
Navistar International Corp. * 33,427 1,091,392
NN, Inc. 23,959 208,683
Nordson Corp. 26,294 4,360,334
Northrop Grumman Corp. 80,228 28,221,804
NOW, Inc. * 56,902 637,871
 
3

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
NV5 Global, Inc. * 5,721 275,123
nVent Electric plc 80,336 1,985,103
Omega Flex, Inc. 1,630 156,170
Oshkosh Corp. 35,975 3,254,298
Owens Corning 55,026 3,690,044
PACCAR, Inc. 176,743 14,381,578
Park Aerospace Corp. 7,925 129,257
Park-Ohio Holdings Corp. 4,952 156,632
Parker-Hannifin Corp. 65,644 13,049,371
Parsons Corp. * 9,590 383,888
Patrick Industries, Inc. * 11,995 593,992
Pentair plc 85,759 3,803,412
PGT Innovations, Inc. * 30,947 445,018
Plug Power, Inc. *(a) 132,890 518,271
Powell Industries, Inc. 3,838 159,622
Preformed Line Products Co. 1,622 116,622
Primoris Services Corp. 21,773 479,441
Proto Labs, Inc. * 13,846 1,341,539
Quanex Building Products Corp. 17,144 333,622
Quanta Services, Inc. 72,980 3,038,887
Raven Industries, Inc. 18,288 628,559
Raytheon Co. 142,564 30,996,265
RBC Bearings, Inc. * 12,825 2,127,411
Regal Beloit Corp. 21,909 1,790,623
Resideo Technologies, Inc. * 62,215 608,463
REV Group, Inc. 10,763 139,919
Rexnord Corp. * 62,304 1,968,183
Rockwell Automation, Inc. 59,750 11,701,440
Roper Technologies, Inc. 52,956 19,083,754
Rush Enterprises, Inc., Class A 13,896 636,715
Rush Enterprises, Inc., Class B 3,444 157,115
Sensata Technologies Holding plc * 82,424 4,244,012
Simpson Manufacturing Co., Inc. 20,810 1,689,772
SiteOne Landscape Supply, Inc. * 20,752 1,841,947
Snap-on, Inc. 28,192 4,523,688
Spirit AeroSystems Holdings, Inc., Class A 52,702 4,584,547
SPX Corp. * 22,129 1,057,324
SPX FLOW, Inc. * 22,060 1,045,644
Standex International Corp. 6,361 490,942
Stanley Black & Decker, Inc. 77,294 12,192,356
Sunrun, Inc. * 37,481 520,236
Systemax, Inc. 8,873 205,499
Teledyne Technologies, Inc. * 18,573 6,351,780
Tennant Co. 9,591 714,146
Terex Corp. 34,642 972,401
Textron, Inc. 117,651 5,440,182
The Boeing Co. 273,191 100,037,080
The Gorman-Rupp Co. 8,503 314,696
The Greenbrier Cos., Inc. 16,085 452,632
The Manitowoc Co., Inc. * 17,970 287,520
The Middleby Corp. * 28,433 3,291,404
The Timken Co. 35,349 1,859,004
The Toro Co. 53,570 4,188,103
Thermon Group Holdings, Inc. * 16,266 426,820
Titan International, Inc. 35,190 103,107
Titan Machinery, Inc. * 10,158 136,828
TPI Composites, Inc. * 16,198 292,374
TransDigm Group, Inc. 25,294 14,344,227
Trex Co., Inc. * 29,928 2,575,604
TriMas Corp. * 22,451 695,532
Trinity Industries, Inc. 52,242 1,099,172
Triton International Ltd. 27,899 1,056,814
Triumph Group, Inc. 26,492 734,093
Tutor Perini Corp. * 21,519 342,798
United Rentals, Inc. * 39,495 6,044,710
United Technologies Corp. 414,148 61,434,714
Univar Solutions, Inc. * 69,449 1,626,496
Universal Forest Products, Inc. 31,132 1,544,147
Security Number
of Shares
Value ($)
Valmont Industries, Inc. 11,240 1,608,894
Veritiv Corp. * 4,884 89,573
Vicor Corp. * 9,726 399,447
Vivint Solar, Inc. *(a) 25,967 190,857
W.W. Grainger, Inc. 22,616 7,168,141
Wabash National Corp. 30,196 475,587
WABCO Holdings, Inc. * 26,788 3,609,683
Watsco, Inc. 16,738 2,978,862
Watts Water Technologies, Inc., Class A 14,039 1,361,221
Welbilt, Inc. * 65,627 1,095,315
Wesco Aircraft Holdings, Inc. * 34,891 382,405
WESCO International, Inc. * 21,476 1,130,067
Westinghouse Air Brake Technologies Corp. 92,934 7,301,824
WillScot Corp. * 27,580 489,821
Woodward, Inc. 28,526 3,331,552
Xylem, Inc. 91,981 7,129,447
    1,117,903,254
 
Commercial & Professional Services 1.1%
ABM Industries, Inc. 34,138 1,296,903
Acacia Research Corp. * 23,022 68,375
ACCO Brands Corp. 52,508 480,448
ADT, Inc. (a) 53,085 490,505
Advanced Disposal Services, Inc. * 38,545 1,270,058
ASGN, Inc. * 27,264 1,826,961
Barrett Business Services, Inc. 3,846 339,833
Brady Corp., Class A 25,422 1,449,054
BrightView Holdings, Inc. * 15,514 248,845
Casella Waste Systems, Inc., Class A * 23,245 1,085,774
CBIZ, Inc. * 28,837 774,562
Cintas Corp. 42,167 10,839,449
Clean Harbors, Inc. * 25,754 2,128,568
Copart, Inc. * 102,994 9,166,466
CoStar Group, Inc. * 18,663 11,437,806
Covanta Holding Corp. 60,706 892,985
Deluxe Corp. 22,229 1,135,457
Ennis, Inc. 13,755 283,903
Equifax, Inc. 61,805 8,630,450
Exponent, Inc. 26,325 1,672,954
Forrester Research, Inc. 4,784 191,025
Franklin Covey Co. * 5,259 194,110
FTI Consulting, Inc. * 19,206 2,093,262
GP Strategies Corp. * 9,074 115,240
Healthcare Services Group, Inc. 37,312 938,397
Heidrick & Struggles International, Inc. 9,209 285,663
Heritage-Crystal Clean, Inc. * 5,464 169,002
Herman Miller, Inc. 30,076 1,437,031
HNI Corp. 21,843 858,211
Huron Consulting Group, Inc. * 11,578 776,305
IAA, Inc. * 68,148 3,089,149
ICF International, Inc. 9,766 876,303
IHS Markit Ltd. * 204,677 14,869,784
InnerWorkings, Inc. * 21,965 103,455
Insperity, Inc. 19,801 1,539,924
Interface, Inc. 27,980 469,784
KAR Auction Services, Inc. 66,735 1,409,443
Kelly Services, Inc., Class A 15,928 348,982
Kforce, Inc. 10,951 432,783
Kimball International, Inc., Class B 19,202 410,539
Knoll, Inc. 25,850 712,426
Korn Ferry 29,284 1,150,275
ManpowerGroup, Inc. 30,217 2,799,303
Matthews International Corp., Class A 17,100 655,785
McGrath RentCorp 12,447 912,863
Mistras Group, Inc. * 9,769 129,342
Mobile Mini, Inc. 23,032 874,295
MSA Safety, Inc. 18,070 2,239,415
 
4

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Nielsen Holdings plc 182,317 3,564,297
PICO Holdings, Inc. * 13,019 142,949
Pitney Bowes, Inc. 92,521 435,774
Quad/Graphics, Inc. 14,652 65,787
R.R. Donnelley & Sons Co. 35,972 142,809
Republic Services, Inc. 107,840 9,560,016
Resources Connection, Inc. 13,486 208,359
Robert Half International, Inc. 61,480 3,578,136
Rollins, Inc. 71,779 2,573,277
SP Plus Corp. * 10,955 480,377
Steelcase, Inc., Class A 47,355 858,073
Stericycle, Inc. * 46,585 2,926,470
Team, Inc. * 14,249 230,406
Tetra Tech, Inc. 27,675 2,443,426
The Brink's Co. 25,650 2,385,450
TransUnion 95,651 8,255,638
TriNet Group, Inc. * 22,918 1,254,760
TrueBlue, Inc. * 20,035 467,016
UniFirst Corp. 7,989 1,647,731
Upwork, Inc. * 30,128 350,991
US Ecology, Inc. 12,216 671,758
Verisk Analytics, Inc. 84,074 12,399,233
Viad Corp. 10,450 657,305
VSE Corp. 4,699 191,672
Waste Management, Inc. 199,594 22,536,159
    173,629,321
 
Consumer Durables & Apparel 1.4%
Acushnet Holdings Corp. 17,366 522,196
American Outdoor Brands Corp. * 28,643 250,340
Beazer Homes USA, Inc. * 13,283 203,496
Brunswick Corp. 43,509 2,557,024
Callaway Golf Co. 46,656 969,512
Capri Holdings Ltd. * 77,267 2,869,696
Carter's, Inc. 23,059 2,382,225
Cavco Industries, Inc. * 4,419 883,844
Century Communities, Inc. * 12,590 358,815
Columbia Sportswear Co. 14,418 1,333,665
Crocs, Inc. * 35,499 1,238,915
D.R. Horton, Inc. 173,371 9,596,085
Deckers Outdoor Corp. * 14,542 2,445,674
Ethan Allen Interiors, Inc. 12,768 228,292
Fossil Group, Inc. * 25,549 191,362
G-III Apparel Group Ltd. * 22,264 659,014
Garmin Ltd. 73,785 7,208,057
GoPro, Inc., Class A * 64,113 259,016
Hanesbrands, Inc. 184,852 2,785,720
Hasbro, Inc. 64,223 6,531,479
Helen of Troy Ltd. * 12,893 2,081,188
Installed Building Products, Inc. * 10,782 773,069
iRobot Corp. *(a) 14,354 625,260
Johnson Outdoors, Inc., Class A 3,145 203,167
KB Home 44,660 1,544,343
Kontoor Brands, Inc. * 23,700 849,645
La-Z-Boy, Inc. 23,723 749,647
Legacy Housing Corp. * 2,600 41,652
Leggett & Platt, Inc. 66,614 3,485,244
Lennar Corp., B Shares 9,509 448,539
Lennar Corp., Class A 143,629 8,567,470
Levi Strauss & Co., Class A 21,832 366,341
LGI Homes, Inc. * 10,390 750,885
Lululemon Athletica, Inc. * 57,689 13,019,830
M.D.C Holdings, Inc. 25,792 1,020,589
M/I Homes, Inc. * 13,084 579,229
Malibu Boats, Inc., Class A * 11,091 438,538
Marine Products Corp. 4,263 64,499
Mattel, Inc. * 178,384 2,087,093
Meritage Homes Corp. * 18,239 1,213,623
Security Number
of Shares
Value ($)
Mohawk Industries, Inc. * 30,472 4,246,883
Movado Group, Inc. 8,923 174,445
Newell Brands, Inc. 194,931 3,746,574
NIKE, Inc., Class B 639,032 59,743,102
NVR, Inc. * 1,767 6,700,270
Oxford Industries, Inc. 8,552 636,440
Polaris, Inc. 29,101 2,843,168
PulteGroup, Inc. 131,753 5,224,006
PVH Corp. 37,842 3,669,160
Ralph Lauren Corp. 26,347 2,828,087
Skechers U.S.A., Inc., Class A * 69,068 2,777,915
Skyline Champion Corp. * 25,539 847,384
Sonos, Inc. * 32,148 445,250
Steven Madden Ltd. 40,843 1,734,602
Sturm Ruger & Co., Inc. 8,927 406,625
Tapestry, Inc. 145,212 3,904,751
Taylor Morrison Home Corp., Class A * 54,048 1,254,995
Tempur Sealy International, Inc. * 23,762 2,016,919
Toll Brothers, Inc. 66,054 2,653,389
TopBuild Corp. * 17,353 1,913,689
TRI Pointe Group, Inc. * 72,523 1,129,908
Tupperware Brands Corp. 24,964 210,946
Under Armour, Inc., Class A * 95,143 1,797,251
Under Armour, Inc., Class C * 101,712 1,759,618
Unifi, Inc. * 6,793 165,409
Universal Electronics, Inc. * 8,085 449,526
Vera Bradley, Inc. * 9,584 105,807
VF Corp. 167,573 14,836,913
Vista Outdoor, Inc. * 27,946 231,393
Whirlpool Corp. 32,298 4,621,844
William Lyon Homes, Class A * 18,098 377,886
Wolverine World Wide, Inc. 44,610 1,431,981
YETI Holdings, Inc. * 15,589 496,042
    217,766,456
 
Consumer Services 2.2%
Adtalem Global Education, Inc. * 28,387 957,494
American Public Education, Inc. * 9,194 227,643
Aramark 126,112 5,503,528
BBX Capital Corp. 37,379 171,196
Biglari Holdings, Inc., Class B * 1,000 112,800
BJ's Restaurants, Inc. 10,385 427,343
Bloomin' Brands, Inc. 42,631 1,025,276
Boyd Gaming Corp. 41,927 1,233,073
Bright Horizons Family Solutions, Inc. * 29,498 4,440,039
Brinker International, Inc. 19,281 863,789
Caesars Entertainment Corp. * 283,698 3,699,422
Career Education Corp. * 36,656 611,422
Carnival Corp. 203,674 9,181,624
Carriage Services, Inc. 9,259 222,679
Carrols Restaurant Group, Inc. * 21,353 169,116
Chegg, Inc. * 58,181 2,255,677
Chipotle Mexican Grill, Inc. * 13,022 10,598,866
Choice Hotels International, Inc. 16,153 1,570,879
Churchill Downs, Inc. 18,466 2,400,765
Chuy's Holdings, Inc. * 9,590 276,384
Cracker Barrel Old Country Store, Inc. 12,102 1,860,561
Darden Restaurants, Inc. 62,550 7,408,422
Dave & Buster's Entertainment, Inc. 19,308 775,795
Denny's Corp. * 29,842 583,113
Dine Brands Global, Inc. 8,798 729,178
Domino's Pizza, Inc. 20,786 6,117,320
Drive Shack, Inc. * 38,497 147,828
Dunkin' Brands Group, Inc. 42,097 3,222,525
El Pollo Loco Holdings, Inc. * 13,123 211,543
Eldorado Resorts, Inc. * 33,835 1,810,511
Everi Holdings, Inc. * 35,894 483,492
Extended Stay America, Inc. 97,384 1,437,388
 
5

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Fiesta Restaurant Group, Inc. * 12,906 127,769
frontdoor, Inc. * 43,142 1,952,607
Golden Entertainment, Inc. * 9,595 173,861
Graham Holdings Co., Class B 2,211 1,396,490
Grand Canyon Education, Inc. * 24,702 2,104,363
H&R Block, Inc. 102,397 2,496,439
Hilton Grand Vacations, Inc. * 43,737 1,514,612
Hilton Worldwide Holdings, Inc. 146,317 15,363,285
Houghton Mifflin Harcourt Co. * 56,173 329,736
Hyatt Hotels Corp., Class A 18,903 1,527,362
Jack in the Box, Inc. 12,891 1,022,127
K12, Inc. * 19,147 376,239
Las Vegas Sands Corp. 172,815 10,844,141
Laureate Education, Inc., Class A * 55,396 961,121
Lindblad Expeditions Holdings, Inc. * 15,505 240,328
Marriott International, Inc., Class A 138,919 19,498,671
Marriott Vacations Worldwide Corp. 19,927 2,447,833
McDonald's Corp. 388,136 75,484,689
MGM Resorts International 266,027 8,499,563
Monarch Casino & Resort, Inc. * 6,105 278,388
Noodles & Co. * 19,547 123,146
Norwegian Cruise Line Holdings Ltd. * 109,332 5,864,568
OneSpaWorld Holdings Ltd. * 17,047 278,378
Papa John's International, Inc. 10,546 667,351
Penn National Gaming, Inc. * 54,536 1,255,964
Planet Fitness, Inc., Class A * 44,120 3,261,350
Playa Hotels & Resorts N.V. * 26,406 208,079
PlayAGS, Inc. * 15,677 180,129
Red Robin Gourmet Burgers, Inc. * 6,841 186,554
Red Rock Resorts, Inc., Class A 35,399 828,337
Regis Corp. * 13,792 222,465
Royal Caribbean Cruises Ltd. 87,664 10,521,433
Ruth's Hospitality Group, Inc. 13,528 316,149
Scientific Games Corp., Class A * 26,738 731,552
SeaWorld Entertainment, Inc. * 20,657 604,837
Service Corp. International 92,830 4,086,377
ServiceMaster Global Holdings, Inc. * 68,809 2,696,625
Shake Shack, Inc., Class A * 15,629 968,685
Six Flags Entertainment Corp. 39,937 1,736,461
Starbucks Corp. 611,022 52,199,609
Strategic Education, Inc. 11,159 1,581,677
Target Hospitality Corp. * 16,455 77,832
Texas Roadhouse, Inc. 33,789 1,956,383
The Cheesecake Factory, Inc. 21,817 951,439
The Habit Restaurants, Inc., Class A * 10,188 108,400
The Wendy's Co. 95,541 2,048,399
Twin River Worldwide Holdings, Inc. 12,600 306,180
Vail Resorts, Inc. 20,620 5,003,855
Wingstop, Inc. 14,869 1,189,520
WW International, Inc. * 23,745 1,027,921
Wyndham Destinations, Inc. 47,315 2,294,778
Wyndham Hotels & Resorts, Inc. 48,977 2,837,238
Wynn Resorts Ltd. 49,594 5,993,435
Yum! Brands, Inc. 155,097 15,613,615
    345,305,036
 
Diversified Financials 5.2%
Affiliated Managers Group, Inc. 25,917 2,212,534
AG Mortgage Investment Trust, Inc. 18,256 284,246
AGNC Investment Corp. 281,649 4,878,161
Ally Financial, Inc. 198,192 6,310,433
American Express Co. 347,413 41,731,250
Ameriprise Financial, Inc. 66,878 10,959,298
Annaly Capital Management, Inc. 751,107 7,007,828
Anworth Mortgage Asset Corp. 52,257 183,945
Apollo Commercial Real Estate Finance, Inc. 73,410 1,341,201
Arbor Realty Trust, Inc. 43,050 652,638
Security Number
of Shares
Value ($)
Ares Management Corp., Class A 37,871 1,253,151
Arlington Asset Investment Corp., Class A 21,020 122,967
ARMOUR Residential REIT, Inc. 30,249 522,098
Artisan Partners Asset Management, Inc., Class A 27,478 815,272
Assetmark Financial Holdings, Inc. * 6,332 158,490
AXA Equitable Holdings, Inc. 225,545 5,579,983
B. Riley Financial, Inc. 7,150 208,851
Berkshire Hathaway, Inc., Class B * 1,002,606 220,874,102
BGC Partners, Inc., Class A 142,687 827,585
BlackRock, Inc. 60,113 29,750,525
Blackstone Mortgage Trust, Inc., Class A 68,778 2,519,338
Blucora, Inc. * 24,325 572,610
Brightsphere Investment Group, Inc. * 35,207 339,043
Cannae Holdings, Inc. * 35,602 1,334,719
Capital One Financial Corp. 240,319 24,034,303
Capstead Mortgage Corp. 44,697 347,743
Cboe Global Markets, Inc. 57,033 6,781,224
Chimera Investment Corp. 94,715 1,929,345
CME Group, Inc. 182,806 37,060,260
Cohen & Steers, Inc. 11,071 743,196
Colony Credit Real Estate, Inc. 44,169 585,239
Cowen, Inc., Class A * 13,875 212,565
Credit Acceptance Corp. * 7,116 3,063,153
Curo Group Holdings Corp. * 6,693 91,092
Diamond Hill Investment Group, Inc. 1,801 245,927
Discover Financial Services 162,264 13,771,346
Donnelley Financial Solutions, Inc. * 13,196 132,488
Dynex Capital, Inc. 12,218 206,362
E*TRADE Financial Corp. 115,530 5,117,979
Eaton Vance Corp. 58,138 2,742,369
Ellington Financial, Inc. 17,432 315,693
Encore Capital Group, Inc. * 14,301 521,557
Enova International, Inc. * 18,928 435,912
Evercore, Inc., Class A 20,384 1,577,314
Exantas Capital Corp. 14,269 171,799
EZCORP, Inc., Class A * 30,830 157,850
FactSet Research Systems, Inc. 20,117 5,223,379
Federated Investors, Inc., Class B 49,152 1,647,575
FGL Holdings 66,314 605,447
FirstCash, Inc. 21,977 1,776,621
Focus Financial Partners, Inc., Class A * 15,425 433,597
Franklin Resources, Inc. 144,074 3,960,594
GAMCO Investors, Inc., Class A 3,329 59,855
Granite Point Mortgage Trust, Inc. 26,587 483,086
Green Dot Corp., Class A * 23,992 570,050
Greenhill & Co., Inc. 9,188 156,288
Hamilton Lane, Inc., Class A 13,271 769,718
Houlihan Lokey, Inc. 20,876 995,159
Interactive Brokers Group, Inc., Class A 38,574 1,867,753
Intercontinental Exchange, Inc. 287,185 27,044,211
INTL FCStone, Inc. * 8,742 349,680
Invesco Ltd. 196,954 3,458,512
Invesco Mortgage Capital, Inc. 71,099 1,154,648
Janus Henderson Group plc 80,796 2,052,218
Jefferies Financial Group, Inc. 130,683 2,731,275
KKR & Co., Inc., Class A 277,906 8,195,448
KKR Real Estate Finance Trust, Inc. 13,979 282,236
Ladder Capital Corp., Class A 49,108 849,077
Ladenburg Thalmann Financial Services, Inc. 88,494 308,844
Lazard Ltd., Class A 57,615 2,226,244
Legg Mason, Inc. 41,827 1,634,599
LendingClub Corp. * 43,806 604,961
LPL Financial Holdings, Inc. 41,685 3,849,610
MarketAxess Holdings, Inc. 19,255 7,775,554
MFA Financial, Inc. 226,506 1,735,036
Moelis & Co., Class A 25,601 843,809
 
6

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Moody's Corp. 83,131 18,843,304
Morgan Stanley 640,618 31,697,779
Morningstar, Inc. 10,500 1,649,550
MSCI, Inc. 43,128 11,178,346
Nasdaq, Inc. 59,212 6,205,418
Navient Corp. 103,351 1,483,087
Nelnet, Inc., Class A 10,780 679,140
New Residential Investment Corp. 214,039 3,317,604
New York Mortgage Trust, Inc. 146,955 915,530
Northern Trust Corp. 109,414 11,733,557
On Deck Capital, Inc. * 29,335 120,567
OneMain Holdings, Inc. 39,755 1,713,043
PennyMac Mortgage Investment Trust 43,571 1,006,054
Piper Jaffray Cos. 7,415 599,725
PJT Partners, Inc., Class A 10,291 438,602
PRA Group, Inc. * 22,363 819,380
Pzena Investment Management, Inc., Class A 8,668 77,059
Raymond James Financial, Inc. 63,190 5,675,726
Ready Capital Corp. 13,714 216,270
Redwood Trust, Inc. 56,056 906,986
S&P Global, Inc. 125,806 33,294,558
Safeguard Scientifics, Inc. * 8,907 102,609
Santander Consumer USA Holdings, Inc. 53,429 1,258,253
SEI Investments Co. 64,821 4,182,899
SLM Corp. 217,345 1,853,953
Starwood Property Trust, Inc. 145,462 3,563,819
State Street Corp. 189,953 14,265,470
Stifel Financial Corp. 35,288 2,206,206
Synchrony Financial 311,365 11,648,165
T. Rowe Price Group, Inc. 120,012 14,828,683
TD Ameritrade Holding Corp. 137,612 7,132,430
The Bank of New York Mellon Corp. 438,010 21,449,350
The Blackstone Group, Inc., Class A 337,466 18,297,406
The Charles Schwab Corp. (b) 592,395 29,323,552
The Goldman Sachs Group, Inc. 165,048 36,533,375
TPG RE Finance Trust, Inc. 27,934 565,663
Tradeweb Markets, Inc., Class A 32,286 1,444,153
Two Harbors Investment Corp. 143,888 2,092,131
Virtu Financial, Inc., Class A 37,748 626,617
Virtus Investment Partners, Inc. 3,653 430,323
Voya Financial, Inc. 71,761 4,182,231
Waddell & Reed Financial, Inc., Class A 36,107 583,128
Western Asset Mortgage Capital Corp. 28,259 290,503
Westwood Holdings Group, Inc. 4,659 143,777
WisdomTree Investments, Inc. 59,792 290,589
World Acceptance Corp. * 3,111 295,514
    834,492,152
 
Energy 3.9%
Altus Midstream Co., Class A * 26,850 51,820
Antero Midstream Corp. (a) 152,467 698,299
Antero Resources Corp. * 109,984 218,868
Apache Corp. 191,216 4,260,292
Apergy Corp. * 40,275 1,028,623
Arch Coal, Inc., Class A (a) 8,056 597,030
Archrock, Inc. 63,105 530,713
Baker Hughes Co. 335,725 7,526,954
Berry Petroleum Corp. 20,632 164,437
Bonanza Creek Energy, Inc. * 9,570 167,092
Brigham Minerals, Inc., Class A 8,302 160,727
Cabot Oil & Gas Corp. 220,379 3,512,841
Cactus, Inc., Class A 23,635 713,541
California Resources Corp. *(a) 25,553 167,117
Callon Petroleum Co. * 121,041 441,800
Carrizo Oil & Gas, Inc. * 44,072 282,501
Centennial Resource Development, Inc., Class A * 96,557 298,361
Security Number
of Shares
Value ($)
Cheniere Energy, Inc. * 119,334 7,224,480
Chesapeake Energy Corp. *(a) 577,090 343,542
Chevron Corp. 970,708 113,699,028
Cimarex Energy Co. 52,280 2,403,312
Clean Energy Fuels Corp. * 85,744 167,201
CNX Resources Corp. * 93,095 643,286
Comstock Resources, Inc. *(a) 8,014 50,889
Concho Resources, Inc. 102,692 7,451,331
ConocoPhillips 565,440 33,892,474
CONSOL Energy, Inc. * 13,864 176,905
Continental Resources, Inc. 44,764 1,382,312
Contura Energy, Inc. * 9,788 65,286
Core Laboratories N.V. 22,271 975,470
Covia Holdings Corp. * 14,933 22,250
CVR Energy, Inc. 15,083 654,451
Delek US Holdings, Inc. 38,526 1,321,827
Denbury Resources, Inc. * 233,255 230,106
Devon Energy Corp. 206,678 4,524,181
Diamond Offshore Drilling, Inc. * 34,155 192,976
Diamondback Energy, Inc. 83,340 6,445,516
DMC Global, Inc. 7,444 343,094
Dorian LPG Ltd. * 15,215 218,335
Dril-Quip, Inc. * 18,572 784,853
EOG Resources, Inc. 295,045 20,918,690
EQT Corp. 129,275 1,128,571
Equitrans Midstream Corp. 106,545 1,062,254
Era Group, Inc. * 9,768 93,480
Evolution Petroleum Corp. 15,174 79,057
Exterran Corp. * 17,189 92,477
Extraction Oil & Gas, Inc. * 39,347 56,660
Exxon Mobil Corp. 2,163,484 147,398,165
Falcon Minerals Corp. 18,928 122,086
Forum Energy Technologies, Inc. * 41,804 54,763
Frank's International N.V. * 58,962 300,706
FTS International, Inc. * 25,265 26,276
Geospace Technologies Corp. * 6,371 91,870
Green Plains, Inc. 21,488 327,692
Gulfport Energy Corp. * 81,226 192,506
Halliburton Co. 446,276 9,367,333
Helix Energy Solutions Group, Inc. * 73,559 610,540
Helmerich & Payne, Inc. 55,646 2,199,686
Hess Corp. 132,281 8,213,327
HighPoint Resources Corp. * 56,442 70,552
HollyFrontier Corp. 77,365 3,988,166
International Seaways, Inc. * 14,271 377,896
Jagged Peak Energy, Inc. * 32,662 217,856
Kinder Morgan, Inc. 1,000,786 19,625,413
KLX Energy Services Holdings, Inc. * 12,411 70,122
Kosmos Energy Ltd. 184,783 1,103,154
Laredo Petroleum, Inc. * 83,931 181,291
Liberty Oilfield Services, Inc., Class A 25,966 229,539
Magnolia Oil & Gas Corp., Class A * 52,667 571,964
Marathon Oil Corp. 411,233 4,790,864
Marathon Petroleum Corp. 335,152 20,323,617
Matador Resources Co. * 57,569 810,571
Matrix Service Co. * 15,045 315,042
McDermott International, Inc. *(a) 98,025 78,459
Murphy Oil Corp. 77,684 1,787,509
Nabors Industries Ltd. 170,207 350,626
NACCO Industries, Inc., Class A 2,318 109,178
National Oilwell Varco, Inc. 196,224 4,424,851
Natural Gas Services Group, Inc. * 6,427 69,669
Newpark Resources, Inc. * 45,189 264,808
NexTier Oilfield Solutions, Inc. * 73,019 349,761
Nine Energy Service, Inc. * 11,820 64,774
Noble Corp. plc * 120,537 127,769
Noble Energy, Inc. 244,351 5,072,727
Northern Oil & Gas, Inc. * 99,044 176,298
Oasis Petroleum, Inc. * 159,242 372,626
 
7

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Occidental Petroleum Corp. 455,827 17,581,247
Oceaneering International, Inc. * 51,684 693,082
Oil States International, Inc. * 31,553 502,955
ONEOK, Inc. 210,511 14,956,807
Overseas Shipholding Group, Inc., Class A * 44,411 77,719
Par Pacific Holdings, Inc. * 19,007 473,084
Parsley Energy, Inc., Class A 143,813 2,154,319
Patterson-UTI Energy, Inc. 103,530 925,558
PBF Energy, Inc., Class A 52,133 1,631,763
PDC Energy, Inc. * 30,157 685,469
Peabody Energy Corp. 37,650 364,452
Penn Virginia Corp. * 6,757 163,182
Phillips 66 228,733 26,240,250
Pioneer Natural Resources Co. 85,402 10,917,792
ProPetro Holding Corp. * 38,887 335,206
QEP Resources, Inc. 124,974 408,665
Range Resources Corp. 107,317 374,536
Renewable Energy Group, Inc. * 18,345 312,966
REX American Resources Corp. * 2,406 220,991
RigNet, Inc. * 6,505 33,826
Roan Resources, Inc. * 40,926 62,208
RPC, Inc. 28,738 110,929
SandRidge Energy, Inc. * 15,174 49,922
Schlumberger Ltd. 703,958 25,483,280
SEACOR Holdings, Inc. * 8,608 364,463
SEACOR Marine Holdings, Inc. * 11,523 136,317
Select Energy Services, Inc., Class A * 30,236 232,212
SemGroup Corp., Class A 32,122 493,715
SM Energy Co. 51,339 426,627
Southwestern Energy Co. * 276,668 503,536
SRC Energy, Inc. * 129,644 462,829
Talos Energy, Inc. * 9,493 220,238
Targa Resources Corp. 117,811 4,303,636
TechnipFMC plc 214,182 4,035,189
Tellurian, Inc. * 50,277 366,519
TETRA Technologies, Inc. * 64,600 79,458
The Williams Cos., Inc. 617,312 14,025,329
Tidewater, Inc. * 20,584 314,935
Transocean Ltd. * 294,357 1,465,898
US Silica Holdings, Inc. 39,020 192,369
Valaris plc *(a) 102,835 438,077
Valero Energy Corp. 211,154 20,163,095
W&T Offshore, Inc. * 47,688 204,105
Whiting Petroleum Corp. * 45,488 208,335
World Fuel Services Corp. 32,682 1,385,717
WPX Energy, Inc. * 216,095 2,126,375
    619,204,544
 
Food & Staples Retailing 1.4%
BJ's Wholesale Club Holdings, Inc. * 62,372 1,478,216
Casey's General Stores, Inc. 18,789 3,264,965
Costco Wholesale Corp. 224,905 67,428,768
Grocery Outlet Holding Corp. * 15,767 522,361
Ingles Markets, Inc., Class A 6,793 301,881
Natural Grocers by Vitamin Cottage, Inc. 3,751 35,072
Performance Food Group Co. * 53,904 2,536,722
PriceSmart, Inc. 11,524 861,304
Rite Aid Corp. *(a) 27,364 247,918
SpartanNash Co. 17,468 247,347
Sprouts Farmers Market, Inc. * 60,650 1,200,870
Sysco Corp. 261,273 21,045,540
The Andersons, Inc. 16,525 381,728
The Chefs' Warehouse, Inc. * 13,220 470,103
The Kroger Co. 407,719 11,147,037
United Natural Foods, Inc. * 29,019 264,653
US Foods Holding Corp. * 112,240 4,463,785
Village Super Market, Inc., Class A 4,873 137,808
Security Number
of Shares
Value ($)
Walgreens Boots Alliance, Inc. 387,631 23,102,808
Walmart, Inc. 727,603 86,650,241
Weis Markets, Inc. 8,600 342,538
    226,131,665
 
Food, Beverage & Tobacco 3.4%
Alico, Inc. 2,500 84,650
Altria Group, Inc. 953,852 47,406,444
Archer-Daniels-Midland Co. 284,269 12,203,668
B&G Foods, Inc. (a) 33,228 550,256
Beyond Meat, Inc. *(a) 5,230 433,881
Brown-Forman Corp., Class A 28,447 1,814,919
Brown-Forman Corp., Class B 92,964 6,304,819
Bunge Ltd. 72,544 3,872,399
Cal-Maine Foods, Inc. 16,081 700,006
Calavo Growers, Inc. 8,376 747,056
Campbell Soup Co. 86,066 4,008,094
Coca-Cola Consolidated, Inc. 2,487 671,888
Conagra Brands, Inc. 248,889 7,185,425
Constellation Brands, Inc., Class A 85,007 15,816,402
Darling Ingredients, Inc. * 83,928 1,997,486
Farmer Brothers Co. * 7,537 114,336
Flowers Foods, Inc. 97,852 2,106,754
Fresh Del Monte Produce, Inc. 15,460 505,542
Freshpet, Inc. * 15,954 857,368
General Mills, Inc. 307,527 16,397,340
Hormel Foods Corp. 141,883 6,318,050
Hostess Brands, Inc. * 59,291 797,464
Ingredion, Inc. 33,991 2,827,032
J&J Snack Foods Corp. 7,502 1,387,870
John B Sanfilippo & Son, Inc. 4,405 430,545
Kellogg Co. 126,718 8,251,876
Keurig Dr Pepper, Inc. 136,379 4,219,566
Lamb Weston Holdings, Inc. 74,339 6,242,989
Lancaster Colony Corp. 10,072 1,591,678
Landec Corp. * 13,959 159,970
Limoneira Co. 8,645 170,696
McCormick & Co., Inc. Non-Voting Shares 62,827 10,633,470
MGP Ingredients, Inc. 6,397 291,831
Molson Coors Brewing Co., Class B 96,046 4,848,402
Mondelez International, Inc., Class A 738,716 38,812,139
Monster Beverage Corp. * 196,941 11,781,011
National Beverage Corp. *(a) 6,246 310,052
PepsiCo, Inc. 714,983 97,116,141
Philip Morris International, Inc. 795,245 65,949,668
Pilgrim's Pride Corp. * 28,756 905,814
Post Holdings, Inc. * 35,065 3,702,864
Primo Water Corp. * 19,921 203,194
Sanderson Farms, Inc. 9,980 1,652,488
Seaboard Corp. 126 518,058
Seneca Foods Corp., Class A * 5,173 202,264
Simply Good Foods Co. * 40,367 1,115,340
The Boston Beer Co., Inc., Class A * 4,726 1,816,296
The Coca-Cola Co. 1,966,986 105,037,052
The Hain Celestial Group, Inc. * 41,020 1,014,014
The Hershey Co. 76,058 11,268,753
The J.M. Smucker Co. 58,293 6,126,011
The Kraft Heinz Co. 320,391 9,771,926
Tootsie Roll Industries, Inc. 8,464 290,738
TreeHouse Foods, Inc. * 28,361 1,386,569
Turning Point Brands, Inc. (a) 4,392 121,263
Tyson Foods, Inc., Class A 150,282 13,508,849
Universal Corp. 13,223 690,505
Vector Group Ltd. 58,832 790,702
    546,041,883
 
 
8

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Health Care Equipment & Services 6.3%
Abbott Laboratories 902,465 77,115,634
ABIOMED, Inc. * 23,316 4,574,133
Acadia Healthcare Co., Inc. * 45,714 1,470,162
Accuray, Inc. * 51,247 157,841
Addus HomeCare Corp. * 6,747 628,888
Align Technology, Inc. * 37,049 10,275,170
Allscripts Healthcare Solutions, Inc. * 86,059 927,716
Amedisys, Inc. * 16,450 2,680,692
American Renal Associates Holdings, Inc. * 4,114 38,918
AmerisourceBergen Corp. 77,616 6,823,223
AMN Healthcare Services, Inc. * 24,200 1,439,174
AngioDynamics, Inc. * 18,260 280,656
Antares Pharma, Inc. * 85,564 404,718
Anthem, Inc. 130,447 37,654,831
Apollo Medical Holdings, Inc. *(a) 12,807 233,984
AtriCure, Inc. * 21,344 634,984
Atrion Corp. 764 538,391
Avanos Medical, Inc. * 25,326 877,799
AxoGen, Inc. * 17,928 310,692
Axonics Modulation Technologies, Inc. * 3,943 96,170
Baxter International, Inc. 261,280 21,417,122
Becton Dickinson & Co. 137,634 35,578,389
BioTelemetry, Inc. * 17,502 810,518
Boston Scientific Corp. * 709,790 30,698,418
Brookdale Senior Living, Inc. * 92,988 663,934
Cantel Medical Corp. 18,428 1,417,113
Capital Senior Living Corp. * 17,734 67,744
Cardinal Health, Inc. 150,550 8,284,767
Cardiovascular Systems, Inc. * 18,253 831,607
Castlight Health, Inc., Class B * 30,117 41,863
Centene Corp. * 211,356 12,780,697
Cerner Corp. 162,598 11,640,391
Cerus Corp. * 71,809 311,651
Change Healthcare, Inc. * 22,913 306,576
Chemed Corp. 8,248 3,546,805
Cigna Corp. * 193,562 38,696,915
Community Health Systems, Inc. * 57,953 185,450
Computer Programs & Systems, Inc. 6,885 183,072
CONMED Corp. 14,535 1,646,379
CorVel Corp. * 4,973 410,322
Covetrus, Inc. * 51,222 732,987
CryoLife, Inc. * 18,656 461,363
CryoPort, Inc. * 18,233 287,170
CVS Health Corp. 665,981 50,128,390
Danaher Corp. 325,841 47,566,269
DaVita, Inc. * 46,298 3,322,807
DENTSPLY SIRONA, Inc. 114,411 6,468,798
DexCom, Inc. * 46,343 10,534,227
Diplomat Pharmacy, Inc. * 28,304 145,766
Edwards Lifesciences Corp. * 106,015 25,967,314
Encompass Health Corp. 50,739 3,587,755
Enzo Biochem, Inc. * 20,232 53,615
Evolent Health, Inc., Class A * 38,395 276,828
GenMark Diagnostics, Inc. * 27,362 152,680
Glaukos Corp. * 18,834 1,207,824
Globus Medical, Inc., Class A * 39,377 2,203,143
Guardant Health, Inc. * 20,719 1,609,245
Haemonetics Corp. * 26,062 3,143,077
Hanger, Inc. * 18,124 474,849
HCA Healthcare, Inc. 135,725 18,819,629
Health Catalyst, Inc. * 3,772 149,862
HealthEquity, Inc. * 35,613 2,239,702
HealthStream, Inc. * 13,795 401,848
Henry Schein, Inc. * 75,410 5,195,749
Heska Corp. * 3,071 293,281
Hill-Rom Holdings, Inc. 34,179 3,664,331
Security Number
of Shares
Value ($)
HMS Holdings Corp. * 43,890 1,325,478
Hologic, Inc. * 136,264 6,993,068
Humana, Inc. 68,891 23,507,676
ICU Medical, Inc. * 9,800 1,837,304
IDEXX Laboratories, Inc. * 43,663 10,984,738
Inogen, Inc. * 9,294 684,131
Inovalon Holdings, Inc., Class A * 43,180 777,240
Inspire Medical Systems, Inc. * 7,513 533,122
Insulet Corp. * 30,856 5,729,959
Integer Holdings Corp. * 16,657 1,263,433
Integra LifeSciences Holdings Corp. * 36,858 2,247,969
Intuitive Surgical, Inc. * 58,729 34,820,424
Invacare Corp. 17,310 151,116
iRhythm Technologies, Inc. * 13,395 965,646
Laboratory Corp. of America Holdings * 49,874 8,592,791
Lantheus Holdings, Inc. * 21,316 445,504
LeMaitre Vascular, Inc. 7,424 264,072
LHC Group, Inc. * 15,386 2,052,492
LivaNova plc * 25,145 2,106,145
Livongo Health, Inc. *(a) 6,552 187,125
Magellan Health, Inc. * 11,082 861,404
Masimo Corp. * 24,930 3,865,895
McKesson Corp. 94,389 13,652,425
MEDNAX, Inc. * 42,863 1,119,582
Medtronic plc 686,936 76,517,801
Meridian Bioscience, Inc. 23,646 216,361
Merit Medical Systems, Inc. * 27,883 780,724
Mesa Laboratories, Inc. 2,089 489,077
Molina Healthcare, Inc. * 32,255 4,370,553
National HealthCare Corp. 6,117 519,945
National Research Corp. 6,173 398,220
Natus Medical, Inc. * 18,260 584,137
Neogen Corp. * 27,208 1,811,237
Nevro Corp. * 16,017 1,790,380
NextGen Healthcare, Inc. * 24,697 454,919
NuVasive, Inc. * 26,856 1,940,077
Omnicell, Inc. * 20,802 1,663,952
Option Care Health, Inc. * 70,048 217,849
OraSure Technologies, Inc. * 32,080 259,848
Orthofix Medical, Inc. * 9,283 421,448
Owens & Minor, Inc. 26,453 175,119
Patterson Cos., Inc. 45,695 889,225
Penumbra, Inc. * 16,156 2,858,320
PetIQ, Inc. * 9,277 213,371
Phreesia, Inc. * 4,726 132,895
Premier, Inc., Class A * 32,107 1,141,083
Quest Diagnostics, Inc. 68,683 7,318,174
Quidel Corp. * 19,255 1,321,278
R1 RCM, Inc. * 48,307 622,677
RadNet, Inc. * 20,417 391,190
ResMed, Inc. 73,371 10,976,302
SeaSpine Holdings Corp. * 9,471 125,301
Select Medical Holdings Corp. * 56,150 1,241,477
Senseonics Holdings, Inc. *(a) 71,605 74,469
Shockwave Medical, Inc. *(a) 3,153 123,471
SI-BONE, Inc. * 7,787 138,531
Silk Road Medical, Inc. * 3,345 120,487
Simulations Plus, Inc. 6,244 208,674
STAAR Surgical Co. * 13,710 505,351
STERIS plc 43,494 6,573,683
Stryker Corp. 164,726 33,745,768
Surgery Partners, Inc. * 8,616 118,728
Surmodics, Inc. * 6,381 261,876
Tabula Rasa HealthCare, Inc. * 10,186 454,397
Tactile Systems Technology, Inc. * 9,056 581,486
Tandem Diabetes Care, Inc. * 28,513 1,968,252
Teladoc Health, Inc. * 37,286 3,122,330
Teleflex, Inc. 23,531 8,314,444
Tenet Healthcare Corp. * 52,855 1,701,931
 
9

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
The Cooper Cos., Inc. 25,007 7,829,442
The Ensign Group, Inc. 25,417 1,103,860
The Pennant Group, Inc. * 12,708 297,621
The Providence Service Corp. * 6,007 358,558
Tivity Health, Inc. * 23,739 537,688
TransMedics Group, Inc. * 3,255 61,031
Triple-S Management Corp., Class B * 11,002 210,688
UnitedHealth Group, Inc. 484,737 135,663,344
Universal Health Services, Inc., Class B 41,430 5,779,071
US Physical Therapy, Inc. 6,334 740,191
Varex Imaging Corp. * 19,759 591,584
Varian Medical Systems, Inc. * 45,871 6,134,329
Veeva Systems, Inc., Class A * 65,990 9,844,388
ViewRay, Inc. *(a) 30,581 101,529
Vocera Communications, Inc. * 16,210 351,757
WellCare Health Plans, Inc. * 25,603 8,245,958
West Pharmaceutical Services, Inc. 37,768 5,553,029
Wright Medical Group N.V. * 64,692 1,925,881
Zimmer Biomet Holdings, Inc. 104,991 15,253,092
    1,009,180,616
 
Household & Personal Products 1.7%
Avon Products, Inc. * 227,734 1,045,299
Central Garden & Pet Co. * 5,246 138,389
Central Garden & Pet Co., Class A * 19,960 499,200
Church & Dwight Co., Inc. 125,839 8,838,931
Colgate-Palmolive Co. 437,409 29,665,078
Coty, Inc., Class A 159,051 1,835,449
Edgewell Personal Care Co. * 28,390 884,632
elf Beauty, Inc. * 13,552 224,557
Energizer Holdings, Inc. 33,032 1,647,967
Herbalife Nutrition Ltd. * 48,571 2,215,323
Inter Parfums, Inc. 8,939 630,110
Kimberly-Clark Corp. 175,370 23,909,946
Medifast, Inc. (a) 6,083 534,757
Nu Skin Enterprises, Inc., Class A 28,799 1,101,274
Revlon, Inc., Class A *(a) 3,422 84,900
Spectrum Brands Holdings, Inc. 23,458 1,466,594
The Clorox Co. 64,166 9,511,326
The Estee Lauder Cos., Inc., Class A 112,922 22,072,863
The Procter & Gamble Co. 1,278,943 156,107,783
USANA Health Sciences, Inc. * 6,944 511,078
WD-40 Co. 7,173 1,385,178
    264,310,634
 
Insurance 2.6%
Aflac, Inc. 377,993 20,729,136
Alleghany Corp. * 7,439 5,802,718
Ambac Financial Group, Inc. * 22,704 472,697
American Equity Investment Life Holding Co. 47,850 1,422,102
American Financial Group, Inc. 37,994 4,168,322
American International Group, Inc. 442,324 23,292,782
American National Insurance Co. 4,402 519,436
AMERISAFE, Inc. 9,641 651,732
Aon plc 120,446 24,524,010
Arch Capital Group Ltd. * 206,877 8,682,628
Argo Group International Holdings Ltd. 17,361 1,142,007
Arthur J. Gallagher & Co. 94,663 8,829,218
Assurant, Inc. 31,290 4,157,502
Assured Guaranty Ltd. 50,275 2,496,154
Athene Holding Ltd., Class A * 61,654 2,775,663
Axis Capital Holdings Ltd. 42,982 2,543,675
Brighthouse Financial, Inc. * 57,002 2,346,202
Brown & Brown, Inc. 118,189 4,460,453
Chubb Ltd. 233,337 35,345,889
Cincinnati Financial Corp. 78,280 8,379,874
Security Number
of Shares
Value ($)
Citizens, Inc. * 22,750 155,155
CNA Financial Corp. 13,776 616,063
CNO Financial Group, Inc. 78,675 1,425,591
Crawford & Co., Class A 7,072 77,509
Crawford & Co., Class B 7,139 72,175
Donegal Group, Inc., Class A 4,641 67,898
eHealth, Inc. * 10,696 986,813
Employers Holdings, Inc. 15,386 661,136
Enstar Group Ltd. * 7,652 1,562,615
Erie Indemnity Co., Class A 9,462 1,601,917
Everest Re Group Ltd. 20,615 5,592,025
FBL Financial Group, Inc., Class A 5,033 289,750
Fidelity National Financial, Inc. 139,165 6,628,429
First American Financial Corp. 57,228 3,640,845
Genworth Financial, Inc., Class A * 252,589 1,000,252
Global Indemnity Ltd. 3,150 90,625
Globe Life, Inc. 50,914 5,231,923
Goosehead Insurance, Inc., Class A 5,978 242,229
Greenlight Capital Re Ltd., Class A * 15,849 165,464
Health Insurance Innovations, Inc., Class A *(a) 4,355 78,259
Horace Mann Educators Corp. 21,801 946,381
Independence Holding Co. 2,501 105,692
James River Group Holdings Ltd. 14,700 581,532
Kemper Corp. 32,008 2,366,031
Kinsale Capital Group, Inc. 10,751 1,088,646
Lincoln National Corp. 102,309 6,041,346
Loews Corp. 132,754 6,757,179
Markel Corp. * 7,071 8,029,474
Marsh & McLennan Cos., Inc. 258,504 27,936,527
MBIA, Inc. * 40,685 379,591
Mercury General Corp. 14,004 685,916
MetLife, Inc. 406,485 20,287,666
National General Holdings Corp. 32,002 681,323
National Western Life Group, Inc., Class A 1,265 319,071
NI Holdings, Inc. * 3,867 64,734
Old Republic International Corp. 142,382 3,212,138
Palomar Holdings, Inc. * 6,458 352,413
Primerica, Inc. 21,330 2,854,807
Principal Financial Group, Inc. 132,567 7,304,442
ProAssurance Corp. 28,338 1,065,509
ProSight Global, Inc. * 4,451 76,424
Prudential Financial, Inc. 204,790 19,172,440
Reinsurance Group of America, Inc. 31,916 5,280,821
RenaissanceRe Holdings Ltd. 22,946 4,321,420
RLI Corp. 20,606 1,882,770
Safety Insurance Group, Inc. 7,514 733,742
Selective Insurance Group, Inc. 30,085 1,992,229
State Auto Financial Corp. 8,942 293,119
Stewart Information Services Corp. 12,489 534,154
The Allstate Corp. 169,215 18,842,090
The Hanover Insurance Group, Inc. 20,709 2,814,974
The Hartford Financial Services Group, Inc. 184,845 11,434,512
The Progressive Corp. 300,325 21,938,741
The Travelers Cos., Inc. 133,063 18,192,373
Third Point Reinsurance Ltd. * 41,881 399,964
Trupanion, Inc. *(a) 16,082 548,075
United Fire Group, Inc. 11,412 501,443
United Insurance Holdings Corp. 11,814 149,920
Universal Insurance Holdings, Inc. 16,150 469,965
Unum Group 106,629 3,277,775
W.R. Berkley Corp. 73,318 4,985,624
Watford Holdings Ltd. * 2,739 74,090
 
10

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
White Mountains Insurance Group Ltd. 1,561 1,727,902
Willis Towers Watson plc 65,427 12,852,480
    416,486,338
 
Materials 2.9%
AdvanSix, Inc. * 14,132 285,890
Air Products & Chemicals, Inc. 112,526 26,593,270
AK Steel Holding Corp. * 154,448 426,276
Albemarle Corp. 54,203 3,543,792
Alcoa Corp. * 96,473 1,963,226
Allegheny Technologies, Inc. * 66,253 1,527,794
Amcor plc * 828,659 8,502,041
American Vanguard Corp. 13,024 209,686
AptarGroup, Inc. 32,202 3,610,488
Ashland Global Holdings, Inc. 30,744 2,204,345
Avery Dennison Corp. 42,849 5,586,224
Axalta Coating Systems Ltd. * 106,413 3,029,578
Balchem Corp. 16,294 1,623,371
Ball Corp. 168,641 11,140,424
Berry Global Group, Inc. * 67,419 3,147,793
Boise Cascade Co. 20,405 773,758
Cabot Corp. 29,925 1,406,176
Carpenter Technology Corp. 24,187 1,271,511
Celanese Corp., Series A 62,971 7,907,268
Century Aluminum Co. * 24,506 172,767
CF Industries Holdings, Inc. 111,532 5,153,894
Chase Corp. 4,059 477,541
Clearwater Paper Corp. * 8,836 193,420
Cleveland-Cliffs, Inc. (a) 137,112 1,095,525
Coeur Mining, Inc. * 116,386 763,492
Commercial Metals Co. 60,672 1,295,954
Compass Minerals International, Inc. 17,100 945,117
Corteva, Inc. * 379,757 9,881,277
Crown Holdings, Inc. * 69,260 5,256,834
Domtar Corp. 32,183 1,201,070
Dow, Inc. * 381,139 20,341,388
DuPont de Nemours, Inc. 380,032 24,629,874
Eagle Materials, Inc. 21,545 1,982,786
Eastman Chemical Co. 69,687 5,461,370
Ecolab, Inc. 128,160 23,923,627
Element Solutions, Inc. * 113,456 1,326,301
Ferro Corp. * 43,064 620,983
FMC Corp. 66,384 6,502,977
Forterra, Inc. * 5,430 60,327
Freeport-McMoRan, Inc. 741,818 8,441,889
FutureFuel Corp. 14,106 158,269
GCP Applied Technologies, Inc. * 27,416 613,296
Graphic Packaging Holding Co. 148,663 2,418,747
Greif, Inc., Class A 15,403 664,639
Greif, Inc., Class B 1,387 75,134
H.B. Fuller Co. 26,132 1,303,464
Hawkins, Inc. 5,077 209,782
Haynes International, Inc. 6,179 226,893
Hecla Mining Co. 260,977 644,613
Huntsman Corp. 104,309 2,359,470
Ingevity Corp. * 21,408 1,933,357
Innophos Holdings, Inc. 10,422 332,462
Innospec, Inc. 12,828 1,262,275
International Flavors & Fragrances, Inc. 54,549 7,703,955
International Paper Co. 200,836 9,306,740
Kaiser Aluminum Corp. 8,550 936,909
Koppers Holdings, Inc. * 11,638 431,188
Kraton Corp. * 15,623 351,986
Kronos Worldwide, Inc. 9,382 129,190
Linde plc 276,267 56,969,018
Livent Corp. * 74,190 578,682
Loop Industries, Inc. * 8,185 83,487
Louisiana-Pacific Corp. 62,982 1,868,046
Security Number
of Shares
Value ($)
LSB Industries, Inc. * 9,683 38,345
LyondellBasell Industries N.V., Class A 131,745 12,191,682
Martin Marietta Materials, Inc. 31,771 8,527,336
Materion Corp. 10,989 646,813
McEwen Mining, Inc. *(a) 139,885 158,070
Mercer International, Inc. 21,289 266,751
Minerals Technologies, Inc. 18,297 988,038
Myers Industries, Inc. 19,379 320,722
Neenah, Inc. 8,406 611,789
NewMarket Corp. 3,788 1,871,158
Newmont Goldcorp Corp. 418,998 16,089,523
Nucor Corp. 154,181 8,689,641
Olin Corp. 83,538 1,463,586
OMNOVA Solutions, Inc. * 26,494 268,119
Owens-Illinois, Inc. 79,476 785,223
P.H. Glatfelter Co. 23,086 412,085
Packaging Corp. of America 48,107 5,383,173
PolyOne Corp. 40,159 1,266,213
PPG Industries, Inc. 121,909 15,706,756
PQ Group Holdings, Inc. * 18,194 288,557
Quaker Chemical Corp. 6,457 963,578
Rayonier Advanced Materials, Inc. 23,397 91,716
Reliance Steel & Aluminum Co. 34,211 4,036,214
Resolute Forest Products, Inc. 45,546 182,639
Royal Gold, Inc. 33,422 3,919,398
RPM International, Inc. 65,034 4,794,957
Schnitzer Steel Industries, Inc., Class A 8,154 175,719
Schweitzer-Mauduit International, Inc. 15,218 667,462
Sealed Air Corp. 80,357 3,031,870
Sensient Technologies Corp. 21,542 1,363,393
Silgan Holdings, Inc. 39,673 1,222,325
Sonoco Products Co. 50,788 3,074,198
Steel Dynamics, Inc. 111,502 3,760,962
Stepan Co. 10,393 1,007,082
Summit Materials, Inc., Class A * 57,781 1,379,232
SunCoke Energy, Inc. 45,546 233,196
The Chemours Co. 85,552 1,350,866
The Mosaic Co. 181,571 3,458,928
The Scotts Miracle-Gro Co. 20,169 2,038,683
The Sherwin-Williams Co. 41,926 24,448,308
TimkenSteel Corp. * 21,456 124,874
Tredegar Corp. 13,437 289,299
Trinseo S.A. 20,328 772,261
Tronox Holdings plc, Class A * 44,203 511,871
United States Lime & Minerals, Inc. 1,458 149,984
United States Steel Corp. 90,144 1,182,689
US Concrete, Inc. * 7,592 310,741
Valhi, Inc. 17,333 33,626
Valvoline, Inc. 96,097 2,176,597
Venator Materials plc * 23,465 86,586
Verso Corp., Class A * 19,372 357,607
Vulcan Materials Co. 67,542 9,582,184
W.R. Grace & Co. 28,584 1,910,269
Warrior Met Coal, Inc. 25,881 531,337
Westlake Chemical Corp. 17,343 1,191,117
Westrock Co. 130,794 5,274,922
Worthington Industries, Inc. 18,385 704,146
    457,407,342
 
Media & Entertainment 7.6%
Activision Blizzard, Inc. 390,924 21,434,363
Alphabet, Inc., Class A * 153,048 199,588,366
Alphabet, Inc., Class C * 154,406 201,493,654
Altice USA, Inc., Class A * 157,768 4,035,705
AMC Entertainment Holdings, Inc., Class A (a) 29,561 241,809
AMC Networks, Inc., Class A * 23,184 890,961
ANGI Homeservices, Inc., Class A *(a) 38,685 299,809
 
11

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Cable One, Inc. 2,590 3,975,650
Cardlytics, Inc. * 9,576 536,735
Cargurus, Inc. * 36,161 1,449,694
Cars.com, Inc. * 32,456 431,340
CBS Corp., Class A 2,337 102,548
CBS Corp., Class B Non-Voting Shares 167,021 6,744,308
Central European Media Enterprises Ltd., Class A * 38,315 172,418
Charter Communications, Inc., Class A * 82,725 38,881,577
Cinemark Holdings, Inc. 54,545 1,847,439
Clear Channel Outdoor Holdings, Inc. * 184,383 457,270
Comcast Corp., Class A 2,317,844 102,332,813
Discovery, Inc., Class A * 80,813 2,661,980
Discovery, Inc., Class C * 176,442 5,385,010
DISH Network Corp., Class A * 121,937 4,166,587
Electronic Arts, Inc. * 151,712 15,324,429
Emerald Expositions Events, Inc. 15,527 155,425
Entercom Communications Corp., Class A 62,098 293,724
Entravision Communications Corp., Class A 29,304 83,223
Eventbrite, Inc., Class A * 18,529 398,559
Facebook, Inc., Class A * 1,229,599 247,936,342
Fox Corp., Class A 180,226 6,444,882
Fox Corp., Class B 82,801 2,896,379
Gannett Co., Inc. 61,501 391,146
Glu Mobile, Inc. * 54,426 300,976
Gray Television, Inc. * 45,830 927,599
Hemisphere Media Group, Inc. * 11,084 155,176
IAC/InterActiveCorp * 36,894 8,216,294
iHeartMedia, Inc. Class A * 29,083 447,587
John Wiley & Sons, Inc., Class A 23,014 1,087,642
Liberty Broadband Corp., Class A * 12,457 1,473,788
Liberty Broadband Corp., Class C * 77,592 9,271,468
Liberty Global plc, Class A * 83,971 1,893,546
Liberty Global plc, Class C * 210,209 4,519,493
Liberty Latin America Ltd., Class A * 22,262 396,264
Liberty Latin America Ltd., Class C * 57,795 1,036,842
Liberty Media Corp. - Liberty Braves, Class A * 5,458 154,953
Liberty Media Corp. - Liberty Braves, Class C * 17,395 492,278
Liberty Media Corp. - Liberty Formula One, Class A * 12,627 543,845
Liberty Media Corp. - Liberty Formula One, Class C * 104,226 4,699,550
Liberty Media Corp. - Liberty SiriusXM, Class A * 42,063 2,048,468
Liberty Media Corp. - Liberty SiriusXM, Class C * 77,858 3,776,892
Liberty TripAdvisor Holdings, Inc., Class A * 37,134 257,339
Lions Gate Entertainment Corp., Class A * 28,183 263,511
Lions Gate Entertainment Corp., Class B * 54,774 474,891
Live Nation Entertainment, Inc. * 71,168 4,968,238
Loral Space & Communications, Inc. * 5,750 194,695
Match Group, Inc. (a) 28,452 2,005,297
Meredith Corp. 20,112 704,724
MSG Networks, Inc., Class A * 32,012 519,875
National CineMedia, Inc. 26,762 179,573
Netflix, Inc. * 223,418 70,300,708
News Corp., Class A 192,407 2,478,202
News Corp., Class B 66,333 873,606
Nexstar Media Group, Inc., Class A 23,821 2,565,760
Omnicom Group, Inc. 110,943 8,817,750
Pinterest, Inc., Class A * 44,539 867,620
Security Number
of Shares
Value ($)
QuinStreet, Inc. * 23,335 367,293
Roku, Inc. * 46,480 7,453,998
Scholastic Corp. 15,840 588,139
Sciplay Corp., Class A * 11,557 136,141
Sinclair Broadcast Group, Inc., Class A 33,506 1,167,014
Sirius XM Holdings, Inc. 707,678 4,939,592
Snap, Inc., Class A * 389,044 5,932,921
Take-Two Interactive Software, Inc. * 57,864 7,021,796
TechTarget, Inc. * 11,703 310,364
TEGNA, Inc. 112,125 1,721,119
The E.W. Scripps Co., Class A 28,062 418,685
The Interpublic Group of Cos., Inc. 197,063 4,414,211
The Madison Square Garden Co., Class A * 8,651 2,437,679
The Marcus Corp. 11,461 360,563
The New York Times Co., Class A 72,775 2,346,994
The Walt Disney Co. 920,512 139,531,209
Tribune Publishing Co. 9,116 114,132
TripAdvisor, Inc. 52,842 1,500,713
TrueCar, Inc. * 45,321 237,935
Twitter, Inc. * 393,884 12,174,954
Viacom, Inc., Class A 2,400 62,688
Viacom, Inc., Class B 180,732 4,350,219
WideOpenWest, Inc. * 15,199 93,170
World Wrestling Entertainment, Inc., Class A 24,307 1,507,520
Yelp, Inc. * 32,976 1,143,608
Zillow Group, Inc., Class A * 17,251 673,824
Zillow Group, Inc., Class C * 64,173 2,512,373
Zynga, Inc., Class A * 480,977 2,996,487
    1,214,483,936
 
Pharmaceuticals, Biotechnology & Life Sciences 7.6%
AbbVie, Inc. 754,377 66,181,494
ACADIA Pharmaceuticals, Inc. * 57,333 2,596,612
Accelerate Diagnostics, Inc. *(a) 13,020 194,519
Acceleron Pharma, Inc. * 23,798 1,165,150
Achillion Pharmaceuticals, Inc. * 78,335 486,460
Adaptive Biotechnologies Corp. * 7,636 207,623
Adverum Biotechnologies, Inc. * 27,299 297,832
Aerie Pharmaceuticals, Inc. * 20,865 396,226
Agenus, Inc. * 53,809 225,460
Agilent Technologies, Inc. 157,885 12,752,371
Agios Pharmaceuticals, Inc. * 30,136 1,172,290
Aimmune Therapeutics, Inc. * 20,023 559,042
Akcea Therapeutics, Inc. *(a) 8,789 171,122
Akebia Therapeutics, Inc. * 55,562 349,485
Akero Therapeutics, Inc. * 3,797 74,763
Akorn, Inc. * 55,183 201,418
Alector, Inc. * 14,910 277,922
Alexion Pharmaceuticals, Inc. * 114,489 13,044,877
Alkermes plc * 79,063 1,661,904
Allakos, Inc. * 12,342 1,172,490
Allergan plc 167,156 30,913,831
Allogene Therapeutics, Inc. * 26,233 739,246
Alnylam Pharmaceuticals, Inc. * 56,868 6,661,518
AMAG Pharmaceuticals, Inc. * 17,813 189,708
Amgen, Inc. 306,670 71,981,582
Amicus Therapeutics, Inc. * 128,594 1,347,665
Amneal Pharmaceuticals, Inc. * 49,760 187,098
Amphastar Pharmaceuticals, Inc. * 16,430 320,549
AnaptysBio, Inc. * 12,469 168,207
ANI Pharmaceuticals, Inc. * 4,815 296,700
Anika Therapeutics, Inc. * 7,588 438,586
Apellis Pharmaceuticals, Inc. * 21,395 575,098
Arcus Biosciences, Inc. * 15,514 128,301
Arena Pharmaceuticals, Inc. * 26,100 1,236,618
Arqule, Inc. * 59,430 569,934
 
12

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Arrowhead Pharmaceuticals, Inc. * 48,336 3,529,011
Arvinas Holding Co. LLC * 7,624 292,762
Assembly Biosciences, Inc. * 10,877 176,425
Atara Biotherapeutics, Inc. * 29,500 419,195
Athenex, Inc. * 23,530 366,597
Audentes Therapeutics, Inc. * 23,359 678,112
Avantor, Inc. * 114,586 1,962,858
Avrobio, Inc. * 11,028 176,889
Axsome Therapeutics, Inc. * 12,929 509,015
Bio-Rad Laboratories, Inc., Class A * 10,977 4,054,684
Bio-Techne Corp. 19,362 4,225,756
BioCryst Pharmaceuticals, Inc. * 36,206 103,187
Biogen, Inc. * 93,921 28,158,455
Biohaven Pharmaceutical Holding Co., Ltd. * 21,031 1,205,497
BioMarin Pharmaceutical, Inc. * 91,360 7,373,666
Bluebird Bio, Inc. * 28,183 2,281,132
Blueprint Medicines Corp. * 25,285 2,074,381
Bridgebio Pharma, Inc. * 10,272 297,888
Bristol-Myers Squibb Co. 1,196,545 68,131,272
Bruker Corp. 51,763 2,649,748
Cambrex Corp. * 16,708 1,001,979
Cara Therapeutics, Inc. * 20,899 542,956
CareDx, Inc. * 19,375 397,575
CASI Pharmaceuticals, Inc. * 25,290 83,710
Catalent, Inc. * 74,767 3,887,136
Catalyst Pharmaceuticals, Inc. * 49,115 227,894
Charles River Laboratories International, Inc. * 24,648 3,580,122
Clovis Oncology, Inc. *(a) 26,358 393,525
Codexis, Inc. * 24,695 383,760
Coherus Biosciences, Inc. * 30,167 542,704
Corcept Therapeutics, Inc. * 50,263 644,874
Cortexyme, Inc. *(a) 2,562 67,253
Crinetics Pharmaceuticals, Inc. *(a) 2,522 49,330
Cyclerion Therapeutics, Inc. * 8,308 15,370
Cymabay Therapeutics, Inc. * 30,652 53,948
Cytokinetics, Inc. * 32,754 316,731
CytomX Therapeutics, Inc. * 23,239 145,476
Deciphera Pharmaceuticals, Inc. * 9,087 429,724
Denali Therapeutics, Inc. * 34,116 606,924
Dermira, Inc. * 24,199 196,980
Dicerna Pharmaceuticals, Inc. * 25,706 618,486
Dynavax Technologies Corp. *(a) 45,561 257,420
Eagle Pharmaceuticals, Inc. * 5,815 340,061
Editas Medicine, Inc. * 26,333 797,363
Eidos Therapeutics, Inc. *(a) 1,848 104,098
Elanco Animal Health, Inc. * 191,007 5,292,804
Eli Lilly & Co. 434,482 50,986,463
Eloxx Pharmaceuticals, Inc. * 12,583 65,683
Emergent BioSolutions, Inc. * 24,230 1,329,258
Enanta Pharmaceuticals, Inc. * 8,625 549,068
Endo International plc * 103,214 524,327
Epizyme, Inc. * 41,309 682,425
Esperion Therapeutics, Inc. * 12,217 627,465
Evelo Biosciences, Inc. * 9,619 43,382
Exact Sciences Corp. * 71,215 5,769,127
Exelixis, Inc. * 153,951 2,560,205
Fate Therapeutics, Inc. * 27,574 430,706
FibroGen, Inc. * 39,099 1,656,625
Five Prime Therapeutics, Inc. * 19,600 76,832
Flexion Therapeutics, Inc. * 16,075 285,010
G1 Therapeutics, Inc. * 13,569 293,090
Geron Corp. *(a) 98,439 140,768
Gilead Sciences, Inc. 648,047 43,574,680
Global Blood Therapeutics, Inc. * 30,593 2,034,435
Gossamer Bio, Inc. * 19,363 493,757
Gritstone Oncology, Inc. * 10,571 92,073
Halozyme Therapeutics, Inc. * 64,494 1,250,539
Security Number
of Shares
Value ($)
Harpoon Therapeutics, Inc. * 5,310 99,297
Heron Therapeutics, Inc. * 36,285 927,445
Homology Medicines, Inc. * 12,478 199,648
Horizon Therapeutics plc * 95,988 3,146,487
Illumina, Inc. * 74,954 24,042,245
ImmunoGen, Inc. * 72,944 263,328
Immunomedics, Inc. * 86,260 1,619,963
Incyte Corp. * 91,083 8,576,375
Innoviva, Inc. * 32,308 435,512
Inovio Pharmaceuticals, Inc. *(a) 43,840 110,477
Insmed, Inc. * 44,061 1,015,606
Intellia Therapeutics, Inc. *(a) 20,801 360,481
Intercept Pharmaceuticals, Inc. * 13,418 1,454,109
Intersect ENT, Inc. * 15,551 337,146
Intra-Cellular Therapies, Inc. * 24,881 241,595
Intrexon Corp. *(a) 38,322 213,454
Invitae Corp. * 44,757 890,664
Ionis Pharmaceuticals, Inc. * 65,369 4,181,001
Iovance Biotherapeutics, Inc. * 58,354 1,332,222
IQVIA Holdings, Inc. * 92,998 13,575,848
Ironwood Pharmaceuticals, Inc. * 81,574 980,519
Jazz Pharmaceuticals plc * 29,086 4,395,476
Johnson & Johnson 1,348,747 185,439,225
Jounce Therapeutics, Inc. * 10,398 56,253
Kaleido Biosciences, Inc. *(a) 1,380 12,020
Karuna Therapeutics, Inc. *(a) 4,591 330,001
Karyopharm Therapeutics, Inc. * 30,008 525,740
Kodiak Sciences, Inc. * 9,350 276,760
Krystal Biotech, Inc. * 5,710 322,672
Kura Oncology, Inc. * 20,575 327,966
La Jolla Pharmaceutical Co. * 11,959 32,768
Lannett Co., Inc. * 15,230 134,329
Lexicon Pharmaceuticals, Inc. *(a) 23,552 83,139
Ligand Pharmaceuticals, Inc. * 9,589 1,083,557
Luminex Corp. 22,778 481,299
MacroGenics, Inc. * 22,750 215,443
Madrigal Pharmaceuticals, Inc. * 4,333 479,620
Mallinckrodt plc *(a) 39,985 150,743
MannKind Corp. *(a) 91,669 112,753
Medpace Holdings, Inc. * 14,138 1,083,960
Merck & Co., Inc. 1,309,013 114,119,753
Mettler-Toledo International, Inc. * 12,583 9,052,336
Mirati Therapeutics, Inc. * 17,533 1,766,800
Moderna, Inc. * 104,773 2,133,178
Momenta Pharmaceuticals, Inc. * 48,419 813,439
Morphic Holding, Inc. *(a) 3,550 56,374
Mylan N.V. * 264,711 4,971,273
MyoKardia, Inc. * 23,695 1,543,729
Myriad Genetics, Inc. * 37,896 975,443
NanoString Technologies, Inc. * 17,072 459,578
Natera, Inc. * 32,400 1,182,276
Nektar Therapeutics * 89,190 1,809,665
NeoGenomics, Inc. * 52,390 1,352,186
Neurocrine Biosciences, Inc. * 46,553 5,428,545
NextCure, Inc. * 2,701 129,135
NGM Biopharmaceuticals, Inc. *(a) 5,390 88,827
Novavax, Inc. *(a) 12,393 60,106
Odonate Therapeutics, Inc. * 4,719 162,239
Omeros Corp. *(a) 24,210 358,308
OPKO Health, Inc. * 204,136 324,576
Optinose, Inc. *(a) 7,745 72,338
Pacific Biosciences of California, Inc. * 69,529 357,379
Pacira BioSciences, Inc. * 21,628 999,646
Paratek Pharmaceuticals, Inc. *(a) 15,174 44,460
PDL BioPharma, Inc. * 71,084 220,360
PerkinElmer, Inc. 56,902 5,286,196
Perrigo Co., plc 69,637 3,567,504
Personalis, Inc. * 4,558 40,566
Pfizer, Inc. 2,827,323 108,908,482
 
13

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Phibro Animal Health Corp., Class A 10,382 251,867
Portola Pharmaceuticals, Inc. * 36,822 1,051,268
PRA Health Sciences, Inc. * 32,041 3,486,381
Precision BioSciences, Inc. * 5,712 101,502
Prestige Consumer Healthcare, Inc. * 26,274 992,369
Principia Biopharma, Inc. * 8,626 309,070
Progenics Pharmaceuticals, Inc. * 39,582 206,618
Prothena Corp. plc * 20,297 260,208
PTC Therapeutics, Inc. * 30,630 1,438,385
Puma Biotechnology, Inc. * 15,867 150,578
Quanterix Corp. * 8,278 209,682
Ra Pharmaceuticals, Inc. * 17,868 834,972
Radius Health, Inc. * 21,587 483,549
Reata Pharmaceuticals, Inc., Class A * 13,029 2,542,349
Regeneron Pharmaceuticals, Inc. * 40,845 15,071,805
REGENXBIO, Inc. * 16,739 700,695
Repligen Corp. * 23,905 2,121,569
resTORbio, Inc. *(a) 11,560 13,872
Retrophin, Inc. * 23,166 321,312
Revance Therapeutics, Inc. * 21,810 390,399
Rhythm Pharmaceuticals, Inc. * 14,516 325,884
Rocket Pharmaceuticals, Inc. * 16,190 284,782
Rubius Therapeutics, Inc. *(a) 17,328 133,426
Sage Therapeutics, Inc. * 26,332 4,075,404
Sangamo Therapeutics, Inc. * 62,237 672,160
Sarepta Therapeutics, Inc. * 36,514 4,107,460
Seattle Genetics, Inc. * 57,868 6,964,414
Seres Therapeutics, Inc. * 25,414 100,385
SIGA Technologies, Inc. * 33,597 164,625
Solid Biosciences, Inc. * 6,844 26,897
Spark Therapeutics, Inc. * 17,968 1,996,964
Spectrum Pharmaceuticals, Inc. * 57,384 515,308
Stemline Therapeutics, Inc. * 23,218 248,200
Stoke Therapeutics, Inc. * 4,270 104,615
Supernus Pharmaceuticals, Inc. * 26,929 629,600
Syneos Health, Inc. * 32,166 1,766,235
Synthorx, Inc. * 2,476 44,320
Syros Pharmaceuticals, Inc. * 15,174 77,387
TCR2 Therapeutics, Inc. * 5,426 91,971
TG Therapeutics, Inc. * 37,192 304,602
The Medicines Co. * 37,788 3,181,750
TherapeuticsMD, Inc. *(a) 106,762 267,973
Theravance Biopharma, Inc. * 20,809 452,804
Thermo Fisher Scientific, Inc. 204,462 64,190,845
Tricida, Inc. * 14,344 573,186
Turning Point Therapeutics, Inc. * 7,419 417,096
Twist Bioscience Corp. * 11,233 267,682
Ultragenyx Pharmaceutical, Inc. * 28,435 1,127,448
United Therapeutics Corp. * 22,097 2,038,669
UNITY Biotechnology, Inc. *(a) 12,046 92,995
Vanda Pharmaceuticals, Inc. * 26,228 438,794
Veracyte, Inc. * 22,666 650,968
Vericel Corp. * 22,762 424,739
Vertex Pharmaceuticals, Inc. * 131,099 29,071,203
Voyager Therapeutics, Inc. * 11,395 155,428
Waters Corp. * 33,733 7,491,087
WaVe Life Sciences Ltd. * 9,221 305,676
Xencor, Inc. * 24,571 968,097
Y-mAbs Therapeutics, Inc. * 6,033 203,614
ZIOPHARM Oncology, Inc. *(a) 83,521 435,144
Zoetis, Inc. 243,247 29,316,128
Zogenix, Inc. * 20,115 961,095
    1,204,491,705
 
Real Estate 4.1%
Acadia Realty Trust 41,962 1,127,939
Agree Realty Corp. 21,415 1,601,414
Alexander & Baldwin, Inc. 36,004 780,567
Security Number
of Shares
Value ($)
Alexander's, Inc. 1,052 343,331
Alexandria Real Estate Equities, Inc. 57,738 9,383,580
Altisource Portfolio Solutions S.A. * 4,759 85,757
American Assets Trust, Inc. 24,160 1,148,325
American Campus Communities, Inc. 70,012 3,363,376
American Finance Trust, Inc. 54,214 801,825
American Homes 4 Rent, Class A 130,189 3,477,348
American Tower Corp. 226,712 48,523,169
Americold Realty Trust 98,149 3,692,365
Apartment Investment & Management Co., Class A 76,187 4,096,575
Apple Hospitality REIT, Inc. 106,317 1,728,714
Armada Hoffler Properties, Inc. 28,114 507,739
Ashford Hospitality Trust, Inc. 55,493 152,606
AvalonBay Communities, Inc. 71,255 15,277,785
Boston Properties, Inc. 73,346 10,161,355
Braemar Hotels & Resorts, Inc. 16,079 157,735
Brandywine Realty Trust 90,704 1,399,563
Brixmor Property Group, Inc. 151,198 3,317,284
Camden Property Trust 49,401 5,510,682
CareTrust REIT, Inc. 48,334 1,009,214
CBL & Associates Properties, Inc. 89,583 129,000
CBRE Group, Inc., Class A * 171,685 9,789,479
Cedar Realty Trust, Inc. 48,095 128,414
Chatham Lodging Trust 23,785 435,266
City Office REIT, Inc. 19,829 266,303
Colony Capital, Inc. 255,367 1,246,191
Columbia Property Trust, Inc. 60,530 1,256,603
Community Healthcare Trust, Inc. 9,222 438,967
CoreCivic, Inc. 61,523 932,073
CorEnergy Infrastructure Trust, Inc. 6,285 278,048
CorePoint Lodging, Inc. 20,619 208,458
CoreSite Realty Corp. 18,787 2,130,258
Corporate Office Properties Trust 56,780 1,656,840
Cousins Properties, Inc. 74,410 3,012,861
Crown Castle International Corp. 212,356 28,383,503
CubeSmart 98,082 3,024,849
CyrusOne, Inc. 56,919 3,546,054
DiamondRock Hospitality Co. 100,669 1,036,891
Digital Realty Trust, Inc. 106,474 12,878,030
Douglas Emmett, Inc. 83,872 3,696,239
Duke Realty Corp. 183,958 6,471,642
Easterly Government Properties, Inc. 35,875 834,453
EastGroup Properties, Inc. 19,223 2,617,980
Empire State Realty Trust, Inc., Class A 78,002 1,088,908
EPR Properties 38,979 2,764,391
Equinix, Inc. 43,561 24,692,553
Equity Commonwealth 61,829 2,031,083
Equity LifeStyle Properties, Inc. 94,332 6,988,115
Equity Residential 178,337 15,176,479
Essential Properties Realty Trust, Inc. 38,998 1,017,458
Essex Property Trust, Inc. 33,534 10,468,644
eXp World Holdings, Inc. *(a) 9,735 106,598
Extra Space Storage, Inc. 65,568 6,953,486
Federal Realty Investment Trust 35,511 4,689,938
First Industrial Realty Trust, Inc. 64,581 2,749,859
Forestar Group, Inc. * 5,827 118,871
Four Corners Property Trust, Inc. 36,277 1,027,365
Franklin Street Properties Corp. 52,445 456,796
Front Yard Residential Corp. 28,277 328,013
FRP Holdings, Inc. * 3,539 176,596
Gaming & Leisure Properties, Inc. 103,656 4,374,283
Getty Realty Corp. 16,444 551,861
Gladstone Commercial Corp. 14,271 325,093
Global Net Lease, Inc. 43,254 881,949
Hannon Armstrong Sustainable Infrastructure Capital, Inc. 34,607 1,015,715
Healthcare Realty Trust, Inc. 66,829 2,218,055
 
14

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Healthcare Trust of America, Inc., Class A 103,155 3,130,754
Healthpeak Properties, Inc. 250,733 8,745,567
Hersha Hospitality Trust 19,028 269,817
Highwoods Properties, Inc. 52,286 2,538,485
Host Hotels & Resorts, Inc. 372,425 6,513,713
Hudson Pacific Properties, Inc. 77,645 2,779,691
Independence Realty Trust, Inc. 46,422 693,545
Industrial Logistics Properties Trust 32,131 695,315
Innovative Industrial Properties, Inc. (a) 5,810 449,752
Investors Real Estate Trust 5,967 461,368
Invitation Homes, Inc. 274,722 8,387,263
Iron Mountain, Inc. 146,417 4,702,914
iStar, Inc. 32,531 422,578
JBG SMITH Properties 60,959 2,431,045
Jones Lang LaSalle, Inc. 26,377 4,387,286
Kennedy-Wilson Holdings, Inc. 64,538 1,459,204
Kilroy Realty Corp. 47,381 3,943,994
Kimco Realty Corp. 215,846 4,666,591
Kite Realty Group Trust 44,071 852,774
Lamar Advertising Co., Class A 43,774 3,652,065
Lexington Realty Trust 125,924 1,395,238
Liberty Property Trust 80,569 4,964,662
Life Storage, Inc. 23,835 2,610,409
LTC Properties, Inc. 19,666 920,565
Mack-Cali Realty Corp. 46,908 1,003,362
Marcus & Millichap, Inc. * 11,439 420,498
Medical Properties Trust, Inc. 253,093 5,254,211
Mid-America Apartment Communities, Inc. 59,156 8,051,723
Monmouth Real Estate Investment Corp., Class A 51,074 782,964
National Health Investors, Inc. 21,855 1,770,036
National Retail Properties, Inc. 87,602 4,882,935
National Storage Affiliates Trust 29,924 1,002,454
New Senior Investment Group, Inc. 41,813 328,232
Newmark Group, Inc., Class A 81,486 1,063,392
NexPoint Residential Trust, Inc. 10,609 507,641
Office Properties Income Trust 23,490 783,626
Omega Healthcare Investors, Inc. 110,148 4,629,520
One Liberty Properties, Inc. 7,497 204,743
Outfront Media, Inc. 72,658 1,814,997
Paramount Group, Inc. 103,926 1,412,354
Park Hotels & Resorts, Inc. 122,541 2,898,095
Pebblebrook Hotel Trust 66,898 1,752,728
Pennsylvania Real Estate Investment Trust (a) 28,192 162,386
Physicians Realty Trust 93,909 1,802,114
Piedmont Office Realty Trust, Inc., Class A 64,496 1,426,652
PotlatchDeltic Corp. 34,412 1,494,513
Preferred Apartment Communities, Inc., Class A 22,985 316,503
Prologis, Inc. 321,994 29,478,551
PS Business Parks, Inc. 10,231 1,806,692
Public Storage 76,661 16,150,940
QTS Realty Trust, Inc., Class A 28,271 1,500,342
Rayonier, Inc. 65,087 1,993,615
RE/MAX Holdings, Inc., Class A 9,914 380,202
Realogy Holdings Corp. 55,477 580,844
Realty Income Corp. 163,439 12,524,331
Redfin Corp. * 42,322 815,968
Regency Centers Corp. 85,540 5,563,522
Retail Opportunity Investments Corp. 58,938 1,075,029
Retail Properties of America, Inc., Class A 111,630 1,588,495
Retail Value, Inc. 7,526 267,248
Rexford Industrial Realty, Inc. 56,533 2,705,669
Security Number
of Shares
Value ($)
RLJ Lodging Trust 89,776 1,534,272
RPT Realty 41,733 616,814
Ryman Hospitality Properties, Inc. 26,480 2,362,810
Sabra Health Care REIT, Inc. 97,341 2,168,757
Safehold, Inc. 5,392 220,263
Saul Centers, Inc. 5,788 307,574
SBA Communications Corp. 57,786 13,664,655
Senior Housing Properties Trust 120,673 883,326
Seritage Growth Properties, Class A 17,160 725,525
Service Properties Trust 84,504 1,968,098
Simon Property Group, Inc. 157,243 23,776,714
SITE Centers Corp. 71,711 1,039,092
SL Green Realty Corp. 42,096 3,592,052
Spirit Realty Capital, Inc. 50,886 2,666,426
STAG Industrial, Inc. 64,716 2,005,549
STORE Capital Corp. 107,227 4,365,211
Summit Hotel Properties, Inc. 54,499 660,528
Sun Communities, Inc. 46,650 7,683,722
Sunstone Hotel Investors, Inc. 115,991 1,623,874
Tanger Factory Outlet Centers, Inc. (a) 49,085 747,074
Taubman Centers, Inc. 31,527 1,023,997
Tejon Ranch Co. * 9,491 156,032
Terreno Realty Corp. 32,925 1,900,431
The GEO Group, Inc. 61,653 854,511
The Howard Hughes Corp. * 22,058 2,435,424
The Macerich Co. 56,231 1,514,301
The RMR Group, Inc., Class A 7,910 371,533
The St. Joe Co. * 16,157 306,983
UDR, Inc. 149,327 7,175,162
UMH Properties, Inc. 17,683 276,032
Uniti Group, Inc. 116,657 783,935
Universal Health Realty Income Trust 6,492 773,846
Urban Edge Properties 60,486 1,253,875
Urstadt Biddle Properties, Inc. 194 3,711
Urstadt Biddle Properties, Inc., Class A 17,376 423,453
Ventas, Inc. 189,748 11,064,206
VEREIT, Inc. 536,775 5,238,924
VICI Properties, Inc. 235,311 5,819,241
Vornado Realty Trust 83,413 5,385,977
Washington Prime Group, Inc. (a) 97,061 403,774
Washington Real Estate Investment Trust 41,829 1,299,627
Weingarten Realty Investors 64,075 2,040,148
Welltower, Inc. 206,379 17,453,472
Weyerhaeuser Co. 379,873 11,210,052
Whitestone REIT 19,028 267,153
WP Carey, Inc. 88,036 7,343,963
Xenia Hotels & Resorts, Inc. 55,920 1,177,675
    644,090,255
 
Retailing 5.7%
1-800-Flowers.com, Inc., Class A * 11,318 152,453
Aaron's, Inc. 34,360 2,006,624
Abercrombie & Fitch Co., Class A 32,990 526,850
Advance Auto Parts, Inc. 37,051 5,819,971
Amazon.com, Inc. * 212,393 382,477,314
America's Car-Mart, Inc. * 3,259 356,078
American Eagle Outfitters, Inc. 79,994 1,197,510
Asbury Automotive Group, Inc. * 9,712 1,076,478
At Home Group, Inc. * 24,286 208,374
AutoNation, Inc. * 30,517 1,559,114
AutoZone, Inc. * 12,544 14,775,828
Barnes & Noble Education, Inc. * 21,672 109,227
Bed Bath & Beyond, Inc. (a) 66,739 973,055
Best Buy Co., Inc. 118,344 9,543,260
Big Lots, Inc. 21,450 448,305
Booking Holdings, Inc. * 21,706 41,328,875
Boot Barn Holdings, Inc. * 13,721 546,370
Burlington Stores, Inc. * 33,729 7,589,025
 
15

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Caleres, Inc. 21,539 471,489
Camping World Holdings, Inc., Class A (a) 14,456 174,050
CarMax, Inc. * 84,379 8,206,702
Carvana Co. * 25,432 2,424,178
Chewy, Inc., Class A *(a) 27,461 679,934
Chico's FAS, Inc. 60,124 286,791
Conn's, Inc. * 9,735 213,489
Core-Mark Holding Co., Inc. 23,169 624,405
Designer Brands, Inc., Class A 29,431 485,612
Dick's Sporting Goods, Inc. 32,960 1,509,898
Dillard's, Inc., Class A 5,202 373,504
Dollar General Corp. 130,916 20,600,942
Dollar Tree, Inc. * 120,576 11,027,881
Duluth Holdings, Inc., Class B *(a) 5,063 46,731
eBay, Inc. 401,681 14,267,709
Etsy, Inc. * 61,861 2,684,149
Expedia Group, Inc. 70,587 7,175,874
Express, Inc. * 34,200 134,406
Five Below, Inc. * 28,604 3,538,601
Floor & Decor Holdings, Inc., Class A * 35,135 1,686,831
Foot Locker, Inc. 55,350 2,216,767
Funko, Inc., Class A * 8,997 128,387
GameStop Corp., Class A (a) 53,201 337,294
Genesco, Inc. * 8,635 320,704
Genuine Parts Co. 74,702 7,796,648
GNC Holdings, Inc., Class A * 46,557 136,878
Group 1 Automotive, Inc. 9,082 936,263
Groupon, Inc. * 229,209 664,706
GrubHub, Inc. * 46,624 2,010,427
Guess?, Inc. 21,536 414,568
Haverty Furniture Cos., Inc. 10,439 209,928
Hibbett Sports, Inc. * 11,014 312,467
J.C. Penney Co., Inc. * 183,151 206,961
Kohl's Corp. 81,179 3,816,225
L Brands, Inc. 119,271 2,282,847
Lands' End, Inc. * 7,359 86,689
Liquidity Services, Inc. * 14,361 100,383
Lithia Motors, Inc., Class A 11,496 1,846,028
LKQ Corp. * 157,335 5,550,779
Lowe's Cos., Inc. 393,814 46,198,320
Lumber Liquidators Holdings, Inc. *(a) 13,415 119,528
Macy's, Inc. (a) 158,457 2,427,561
MarineMax, Inc. * 11,514 190,672
Monro, Inc. 17,290 1,269,086
Murphy USA, Inc. * 15,506 1,822,420
National Vision Holdings, Inc. * 40,199 1,214,010
Nordstrom, Inc. 54,256 2,070,952
O'Reilly Automotive, Inc. * 39,024 17,259,535
Office Depot, Inc. 282,312 629,556
Ollie's Bargain Outlet Holdings, Inc. * 27,949 1,827,865
Overstock.com, Inc. * 15,035 114,116
Party City Holdco, Inc. * 28,100 54,233
Penske Automotive Group, Inc. 17,031 859,895
PetMed Express, Inc. (a) 9,778 223,232
Pool Corp. 20,506 4,233,464
Quotient Technology, Inc. * 33,767 352,190
Qurate Retail, Inc., Series A * 198,625 1,878,992
Rent-A-Center, Inc. 25,507 663,947
RH * 7,999 1,644,514
Ross Stores, Inc. 185,415 21,535,952
Sally Beauty Holdings, Inc. * 62,616 1,154,013
Shoe Carnival, Inc. 4,649 165,040
Shutterstock, Inc. * 9,014 374,802
Signet Jewelers Ltd. 26,424 485,409
Sleep Number Corp. * 15,757 760,590
Sonic Automotive, Inc., Class A 13,629 446,350
Sportsman's Warehouse Holdings, Inc. * 15,098 110,366
Stamps.com, Inc. * 8,565 747,296
Security Number
of Shares
Value ($)
Stitch Fix, Inc., Class A *(a) 12,228 288,336
Tailored Brands, Inc. (a) 24,609 130,182
Target Corp. 261,297 32,664,738
The Buckle, Inc. 12,824 356,764
The Cato Corp., Class A 11,306 215,492
The Children's Place, Inc. 7,724 558,136
The Container Store Group, Inc. * 10,510 43,722
The Gap, Inc. 108,245 1,797,949
The Home Depot, Inc. 559,889 123,461,123
The Michaels Cos., Inc. * 44,740 365,973
The RealReal, Inc. *(a) 7,958 136,878
The Rubicon Project, Inc. * 21,998 177,744
The TJX Cos., Inc. 616,949 37,714,092
Tiffany & Co. 55,302 7,399,408
Tractor Supply Co. 60,883 5,749,791
Ulta Salon, Cosmetics & Fragrance, Inc. * 30,058 7,029,364
Urban Outfitters, Inc. * 35,658 914,984
Vitamin Shoppe, Inc. * 7,768 50,337
Wayfair, Inc., Class A * 33,006 2,802,870
Weyco Group, Inc. 3,518 86,367
Williams-Sonoma, Inc. 39,726 2,756,984
Winmark Corp. 912 161,424
Zumiez, Inc. * 9,954 294,041
    912,673,441
 
Semiconductors & Semiconductor Equipment 3.9%
Advanced Energy Industries, Inc. * 19,009 1,220,568
Advanced Micro Devices, Inc. * 553,964 21,687,691
Ambarella, Inc. * 15,950 873,103
Amkor Technology, Inc. * 54,218 655,496
Analog Devices, Inc. 188,091 21,244,878
Applied Materials, Inc. 470,522 27,243,224
Axcelis Technologies, Inc. * 17,920 384,205
Broadcom, Inc. 203,647 64,395,218
Brooks Automation, Inc. 36,400 1,629,628
Cabot Microelectronics Corp. 14,679 1,958,325
CEVA, Inc. * 12,155 315,058
Cirrus Logic, Inc. * 29,262 2,098,085
Cohu, Inc. 21,524 381,836
Cree, Inc. * 54,595 2,413,645
Cypress Semiconductor Corp. 194,181 4,553,544
Diodes, Inc. * 20,507 946,193
Enphase Energy, Inc. *(a) 40,589 887,681
Entegris, Inc. 69,049 3,267,399
First Solar, Inc. * 37,830 2,089,729
FormFactor, Inc. * 39,513 914,331
Ichor Holdings Ltd. * 12,286 387,623
Impinj, Inc. * 7,045 222,340
Inphi Corp. * 23,002 1,601,629
Intel Corp. 2,264,914 131,478,258
KLA Corp. 81,194 13,304,449
Kulicke & Soffa Industries, Inc. 31,721 795,880
Lam Research Corp. 73,652 19,652,563
Lattice Semiconductor Corp. * 71,332 1,347,462
MACOM Technology Solutions Holdings, Inc. * 22,793 562,303
Marvell Technology Group Ltd. 337,932 8,911,267
Maxim Integrated Products, Inc. 138,567 7,852,592
MaxLinear, Inc., Class A * 31,574 627,375
Microchip Technology, Inc. 121,240 11,462,030
Micron Technology, Inc. * 562,856 26,741,289
MKS Instruments, Inc. 27,918 2,967,125
Monolithic Power Systems, Inc. 20,682 3,323,184
NeoPhotonics Corp. * 19,550 160,310
NVIDIA Corp. 311,641 67,545,070
ON Semiconductor Corp. * 209,577 4,499,618
Onto Innovation, Inc. * 24,934 836,785
PDF Solutions, Inc. * 12,961 205,302
 
16

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Photronics, Inc. * 34,148 401,580
Power Integrations, Inc. 14,700 1,344,903
Qorvo, Inc. * 59,924 6,244,680
QUALCOMM, Inc. 583,803 48,776,741
Rambus, Inc. * 58,322 761,102
Semtech Corp. * 33,550 1,625,833
Silicon Laboratories, Inc. * 22,254 2,357,366
Skyworks Solutions, Inc. 87,747 8,625,530
SMART Global Holdings, Inc. * 6,667 205,344
SolarEdge Technologies, Inc. * 24,543 2,002,954
SunPower Corp. * 32,326 242,122
Synaptics, Inc. * 17,100 977,436
Teradyne, Inc. 86,815 5,433,751
Texas Instruments, Inc. 476,830 57,319,734
Ultra Clean Holdings, Inc. * 22,089 491,259
Universal Display Corp. 21,571 4,189,520
Veeco Instruments, Inc. * 26,697 365,482
Xilinx, Inc. 128,999 11,968,527
Xperi Corp. 25,650 507,614
    617,485,769
 
Software & Services 12.4%
2U, Inc. * 34,084 850,055
8x8, Inc. * 50,026 1,026,533
A10 Networks, Inc. * 32,616 217,549
Accenture plc, Class A 325,896 65,557,239
ACI Worldwide, Inc. * 59,534 2,232,525
Adobe, Inc. * 248,278 76,849,489
Agilysys, Inc. * 10,381 262,951
Akamai Technologies, Inc. * 84,279 7,342,386
Alarm.com Holdings, Inc. * 18,992 828,431
Alliance Data Systems Corp. 20,964 2,241,261
Altair Engineering, Inc., Class A * 19,268 639,120
Alteryx, Inc., Class A * 23,662 2,686,347
Anaplan, Inc. * 42,938 2,315,217
ANSYS, Inc. * 42,897 10,925,437
Appfolio, Inc., Class A * 7,351 830,075
Appian Corp. *(a) 16,701 719,479
Aspen Technology, Inc. * 34,951 4,382,855
Autodesk, Inc. * 111,514 20,172,883
Automatic Data Processing, Inc. 221,621 37,848,434
Avalara, Inc. * 33,601 2,621,886
Avaya Holdings Corp. * 58,335 744,938
Benefitfocus, Inc. * 16,644 399,123
Black Knight, Inc. * 76,250 4,804,512
Blackbaud, Inc. 24,777 2,053,518
Blackline, Inc. * 21,748 1,170,477
Booz Allen Hamilton Holding Corp. 71,285 5,186,697
Bottomline Technologies (DE), Inc. * 20,304 1,004,845
Box, Inc., Class A * 76,536 1,396,017
Broadridge Financial Solutions, Inc. 58,286 7,210,561
CACI International, Inc., Class A * 12,825 3,069,279
Cadence Design Systems, Inc. * 142,940 10,041,535
Carbonite, Inc. * 18,301 420,923
Cardtronics plc, Class A * 20,232 854,195
Cass Information Systems, Inc. 5,801 327,582
CDK Global, Inc. 62,425 3,342,859
Cerence, Inc. * 18,060 281,014
Ceridian HCM Holding, Inc. * 50,523 3,049,568
ChannelAdvisor Corp. * 11,562 109,723
Cision Ltd. * 49,102 488,074
Citrix Systems, Inc. 63,534 7,167,271
Cloudera, Inc. * 123,354 1,218,737
Cognizant Technology Solutions Corp., Class A 281,493 18,046,516
CommVault Systems, Inc. * 21,114 1,068,791
Conduent, Inc. * 84,714 573,514
CoreLogic, Inc. * 40,947 1,696,434
Security Number
of Shares
Value ($)
Cornerstone OnDemand, Inc. * 26,916 1,659,910
Coupa Software, Inc. * 31,592 4,849,056
Crowdstrike Holdings, Inc., Class A *(a) 10,610 615,380
CSG Systems International, Inc. 17,100 977,949
Digimarc Corp. *(a) 6,380 206,584
Digital Turbine, Inc. * 31,604 280,644
DocuSign, Inc. * 63,059 4,490,431
Domo, Inc., Class B * 10,325 194,110
Dropbox, Inc., Class A * 109,262 2,020,254
DXC Technology Co. 133,714 4,991,544
Dynatrace, Inc. * 18,576 493,564
Ebix, Inc. 11,762 409,082
Elastic N.V. * 16,060 1,275,325
Endurance International Group Holdings, Inc. * 39,655 160,603
Envestnet, Inc. * 26,600 1,894,186
EPAM Systems, Inc. * 28,038 5,939,850
Euronet Worldwide, Inc. * 27,829 4,374,440
Everbridge, Inc. * 17,166 1,509,578
EVERTEC, Inc. 29,593 959,405
Evo Payments, Inc., Class A * 18,654 523,618
Exela Technologies, Inc. * 35,269 11,424
ExlService Holdings, Inc. * 17,888 1,248,761
Fair Isaac Corp. * 14,999 5,515,882
Fidelity National Information Services, Inc. 313,685 43,335,583
FireEye, Inc. * 111,808 1,873,902
Fiserv, Inc. * 291,911 33,931,735
Five9, Inc. * 31,357 2,137,607
FleetCor Technologies, Inc. * 44,084 13,530,261
ForeScout Technologies, Inc. * 18,427 660,239
Fortinet, Inc. * 72,450 7,615,219
Gartner, Inc. * 45,702 7,333,343
Genpact Ltd. 78,291 3,186,444
Global Payments, Inc. 152,984 27,705,402
GoDaddy, Inc., Class A * 90,255 5,991,127
GreenSky, Inc., Class A *(a) 21,400 159,216
GTT Communications, Inc. *(a) 18,406 163,261
GTY Technology Holdings, Inc. * 18,484 91,126
Guidewire Software, Inc. * 41,841 5,097,489
HubSpot, Inc. * 20,229 3,054,579
Instructure, Inc. * 17,489 931,114
International Business Machines Corp. 452,196 60,797,752
International Money Express, Inc. * 8,359 113,599
Intuit, Inc. 132,682 34,350,043
j2 Global, Inc. 23,693 2,298,695
Jack Henry & Associates, Inc. 39,219 5,958,935
KBR, Inc. 73,258 2,180,891
Leidos Holdings, Inc. 69,689 6,330,549
LivePerson, Inc. * 31,942 1,267,778
LiveRamp Holdings, Inc. * 34,941 1,750,195
LogMeIn, Inc. 25,415 1,981,862
Manhattan Associates, Inc. * 32,532 2,716,747
ManTech International Corp., Class A 13,841 1,073,785
Mastercard, Inc., Class A 456,476 133,395,981
MAXIMUS, Inc. 32,347 2,414,704
Medallia, Inc. *(a) 8,277 251,290
Microsoft Corp. 3,901,573 590,620,121
MicroStrategy, Inc., Class A * 4,275 642,661
MobileIron, Inc. * 44,871 216,727
Model N, Inc. * 13,494 410,487
MoneyGram International, Inc. * 15,196 46,652
MongoDB, Inc. * 17,728 2,636,154
New Relic, Inc. * 25,659 1,745,325
NIC, Inc. 32,709 742,167
NortonLifeLock, Inc. 290,387 7,230,636
Nuance Communications, Inc. * 144,437 2,589,755
Nutanix, Inc., Class A * 73,235 2,735,327
Okta, Inc. * 54,502 7,073,270
 
17

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
OneSpan, Inc. * 14,959 278,985
Oracle Corp. 1,125,449 63,182,707
Pagerduty, Inc. * 4,757 123,920
Palo Alto Networks, Inc. * 48,946 11,121,510
Paychex, Inc. 162,859 14,025,417
Paycom Software, Inc. * 24,866 6,883,157
Paylocity Holding Corp. * 18,194 2,225,490
PayPal Holdings, Inc. * 601,556 64,974,064
Paysign, Inc. *(a) 13,699 140,552
Pegasystems, Inc. 19,677 1,527,329
Perficient, Inc. * 17,395 735,461
Perspecta, Inc. 70,994 1,958,014
Pivotal Software, Inc., Class A * 39,793 597,691
Pluralsight, Inc., Class A * 41,948 712,697
Presidio, Inc. 23,977 395,860
Progress Software Corp. 22,665 952,157
Proofpoint, Inc. * 28,443 3,375,900
PROS Holdings, Inc. * 18,445 1,148,939
PTC, Inc. * 53,283 4,081,478
Q2 Holdings, Inc. * 22,471 1,897,227
QAD, Inc., Class A 5,481 280,134
Qualys, Inc. * 17,516 1,532,825
Rapid7, Inc. * 22,272 1,248,791
RealPage, Inc. * 40,575 2,232,842
RingCentral, Inc., Class A * 36,777 6,342,929
Sabre Corp. 138,904 3,115,617
SailPoint Technologies Holding, Inc. * 43,197 1,081,221
salesforce.com, Inc. * 448,419 73,042,971
Science Applications International Corp. 25,046 2,137,676
ServiceNow, Inc. * 96,064 27,189,955
Slack Technologies, Inc., Class A * 19,941 455,054
Smartsheet, Inc., Class A * 44,712 2,120,690
SolarWinds Corp. * 33,226 642,591
Splunk, Inc. * 76,459 11,409,212
SPS Commerce, Inc. * 17,976 1,012,588
Square, Inc., Class A * 175,007 12,096,484
SS&C Technologies Holdings, Inc. 111,805 6,713,890
SVMK, Inc. * 45,570 777,880
Switch, Inc., Class A 31,224 492,090
Sykes Enterprises, Inc. * 20,112 706,736
Synopsys, Inc. * 76,627 10,807,472
TeleNav, Inc. * 18,845 107,793
Tenable Holdings, Inc. * 21,272 577,535
Teradata Corp. * 57,744 1,533,681
The Trade Desk, Inc., Class A * 19,979 5,261,270
The Western Union Co. 216,797 5,827,503
TiVo Corp. 61,312 478,847
TTEC Holdings, Inc. 7,124 327,205
Twilio, Inc., Class A * 62,124 6,416,167
Tyler Technologies, Inc. * 19,657 5,703,872
Unisys Corp. * 27,645 314,600
Upland Software, Inc. * 10,625 411,294
Varonis Systems, Inc. * 15,622 1,220,234
Verint Systems, Inc. * 33,675 1,636,942
VeriSign, Inc. * 53,163 10,140,311
Verra Mobility Corp. * 59,856 896,044
VirnetX Holding Corp. *(a) 30,408 107,340
Virtusa Corp. * 15,681 700,784
Visa, Inc., Class A 882,967 162,916,241
VMware, Inc., Class A 40,158 6,249,388
WEX, Inc. * 21,988 4,422,446
Workday, Inc., Class A * 82,640 14,802,477
Workiva, Inc. * 18,377 797,010
Yext, Inc. * 47,781 824,700
Zendesk, Inc. * 56,351 4,451,729
Zoom Video Communications, Inc., Class A * 13,794 1,027,653
Security Number
of Shares
Value ($)
Zscaler, Inc. * 32,795 1,709,603
Zuora, Inc., Class A * 34,950 557,103
    1,976,446,145
 
Technology Hardware & Equipment 5.8%
3D Systems Corp. * 56,262 477,664
Acacia Communications, Inc. * 19,128 1,274,690
ADTRAN, Inc. 26,899 247,202
Amphenol Corp., Class A 151,333 15,738,632
Anixter International, Inc. * 15,866 1,361,937
Apple, Inc. 2,170,971 580,192,000
Applied Optoelectronics, Inc. *(a) 9,074 97,092
Arista Networks, Inc. * 27,810 5,426,565
Arlo Technologies, Inc. * 32,678 113,066
Arrow Electronics, Inc. * 42,192 3,360,171
Avid Technology, Inc. * 16,655 131,075
Avnet, Inc. 52,192 2,121,605
AVX Corp. 25,749 523,992
Badger Meter, Inc. 14,329 888,398
Belden, Inc. 20,169 1,083,882
Benchmark Electronics, Inc. 20,413 703,636
CalAmp Corp. * 19,725 206,915
Calix, Inc. * 20,036 155,279
Casa Systems, Inc. * 14,652 53,919
CDW Corp. 73,906 9,981,005
Ciena Corp. * 79,310 3,010,608
Cisco Systems, Inc. 2,169,906 98,318,441
Cognex Corp. 86,480 4,339,566
Coherent, Inc. * 12,496 1,885,147
CommScope Holding Co., Inc. * 98,854 1,344,414
Comtech Telecommunications Corp. 13,299 502,569
Corning, Inc. 398,652 11,576,854
CTS Corp. 16,402 449,087
Daktronics, Inc. 23,951 147,538
Dell Technologies, Inc., Class C * 78,080 3,786,099
Diebold Nixdorf, Inc. * 39,805 289,382
Dolby Laboratories, Inc., Class A 33,224 2,288,469
EchoStar Corp., Class A * 23,041 969,335
ePlus, Inc. * 6,837 571,368
Extreme Networks, Inc. * 62,596 440,050
F5 Networks, Inc. * 30,767 4,483,060
Fabrinet * 18,364 1,110,838
FARO Technologies, Inc. * 9,414 458,650
Fitbit, Inc., Class A * 123,481 859,428
FLIR Systems, Inc. 69,457 3,720,117
Harmonic, Inc. * 41,607 343,674
Hewlett Packard Enterprise Co. 666,477 10,550,331
HP, Inc. 755,757 15,175,601
II-VI, Inc. * 43,449 1,268,276
Infinera Corp. * 77,120 492,026
Insight Enterprises, Inc. * 18,298 1,200,166
InterDigital, Inc. 16,249 922,943
IPG Photonics Corp. * 18,228 2,590,017
Itron, Inc. * 17,711 1,418,297
Jabil, Inc. 71,905 2,792,790
Juniper Networks, Inc. 176,484 4,422,689
KEMET Corp. 31,299 836,309
Keysight Technologies, Inc. * 95,489 10,220,188
Kimball Electronics, Inc. * 11,606 203,569
Knowles Corp. * 42,564 932,152
Littelfuse, Inc. 12,396 2,248,758
Lumentum Holdings, Inc. * 39,052 2,876,570
Methode Electronics, Inc. 20,049 746,023
Motorola Solutions, Inc. 84,354 14,112,424
MTS Systems Corp. 8,985 408,099
Napco Security Technologies, Inc. * 5,917 184,906
National Instruments Corp. 60,540 2,549,945
NCR Corp. * 62,509 2,052,171
 
18

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
NetApp, Inc. 121,397 7,355,444
NETGEAR, Inc. * 15,575 391,088
NetScout Systems, Inc. * 33,488 843,898
nLight, Inc. * 16,825 335,322
Novanta, Inc. * 17,933 1,670,997
OSI Systems, Inc. * 8,652 860,788
PC Connection, Inc. 5,721 282,160
Plantronics, Inc. 17,227 436,532
Plexus Corp. * 14,811 1,124,155
Pure Storage, Inc., Class A * 113,769 1,828,268
Ribbon Communications, Inc. * 23,151 67,832
Rogers Corp. * 9,600 1,248,192
Sanmina Corp. * 36,554 1,162,783
ScanSource, Inc. * 12,225 433,010
Seagate Technology plc 120,827 7,210,955
SYNNEX Corp. 21,172 2,600,133
TE Connectivity Ltd. 171,226 15,874,362
Tech Data Corp. * 18,208 2,638,157
Trimble, Inc. * 130,872 5,304,242
TTM Technologies, Inc. * 49,392 662,347
Ubiquiti, Inc. 6,677 1,316,704
ViaSat, Inc. * 29,151 2,142,599
Viavi Solutions, Inc. * 118,473 1,779,464
Vishay Intertechnology, Inc. 68,909 1,370,600
Western Digital Corp. 151,114 7,605,568
Xerox Holdings Corp. * 97,112 3,780,570
Zebra Technologies Corp., Class A * 28,039 7,036,107
    920,599,946
 
Telecommunication Services 1.9%
Anterix, Inc. * 6,790 288,371
AT&T, Inc. 3,732,963 139,538,157
ATN International, Inc. 5,506 309,162
Bandwidth, Inc., Class A * 7,990 446,881
Boingo Wireless, Inc. * 22,184 255,338
CenturyLink, Inc. 501,238 7,262,939
Cincinnati Bell, Inc. * 26,498 171,972
Cogent Communications Holdings, Inc. 20,613 1,292,023
Consolidated Communications Holdings, Inc. 37,828 137,316
GCI Liberty, Inc., Class A * 48,647 3,453,450
Globalstar, Inc. * 304,118 118,606
Gogo, Inc. *(a) 30,417 153,910
Iridium Communications, Inc. * 50,621 1,179,469
ORBCOMM, Inc. * 42,920 172,109
Shenandoah Telecommunications Co. 24,115 905,518
Spok Holdings, Inc. 8,918 109,780
Sprint Corp. * 312,217 1,848,325
T-Mobile US, Inc. * 162,097 12,732,719
Telephone & Data Systems, Inc. 51,091 1,211,368
United States Cellular Corp. * 7,757 263,040
Verizon Communications, Inc. 2,112,650 127,266,036
Vonage Holdings Corp. * 118,775 939,510
Zayo Group Holdings, Inc. * 120,282 4,118,456
    304,174,455
 
Transportation 1.9%
Air Transport Services Group, Inc. * 31,004 763,008
Alaska Air Group, Inc. 63,156 4,358,396
Allegiant Travel Co. 6,623 1,124,122
AMERCO 4,391 1,590,508
American Airlines Group, Inc. 202,400 5,816,976
ArcBest Corp. 13,386 385,249
Atlas Air Worldwide Holdings, Inc. * 12,939 337,579
Avis Budget Group, Inc. * 29,781 885,985
C.H. Robinson Worldwide, Inc. 68,957 5,299,345
CSX Corp. 407,136 29,126,509
Security Number
of Shares
Value ($)
Daseke, Inc. * 30,351 89,535
Delta Air Lines, Inc. 295,394 16,929,030
Echo Global Logistics, Inc. * 14,698 294,401
Expeditors International of Washington, Inc. 86,917 6,497,915
FedEx Corp. 122,093 19,540,985
Forward Air Corp. 14,637 1,025,029
Genesee & Wyoming, Inc., Class A * 29,116 3,244,978
Hawaiian Holdings, Inc. 24,119 730,565
Heartland Express, Inc. 25,375 543,279
Hertz Global Holdings, Inc. * 52,734 817,377
Hub Group, Inc., Class A * 17,228 879,834
J.B. Hunt Transport Services, Inc. 43,604 5,041,495
JetBlue Airways Corp. * 150,361 2,897,456
Kansas City Southern 51,156 7,797,198
Kirby Corp. * 30,659 2,586,700
Knight-Swift Transportation Holdings, Inc. 63,483 2,348,236
Landstar System, Inc. 20,367 2,269,087
Lyft, Inc., Class A * 101,652 4,978,915
Macquarie Infrastructure Corp. 39,392 1,652,494
Marten Transport Ltd. 18,299 386,658
Matson, Inc. 21,897 826,393
Norfolk Southern Corp. 134,151 25,958,219
Old Dominion Freight Line, Inc. 32,681 6,261,353
Ryder System, Inc. 27,154 1,425,313
Saia, Inc. * 13,116 1,244,708
Schneider National, Inc., Class B 15,924 362,271
SkyWest, Inc. 25,824 1,617,615
Southwest Airlines Co. 246,849 14,228,376
Spirit Airlines, Inc. * 35,922 1,403,473
Uber Technologies, Inc. * 104,522 3,093,851
Union Pacific Corp. 359,614 63,288,468
United Airlines Holdings, Inc. * 113,004 10,486,771
United Parcel Service, Inc., Class B 357,642 42,820,477
Universal Logistics Holdings, Inc. 5,426 108,194
Werner Enterprises, Inc. 21,780 800,633
XPO Logistics, Inc. * 47,148 3,898,668
    308,063,627
 
Utilities 3.2%
AES Corp. 334,955 6,333,999
ALLETE, Inc. 26,266 2,104,169
Alliant Energy Corp. 120,601 6,391,853
Ameren Corp. 126,918 9,433,815
American Electric Power Co., Inc. 252,288 23,046,509
American States Water Co. 18,974 1,618,292
American Water Works Co., Inc. 92,764 11,227,227
Aqua America, Inc. 110,481 4,890,994
AquaVenture Holdings Ltd. * 8,782 195,487
Atmos Energy Corp. 59,624 6,377,383
Avangrid, Inc. 28,559 1,386,254
Avista Corp. 33,579 1,587,615
Black Hills Corp. 31,100 2,381,327
California Water Service Group 24,894 1,279,552
CenterPoint Energy, Inc. 256,123 6,290,381
Chesapeake Utilities Corp. 8,139 741,788
Clearway Energy, Inc., Class A 16,045 304,534
Clearway Energy, Inc., Class C 39,738 788,005
CMS Energy Corp. 144,504 8,858,095
Consolidated Edison, Inc. 169,469 14,725,161
Dominion Energy, Inc. 419,661 34,878,026
DTE Energy Co. 92,986 11,617,671
Duke Energy Corp. 372,405 32,834,949
Edison International 181,688 12,554,641
El Paso Electric Co. 20,251 1,373,423
Entergy Corp. 100,725 11,723,383
Evergy, Inc. 120,002 7,592,527
 
19

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Eversource Energy 165,545 13,680,639
Exelon Corp. 494,244 21,944,434
FirstEnergy Corp. 278,992 13,305,128
Hawaiian Electric Industries, Inc. 55,539 2,425,388
IDACORP, Inc. 25,650 2,694,532
MDU Resources Group, Inc. 101,588 2,950,116
MGE Energy, Inc. 17,472 1,354,429
Middlesex Water Co. 8,894 558,632
National Fuel Gas Co. 44,153 1,987,768
New Jersey Resources Corp. 45,773 1,947,183
NextEra Energy, Inc. 250,397 58,547,827
NiSource, Inc. 190,934 5,050,204
Northwest Natural Holding Co. 15,881 1,092,136
NorthWestern Corp. 26,061 1,865,186
NRG Energy, Inc. 129,929 5,162,079
OGE Energy Corp. 102,031 4,291,424
ONE Gas, Inc. 27,197 2,416,997
Ormat Technologies, Inc. 26,352 2,025,151
Otter Tail Corp. 20,527 1,009,107
Pattern Energy Group, Inc., Class A 47,597 1,309,869
Pinnacle West Capital Corp. 57,338 5,010,768
PNM Resources, Inc. 41,542 2,012,710
Portland General Electric Co. 45,723 2,538,084
PPL Corp. 368,217 12,530,424
Public Service Enterprise Group, Inc. 258,249 15,316,748
Sempra Energy 140,745 20,727,516
SJW Group 13,424 950,688
South Jersey Industries, Inc. 47,558 1,485,712
Southwest Gas Holdings, Inc. 27,285 2,067,112
Spire, Inc. 26,087 2,019,656
Sunnova Energy International, Inc. * 7,449 76,576
TerraForm Power, Inc., Class A 41,428 642,548
The Southern Co. 535,136 33,173,081
UGI Corp. 104,415 4,547,273
Unitil Corp. 7,900 482,216
Vistra Energy Corp. 230,556 6,116,651
WEC Energy Group, Inc. 160,611 14,238,165
Xcel Energy, Inc. 267,994 16,478,951
    508,570,168
Total Common Stock
(Cost $11,594,464,888)   15,891,850,558

Rights 0.0% of net assets
 
Materials 0.0%
A. Schulman, Inc. CVR *(c) 15,456 6,692
 
Security Number
of Shares
Value ($)
Media & Entertainment 0.0%
DISH Network Corp.
expires 12/09/19 *
6,600 4,488
Media General, Inc. CVR *(c) 42,134 3,586
    8,074
Total Rights
(Cost $6,692)   14,766

Other Investment Companies 0.2% of net assets
 
Money Market Fund 0.0%
State Street Institutional U.S. Government Money Market Fund, Premier Class 1.59% (d) 4,375,864 4,375,864
 
Securities Lending Collateral 0.2%
Wells Fargo Government Money Market Fund, Select Class 1.56% (d) 22,349,007 22,349,007
Total Other Investment Companies
(Cost $26,724,871)   26,724,871
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
S&P 500 Index, e-mini, expires 12/20/19 171 26,878,635 279,086
* Non-income producing security.
(a) All or a portion of this security is on loan. Securities on loan were valued at $21,318,844.
(b) Issuer is affiliated with the fund’s investment adviser.
(c) Fair-valued by management using significant unobservable inputs in accordance with procedures approved by the fund’s Board of Trustees.
(d) The rate shown is the 7-day yield.
   
CVR – Contingent Value Rights
REIT – Real Estate Investment Trust
 
The fund owns shares of an affiliate, The Charles Schwab Corp., since that company is included in its index. Below is the summary of investment activities involving The Charles Schwab Corp. shares owned by the fund during the period ended November 30, 2019:
  Market
Value at
8/31/19
Gross
Purchases
Gross
Sales
Realized
Gains(Losses)
Net change
in unrealized
appreciation
(depreciation)
Market

Value at
11/30/19
Balance
of Shares
Held at
11/30/19
Dividends
Received
The Charles Schwab Corp. $23,118,065 $379,107 ($870,217) ($88,820) $6,785,417 $29,323,552 592,395 $100,766
    

20

 

Schwab U.S. Broad Market ETF
Portfolio Holdings (Unaudited) continued

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2019:
Description Quoted Prices in
Active Markets for
Identical Assets
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable Inputs
(Level 3)
Total  
Assets          
Common Stock1 $15,891,850,558 $— $— $15,891,850,558  
Rights1          
Materials 6,692 6,692  
Media & Entertainment 4,488 3,586 8,074  
Other Investment Companies1 26,724,871 26,724,871  
Futures Contracts2 279,086 279,086  
Total $15,918,859,003 $— $10,278 $15,918,869,281  
1 As categorized in Portfolio Holdings.
2 Futures contracts are valued at unrealized appreciation or depreciation.
Fund investments in underlying mutual funds are classified as Level 1, without consideration to the classification level of the investments held by the underlying mutual funds, which could be Level 1, Level 2 or Level 3.
21

 

Schwab Strategic Trust
Schwab 1000 Index® ETF

Portfolio Holdings as of November 30, 2019 (Unaudited)
The following are the portfolio holdings as of the report date. For more information, please refer to the fund’s semiannual or annual shareholder reports.    
 
Security Number
of Shares
Value ($)
Common Stock 99.7% of net assets
 
Automobiles & Components 0.7%
Aptiv plc 8,029 753,762
Autoliv, Inc. 2,452 200,377
BorgWarner, Inc. 6,334 266,345
Ford Motor Co. 122,098 1,106,208
General Motors Co. 39,270 1,413,720
Gentex Corp. 8,109 230,296
Harley-Davidson, Inc. 5,006 182,118
Lear Corp. 1,726 207,655
Tesla, Inc. * 4,414 1,456,355
The Goodyear Tire & Rubber Co. 7,213 115,336
Thor Industries, Inc. 1,714 109,302
    6,041,474
 
Banks 5.6%
Associated Banc-Corp. 5,071 108,722
Bank of America Corp. 261,541 8,714,546
Bank OZK 3,721 110,439
BankUnited, Inc. 2,974 104,269
BB&T Corp. 23,797 1,302,172
BOK Financial Corp. 1,047 87,257
CIT Group, Inc. 2,874 130,825
Citigroup, Inc. 70,418 5,289,800
Citizens Financial Group, Inc. 13,959 536,863
Comerica, Inc. 4,655 327,759
Commerce Bancshares, Inc. 3,108 208,329
Cullen/Frost Bankers, Inc. 1,781 166,630
East West Bancorp, Inc. 4,561 208,985
Essent Group Ltd. 3,082 168,431
F.N.B. Corp. 10,172 126,336
Fifth Third Bancorp 22,915 691,804
First Citizens BancShares, Inc., Class A 261 135,668
First Financial Bankshares, Inc. 4,223 145,989
First Hawaiian, Inc. 4,161 118,755
First Horizon National Corp. 9,667 155,445
First Republic Bank 5,245 576,426
Glacier Bancorp, Inc. 2,665 116,860
Hancock Whitney Corp. 2,829 114,886
Huntington Bancshares, Inc. 32,237 480,009
IBERIABANK Corp. 1,639 119,631
Investors Bancorp, Inc. 6,979 84,167
JPMorgan Chase & Co. 99,781 13,147,145
KeyCorp 31,200 604,968
LendingTree, Inc. * 240 86,527
M&T Bank Corp. 4,141 682,188
MGIC Investment Corp. 10,957 157,890
New York Community Bancorp, Inc. 14,446 172,196
PacWest Bancorp 3,721 138,570
People’s United Financial, Inc. 13,808 227,832
Pinnacle Financial Partners, Inc. 2,236 137,335
Popular, Inc. 3,093 171,074
Prosperity Bancshares, Inc. 2,953 207,448
Radian Group, Inc. 6,270 162,017
Security Number
of Shares
Value ($)
Regions Financial Corp. 31,164 518,569
Signature Bank 1,683 207,615
Sterling Bancorp 6,398 130,647
SunTrust Banks, Inc. 13,788 976,742
SVB Financial Group * 1,602 371,232
Synovus Financial Corp. 4,568 173,995
TFS Financial Corp. 1,930 39,160
The PNC Financial Services Group, Inc. 13,886 2,127,474
U.S. Bancorp 44,711 2,684,001
UMB Financial Corp. 1,334 89,738
Umpqua Holdings Corp. 6,840 111,971
United Bankshares, Inc. 3,145 119,101
Valley National Bancorp 10,177 117,850
Webster Financial Corp. 2,846 138,572
Wells Fargo & Co. 125,161 6,816,268
Western Alliance Bancorp 2,977 155,280
Wintrust Financial Corp. 1,773 120,404
Zions Bancorp NA 5,522 274,885
    51,399,697
 
Capital Goods 6.8%
3M Co. 17,926 3,043,297
A.O. Smith Corp. 4,321 209,136
Acuity Brands, Inc. 1,287 168,314
AECOM * 5,002 216,737
AGCO Corp. 1,991 155,557
Air Lease Corp. 3,249 150,851
Allegion plc 2,896 347,607
Allison Transmission Holdings, Inc. 3,693 178,741
AMETEK, Inc. 7,110 703,961
Arconic, Inc. 12,077 373,904
BWX Technologies, Inc. 3,044 183,036
Carlisle Cos., Inc. 1,745 272,185
Caterpillar, Inc. 17,534 2,537,696
Crane Co. 1,576 130,918
Cummins, Inc. 4,945 904,243
Curtiss-Wright Corp. 1,333 183,034
Deere & Co. 9,821 1,650,419
Donaldson Co., Inc. 3,953 221,684
Dover Corp. 4,535 505,562
Eaton Corp. plc 13,039 1,206,107
EMCOR Group, Inc. 1,703 151,448
Emerson Electric Co. 19,127 1,412,720
EnerSys 1,392 97,677
Fastenal Co. 17,888 635,382
Flowserve Corp. 4,045 196,992
Fluor Corp. 4,393 76,614
Fortive Corp. 9,211 664,758
Fortune Brands Home & Security, Inc. 4,307 272,461
Gardner Denver Holdings, Inc. * 4,184 141,712
Gates Industrial Corp. plc * 1,423 16,919
Generac Holdings, Inc. * 1,918 188,923
General Dynamics Corp. 7,270 1,321,250
General Electric Co. 272,032 3,065,801
Graco, Inc. 5,162 249,376
GrafTech International Ltd. 1,889 26,616
 
22

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
HD Supply Holdings, Inc. * 5,345 212,838
HEICO Corp. 1,249 162,233
HEICO Corp., Class A 2,250 225,990
Hexcel Corp. 2,705 215,399
Honeywell International, Inc. 22,468 4,011,661
Hubbell, Inc. 1,673 245,964
Huntington Ingalls Industries, Inc. 1,292 325,158
IDEX Corp. 2,364 384,717
Illinois Tool Works, Inc. 9,197 1,603,313
Ingersoll-Rand plc 7,549 989,749
ITT, Inc. 2,747 191,686
Jacobs Engineering Group, Inc. 4,218 388,436
Johnson Controls International plc 24,855 1,064,540
L3Harris Technologies, Inc. 6,969 1,401,396
Lennox International, Inc. 1,095 280,156
Lincoln Electric Holdings, Inc. 1,915 176,678
Lockheed Martin Corp. 7,747 3,029,309
Masco Corp. 9,027 420,207
MasTec, Inc. * 1,963 130,225
MSC Industrial Direct Co., Inc., Class A 1,408 103,361
Nordson Corp. 1,586 263,006
Northrop Grumman Corp. 4,910 1,727,191
nVent Electric plc 5,079 125,502
Oshkosh Corp. 2,178 197,022
Owens Corning 3,391 227,400
PACCAR, Inc. 10,837 881,807
Parker-Hannifin Corp. 4,002 795,558
Pentair plc 5,232 232,039
Proto Labs, Inc. * 822 79,644
Quanta Services, Inc. 4,438 184,798
Raytheon Co. 8,690 1,889,380
RBC Bearings, Inc. * 783 129,884
Rockwell Automation, Inc. 3,649 714,620
Roper Technologies, Inc. 3,247 1,170,121
Sensata Technologies Holding plc * 5,133 264,298
Snap-on, Inc. 1,721 276,152
Spirit AeroSystems Holdings, Inc., Class A 3,184 276,976
Stanley Black & Decker, Inc. 4,692 740,116
Teledyne Technologies, Inc. * 1,129 386,107
Textron, Inc. 7,144 330,339
The Boeing Co. 16,677 6,106,784
The Middleby Corp. * 1,738 201,191
The Timken Co. 2,121 111,543
The Toro Co. 3,272 255,805
TransDigm Group, Inc. 1,546 876,737
Trex Co., Inc. * 1,821 156,715
United Rentals, Inc. * 2,405 368,085
United Technologies Corp. 25,282 3,750,332
W.W. Grainger, Inc. 1,387 439,610
WABCO Holdings, Inc. * 1,646 221,799
Watsco, Inc. 1,017 180,995
Westinghouse Air Brake Technologies Corp. 5,664 445,020
Woodward, Inc. 1,803 210,572
Xylem, Inc. 5,615 435,219
    62,077,021
 
Commercial & Professional Services 0.9%
ADT, Inc. 3,896 35,999
Cintas Corp. 2,588 665,271
Copart, Inc. * 6,279 558,831
CoStar Group, Inc. * 1,139 698,047
Equifax, Inc. 3,795 529,934
IAA, Inc. * 4,137 187,530
IHS Markit Ltd. * 12,534 910,595
Insperity, Inc. 1,180 91,769
KAR Auction Services, Inc. 4,137 87,373
ManpowerGroup, Inc. 1,855 171,847
MSA Safety, Inc. 1,115 138,182
Security Number
of Shares
Value ($)
Nielsen Holdings plc 11,081 216,634
Republic Services, Inc. 6,609 585,888
Robert Half International, Inc. 3,646 212,197
Rollins, Inc. 4,395 157,561
Stericycle, Inc. * 2,839 178,346
The Brink’s Co. 1,546 143,778
TransUnion 5,911 510,178
Verisk Analytics, Inc. 5,091 750,821
Waste Management, Inc. 12,138 1,370,502
    8,201,283
 
Consumer Durables & Apparel 1.2%
Brunswick Corp. 2,670 156,916
Capri Holdings Ltd. * 4,622 171,661
Carter’s, Inc. 1,387 143,291
Columbia Sportswear Co. 906 83,805
D.R. Horton, Inc. 10,551 583,998
Deckers Outdoor Corp. * 880 147,998
Garmin Ltd. 4,506 440,191
Hanesbrands, Inc. 11,341 170,909
Hasbro, Inc. 3,922 398,867
Kontoor Brands, Inc. * 1,425 51,086
Leggett & Platt, Inc. 4,105 214,774
Lennar Corp., Class A 8,793 524,502
Lululemon Athletica, Inc. * 3,530 796,686
Mattel, Inc. * 10,908 127,624
Mohawk Industries, Inc. * 1,863 259,646
Newell Brands, Inc. 11,901 228,737
NIKE, Inc., Class B 39,028 3,648,728
NVR, Inc. * 107 405,732
Polaris, Inc. 1,788 174,688
PulteGroup, Inc. 8,042 318,865
PVH Corp. 2,310 223,978
Ralph Lauren Corp. 1,662 178,399
Skechers U.S.A., Inc., Class A * 4,137 166,390
Tapestry, Inc. 8,922 239,913
Toll Brothers, Inc. 4,028 161,805
Under Armour, Inc., Class A * 6,001 113,359
Under Armour, Inc., Class C * 5,970 103,281
VF Corp. 10,145 898,238
Whirlpool Corp. 1,967 281,478
    11,415,545
 
Consumer Services 2.1%
Aramark 7,717 336,770
Bright Horizons Family Solutions, Inc. * 1,802 271,237
Caesars Entertainment Corp. * 17,346 226,192
Carnival Corp. 12,419 559,848
Chegg, Inc. * 3,545 137,440
Chipotle Mexican Grill, Inc. * 793 645,438
Choice Hotels International, Inc. 981 95,402
Churchill Downs, Inc. 1,147 149,121
Cracker Barrel Old Country Store, Inc. 742 114,075
Darden Restaurants, Inc. 3,804 450,546
Domino’s Pizza, Inc. 1,289 379,353
Dunkin’ Brands Group, Inc. 2,552 195,356
Eldorado Resorts, Inc. * 1,994 106,699
Grand Canyon Education, Inc. * 1,478 125,911
H&R Block, Inc. 6,253 152,448
Hilton Worldwide Holdings, Inc. 8,974 942,270
Las Vegas Sands Corp. 10,569 663,205
Marriott International, Inc., Class A 8,547 1,199,657
Marriott Vacations Worldwide Corp. 1,200 147,408
McDonald’s Corp. 23,706 4,610,343
MGM Resorts International 16,279 520,114
Norwegian Cruise Line Holdings Ltd. * 6,685 358,583
Planet Fitness, Inc., Class A * 2,580 190,714
 
23

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Royal Caribbean Cruises Ltd. 5,357 642,947
Service Corp. International 5,719 251,750
ServiceMaster Global Holdings, Inc. * 4,256 166,793
Six Flags Entertainment Corp. 2,449 106,482
Starbucks Corp. 37,299 3,186,454
Texas Roadhouse, Inc. 2,040 118,116
The Wendy’s Co. 5,675 121,672
Vail Resorts, Inc. 1,248 302,852
Wyndham Destinations, Inc. 2,996 145,306
Wyndham Hotels & Resorts, Inc. 3,097 179,409
Wynn Resorts Ltd. 2,988 361,100
Yum! Brands, Inc. 9,454 951,734
    19,112,745
 
Diversified Financials 5.2%
Affiliated Managers Group, Inc. 1,581 134,970
AGNC Investment Corp. 17,240 298,597
Ally Financial, Inc. 12,178 387,748
American Express Co. 21,231 2,550,268
Ameriprise Financial, Inc. 4,044 662,690
Annaly Capital Management, Inc. 45,323 422,864
AXA Equitable Holdings, Inc. 13,785 341,041
Berkshire Hathaway, Inc., Class B * 61,163 13,474,209
BlackRock, Inc. 3,664 1,813,350
Blackstone Mortgage Trust, Inc., Class A 4,170 152,747
Capital One Financial Corp. 14,730 1,473,147
Cboe Global Markets, Inc. 3,516 418,052
Chimera Investment Corp. 6,094 124,135
CME Group, Inc. 11,159 2,262,264
Credit Acceptance Corp. * 427 183,806
Discover Financial Services 9,862 836,988
E*TRADE Financial Corp. 7,050 312,315
Eaton Vance Corp. 3,561 167,972
Evercore, Inc., Class A 1,231 95,255
FactSet Research Systems, Inc. 1,210 314,176
FirstCash, Inc. 1,332 107,679
Franklin Resources, Inc. 8,804 242,022
Green Dot Corp., Class A * 1,485 35,284
Interactive Brokers Group, Inc., Class A 2,366 114,562
Intercontinental Exchange, Inc. 17,495 1,647,504
Invesco Ltd. 12,029 211,229
Janus Henderson Group plc 5,033 127,838
Jefferies Financial Group, Inc. 7,818 163,396
Lazard Ltd., Class A 3,517 135,897
LPL Financial Holdings, Inc. 2,565 236,878
MarketAxess Holdings, Inc. 1,183 477,719
Moody’s Corp. 5,082 1,151,937
Morgan Stanley 39,224 1,940,804
Morningstar, Inc. 640 100,544
MSCI, Inc. 2,634 682,706
Nasdaq, Inc. 3,633 380,738
New Residential Investment Corp. 12,762 197,811
Northern Trust Corp. 6,721 720,760
OneMain Holdings, Inc. 2,410 103,847
Raymond James Financial, Inc. 3,854 346,166
S&P Global, Inc. 7,681 2,032,777
Santander Consumer USA Holdings, Inc. 3,284 77,338
SEI Investments Co. 3,939 254,184
SLM Corp. 13,061 111,410
Starwood Property Trust, Inc. 8,769 214,841
State Street Corp. 11,688 877,769
Stifel Financial Corp. 2,164 135,293
Synchrony Financial 19,102 714,606
T. Rowe Price Group, Inc. 7,361 909,525
TD Ameritrade Holding Corp. 8,396 435,165
The Bank of New York Mellon Corp. 26,668 1,305,932
The Charles Schwab Corp. (a) 36,126 1,788,237
The Goldman Sachs Group, Inc. 10,109 2,237,627
Security Number
of Shares
Value ($)
Two Harbors Investment Corp. 8,342 121,293
Voya Financial, Inc. 4,375 254,975
    47,022,887
 
Energy 3.9%
Antero Resources Corp. * 6,697 13,327
Apache Corp. 11,654 259,651
Baker Hughes Co. 20,177 452,368
Cabot Oil & Gas Corp. 13,301 212,018
Centennial Resource Development, Inc., Class A * 5,631 17,400
Cheniere Energy, Inc. * 7,295 441,639
Chevron Corp. 59,215 6,935,853
Cimarex Energy Co. 3,177 146,047
Concho Resources, Inc. 6,273 455,169
ConocoPhillips 34,649 2,076,861
Continental Resources, Inc. 2,860 88,317
CVR Energy, Inc. 1,039 45,082
Devon Energy Corp. 12,618 276,208
Diamondback Energy, Inc. 5,087 393,429
EOG Resources, Inc. 18,018 1,277,476
EQT Corp. 7,925 69,185
Equitrans Midstream Corp. 6,673 66,530
Exxon Mobil Corp. 131,958 8,990,299
Halliburton Co. 27,301 573,048
Helmerich & Payne, Inc. 3,346 132,267
Hess Corp. 8,076 501,439
HollyFrontier Corp. 4,727 243,677
Kinder Morgan, Inc. 60,663 1,189,601
Marathon Oil Corp. 25,103 292,450
Marathon Petroleum Corp. 20,558 1,246,637
Murphy Oil Corp. 4,747 109,228
National Oilwell Varco, Inc. 12,017 270,983
Noble Energy, Inc. 14,931 309,968
Occidental Petroleum Corp. 27,794 1,072,015
ONEOK, Inc. 12,820 910,861
Parsley Energy, Inc., Class A 8,773 131,420
PBF Energy, Inc., Class A 3,182 99,597
Peabody Energy Corp. 2,252 21,799
Phillips 66 13,999 1,605,965
Pioneer Natural Resources Co. 5,178 661,956
Schlumberger Ltd. 43,245 1,565,469
Targa Resources Corp. 7,278 265,865
TechnipFMC plc 12,955 244,072
The Williams Cos., Inc. 37,631 854,976
Transocean Ltd. * 17,906 89,172
Valero Energy Corp. 12,943 1,235,927
WPX Energy, Inc. * 13,247 130,351
    35,975,602
 
Food & Staples Retailing 1.5%
BJ’s Wholesale Club Holdings, Inc. * 3,773 89,420
Casey’s General Stores, Inc. 1,136 197,403
Costco Wholesale Corp. 13,707 4,109,495
Performance Food Group Co. * 3,399 159,957
Sysco Corp. 16,045 1,292,425
The Kroger Co. 24,732 676,173
US Foods Holding Corp. * 6,849 272,385
Walgreens Boots Alliance, Inc. 23,715 1,413,414
Walmart, Inc. 44,361 5,282,951
    13,493,623
 
Food, Beverage & Tobacco 3.5%
Altria Group, Inc. 58,278 2,896,417
Archer-Daniels-Midland Co. 17,256 740,800
Brown-Forman Corp., Class B 5,680 385,218
 
24

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Bunge Ltd. 4,479 239,089
Campbell Soup Co. 5,254 244,679
Conagra Brands, Inc. 15,034 434,032
Constellation Brands, Inc., Class A 5,200 967,512
Darling Ingredients, Inc. * 5,064 120,523
Flowers Foods, Inc. 5,846 125,864
General Mills, Inc. 18,890 1,007,215
Hormel Foods Corp. 8,663 385,763
Ingredion, Inc. 2,039 169,584
Kellogg Co. 7,753 504,875
Keurig Dr Pepper, Inc. 8,350 258,349
Lamb Weston Holdings, Inc. 4,600 386,308
Lancaster Colony Corp. 606 95,766
McCormick & Co., Inc. Non-Voting Shares 3,847 651,105
Molson Coors Brewing Co., Class B 5,824 293,995
Mondelez International, Inc., Class A 45,044 2,366,612
Monster Beverage Corp. * 12,113 724,600
National Beverage Corp. * 365 18,119
PepsiCo, Inc. 43,616 5,924,361
Philip Morris International, Inc. 48,561 4,027,164
Pilgrim’s Pride Corp. * 1,661 52,321
Post Holdings, Inc. * 2,122 224,083
Seaboard Corp. 8 32,892
The Coca-Cola Co. 120,068 6,411,631
The Hershey Co. 4,656 689,833
The J.M. Smucker Co. 3,556 373,700
The Kraft Heinz Co. 19,383 591,181
TreeHouse Foods, Inc. * 1,693 82,771
Tyson Foods, Inc., Class A 9,212 828,067
    32,254,429
 
Health Care Equipment & Services 6.4%
Abbott Laboratories 55,151 4,712,653
ABIOMED, Inc. * 1,413 277,202
Align Technology, Inc. * 2,262 627,343
Amedisys, Inc. * 993 161,819
AmerisourceBergen Corp. 4,740 416,693
Anthem, Inc. 7,976 2,302,352
Baxter International, Inc. 15,955 1,307,831
Becton Dickinson & Co. 8,415 2,175,278
Boston Scientific Corp. * 43,442 1,878,867
Cantel Medical Corp. 1,147 88,204
Cardinal Health, Inc. 9,385 516,457
Centene Corp. * 12,937 782,300
Cerner Corp. 9,913 709,672
Chemed Corp. 503 216,300
Cigna Corp. * 11,775 2,354,058
Covetrus, Inc. * 3,179 45,492
CVS Health Corp. 40,529 3,050,618
Danaher Corp. 19,942 2,911,133
DaVita, Inc. * 2,827 202,894
DENTSPLY SIRONA, Inc. 6,991 395,271
DexCom, Inc. * 2,866 651,470
Edwards Lifesciences Corp. * 6,482 1,587,701
Encompass Health Corp. 3,050 215,666
Globus Medical, Inc., Class A * 2,394 133,944
Haemonetics Corp. * 1,579 190,427
HCA Healthcare, Inc. 8,283 1,148,521
HealthEquity, Inc. * 2,281 143,452
Henry Schein, Inc. * 4,625 318,663
Hill-Rom Holdings, Inc. 2,091 224,176
Hologic, Inc. * 8,304 426,161
Humana, Inc. 4,220 1,439,991
ICU Medical, Inc. * 601 112,676
IDEXX Laboratories, Inc. * 2,691 677,002
Insulet Corp. * 1,872 347,630
Integra LifeSciences Holdings Corp. * 2,217 135,215
Intuitive Surgical, Inc. * 3,593 2,130,290
Security Number
of Shares
Value ($)
Laboratory Corp. of America Holdings * 3,050 525,485
LHC Group, Inc. * 953 127,130
LivaNova plc * 1,483 124,216
Masimo Corp. * 1,515 234,931
McKesson Corp. 5,772 834,862
MEDNAX, Inc. * 2,661 69,505
Medtronic plc 41,855 4,662,228
Molina Healthcare, Inc. * 1,933 261,922
Penumbra, Inc. * 1,022 180,812
Quest Diagnostics, Inc. 4,204 447,936
ResMed, Inc. 4,490 671,704
STERIS plc 2,637 398,556
Stryker Corp. 9,996 2,047,781
Teladoc Health, Inc. * 2,203 184,479
Teleflex, Inc. 1,428 504,570
The Cooper Cos., Inc. 1,537 481,219
UnitedHealth Group, Inc. 29,553 8,270,998
Universal Health Services, Inc., Class B 2,505 349,422
Varian Medical Systems, Inc. * 2,836 379,258
Veeva Systems, Inc., Class A * 4,047 603,731
WellCare Health Plans, Inc. * 1,566 504,362
West Pharmaceutical Services, Inc. 2,295 337,434
Wright Medical Group N.V. * 3,909 116,371
Zimmer Biomet Holdings, Inc. 6,366 924,853
    58,259,187
 
Household & Personal Products 1.7%
Church & Dwight Co., Inc. 7,710 541,550
Colgate-Palmolive Co. 26,771 1,815,609
Coty, Inc., Class A 9,315 107,495
Herbalife Nutrition Ltd. * 2,973 135,599
Kimberly-Clark Corp. 10,699 1,458,702
Nu Skin Enterprises, Inc., Class A 1,727 66,040
The Clorox Co. 3,933 582,989
The Estee Lauder Cos., Inc., Class A 6,903 1,349,329
The Procter & Gamble Co. 78,060 9,528,004
    15,585,317
 
Insurance 2.6%
Aflac, Inc. 23,166 1,270,423
Alleghany Corp. * 443 345,558
American Financial Group, Inc. 2,317 254,198
American International Group, Inc. 27,164 1,430,456
American National Insurance Co. 296 34,928
Aon plc 7,367 1,499,995
Arch Capital Group Ltd. * 12,525 525,674
Arthur J. Gallagher & Co. 5,769 538,075
Assurant, Inc. 1,892 251,390
Assured Guaranty Ltd. 3,014 149,645
Athene Holding Ltd., Class A * 3,787 170,491
Axis Capital Holdings Ltd. 2,678 158,484
Brighthouse Financial, Inc. * 3,467 142,702
Brown & Brown, Inc. 7,291 275,162
Chubb Ltd. 14,224 2,154,651
Cincinnati Financial Corp. 4,739 507,310
CNA Financial Corp. 849 37,967
Erie Indemnity Co., Class A 567 95,993
Everest Re Group Ltd. 1,269 344,229
Fidelity National Financial, Inc. 8,578 408,570
First American Financial Corp. 3,575 227,441
Globe Life, Inc. 3,106 319,173
Kemper Corp. 1,960 144,883
Lincoln National Corp. 6,312 372,724
Loews Corp. 8,114 413,003
Markel Corp. * 431 489,422
Marsh & McLennan Cos., Inc. 15,818 1,709,451
MetLife, Inc. 24,725 1,234,025
 
25

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Old Republic International Corp. 8,871 200,130
Primerica, Inc. 1,291 172,787
Principal Financial Group, Inc. 8,057 443,941
Prudential Financial, Inc. 12,565 1,176,335
Reinsurance Group of America, Inc. 1,954 323,309
RenaissanceRe Holdings Ltd. 1,375 258,954
Selective Insurance Group, Inc. 1,823 120,719
The Allstate Corp. 10,225 1,138,554
The Hanover Insurance Group, Inc. 1,242 168,825
The Hartford Financial Services Group, Inc. 11,350 702,111
The Progressive Corp. 18,251 1,333,236
The Travelers Cos., Inc. 8,139 1,112,764
Unum Group 6,495 199,656
W.R. Berkley Corp. 4,516 307,088
Willis Towers Watson plc 4,031 791,850
    23,956,282
 
Materials 2.8%
Air Products & Chemicals, Inc. 6,874 1,624,532
Albemarle Corp. 3,307 216,212
Alcoa Corp. * 5,706 116,117
Amcor plc * 50,251 515,575
AptarGroup, Inc. 2,000 224,240
Ashland Global Holdings, Inc. 1,865 133,721
Avery Dennison Corp. 2,599 338,832
Axalta Coating Systems Ltd. * 6,455 183,774
Ball Corp. 10,445 689,997
Berry Global Group, Inc. * 4,148 193,670
Celanese Corp., Series A 3,883 487,588
CF Industries Holdings, Inc. 6,753 312,056
Corteva, Inc. * 23,233 604,523
Crown Holdings, Inc. * 4,240 321,816
Dow, Inc. * 23,090 1,232,313
DuPont de Nemours, Inc. 23,285 1,509,101
Eastman Chemical Co. 4,267 334,405
Ecolab, Inc. 7,821 1,459,946
Element Solutions, Inc. * 7,190 84,051
FMC Corp. 4,034 395,171
Freeport-McMoRan, Inc. 45,226 514,672
Graphic Packaging Holding Co. 9,086 147,829
Huntsman Corp. 6,275 141,940
Ingevity Corp. * 1,286 116,139
International Flavors & Fragrances, Inc. 3,326 469,731
International Paper Co. 12,231 566,785
Linde plc 16,871 3,478,969
Livent Corp. * 4,486 34,991
Louisiana-Pacific Corp. 3,755 111,373
LyondellBasell Industries N.V., Class A 8,088 748,464
Martin Marietta Materials, Inc. 1,958 525,527
NewMarket Corp. 226 111,637
Newmont Goldcorp Corp. 25,551 981,158
Nucor Corp. 9,442 532,151
Olin Corp. 5,062 88,686
Packaging Corp. of America 2,916 326,300
PPG Industries, Inc. 7,367 949,164
Reliance Steel & Aluminum Co. 2,118 249,882
Royal Gold, Inc. 2,048 240,169
RPM International, Inc. 4,056 299,049
Sealed Air Corp. 4,957 187,028
Sonoco Products Co. 3,132 189,580
Steel Dynamics, Inc. 6,901 232,771
The Chemours Co. 5,191 81,966
The Mosaic Co. 11,026 210,045
The Scotts Miracle-Gro Co. 1,248 126,148
The Sherwin-Williams Co. 2,562 1,493,979
United States Steel Corp. 5,319 69,785
Valvoline, Inc. 5,910 133,861
Vulcan Materials Co. 4,101 581,809
Security Number
of Shares
Value ($)
W.R. Grace & Co. 1,737 116,084
Westlake Chemical Corp. 1,097 75,342
Westrock Co. 8,052 324,737
    25,435,391
 
Media & Entertainment 7.9%
Activision Blizzard, Inc. 23,970 1,314,275
Alphabet, Inc., Class A * 9,341 12,181,505
Alphabet, Inc., Class C * 9,424 12,297,943
Altice USA, Inc., Class A * 9,639 246,566
Cable One, Inc. 154 236,390
Cargurus, Inc. * 2,208 88,519
CBS Corp., Class B Non-Voting Shares 10,211 412,320
Charter Communications, Inc., Class A * 5,036 2,366,970
Cinemark Holdings, Inc. 3,475 117,698
Comcast Corp., Class A 141,559 6,249,830
Discovery, Inc., Class A * 4,935 162,559
Discovery, Inc., Class C * 10,824 330,348
DISH Network Corp., Class A * 7,512 256,685
Electronic Arts, Inc. * 9,153 924,544
Facebook, Inc., Class A * 75,043 15,131,670
Fox Corp., Class A 11,016 393,932
Fox Corp., Class B 5,043 176,404
IAC/InterActiveCorp * 2,248 500,630
Liberty Broadband Corp., Class C * 4,748 567,338
Liberty Global plc, Class A * 5,108 115,185
Liberty Global plc, Class C * 12,818 275,587
Liberty Media Corp. — Liberty Formula One, Class C * 6,270 282,714
Liberty Media Corp. — Liberty SiriusXM, Class A * 2,542 123,795
Liberty Media Corp. — Liberty SiriusXM, Class C * 4,780 231,878
Live Nation Entertainment, Inc. * 4,348 303,534
Netflix, Inc. * 13,666 4,300,144
News Corp., Class A 11,820 152,242
Nexstar Media Group, Inc., Class A 1,407 151,548
Omnicom Group, Inc. 6,745 536,093
Sirius XM Holdings, Inc. 43,071 300,636
Snap, Inc., Class A * 24,064 366,976
Take-Two Interactive Software, Inc. * 3,517 426,788
The Interpublic Group of Cos., Inc. 11,949 267,658
The Madison Square Garden Co., Class A * 522 147,089
The New York Times Co., Class A 4,381 141,287
The Walt Disney Co. 56,181 8,515,916
TripAdvisor, Inc. 3,248 92,243
Twitter, Inc. * 24,172 747,156
Viacom, Inc., Class B 11,255 270,908
World Wrestling Entertainment, Inc., Class A 1,480 91,790
Zillow Group, Inc., Class C * 3,951 154,682
Zynga, Inc., Class A * 29,404 183,187
    72,135,162
 
Pharmaceuticals, Biotechnology & Life Sciences 7.4%
AbbVie, Inc. 46,136 4,047,511
Agilent Technologies, Inc. 9,683 782,096
Agios Pharmaceuticals, Inc. * 1,748 67,997
Alexion Pharmaceuticals, Inc. * 7,037 801,796
Alkermes plc * 4,799 100,875
Allergan plc 10,230 1,891,936
Alnylam Pharmaceuticals, Inc. * 3,463 405,656
Amgen, Inc. 18,712 4,392,081
Bio-Rad Laboratories, Inc., Class A * 669 247,115
Bio-Techne Corp. 1,190 259,718
Biogen, Inc. * 5,752 1,724,507
BioMarin Pharmaceutical, Inc. * 5,655 456,415
Bluebird Bio, Inc. * 1,719 139,136
 
26

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Bristol-Myers Squibb Co. 73,060 4,160,036
Bruker Corp. 3,110 159,201
Catalent, Inc. * 4,570 237,594
Charles River Laboratories International, Inc. * 1,511 219,473
Eli Lilly & Co. 26,481 3,107,545
Emergent BioSolutions, Inc. * 1,367 74,994
Exact Sciences Corp. * 4,325 350,368
Exelixis, Inc. * 9,461 157,336
FibroGen, Inc. * 2,455 104,018
Gilead Sciences, Inc. 39,487 2,655,106
Horizon Therapeutics plc * 5,857 191,992
Illumina, Inc. * 4,584 1,470,364
Immunomedics, Inc. * 5,231 98,238
Incyte Corp. * 5,576 525,036
Intercept Pharmaceuticals, Inc. * 770 83,445
Ionis Pharmaceuticals, Inc. * 3,983 254,753
IQVIA Holdings, Inc. * 5,648 824,495
Jazz Pharmaceuticals plc * 1,788 270,203
Johnson & Johnson 82,320 11,318,177
Merck & Co., Inc. 79,854 6,961,672
Mettler-Toledo International, Inc. * 765 550,349
Mylan N.V. * 16,146 303,222
Nektar Therapeutics * 5,469 110,966
Neurocrine Biosciences, Inc. * 2,854 332,805
PerkinElmer, Inc. 3,466 321,991
Perrigo Co., plc 4,243 217,369
Pfizer, Inc. 172,569 6,647,358
PRA Health Sciences, Inc. * 1,956 212,832
Regeneron Pharmaceuticals, Inc. * 2,495 920,655
Sage Therapeutics, Inc. * 1,614 249,799
Sarepta Therapeutics, Inc. * 2,200 247,478
Seattle Genetics, Inc. * 3,522 423,873
Syneos Health, Inc. * 1,893 103,945
Thermo Fisher Scientific, Inc. 12,495 3,922,805
United Therapeutics Corp. * 1,332 122,890
Vertex Pharmaceuticals, Inc. * 8,019 1,778,213
Waters Corp. * 2,079 461,684
Zoetis, Inc. 14,897 1,795,386
    67,264,505
 
Real Estate 3.8%
Alexandria Real Estate Equities, Inc. 3,560 578,571
American Campus Communities, Inc. 4,278 205,515
American Homes 4 Rent, Class A 7,928 211,757
American Tower Corp. 13,792 2,951,902
Americold Realty Trust 5,903 222,071
Apartment Investment & Management Co., Class A 4,597 247,181
Apple Hospitality REIT, Inc. 6,501 105,706
AvalonBay Communities, Inc. 4,388 940,831
Boston Properties, Inc. 4,480 620,659
Brixmor Property Group, Inc. 9,185 201,519
Camden Property Trust 3,009 335,654
CBRE Group, Inc., Class A * 10,495 598,425
CoreSite Realty Corp. 1,117 126,657
Cousins Properties, Inc. 4,676 189,331
Crown Castle International Corp. 12,970 1,733,570
CubeSmart 5,995 184,886
CyrusOne, Inc. 3,517 219,109
Digital Realty Trust, Inc. 6,522 788,836
Douglas Emmett, Inc. 5,123 225,771
Duke Realty Corp. 11,308 397,815
EastGroup Properties, Inc. 1,145 155,938
EPR Properties 2,482 176,023
Equinix, Inc. 2,647 1,500,452
Equity Commonwealth 3,849 126,440
Equity LifeStyle Properties, Inc. 5,686 421,219
Equity Residential 10,933 930,398
Security Number
of Shares
Value ($)
Essex Property Trust, Inc. 2,034 634,974
Extra Space Storage, Inc. 3,976 421,655
Federal Realty Investment Trust 2,166 286,064
First Industrial Realty Trust, Inc. 3,887 165,508
Gaming & Leisure Properties, Inc. 6,324 266,873
Healthcare Realty Trust, Inc. 4,068 135,017
Healthcare Trust of America, Inc., Class A 6,318 191,751
Healthpeak Properties, Inc. 15,322 534,431
Highwoods Properties, Inc. 3,273 158,904
Host Hotels & Resorts, Inc. 22,777 398,370
Hudson Pacific Properties, Inc. 4,777 171,017
Invitation Homes, Inc. 16,769 511,958
Iron Mountain, Inc. 9,075 291,489
JBG SMITH Properties 3,673 146,479
Jones Lang LaSalle, Inc. 1,589 264,298
Kilroy Realty Corp. 2,886 240,231
Kimco Realty Corp. 13,342 288,454
Lamar Advertising Co., Class A 2,652 221,256
Liberty Property Trust 4,910 302,554
Life Storage, Inc. 1,460 159,899
Medical Properties Trust, Inc. 15,464 321,033
Mid-America Apartment Communities, Inc. 3,558 484,279
National Health Investors, Inc. 1,372 111,118
National Retail Properties, Inc. 5,349 298,153
Omega Healthcare Investors, Inc. 6,766 284,375
Paramount Group, Inc. 6,134 83,361
Park Hotels & Resorts, Inc. 7,472 176,713
Pebblebrook Hotel Trust 4,116 107,839
Prologis, Inc. 19,720 1,805,366
PS Business Parks, Inc. 620 109,486
Public Storage 4,692 988,511
Rayonier, Inc. 4,040 123,745
Realty Income Corp. 9,860 755,572
Regency Centers Corp. 5,235 340,484
Ryman Hospitality Properties, Inc. 1,652 147,408
Sabra Health Care REIT, Inc. 5,800 129,224
SBA Communications Corp. 3,516 831,428
Service Properties Trust 5,053 117,684
Simon Property Group, Inc. 9,582 1,448,894
SL Green Realty Corp. 2,542 216,909
Spirit Realty Capital, Inc. 3,110 162,964
STORE Capital Corp. 6,543 266,366
Sun Communities, Inc. 2,825 465,306
Sunstone Hotel Investors, Inc. 7,146 100,044
The Howard Hughes Corp. * 1,344 148,391
The Macerich Co. 3,435 92,505
UDR, Inc. 9,133 438,841
Uniti Group, Inc. 6,136 41,234
Ventas, Inc. 11,555 673,772
VEREIT, Inc. 32,802 320,147
VICI Properties, Inc. 14,370 355,370
Vornado Realty Trust 4,928 318,201
Weingarten Realty Investors 3,696 117,681
Welltower, Inc. 12,670 1,071,502
Weyerhaeuser Co. 23,338 688,704
WP Carey, Inc. 5,364 447,465
    34,777,493
 
Retailing 5.9%
Advance Auto Parts, Inc. 2,223 349,189
Amazon.com, Inc. * 12,959 23,336,567
American Eagle Outfitters, Inc. 5,293 79,236
AutoNation, Inc. * 1,918 97,991
AutoZone, Inc. * 766 902,287
Best Buy Co., Inc. 7,231 583,108
Booking Holdings, Inc. * 1,324 2,520,936
Burlington Stores, Inc. * 2,044 459,900
CarMax, Inc. * 5,135 499,430
 
27

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Dollar General Corp. 8,033 1,264,073
Dollar Tree, Inc. * 7,374 674,426
eBay, Inc. 24,677 876,527
Etsy, Inc. * 3,720 161,411
Expedia Group, Inc. 4,344 441,611
Five Below, Inc. * 1,782 220,451
Foot Locker, Inc. 3,422 137,051
Genuine Parts Co. 4,534 473,213
GrubHub, Inc. * 2,875 123,970
Kohl’s Corp. 4,943 232,370
L Brands, Inc. 7,090 135,703
LKQ Corp. * 9,573 337,735
Lowe’s Cos., Inc. 24,069 2,823,534
Macy’s, Inc. 9,449 144,759
Nordstrom, Inc. 3,277 125,083
O'Reilly Automotive, Inc. * 2,392 1,057,934
Ollie’s Bargain Outlet Holdings, Inc. * 1,727 112,946
Penske Automotive Group, Inc. 1,051 53,065
Pool Corp. 1,251 258,269
Qurate Retail, Inc., Series A * 12,120 114,655
Ross Stores, Inc. 11,339 1,317,025
Target Corp. 15,947 1,993,534
The Gap, Inc. 6,611 109,809
The Home Depot, Inc. 34,172 7,535,268
The TJX Cos., Inc. 37,712 2,305,334
Tiffany & Co. 3,363 449,969
Tractor Supply Co. 3,725 351,789
Ulta Salon, Cosmetics & Fragrance, Inc. * 1,837 429,601
Urban Outfitters, Inc. * 2,230 57,222
Wayfair, Inc., Class A * 2,029 172,303
Williams-Sonoma, Inc. 2,447 169,822
    53,489,106
 
Semiconductors & Semiconductor Equipment 4.0%
Advanced Micro Devices, Inc. * 33,904 1,327,342
Analog Devices, Inc. 11,474 1,295,988
Applied Materials, Inc. 28,854 1,670,647
Broadcom, Inc. 12,405 3,922,585
Cree, Inc. * 3,366 148,811
Cypress Semiconductor Corp. 11,425 267,916
Entegris, Inc. 4,197 198,602
First Solar, Inc. * 2,380 131,471
Intel Corp. 138,248 8,025,296
KLA Corp. 4,959 812,582
Lam Research Corp. 4,515 1,204,737
Marvell Technology Group Ltd. 20,628 543,960
Maxim Integrated Products, Inc. 8,512 482,375
Microchip Technology, Inc. 7,450 704,323
Micron Technology, Inc. * 34,463 1,637,337
MKS Instruments, Inc. 1,697 180,357
Monolithic Power Systems, Inc. 1,264 203,100
NVIDIA Corp. 18,979 4,113,509
ON Semiconductor Corp. * 12,623 271,016
Qorvo, Inc. * 3,674 382,868
QUALCOMM, Inc. 35,593 2,973,795
Semtech Corp. * 2,045 99,101
Silicon Laboratories, Inc. * 1,350 143,006
Skyworks Solutions, Inc. 5,348 525,708
Teradyne, Inc. 5,258 329,098
Texas Instruments, Inc. 29,092 3,497,149
Universal Display Corp. 1,353 262,780
Xilinx, Inc. 7,844 727,766
    36,083,225
 
Security Number
of Shares
Value ($)
Software & Services 12.7%
Accenture plc, Class A 19,885 4,000,067
ACI Worldwide, Inc. * 3,765 141,187
Adobe, Inc. * 15,148 4,688,760
Akamai Technologies, Inc. * 5,146 448,320
Alliance Data Systems Corp. 1,278 136,631
Amdocs Ltd. 4,216 292,169
ANSYS, Inc. * 2,599 661,939
Aspen Technology, Inc. * 2,143 268,732
Autodesk, Inc. * 6,859 1,240,793
Automatic Data Processing, Inc. 13,522 2,309,287
Black Knight, Inc. * 4,663 293,816
Blackbaud, Inc. 1,506 124,817
Booz Allen Hamilton Holding Corp. 4,353 316,724
Broadridge Financial Solutions, Inc. 3,564 440,902
CACI International, Inc., Class A * 789 188,823
Cadence Design Systems, Inc. * 8,727 613,072
CDK Global, Inc. 3,784 202,633
Cerence, Inc. * 1,115 17,349
Ceridian HCM Holding, Inc. * 3,088 186,392
Citrix Systems, Inc. 3,802 428,904
Cognizant Technology Solutions Corp., Class A 17,273 1,107,372
Coupa Software, Inc. * 1,926 295,622
DocuSign, Inc. * 3,848 274,016
Dropbox, Inc., Class A * 6,680 123,513
DXC Technology Co. 8,126 303,344
EPAM Systems, Inc. * 1,704 360,992
Euronet Worldwide, Inc. * 1,693 266,123
Fair Isaac Corp. * 909 334,285
Fidelity National Information Services, Inc. 19,112 2,640,323
FireEye, Inc. * 6,616 110,884
Fiserv, Inc. * 17,803 2,069,421
FleetCor Technologies, Inc. * 2,706 830,526
Fortinet, Inc. * 4,411 463,640
Gartner, Inc. * 2,790 447,683
Genpact Ltd. 4,814 195,930
Global Payments, Inc. 9,350 1,693,285
GoDaddy, Inc., Class A * 5,473 363,298
Guidewire Software, Inc. * 2,538 309,205
HubSpot, Inc. * 1,246 188,146
International Business Machines Corp. 27,645 3,716,870
Intuit, Inc. 8,099 2,096,750
j2 Global, Inc. 1,436 139,321
Jack Henry & Associates, Inc. 2,388 362,833
Leidos Holdings, Inc. 4,185 380,165
LogMeIn, Inc. 1,557 121,415
Mastercard, Inc., Class A 27,856 8,140,359
MAXIMUS, Inc. 1,960 146,314
Microsoft Corp. 238,172 36,054,477
New Relic, Inc. * 1,561 106,179
NortonLifeLock, Inc. 17,752 442,025
Nuance Communications, Inc. * 8,979 160,993
Nutanix, Inc., Class A * 4,688 175,097
Okta, Inc. * 3,322 431,129
Oracle Corp. 68,704 3,857,043
Palo Alto Networks, Inc. * 3,015 685,068
Paychex, Inc. 9,961 857,841
Paycom Software, Inc. * 1,523 421,582
Paylocity Holding Corp. * 1,103 134,919
PayPal Holdings, Inc. * 36,720 3,966,127
Pegasystems, Inc. 1,205 93,532
Proofpoint, Inc. * 1,739 206,402
PTC, Inc. * 3,299 252,703
RealPage, Inc. * 2,486 136,805
RingCentral, Inc., Class A * 2,233 385,126
Sabre Corp. 8,756 196,397
salesforce.com, Inc. * 27,366 4,457,648
Science Applications International Corp. 1,526 130,244
 
28

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
ServiceNow, Inc. * 5,842 1,653,520
Splunk, Inc. * 4,669 696,708
Square, Inc., Class A * 10,714 740,552
SS&C Technologies Holdings, Inc. 6,890 413,744
Synopsys, Inc. * 4,651 655,977
Teradata Corp. * 3,504 93,066
The Trade Desk, Inc., Class A * 1,218 320,748
The Western Union Co. 13,253 356,241
Twilio, Inc., Class A * 3,791 391,534
Tyler Technologies, Inc. * 1,205 349,655
VeriSign, Inc. * 3,247 619,333
Visa, Inc., Class A 53,876 9,940,661
VMware, Inc., Class A 2,454 381,891
WEX, Inc. * 1,345 270,520
Workday, Inc., Class A * 5,037 902,227
Zendesk, Inc. * 3,463 273,577
Zscaler, Inc. * 1,998 104,156
    115,798,399
 
Technology Hardware & Equipment 5.9%
Amphenol Corp., Class A 9,257 962,728
Apple, Inc. 132,506 35,412,229
Arista Networks, Inc. * 1,691 329,965
Arrow Electronics, Inc. * 2,542 202,445
Avnet, Inc. 3,221 130,934
CDW Corp. 4,499 607,590
Ciena Corp. * 4,838 183,650
Cisco Systems, Inc. 132,369 5,997,639
Cognex Corp. 5,331 267,510
CommScope Holding Co., Inc. * 6,033 82,049
Corning, Inc. 24,483 710,986
Dell Technologies, Inc., Class C * 4,876 236,437
Dolby Laboratories, Inc., Class A 2,058 141,755
F5 Networks, Inc. * 1,847 269,126
FLIR Systems, Inc. 4,237 226,934
Hewlett Packard Enterprise Co. 40,764 645,294
HP, Inc. 46,399 931,692
IPG Photonics Corp. * 1,104 156,867
Jabil, Inc. 4,362 169,420
Juniper Networks, Inc. 10,934 274,006
Keysight Technologies, Inc. * 5,838 624,841
Littelfuse, Inc. 761 138,053
Lumentum Holdings, Inc. * 2,384 175,605
Motorola Solutions, Inc. 5,171 865,108
National Instruments Corp. 3,696 155,676
NetApp, Inc. 7,423 449,760
Pure Storage, Inc., Class A * 6,950 111,687
Seagate Technology plc 7,402 441,751
SYNNEX Corp. 1,266 155,477
TE Connectivity Ltd. 10,445 968,356
Tech Data Corp. * 1,118 161,987
Trimble, Inc. * 7,931 321,443
Ubiquiti, Inc. 401 79,077
ViaSat, Inc. * 1,868 137,298
Western Digital Corp. 9,235 464,798
Xerox Holdings Corp. * 5,936 231,089
Zebra Technologies Corp., Class A * 1,683 422,332
    53,843,594
 
Telecommunication Services 2.0%
AT&T, Inc. 227,961 8,521,182
CenturyLink, Inc. 30,713 445,031
GCI Liberty, Inc., Class A * 2,934 208,285
Intelsat S.A. * 2,063 12,543
Sprint Corp. * 19,194 113,629
T-Mobile US, Inc. * 9,843 773,168
Telephone & Data Systems, Inc. 3,061 72,576
Security Number
of Shares
Value ($)
Verizon Communications, Inc. 129,070 7,775,177
Zayo Group Holdings, Inc. * 7,372 252,417
    18,174,008
 
Transportation 1.9%
Alaska Air Group, Inc. 3,801 262,307
AMERCO 250 90,555
American Airlines Group, Inc. 12,546 360,572
C.H. Robinson Worldwide, Inc. 4,200 322,770
CSX Corp. 24,902 1,781,489
Delta Air Lines, Inc. 17,977 1,030,262
Expeditors International of Washington, Inc. 5,319 397,648
FedEx Corp. 7,489 1,198,614
Genesee & Wyoming, Inc., Class A * 1,773 197,601
J.B. Hunt Transport Services, Inc. 2,663 307,896
JetBlue Airways Corp. * 9,255 178,344
Kansas City Southern 3,138 478,294
Kirby Corp. * 1,872 157,941
Knight-Swift Transportation Holdings, Inc. 3,839 142,005
Landstar System, Inc. 1,216 135,475
Macquarie Infrastructure Corp. 2,407 100,974
Norfolk Southern Corp. 8,233 1,593,086
Old Dominion Freight Line, Inc. 1,994 382,030
Southwest Airlines Co. 15,157 873,649
Spirit Airlines, Inc. * 2,081 81,305
Union Pacific Corp. 21,959 3,864,564
United Airlines Holdings, Inc. * 6,883 638,742
United Parcel Service, Inc., Class B 21,767 2,606,163
XPO Logistics, Inc. * 2,858 236,328
    17,418,614
 
Utilities 3.3%
AES Corp. 20,656 390,605
ALLETE, Inc. 1,598 128,016
Alliant Energy Corp. 7,418 393,154
Ameren Corp. 7,641 567,956
American Electric Power Co., Inc. 15,352 1,402,405
American Water Works Co., Inc. 5,651 683,941
Aqua America, Inc. 6,733 298,070
Atmos Energy Corp. 3,738 399,816
Avangrid, Inc. 1,773 86,061
Black Hills Corp. 1,907 146,019
CenterPoint Energy, Inc. 15,618 383,578
CMS Energy Corp. 8,788 538,704
Consolidated Edison, Inc. 10,402 903,830
Dominion Energy, Inc. 25,643 2,131,190
DTE Energy Co. 5,696 711,658
Duke Energy Corp. 22,745 2,005,427
Edison International 11,203 774,127
Entergy Corp. 6,161 717,079
Evergy, Inc. 7,338 464,275
Eversource Energy 10,148 838,631
Exelon Corp. 30,360 1,347,984
FirstEnergy Corp. 16,753 798,951
Hawaiian Electric Industries, Inc. 3,336 145,683
IDACORP, Inc. 1,581 166,084
MDU Resources Group, Inc. 6,350 184,404
National Fuel Gas Co. 2,690 121,104
New Jersey Resources Corp. 2,841 120,856
NextEra Energy, Inc. 15,247 3,565,054
NiSource, Inc. 11,682 308,989
NRG Energy, Inc. 7,874 312,834
OGE Energy Corp. 6,185 260,141
ONE Gas, Inc. 1,628 144,680
Pinnacle West Capital Corp. 3,505 306,302
PNM Resources, Inc. 2,474 119,865
Portland General Electric Co. 2,746 152,430
 
29

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
PPL Corp. 22,525 766,526
Public Service Enterprise Group, Inc. 15,708 931,641
Sempra Energy 8,577 1,263,135
Southwest Gas Holdings, Inc. 1,690 128,034
Spire, Inc. 1,576 122,014
The Southern Co. 32,618 2,021,990
UGI Corp. 6,506 283,336
Vistra Energy Corp. 14,117 374,524
WEC Energy Group, Inc. 9,863 874,355
Xcel Energy, Inc. 16,418 1,009,543
    29,795,001
Total Common Stock
(Cost $786,240,975)   909,009,590

Rights 0.0% of net assets
 
Media & Entertainment 0.0%
DISH Network Corp.
expires 12/09/19 *
404 275
Total Rights
(Cost $—)   275

Other Investment Companies 0.1% of net assets
 
Equity Fund 0.0%
iShares Russell 1000 ETF 400 69,756
 
Security Number
of Shares
Value ($)
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 1.59% (b) 846,390 846,390
Total Other Investment Companies
(Cost $915,605)   916,146
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
S&P 500 Index, e-mini, expires 12/20/19 14 2,200,590 19,465
* Non-income producing security.
(a) Issuer is affiliated with the fund’s investment adviser.
(b) The rate shown is the 7-day yield.
   
REIT – Real Estate Investment Trust
 
The fund owns shares of an affiliate, The Charles Schwab Corp., since that company is included in its index. Below is the summary of investment activities involving The Charles Schwab Corp. shares owned by the fund during the period ended November 30, 2019:
  Market
Value at
8/31/19
Gross
Purchases
Gross
Sales
Realized
Gains(Losses)
Net change
in unrealized
appreciation
(depreciation)
Market

Value at
11/30/19
Balance
of Shares
Held at
11/30/19
Dividends
Received
The Charles Schwab Corp. $1,387,479 $39,276 ($43,773) ($8,858) $414,113 $1,788,237 36,126 $6,052
    

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2019:
Description Quoted Prices in
Active Markets for
Identical Assets
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable Inputs
(Level 3)
Total  
Assets          
Common Stock1 $909,009,590 $— $— $909,009,590  
Rights1 275 275  
Other Investment Companies1 916,146 916,146  
Futures Contracts2 19,465 19,465  
Total $909,945,476 $— $— $909,945,476  
1 As categorized in Portfolio Holdings.
2 Futures contracts are valued at unrealized appreciation or depreciation.
Fund investments in underlying mutual funds and ETFs are classified as Level 1, without consideration to the classification level of the investments held by the underlying mutual funds and ETFs, which could be Level 1, Level 2 or Level 3.
30

 

Schwab Strategic Trust
Schwab U.S. Large-Cap ETF

Portfolio Holdings as of November 30, 2019 (Unaudited)
The following are the portfolio holdings as of the report date. For more information, please refer to the fund’s semiannual or annual shareholder reports.    
 
Security Number
of Shares
Value ($)
Common Stock 99.7% of net assets
 
Automobiles & Components 0.7%
Aptiv plc 173,527 16,290,715
Autoliv, Inc. 53,278 4,353,878
BorgWarner, Inc. 140,452 5,906,006
Ford Motor Co. 2,656,219 24,065,344
General Motors Co. 851,514 30,654,504
Gentex Corp. 172,662 4,903,601
Harley-Davidson, Inc. 106,399 3,870,796
Lear Corp. 37,675 4,532,679
Tesla, Inc. * 95,866 31,630,028
    126,207,551
 
Banks 5.4%
Bank of America Corp. 5,678,704 189,214,417
BB&T Corp. 518,778 28,387,532
BOK Financial Corp. 21,216 1,768,141
Citigroup, Inc. 1,531,220 115,025,246
Citizens Financial Group, Inc. 303,311 11,665,341
Comerica, Inc. 101,436 7,142,109
Commerce Bancshares, Inc. 66,955 4,487,994
Cullen/Frost Bankers, Inc. 38,831 3,633,028
East West Bancorp, Inc. 99,083 4,539,983
Fifth Third Bancorp 493,143 14,887,987
First Republic Bank 114,323 12,564,098
Huntington Bancshares, Inc. 704,284 10,486,789
JPMorgan Chase & Co. 2,167,352 285,570,300
KeyCorp 680,735 13,199,452
M&T Bank Corp. 90,654 14,934,340
New York Community Bancorp, Inc. 317,611 3,785,923
People's United Financial, Inc. 299,858 4,947,657
Regions Financial Corp. 677,313 11,270,488
Signature Bank 36,700 4,527,312
SunTrust Banks, Inc. 300,801 21,308,743
SVB Financial Group * 34,994 8,109,160
The PNC Financial Services Group, Inc. 302,065 46,279,379
U.S. Bancorp 972,739 58,393,522
Wells Fargo & Co. 2,717,616 148,001,367
Zions Bancorp NA 120,193 5,983,208
    1,030,113,516
 
Capital Goods 6.7%
3M Co. 390,000 66,210,300
A.O. Smith Corp. 93,171 4,509,476
Acuity Brands, Inc. 26,854 3,511,966
AGCO Corp. 42,206 3,297,555
Allegion plc 63,499 7,621,785
Allison Transmission Holdings, Inc. 82,730 4,004,132
AMETEK, Inc. 155,006 15,347,144
Arconic, Inc. 262,666 8,132,139
Carlisle Cos., Inc. 38,093 5,941,746
Caterpillar, Inc. 381,735 55,248,507
Cummins, Inc. 106,854 19,539,322
Security Number
of Shares
Value ($)
Deere & Co. 213,434 35,867,584
Donaldson Co., Inc. 85,910 4,817,833
Dover Corp. 98,755 11,009,207
Eaton Corp. plc 284,497 26,315,973
Emerson Electric Co. 416,552 30,766,531
Fastenal Co. 389,119 13,821,507
Flowserve Corp. 89,782 4,372,383
Fortive Corp. 200,239 14,451,249
Fortune Brands Home & Security, Inc. 94,750 5,993,885
General Dynamics Corp. 158,539 28,812,878
General Electric Co. 5,917,172 66,686,529
Graco, Inc. 113,569 5,486,518
HD Supply Holdings, Inc. * 116,544 4,640,782
HEICO Corp. 27,375 3,555,739
HEICO Corp., Class A 48,829 4,904,385
Hexcel Corp. 57,672 4,592,421
Honeywell International, Inc. 487,744 87,086,691
Hubbell, Inc. 36,970 5,435,329
Huntington Ingalls Industries, Inc. 28,042 7,057,330
IDEX Corp. 51,542 8,387,945
Illinois Tool Works, Inc. 199,469 34,773,431
Ingersoll-Rand plc 163,747 21,468,869
Jacobs Engineering Group, Inc. 91,801 8,453,954
Johnson Controls International plc 539,827 23,120,790
L3Harris Technologies, Inc. 151,372 30,439,396
Lennox International, Inc. 23,794 6,087,695
Lincoln Electric Holdings, Inc. 42,198 3,893,188
Lockheed Martin Corp. 168,512 65,893,247
Masco Corp. 195,911 9,119,657
Nordson Corp. 34,646 5,745,346
Northrop Grumman Corp. 106,572 37,488,833
Owens Corning 73,422 4,923,679
PACCAR, Inc. 234,771 19,103,316
Parker-Hannifin Corp. 87,027 17,300,097
Pentair plc 114,063 5,058,694
Quanta Services, Inc. 97,301 4,051,614
Raytheon Co. 188,559 40,996,498
Rockwell Automation, Inc. 79,330 15,535,987
Roper Technologies, Inc. 70,495 25,404,283
Sensata Technologies Holding plc * 110,036 5,665,754
Snap-on, Inc. 37,451 6,009,388
Spirit AeroSystems Holdings, Inc., Class A 70,373 6,121,747
Stanley Black & Decker, Inc. 102,727 16,204,157
Teledyne Technologies, Inc. * 24,609 8,416,032
Textron, Inc. 156,104 7,218,249
The Boeing Co. 362,378 132,695,576
The Middleby Corp. * 37,616 4,354,428
The Toro Co. 72,538 5,671,021
TransDigm Group, Inc. 33,611 19,060,798
United Rentals, Inc. * 52,323 8,008,035
United Technologies Corp. 550,150 81,609,251
W.W. Grainger, Inc. 29,972 9,499,625
WABCO Holdings, Inc. * 34,769 4,685,123
Westinghouse Air Brake Technologies Corp. 122,822 9,650,125
 
31

 

Schwab U.S. Large-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Woodward, Inc. 38,158 4,456,473
Xylem, Inc. 121,283 9,400,645
    1,285,011,772
 
Commercial & Professional Services 0.9%
Cintas Corp. 56,288 14,469,393
Copart, Inc. * 136,330 12,133,370
CoStar Group, Inc. * 24,798 15,197,702
Equifax, Inc. 82,059 11,458,719
IAA, Inc. * 91,668 4,155,310
IHS Markit Ltd. * 271,762 19,743,509
ManpowerGroup, Inc. 40,427 3,745,157
Nielsen Holdings plc 239,136 4,675,109
Republic Services, Inc. 143,560 12,726,594
Robert Half International, Inc. 78,666 4,578,361
Rollins, Inc. 95,782 3,433,785
Stericycle, Inc. * 61,945 3,891,385
TransUnion 127,775 11,028,260
Verisk Analytics, Inc. 110,818 16,343,439
Waste Management, Inc. 264,572 29,872,825
    167,452,918
 
Consumer Durables & Apparel 1.2%
Capri Holdings Ltd. * 101,552 3,771,641
D.R. Horton, Inc. 228,033 12,621,626
Garmin Ltd. 98,055 9,578,993
Hanesbrands, Inc. 247,698 3,732,809
Hasbro, Inc. 85,250 8,669,925
Leggett & Platt, Inc. 88,340 4,621,949
Lennar Corp., B Shares 10,473 494,011
Lennar Corp., Class A 192,791 11,499,983
Lululemon Athletica, Inc. * 76,587 17,284,920
Mohawk Industries, Inc. * 40,686 5,670,408
Newell Brands, Inc. 257,592 4,950,918
NIKE, Inc., Class B 848,802 79,354,499
NVR, Inc. * 2,344 8,888,190
Polaris, Inc. 38,588 3,770,048
PulteGroup, Inc. 174,989 6,938,314
PVH Corp. 50,381 4,884,942
Ralph Lauren Corp. 35,087 3,766,238
Tapestry, Inc. 193,730 5,209,400
Toll Brothers, Inc. 86,906 3,491,014
Under Armour, Inc., Class A * 128,553 2,428,366
Under Armour, Inc., Class C * 132,589 2,293,790
VF Corp. 220,833 19,552,554
Whirlpool Corp. 42,850 6,131,835
    229,606,373
 
Consumer Services 2.0%
Aramark 167,436 7,306,907
Bright Horizons Family Solutions, Inc. * 39,169 5,895,718
Caesars Entertainment Corp. * 381,144 4,970,118
Carnival Corp. 271,595 12,243,502
Chipotle Mexican Grill, Inc. * 17,297 14,078,374
Darden Restaurants, Inc. 82,834 9,810,859
Domino's Pizza, Inc. 27,826 8,189,192
Dunkin' Brands Group, Inc. 56,674 4,338,395
H&R Block, Inc. 137,534 3,353,079
Hilton Worldwide Holdings, Inc. 194,339 20,405,595
Las Vegas Sands Corp. 229,763 14,417,628
Marriott International, Inc., Class A 185,216 25,996,918
McDonald's Corp. 514,773 100,113,053
MGM Resorts International 352,328 11,256,880
Norwegian Cruise Line Holdings Ltd. * 146,944 7,882,076
Royal Caribbean Cruises Ltd. 116,570 13,990,731
Service Corp. International 122,247 5,381,313
Security Number
of Shares
Value ($)
ServiceMaster Global Holdings, Inc. * 93,144 3,650,313
Starbucks Corp. 811,200 69,300,816
Vail Resorts, Inc. 27,219 6,605,235
Wyndham Hotels & Resorts, Inc. 64,897 3,759,483
Wynn Resorts Ltd. 65,942 7,969,091
Yum! Brands, Inc. 206,125 20,750,604
    381,665,880
 
Diversified Financials 5.3%
AGNC Investment Corp. 373,441 6,467,998
Ally Financial, Inc. 265,793 8,462,849
American Express Co. 461,285 55,409,554
Ameriprise Financial, Inc. 88,799 14,551,492
Annaly Capital Management, Inc. 982,225 9,164,159
AXA Equitable Holdings, Inc. 299,243 7,403,272
Berkshire Hathaway, Inc., Class B * 1,329,038 292,787,071
BlackRock, Inc. 79,805 39,496,293
Capital One Financial Corp. 318,648 31,867,986
Cboe Global Markets, Inc. 75,969 9,032,714
CME Group, Inc. 242,998 49,262,985
Credit Acceptance Corp. * 9,431 4,059,668
Discover Financial Services 215,673 18,304,168
E*TRADE Financial Corp. 153,313 6,791,766
Eaton Vance Corp. 76,865 3,625,722
FactSet Research Systems, Inc. 25,969 6,742,851
Franklin Resources, Inc. 191,419 5,262,108
Intercontinental Exchange, Inc. 379,894 35,774,618
Invesco Ltd. 261,835 4,597,823
Jefferies Financial Group, Inc. 171,177 3,577,599
KKR & Co., Inc., Class A 371,379 10,951,967
Lazard Ltd., Class A 76,438 2,953,564
MarketAxess Holdings, Inc. 25,647 10,356,772
Moody's Corp. 110,254 24,991,274
Morgan Stanley 850,680 42,091,646
Morningstar, Inc. 13,927 2,187,932
MSCI, Inc. 57,448 14,889,947
Nasdaq, Inc. 77,956 8,169,789
Northern Trust Corp. 145,792 15,634,734
Raymond James Financial, Inc. 83,911 7,536,886
S&P Global, Inc. 167,269 44,267,741
Santander Consumer USA Holdings, Inc. 72,246 1,701,393
SEI Investments Co. 86,168 5,560,421
Starwood Property Trust, Inc. 190,272 4,661,664
State Street Corp. 252,441 18,958,319
Synchrony Financial 413,439 15,466,753
T. Rowe Price Group, Inc. 159,616 19,722,153
TD Ameritrade Holding Corp. 183,041 9,487,015
The Bank of New York Mellon Corp. 581,363 28,469,346
The Blackstone Group, Inc., Class A 448,298 24,306,718
The Charles Schwab Corp. (a) 784,704 38,842,848
The Goldman Sachs Group, Inc. 219,613 48,611,338
Voya Financial, Inc. 95,028 5,538,232
    1,018,001,148
 
Energy 4.0%
Apache Corp. 253,130 5,639,736
Baker Hughes Co. 438,203 9,824,511
Cabot Oil & Gas Corp. 282,579 4,504,309
Cheniere Energy, Inc. * 158,447 9,592,381
Chevron Corp. 1,286,870 150,731,083
Cimarex Energy Co. 69,638 3,201,259
Concho Resources, Inc. 136,321 9,891,452
ConocoPhillips 753,511 45,165,449
Continental Resources, Inc. 58,339 1,801,508
Devon Energy Corp. 274,250 6,003,333
Diamondback Energy, Inc. 110,588 8,552,876
EOG Resources, Inc. 393,479 27,897,661
 
32

 

Schwab U.S. Large-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Exxon Mobil Corp. 2,868,172 195,408,558
Halliburton Co. 594,160 12,471,418
Helmerich & Payne, Inc. 73,093 2,889,366
Hess Corp. 175,063 10,869,662
HollyFrontier Corp. 102,705 5,294,443
Kinder Morgan, Inc. 1,319,401 25,873,454
Marathon Oil Corp. 545,597 6,356,205
Marathon Petroleum Corp. 445,927 27,041,013
National Oilwell Varco, Inc. 262,733 5,924,629
Noble Energy, Inc. 324,512 6,736,869
Occidental Petroleum Corp. 606,712 23,400,882
ONEOK, Inc. 279,750 19,876,238
Parsley Energy, Inc., Class A 190,780 2,857,884
Phillips 66 303,847 34,857,328
Pioneer Natural Resources Co. 113,224 14,474,556
Schlumberger Ltd. 938,395 33,969,899
Targa Resources Corp. 158,051 5,773,603
TechnipFMC plc 285,033 5,370,022
The Williams Cos., Inc. 821,516 18,664,844
Valero Energy Corp. 280,735 26,807,385
WPX Energy, Inc. * 286,716 2,821,286
    770,545,102
 
Food & Staples Retailing 1.5%
Costco Wholesale Corp. 298,152 89,388,951
Sysco Corp. 347,653 28,003,449
The Kroger Co. 541,608 14,807,563
US Foods Holding Corp. * 149,890 5,961,125
Walgreens Boots Alliance, Inc. 513,861 30,626,116
Walmart, Inc. 963,845 114,784,301
    283,571,505
 
Food, Beverage & Tobacco 3.6%
Altria Group, Inc. 1,266,515 62,945,795
Archer-Daniels-Midland Co. 377,297 16,197,360
Beyond Meat, Inc. *(b) 6,983 579,310
Brown-Forman Corp., Class A 37,937 2,420,381
Brown-Forman Corp., Class B 123,284 8,361,121
Bunge Ltd. 95,748 5,111,028
Campbell Soup Co. 114,403 5,327,748
Conagra Brands, Inc. 330,071 9,529,150
Constellation Brands, Inc., Class A 113,404 21,099,948
General Mills, Inc. 409,829 21,852,082
Hormel Foods Corp. 188,728 8,404,058
Ingredion, Inc. 44,848 3,730,008
Kellogg Co. 168,168 10,951,100
Keurig Dr Pepper, Inc. 181,190 5,606,019
Lamb Weston Holdings, Inc. 98,815 8,298,484
McCormick & Co., Inc. Non-Voting Shares 83,353 14,107,495
Molson Coors Brewing Co., Class B 127,546 6,438,522
Mondelez International, Inc., Class A 976,820 51,322,123
Monster Beverage Corp. * 262,086 15,677,985
PepsiCo, Inc. 947,580 128,709,791
Philip Morris International, Inc. 1,054,602 87,458,144
Pilgrim's Pride Corp. * 36,009 1,134,283
Post Holdings, Inc. * 46,839 4,946,198
The Coca-Cola Co. 2,608,362 139,286,531
The Hershey Co. 100,853 14,942,380
The J.M. Smucker Co. 77,857 8,181,992
The Kraft Heinz Co. 421,438 12,853,859
Tyson Foods, Inc., Class A 199,585 17,940,696
    693,413,591
 
Security Number
of Shares
Value ($)
Health Care Equipment & Services 6.4%
Abbott Laboratories 1,197,935 102,363,546
ABIOMED, Inc. * 30,562 5,995,653
Align Technology, Inc. * 49,321 13,678,686
AmerisourceBergen Corp. 103,160 9,068,796
Anthem, Inc. 173,567 50,101,850
Baxter International, Inc. 346,190 28,377,194
Becton Dickinson & Co. 183,134 47,340,139
Boston Scientific Corp. * 945,415 40,889,199
Cardinal Health, Inc. 201,462 11,086,454
Centene Corp. * 279,479 16,900,095
Cerner Corp. 215,987 15,462,509
Chemed Corp. 10,805 4,646,366
Cigna Corp. * 256,152 51,209,908
CVS Health Corp. 881,644 66,361,344
Danaher Corp. 432,746 63,172,261
DaVita, Inc. * 61,456 4,410,697
DENTSPLY SIRONA, Inc. 152,074 8,598,264
DexCom, Inc. * 61,946 14,080,945
Edwards Lifesciences Corp. * 140,836 34,496,370
Encompass Health Corp. 66,525 4,703,983
Guardant Health, Inc. * 27,111 2,105,711
Haemonetics Corp. * 34,474 4,157,564
HCA Healthcare, Inc. 180,189 24,985,007
Henry Schein, Inc. * 99,755 6,873,119
Hill-Rom Holdings, Inc. 45,382 4,865,404
Hologic, Inc. * 181,469 9,312,989
Humana, Inc. 91,521 31,229,711
IDEXX Laboratories, Inc. * 58,323 14,672,900
Insulet Corp. * 40,941 7,602,744
Intuitive Surgical, Inc. * 78,180 46,352,922
Laboratory Corp. of America Holdings * 66,281 11,419,553
Masimo Corp. * 33,324 5,167,553
McKesson Corp. 125,319 18,126,140
Medtronic plc 909,383 101,296,172
Molina Healthcare, Inc. * 42,375 5,741,813
Quest Diagnostics, Inc. 91,358 9,734,195
ResMed, Inc. 97,137 14,531,695
STERIS plc 57,382 8,672,715
Stryker Corp. 217,724 44,602,939
Teleflex, Inc. 31,461 11,116,430
The Cooper Cos., Inc. 33,640 10,532,348
UnitedHealth Group, Inc. 642,403 179,789,328
Universal Health Services, Inc., Class B 55,420 7,730,536
Varian Medical Systems, Inc. * 61,901 8,278,021
Veeva Systems, Inc., Class A * 87,892 13,111,729
WellCare Health Plans, Inc. * 34,209 11,017,693
West Pharmaceutical Services, Inc. 49,674 7,303,568
Zimmer Biomet Holdings, Inc. 138,844 20,171,256
    1,233,446,014
 
Household & Personal Products 1.7%
Church & Dwight Co., Inc. 167,590 11,771,522
Colgate-Palmolive Co. 581,272 39,421,867
Coty, Inc., Class A 204,200 2,356,468
Herbalife Nutrition Ltd. * 64,597 2,946,269
Kimberly-Clark Corp. 233,246 31,800,760
The Clorox Co. 85,250 12,636,607
The Estee Lauder Cos., Inc., Class A 149,928 29,306,426
The Procter & Gamble Co. 1,696,426 207,065,758
    337,305,677
 
Insurance 2.6%
Aflac, Inc. 501,930 27,525,841
Alleghany Corp. * 9,752 7,606,950
American Financial Group, Inc. 50,820 5,575,462
 
33

 

Schwab U.S. Large-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
American International Group, Inc. 589,642 31,050,548
Aon plc 159,897 32,556,628
Arch Capital Group Ltd. * 273,603 11,483,118
Arthur J. Gallagher & Co. 125,831 11,736,257
Assurant, Inc. 41,647 5,533,637
Athene Holding Ltd., Class A * 80,570 3,627,261
Axis Capital Holdings Ltd. 56,040 3,316,447
Brown & Brown, Inc. 159,234 6,009,491
Chubb Ltd. 308,970 46,802,776
Cincinnati Financial Corp. 102,579 10,981,082
CNA Financial Corp. 19,288 862,559
Erie Indemnity Co., Class A 12,543 2,123,530
Everest Re Group Ltd. 27,710 7,516,615
Fidelity National Financial, Inc. 187,296 8,920,908
Globe Life, Inc. 67,951 6,982,645
Lincoln National Corp. 135,973 8,029,206
Loews Corp. 176,692 8,993,623
Markel Corp. * 9,367 10,636,697
Marsh & McLennan Cos., Inc. 343,298 37,100,215
MetLife, Inc. 539,586 26,930,737
Old Republic International Corp. 190,902 4,306,749
Principal Financial Group, Inc. 176,535 9,727,079
Prudential Financial, Inc. 272,542 25,515,382
Reinsurance Group of America, Inc. 42,166 6,976,786
RenaissanceRe Holdings Ltd. 29,899 5,630,879
The Allstate Corp. 223,181 24,851,204
The Hartford Financial Services Group, Inc. 244,959 15,153,164
The Progressive Corp. 396,498 28,964,179
The Travelers Cos., Inc. 176,548 24,137,643
Unum Group 142,907 4,392,961
W.R. Berkley Corp. 97,572 6,634,896
Willis Towers Watson plc 87,420 17,172,785
    495,365,940
 
Materials 2.7%
Air Products & Chemicals, Inc. 149,277 35,278,633
Albemarle Corp. 72,322 4,728,412
Amcor plc * 1,101,077 11,297,050
AptarGroup, Inc. 43,333 4,858,496
Ashland Global Holdings, Inc. 40,669 2,915,967
Avery Dennison Corp. 57,052 7,437,869
Axalta Coating Systems Ltd. * 141,305 4,022,953
Ball Corp. 224,915 14,857,885
Berry Global Group, Inc. * 88,967 4,153,869
Celanese Corp., Series A 84,266 10,581,282
CF Industries Holdings, Inc. 148,099 6,843,655
Corteva, Inc. * 507,064 13,193,805
Crown Holdings, Inc. * 91,745 6,963,446
Dow, Inc. * 503,501 26,871,848
DuPont de Nemours, Inc. 505,090 32,734,883
Eastman Chemical Co. 92,356 7,237,940
Ecolab, Inc. 169,657 31,669,872
FMC Corp. 88,524 8,671,811
Freeport-McMoRan, Inc. 983,910 11,196,896
Huntsman Corp. 136,227 3,081,455
International Flavors & Fragrances, Inc. 72,430 10,229,289
International Paper Co. 266,281 12,339,462
Linde plc 366,387 75,552,663
LyondellBasell Industries N.V., Class A 175,056 16,199,682
Martin Marietta Materials, Inc. 42,269 11,345,000
NewMarket Corp. 5,125 2,531,596
Newmont Goldcorp Corp. 555,665 21,337,536
Nucor Corp. 205,394 11,576,006
Packaging Corp. of America 64,338 7,199,422
PPG Industries, Inc. 160,067 20,623,032
Reliance Steel & Aluminum Co. 45,077 5,318,184
Royal Gold, Inc. 44,622 5,232,822
RPM International, Inc. 88,412 6,518,617
Security Number
of Shares
Value ($)
Sealed Air Corp. 105,390 3,976,365
Sonoco Products Co. 67,711 4,098,547
Steel Dynamics, Inc. 148,857 5,020,947
The Mosaic Co. 237,943 4,532,814
The Sherwin-Williams Co. 55,677 32,466,929
Vulcan Materials Co. 89,969 12,763,902
W.R. Grace & Co. 38,026 2,541,278
Westlake Chemical Corp. 24,186 1,661,094
Westrock Co. 174,776 7,048,716
    528,711,930
 
Media & Entertainment 8.1%
Activision Blizzard, Inc. 519,876 28,504,801
Alphabet, Inc., Class A * 203,037 264,778,521
Alphabet, Inc., Class C * 204,845 267,314,531
Altice USA, Inc., Class A * 209,332 5,354,713
Cable One, Inc. 3,403 5,223,605
CBS Corp., Class B Non-Voting Shares 225,358 9,099,956
Charter Communications, Inc., Class A * 109,653 51,538,007
Comcast Corp., Class A 3,073,521 135,695,952
Discovery, Inc., Class A * 108,273 3,566,513
Discovery, Inc., Class C * 235,263 7,180,227
DISH Network Corp., Class A * 161,439 5,516,371
Electronic Arts, Inc. * 199,771 20,178,869
Facebook, Inc., Class A * 1,630,751 328,824,632
Fox Corp., Class A 240,260 8,591,698
Fox Corp., Class B 109,381 3,826,147
IAC/InterActiveCorp * 48,981 10,908,069
Liberty Broadband Corp., Class A * 16,468 1,948,329
Liberty Broadband Corp., Class C * 103,544 12,372,473
Liberty Global plc, Class A * 111,262 2,508,958
Liberty Global plc, Class C * 279,294 6,004,821
Liberty Media Corp. - Liberty Formula One, Class A * 18,462 795,158
Liberty Media Corp. - Liberty Formula One, Class C * 137,182 6,185,536
Liberty Media Corp. - Liberty SiriusXM, Class A * 56,145 2,734,262
Liberty Media Corp. - Liberty SiriusXM, Class C * 102,926 4,992,940
Live Nation Entertainment, Inc. * 94,187 6,575,194
Netflix, Inc. * 296,831 93,400,842
News Corp., Class A 268,401 3,457,005
News Corp., Class B 83,200 1,095,744
Omnicom Group, Inc. 147,375 11,713,365
Roku, Inc. * 61,664 9,889,056
Sirius XM Holdings, Inc. 922,986 6,442,442
Snap, Inc., Class A * 516,926 7,883,121
Take-Two Interactive Software, Inc. * 76,434 9,275,266
The Interpublic Group of Cos., Inc. 263,448 5,901,235
The Walt Disney Co. 1,220,961 185,073,268
TripAdvisor, Inc. 71,480 2,030,032
Twitter, Inc. * 525,060 16,229,605
Viacom, Inc., Class B 246,704 5,938,165
Zillow Group, Inc., Class A * 23,355 912,246
Zillow Group, Inc., Class C * 84,794 3,319,685
    1,562,781,360
 
Pharmaceuticals, Biotechnology & Life Sciences 7.5%
AbbVie, Inc. 1,002,455 87,945,377
Agilent Technologies, Inc. 209,607 16,929,957
Alexion Pharmaceuticals, Inc. * 151,918 17,309,537
Allergan plc 222,084 41,072,215
Alnylam Pharmaceuticals, Inc. * 75,463 8,839,736
Amgen, Inc. 406,582 95,432,927
Avantor, Inc. * 151,493 2,595,075
Bio-Rad Laboratories, Inc., Class A * 14,573 5,382,975
 
34

 

Schwab U.S. Large-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Bio-Techne Corp. 25,901 5,652,893
Biogen, Inc. * 124,912 37,449,867
BioMarin Pharmaceutical, Inc. * 121,755 9,826,846
Bluebird Bio, Inc. * 37,305 3,019,467
Bristol-Myers Squibb Co. 1,589,257 90,492,294
Catalent, Inc. * 98,992 5,146,594
Elanco Animal Health, Inc. * 254,265 7,045,683
Eli Lilly & Co. 575,890 67,580,692
Exact Sciences Corp. * 93,933 7,609,512
Exelixis, Inc. * 206,791 3,438,934
Gilead Sciences, Inc. 858,809 57,746,317
Illumina, Inc. * 99,617 31,953,149
Incyte Corp. * 121,296 11,421,231
Ionis Pharmaceuticals, Inc. * 86,705 5,545,652
IQVIA Holdings, Inc. * 123,527 18,032,471
Jazz Pharmaceuticals plc * 38,449 5,810,413
Johnson & Johnson 1,788,982 245,967,135
Merck & Co., Inc. 1,735,592 151,308,911
Mettler-Toledo International, Inc. * 16,684 12,002,636
Mylan N.V. * 352,448 6,618,973
Neurocrine Biosciences, Inc. * 62,290 7,263,637
PerkinElmer, Inc. 75,505 7,014,415
Perrigo Co., plc 92,290 4,728,017
Pfizer, Inc. 3,749,325 144,423,999
PRA Health Sciences, Inc. * 42,594 4,634,653
Regeneron Pharmaceuticals, Inc. * 54,101 19,963,269
Sage Therapeutics, Inc. * 34,746 5,377,638
Sarepta Therapeutics, Inc. * 47,341 5,325,389
Seattle Genetics, Inc. * 76,760 9,238,066
Syneos Health, Inc. * 42,492 2,333,236
Thermo Fisher Scientific, Inc. 271,477 85,230,204
Vertex Pharmaceuticals, Inc. * 173,946 38,572,526
Waters Corp. * 45,250 10,048,668
Zoetis, Inc. 323,412 38,977,614
    1,442,308,800
 
Real Estate 3.6%
Alexandria Real Estate Equities, Inc. 77,138 12,536,468
American Campus Communities, Inc. 94,941 4,560,966
American Homes 4 Rent, Class A 172,655 4,611,615
American Tower Corp. 300,122 64,235,112
Americold Realty Trust 129,905 4,887,026
Apartment Investment & Management Co., Class A 99,851 5,368,988
AvalonBay Communities, Inc. 94,932 20,354,370
Boston Properties, Inc. 97,468 13,503,217
Brixmor Property Group, Inc. 202,614 4,445,351
Camden Property Trust 65,279 7,281,872
CBRE Group, Inc., Class A * 228,019 13,001,643
Crown Castle International Corp. 281,731 37,656,165
CubeSmart 130,363 4,020,395
CyrusOne, Inc. 77,587 4,833,670
Digital Realty Trust, Inc. 141,101 17,066,166
Douglas Emmett, Inc. 112,137 4,941,878
Duke Realty Corp. 244,796 8,611,923
Equinix, Inc. 57,487 32,586,506
Equity LifeStyle Properties, Inc. 123,740 9,166,659
Equity Residential 236,037 20,086,749
Essex Property Trust, Inc. 44,724 13,961,938
Extra Space Storage, Inc. 87,626 9,292,737
Federal Realty Investment Trust 47,286 6,245,062
Gaming & Leisure Properties, Inc. 138,889 5,861,116
Healthcare Trust of America, Inc., Class A 139,133 4,222,687
Healthpeak Properties, Inc. 332,738 11,605,901
Highwoods Properties, Inc. 69,239 3,361,553
Host Hotels & Resorts, Inc. 495,084 8,659,019
Invitation Homes, Inc. 364,478 11,127,513
Iron Mountain, Inc. 192,707 6,189,749
Security Number
of Shares
Value ($)
JBG SMITH Properties 80,792 3,221,985
Jones Lang LaSalle, Inc. 35,009 5,823,047
Kilroy Realty Corp. 62,995 5,243,704
Kimco Realty Corp. 283,642 6,132,340
Lamar Advertising Co., Class A 57,870 4,828,094
Liberty Property Trust 106,995 6,593,032
Medical Properties Trust, Inc. 335,986 6,975,069
Mid-America Apartment Communities, Inc. 77,613 10,563,905
National Retail Properties, Inc. 116,316 6,483,454
Omega Healthcare Investors, Inc. 145,634 6,120,997
Park Hotels & Resorts, Inc. 159,438 3,770,709
Prologis, Inc. 427,870 39,171,499
Public Storage 101,693 21,424,681
Realty Income Corp. 215,663 16,526,256
Regency Centers Corp. 112,858 7,340,284
SBA Communications Corp. 76,639 18,122,824
Simon Property Group, Inc. 208,974 31,598,959
SL Green Realty Corp. 56,006 4,778,992
STORE Capital Corp. 142,318 5,793,766
Sun Communities, Inc. 61,662 10,156,348
The Macerich Co. 74,796 2,014,256
UDR, Inc. 198,389 9,532,591
Ventas, Inc. 253,338 14,772,139
VEREIT, Inc. 712,921 6,958,109
VICI Properties, Inc. 312,694 7,732,923
Vornado Realty Trust 107,166 6,919,709
Welltower, Inc. 274,558 23,219,370
Weyerhaeuser Co. 505,319 14,911,964
WP Carey, Inc. 115,599 9,643,269
    690,658,289
 
Retailing 5.9%
Advance Auto Parts, Inc. 48,190 7,569,685
Amazon.com, Inc. * 281,663 507,218,730
AutoZone, Inc. * 16,623 19,580,564
Best Buy Co., Inc. 157,326 12,686,769
Booking Holdings, Inc. * 28,833 54,898,897
Burlington Stores, Inc. * 44,644 10,044,900
CarMax, Inc. * 112,051 10,898,080
Dollar General Corp. 174,202 27,412,427
Dollar Tree, Inc. * 160,258 14,657,197
eBay, Inc. 534,849 18,997,836
Expedia Group, Inc. 94,477 9,604,532
Foot Locker, Inc. 75,622 3,028,661
Genuine Parts Co. 99,309 10,364,880
GrubHub, Inc. * 62,574 2,698,191
Kohl's Corp. 107,927 5,073,648
L Brands, Inc. 157,822 3,020,713
LKQ Corp. * 209,120 7,377,754
Lowe's Cos., Inc. 523,198 61,376,357
Macy's, Inc. (b) 211,630 3,242,172
O'Reilly Automotive, Inc. * 51,835 22,925,584
Pool Corp. 27,078 5,590,253
Qurate Retail, Inc., Series A * 261,967 2,478,208
Ross Stores, Inc. 247,290 28,722,734
Target Corp. 346,116 43,267,961
The Gap, Inc. 145,072 2,409,646
The Home Depot, Inc. 742,376 163,701,332
The TJX Cos., Inc. 820,302 50,145,061
Tiffany & Co. 73,416 9,823,061
Tractor Supply Co. 80,916 7,641,707
Ulta Salon, Cosmetics & Fragrance, Inc. * 39,927 9,337,328
Wayfair, Inc., Class A * 43,643 3,706,164
Williams-Sonoma, Inc. 53,000 3,678,200
    1,143,179,232
 
 
35

 

Schwab U.S. Large-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Semiconductors & Semiconductor Equipment 4.0%
Advanced Micro Devices, Inc. * 734,985 28,774,663
Analog Devices, Inc. 250,639 28,309,675
Applied Materials, Inc. 625,862 36,237,410
Broadcom, Inc. 269,875 85,337,174
Cypress Semiconductor Corp. 250,347 5,870,637
First Solar, Inc. * 52,562 2,903,525
Intel Corp. 3,003,058 174,327,517
KLA Corp. 107,829 17,668,860
Lam Research Corp. 97,877 26,116,520
Marvell Technology Group Ltd. 448,316 11,822,093
Maxim Integrated Products, Inc. 183,997 10,427,110
Microchip Technology, Inc. 161,191 15,238,997
Micron Technology, Inc. * 747,918 35,533,584
Monolithic Power Systems, Inc. 27,295 4,385,760
NVIDIA Corp. 412,942 89,501,049
ON Semiconductor Corp. * 278,478 5,978,923
Qorvo, Inc. * 79,514 8,286,154
QUALCOMM, Inc. 774,234 64,687,251
Skyworks Solutions, Inc. 116,474 11,449,394
Teradyne, Inc. 114,691 7,178,510
Texas Instruments, Inc. 632,990 76,091,728
Universal Display Corp. 28,757 5,585,184
Xilinx, Inc. 171,131 15,877,534
    767,589,252
 
Software & Services 12.9%
Accenture plc, Class A 432,063 86,913,793
Adobe, Inc. * 329,095 101,864,775
Akamai Technologies, Inc. * 111,435 9,708,217
Alliance Data Systems Corp. 28,055 2,999,360
Alteryx, Inc., Class A * 31,593 3,586,753
Anaplan, Inc. * 56,959 3,071,229
ANSYS, Inc. * 57,057 14,531,847
Aspen Technology, Inc. * 46,376 5,815,550
Autodesk, Inc. * 148,672 26,894,765
Automatic Data Processing, Inc. 294,214 50,245,867
Black Knight, Inc. * 101,506 6,395,893
Booz Allen Hamilton Holding Corp. 94,752 6,894,156
Broadridge Financial Solutions, Inc. 77,535 9,591,855
Cadence Design Systems, Inc. * 189,991 13,346,868
CDK Global, Inc. 82,299 4,407,112
Cerence, Inc. * 23,928 372,320
Ceridian HCM Holding, Inc. * 67,035 4,046,233
Citrix Systems, Inc. 83,519 9,421,778
Cognizant Technology Solutions Corp., Class A 374,328 23,998,168
Coupa Software, Inc. * 41,913 6,433,226
DocuSign, Inc. * 83,743 5,963,339
DXC Technology Co. 177,761 6,635,818
Elastic N.V. * 21,314 1,692,545
EPAM Systems, Inc. * 37,224 7,885,904
Euronet Worldwide, Inc. * 36,968 5,811,000
Fair Isaac Corp. * 19,612 7,212,313
Fidelity National Information Services, Inc. 415,799 57,442,632
Fiserv, Inc. * 387,289 45,018,473
FleetCor Technologies, Inc. * 58,643 17,998,710
Fortinet, Inc. * 96,303 10,122,408
Gartner, Inc. * 61,200 9,820,152
Genpact Ltd. 104,716 4,261,941
Global Payments, Inc. 203,482 36,850,590
GoDaddy, Inc., Class A * 119,971 7,963,675
Guidewire Software, Inc. * 55,623 6,776,550
HubSpot, Inc. * 27,129 4,096,479
International Business Machines Corp. 600,737 80,769,090
Intuit, Inc. 176,296 45,641,272
Jack Henry & Associates, Inc. 51,948 7,892,979
Security Number
of Shares
Value ($)
Leidos Holdings, Inc. 90,956 8,262,443
Mastercard, Inc., Class A 605,167 176,847,952
Microsoft Corp. 5,175,762 783,506,852
NortonLifeLock, Inc. 385,690 9,603,681
Nuance Communications, Inc. * 190,675 3,418,803
Okta, Inc. * 72,304 9,383,613
Oracle Corp. 1,492,662 83,798,045
Palo Alto Networks, Inc. * 65,108 14,793,840
Paychex, Inc. 216,777 18,668,835
Paycom Software, Inc. * 33,303 9,218,603
PayPal Holdings, Inc. * 797,700 86,159,577
Proofpoint, Inc. * 38,073 4,518,884
PTC, Inc. * 70,699 5,415,543
RingCentral, Inc., Class A * 48,694 8,398,254
Sabre Corp. 183,519 4,116,331
salesforce.com, Inc. * 594,541 96,844,784
ServiceNow, Inc. * 127,165 35,992,782
Splunk, Inc. * 101,302 15,116,284
Square, Inc., Class A * 231,937 16,031,486
SS&C Technologies Holdings, Inc. 150,111 9,014,166
Synopsys, Inc. * 101,881 14,369,296
The Trade Desk, Inc., Class A * 26,497 6,977,720
The Western Union Co. 288,130 7,744,934
Twilio, Inc., Class A * 82,449 8,515,333
Tyler Technologies, Inc. * 25,985 7,540,068
VeriSign, Inc. * 70,655 13,476,735
Visa, Inc., Class A 1,170,625 215,992,019
VMware, Inc., Class A 53,423 8,313,687
WEX, Inc. * 29,378 5,908,797
Workday, Inc., Class A * 109,802 19,667,734
Zendesk, Inc. * 75,360 5,953,440
Zscaler, Inc. * 43,492 2,267,238
    2,476,233,394
 
Technology Hardware & Equipment 5.9%
Amphenol Corp., Class A 201,576 20,963,904
Apple, Inc. 2,879,673 769,592,609
Arista Networks, Inc. * 36,933 7,206,736
Arrow Electronics, Inc. * 55,930 4,454,265
Avnet, Inc. 71,716 2,915,255
CDW Corp. 98,159 13,256,373
Cisco Systems, Inc. 2,877,827 130,394,341
Cognex Corp. 115,139 5,777,675
Corning, Inc. 528,973 15,361,376
Dell Technologies, Inc., Class C * 104,794 5,081,461
F5 Networks, Inc. * 41,182 6,000,629
FLIR Systems, Inc. 91,592 4,905,668
Hewlett Packard Enterprise Co. 885,735 14,021,185
HP, Inc. 1,003,679 20,153,874
IPG Photonics Corp. * 23,986 3,408,171
Jabil, Inc. 94,983 3,689,140
Juniper Networks, Inc. 233,188 5,843,691
Keysight Technologies, Inc. * 126,973 13,589,920
Motorola Solutions, Inc. 112,262 18,781,433
National Instruments Corp. 80,738 3,400,685
NetApp, Inc. 161,408 9,779,711
Seagate Technology plc 160,517 9,579,655
TE Connectivity Ltd. 227,660 21,106,359
Trimble, Inc. * 171,351 6,944,856
Ubiquiti, Inc. 8,345 1,645,634
Western Digital Corp. 200,827 10,107,623
Xerox Holdings Corp. * 127,867 4,977,862
Zebra Technologies Corp., Class A * 36,626 9,190,928
    1,142,131,019
 
 
36

 

Schwab U.S. Large-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Telecommunication Services 2.0%
AT&T, Inc. 4,953,208 185,150,915
CenturyLink, Inc. 661,968 9,591,916
GCI Liberty, Inc., Class A * 63,975 4,541,585
Sprint Corp. * 417,335 2,470,623
T-Mobile US, Inc. * 214,388 16,840,178
Verizon Communications, Inc. 2,803,529 168,884,587
Zayo Group Holdings, Inc. * 160,359 5,490,692
    392,970,496
 
Transportation 1.9%
Alaska Air Group, Inc. 82,795 5,713,683
AMERCO 5,336 1,932,806
American Airlines Group, Inc. 269,908 7,757,156
C.H. Robinson Worldwide, Inc. 91,819 7,056,290
CSX Corp. 540,729 38,683,753
Delta Air Lines, Inc. 392,276 22,481,338
Expeditors International of Washington, Inc. 115,773 8,655,190
FedEx Corp. 162,565 26,018,528
Genesee & Wyoming, Inc., Class A * 38,245 4,262,405
J.B. Hunt Transport Services, Inc. 57,935 6,698,445
JetBlue Airways Corp. * 201,211 3,877,336
Kansas City Southern 68,277 10,406,780
Lyft, Inc., Class A * 134,960 6,610,341
Norfolk Southern Corp. 178,462 34,532,397
Old Dominion Freight Line, Inc. 43,600 8,353,324
Southwest Airlines Co. 327,802 18,894,507
Uber Technologies, Inc. * 137,147 4,059,551
Union Pacific Corp. 477,655 84,062,503
United Airlines Holdings, Inc. * 149,449 13,868,867
United Parcel Service, Inc., Class B 473,798 56,727,835
XPO Logistics, Inc. * 62,654 5,180,859
    375,833,894
 
Utilities 3.2%
AES Corp. 446,890 8,450,690
Alliant Energy Corp. 159,993 8,479,629
Ameren Corp. 166,764 12,395,568
American Electric Power Co., Inc. 334,776 30,581,788
American Water Works Co., Inc. 123,174 14,907,749
Aqua America, Inc. 146,762 6,497,154
Atmos Energy Corp. 80,613 8,622,366
Avangrid, Inc. 38,256 1,856,946
CenterPoint Energy, Inc. 340,805 8,370,171
CMS Energy Corp. 191,589 11,744,406
Consolidated Edison, Inc. 224,958 19,546,601
Dominion Energy, Inc. 557,775 46,356,680
DTE Energy Co. 124,149 15,511,176
Duke Energy Corp. 493,914 43,548,397
Edison International 243,160 16,802,356
Entergy Corp. 134,792 15,688,441
Evergy, Inc. 159,277 10,077,456
Eversource Energy 219,195 18,114,275
Exelon Corp. 658,567 29,240,375
FirstEnergy Corp. 366,052 17,457,020
Security Number
of Shares
Value ($)
National Fuel Gas Co. 58,507 2,633,985
NextEra Energy, Inc. 331,307 77,466,203
NiSource, Inc. 253,144 6,695,659
NRG Energy, Inc. 169,811 6,746,591
OGE Energy Corp. 134,683 5,664,767
Pinnacle West Capital Corp. 76,203 6,659,380
PPL Corp. 489,926 16,672,182
Public Service Enterprise Group, Inc. 343,162 20,352,938
Sempra Energy 185,980 27,389,275
The Southern Co. 709,577 43,986,678
UGI Corp. 140,268 6,108,671
Vistra Energy Corp. 306,792 8,139,192
WEC Energy Group, Inc. 213,770 18,950,710
Xcel Energy, Inc. 355,478 21,858,342
    613,573,817
Total Common Stock
(Cost $14,687,078,931)   19,187,678,470

Rights 0.0% of net assets
 
Media & Entertainment 0.0%
DISH Network Corp.
expires 12/09/19 *
8,729 5,936
Total Rights
(Cost $—)   5,936

Other Investment Companies 0.1% of net assets
 
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 1.59% (c) 6,342,058 6,342,058
 
Securities Lending Collateral 0.0%
Wells Fargo Government Money Market Fund, Select Class 1.56% (c) 3,367,850 3,367,850
Total Other Investment Companies
(Cost $9,709,908)   9,709,908
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
S&P 500 Index, e-mini, expires 12/20/19 225 35,366,625 374,879
* Non-income producing security.
(a) Issuer is affiliated with the fund’s investment adviser.
(b) All or a portion of this security is on loan. Securities on loan were valued at $3,242,468.
(c) The rate shown is the 7-day yield.
 
    
37

 

Schwab U.S. Large-Cap ETF
Portfolio Holdings (Unaudited) continued

The fund owns shares of an affiliate, The Charles Schwab Corp., since that company is included in its index. Below is the summary of investment activities involving The Charles Schwab Corp. shares owned by the fund during the period ended November 30, 2019:
  Market
Value at
8/31/19
Gross
Purchases
Gross
Sales
Realized
Gains(Losses)
Net change
in unrealized
appreciation
(depreciation)
Market

Value at
11/30/19
Balance
of Shares
Held at
11/30/19
Dividends
Received
The Charles Schwab Corp. $30,565,445 $1,598,815 ($2,144,936) $72,580 $8,750,944 $38,842,848 784,704 $131,571
    

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2019:
Description Quoted Prices in
Active Markets for
Identical Assets
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable Inputs
(Level 3)
Total  
Assets          
Common Stock1 $19,187,678,470 $— $— $19,187,678,470  
Rights1 5,936 5,936  
Other Investment Companies1 9,709,908 9,709,908  
Futures Contracts2 374,879 374,879  
Total $19,197,769,193 $— $— $19,197,769,193  
1 As categorized in Portfolio Holdings.
2 Futures contracts are valued at unrealized appreciation or depreciation.
Fund investments in underlying mutual funds are classified as Level 1, without consideration to the classification level of the investments held by the underlying mutual funds, which could be Level 1, Level 2 or Level 3.
38

 

Schwab Strategic Trust
Schwab U.S. Large-Cap Growth ETF

Portfolio Holdings as of November 30, 2019 (Unaudited)
The following are the portfolio holdings as of the report date. For more information, please refer to the fund’s semiannual or annual shareholder reports.    
 
Security Number
of Shares
Value ($)
Common Stock 99.8% of net assets
 
Automobiles & Components 0.3%
Tesla, Inc. * 87,808 28,971,372
 
Banks 0.2%
First Republic Bank 104,392 11,472,681
SVB Financial Group * 32,172 7,455,217
    18,927,898
 
Capital Goods 5.8%
Acuity Brands, Inc. 24,629 3,220,981
Allegion plc 57,689 6,924,411
AMETEK, Inc. 141,941 14,053,578
Carlisle Cos., Inc. 34,939 5,449,785
Deere & Co. 195,407 32,838,146
Fortive Corp. 183,603 13,250,628
HD Supply Holdings, Inc. * 105,512 4,201,488
HEICO Corp. 24,823 3,224,259
HEICO Corp., Class A 44,608 4,480,427
Hexcel Corp. 52,501 4,180,655
Huntington Ingalls Industries, Inc. 25,811 6,495,854
IDEX Corp. 47,337 7,703,623
L3Harris Technologies, Inc. 138,583 27,867,655
Lennox International, Inc. 21,773 5,570,622
Lockheed Martin Corp. 154,060 60,242,082
Nordson Corp. 31,611 5,242,052
Northrop Grumman Corp. 97,654 34,351,748
Quanta Services, Inc. 87,764 3,654,493
Raytheon Co. 172,826 37,575,829
Roper Technologies, Inc. 64,553 23,262,965
Sensata Technologies Holding plc * 99,546 5,125,624
Teledyne Technologies, Inc. * 22,692 7,760,437
Textron, Inc. 142,196 6,575,143
The Boeing Co. 331,676 121,453,118
The Middleby Corp. * 34,383 3,980,176
The Toro Co. 65,853 5,148,388
TransDigm Group, Inc. 30,836 17,487,096
United Rentals, Inc. * 47,714 7,302,628
W.W. Grainger, Inc. 27,535 8,727,218
WABCO Holdings, Inc. * 31,669 4,267,398
Westinghouse Air Brake Technologies Corp. 112,556 8,843,525
Woodward, Inc. 34,731 4,056,233
Xylem, Inc. 112,261 8,701,350
    513,219,615
 
Commercial & Professional Services 1.1%
Cintas Corp. 51,481 13,233,706
Copart, Inc. * 125,504 11,169,856
CoStar Group, Inc. * 22,694 13,908,245
Equifax, Inc. 75,274 10,511,261
IAA, Inc. * 82,429 3,736,506
IHS Markit Ltd. * 248,884 18,081,423
Stericycle, Inc. * 56,256 3,534,002
Security Number
of Shares
Value ($)
TransUnion 117,002 10,098,443
Verisk Analytics, Inc. 101,401 14,954,619
    99,228,061
 
Consumer Durables & Apparel 1.4%
D.R. Horton, Inc. 209,397 11,590,124
Lennar Corp., B Shares 9,426 444,624
Lennar Corp., Class A 177,107 10,564,433
Lululemon Athletica, Inc. * 70,218 15,847,500
NIKE, Inc., Class B 776,623 72,606,484
NVR, Inc. * 2,119 8,035,015
Toll Brothers, Inc. 80,797 3,245,616
Under Armour, Inc., Class A * 116,290 2,196,718
Under Armour, Inc., Class C * 120,130 2,078,249
    126,608,763
 
Consumer Services 1.5%
Bright Horizons Family Solutions, Inc. * 35,967 5,413,753
Chipotle Mexican Grill, Inc. * 15,866 12,913,655
Domino's Pizza, Inc. 25,727 7,571,456
Dunkin' Brands Group, Inc. 51,116 3,912,930
Marriott International, Inc., Class A 169,717 23,821,478
Norwegian Cruise Line Holdings Ltd. * 133,230 7,146,457
ServiceMaster Global Holdings, Inc. * 83,938 3,289,530
Starbucks Corp. 742,590 63,439,464
Vail Resorts, Inc. 24,823 6,023,797
Wyndham Hotels & Resorts, Inc. 59,592 3,452,165
    136,984,685
 
Diversified Financials 5.8%
Ameriprise Financial, Inc. 81,367 13,333,610
Berkshire Hathaway, Inc., Class B * 1,216,365 267,965,210
BlackRock, Inc. 72,943 36,100,220
Cboe Global Markets, Inc. 69,030 8,207,667
CME Group, Inc. 222,162 45,038,902
Credit Acceptance Corp. * 8,575 3,691,195
E*TRADE Financial Corp. 141,609 6,273,279
FactSet Research Systems, Inc. 23,641 6,138,386
Intercontinental Exchange, Inc. 347,667 32,739,801
MarketAxess Holdings, Inc. 23,499 9,489,366
Moody's Corp. 100,978 22,888,683
Morningstar, Inc. 12,654 1,987,943
MSCI, Inc. 52,636 13,642,725
S&P Global, Inc. 152,795 40,437,197
SEI Investments Co. 78,344 5,055,538
Voya Financial, Inc. 87,328 5,089,476
    518,079,198
 
Energy 0.5%
Cabot Oil & Gas Corp. 258,556 4,121,382
Cheniere Energy, Inc. * 145,743 8,823,281
Cimarex Energy Co. 62,644 2,879,745
Concho Resources, Inc. 124,277 9,017,539
 
39

 

Schwab U.S. Large-Cap Growth ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Diamondback Energy, Inc. 100,767 7,793,320
Parsley Energy, Inc., Class A 173,707 2,602,131
Pioneer Natural Resources Co. 103,951 13,289,096
    48,526,494
 
Food & Staples Retailing 1.0%
Costco Wholesale Corp. 272,821 81,794,464
US Foods Holding Corp. * 135,351 5,382,909
    87,177,373
 
Food, Beverage & Tobacco 0.8%
Beyond Meat, Inc. *(a) 6,344 526,298
Constellation Brands, Inc., Class A 103,786 19,310,423
Keurig Dr Pepper, Inc. 165,196 5,111,164
Monster Beverage Corp. * 240,462 14,384,437
Post Holdings, Inc. * 42,422 4,479,763
The Hershey Co. 92,576 13,716,060
Tyson Foods, Inc., Class A 182,806 16,432,432
    73,960,577
 
Health Care Equipment & Services 9.1%
ABIOMED, Inc. * 28,035 5,499,906
Align Technology, Inc. * 45,181 12,530,499
AmerisourceBergen Corp. 93,946 8,258,793
Anthem, Inc. 158,722 45,816,693
Becton Dickinson & Co. 167,520 43,303,920
Boston Scientific Corp. * 864,545 37,391,571
Centene Corp. * 256,960 15,538,371
Cerner Corp. 197,543 14,142,103
Chemed Corp. 9,830 4,227,097
Cigna Corp. * 234,341 46,849,453
Danaher Corp. 396,180 57,834,356
DaVita, Inc. * 56,030 4,021,273
DexCom, Inc. * 56,698 12,888,022
Edwards Lifesciences Corp. * 129,077 31,616,120
Guardant Health, Inc. * 24,673 1,916,352
Haemonetics Corp. * 31,320 3,777,192
HCA Healthcare, Inc. 165,062 22,887,497
Henry Schein, Inc. * 91,582 6,310,000
Hill-Rom Holdings, Inc. 41,220 4,419,196
Hologic, Inc. * 165,188 8,477,448
Humana, Inc. 83,819 28,601,557
IDEXX Laboratories, Inc. * 53,506 13,461,039
Insulet Corp. * 37,198 6,907,669
Intuitive Surgical, Inc. * 71,530 42,410,137
Laboratory Corp. of America Holdings * 60,811 10,477,127
Masimo Corp. * 30,280 4,695,520
Molina Healthcare, Inc. * 38,724 5,247,102
ResMed, Inc. 89,147 13,336,391
STERIS plc 52,831 7,984,877
Stryker Corp. 199,102 40,788,036
Teleflex, Inc. 28,775 10,167,358
The Cooper Cos., Inc. 30,869 9,664,775
UnitedHealth Group, Inc. 587,972 164,555,724
Universal Health Services, Inc., Class B 50,571 7,054,149
Varian Medical Systems, Inc. * 56,250 7,522,313
Veeva Systems, Inc., Class A * 80,892 12,067,469
WellCare Health Plans, Inc. * 31,308 10,083,368
West Pharmaceutical Services, Inc. 45,569 6,700,010
Zimmer Biomet Holdings, Inc. 127,445 18,515,210
    807,945,693
 
Security Number
of Shares
Value ($)
Household & Personal Products 0.4%
Church & Dwight Co., Inc. 153,873 10,808,040
Coty, Inc., Class A 180,971 2,088,405
The Estee Lauder Cos., Inc., Class A 137,230 26,824,348
    39,720,793
 
Insurance 1.0%
Alleghany Corp. * 8,993 7,014,900
Aon plc 146,117 29,750,883
Arch Capital Group Ltd. * 252,129 10,581,854
Athene Holding Ltd., Class A * 74,560 3,356,691
Everest Re Group Ltd. 25,431 6,898,413
Markel Corp. * 8,597 9,762,323
RenaissanceRe Holdings Ltd. 27,246 5,131,239
Willis Towers Watson plc 79,921 15,699,681
    88,195,984
 
Materials 2.2%
AptarGroup, Inc. 39,529 4,431,992
Ashland Global Holdings, Inc. 37,309 2,675,055
Axalta Coating Systems Ltd. * 128,218 3,650,366
Berry Global Group, Inc. * 81,589 3,809,390
Ecolab, Inc. 155,225 28,975,851
Linde plc 335,371 69,156,854
Martin Marietta Materials, Inc. 38,865 10,431,366
NewMarket Corp. 4,544 2,244,600
Newmont Goldcorp Corp. 508,789 19,537,498
Royal Gold, Inc. 40,497 4,749,083
The Sherwin-Williams Co. 50,940 29,704,642
Vulcan Materials Co. 82,294 11,675,050
Westlake Chemical Corp. 22,086 1,516,866
    192,558,613
 
Media & Entertainment 14.0%
Activision Blizzard, Inc. 476,120 26,105,660
Alphabet, Inc., Class A * 185,771 242,262,103
Alphabet, Inc., Class C * 187,415 244,569,078
Altice USA, Inc., Class A * 190,909 4,883,452
Cable One, Inc. 3,130 4,804,550
Charter Communications, Inc., Class A * 100,353 47,166,914
Discovery, Inc., Class A * 100,163 3,299,369
Discovery, Inc., Class C * 214,462 6,545,380
Electronic Arts, Inc. * 182,919 18,476,648
Facebook, Inc., Class A * 1,492,140 300,875,110
Fox Corp., Class A 218,966 7,830,224
Fox Corp., Class B 102,548 3,587,129
IAC/InterActiveCorp * 44,972 10,015,264
Liberty Broadband Corp., Class A * 14,972 1,771,337
Liberty Broadband Corp., Class C * 95,062 11,358,958
Liberty Media Corp. - Liberty SiriusXM, Class A * 51,734 2,519,446
Liberty Media Corp. - Liberty SiriusXM, Class C * 93,573 4,539,226
Live Nation Entertainment, Inc. * 85,945 5,999,821
Netflix, Inc. * 271,365 85,387,711
Roku, Inc. * 56,439 9,051,123
Sirius XM Holdings, Inc. 852,930 5,953,451
Take-Two Interactive Software, Inc. * 70,586 8,565,611
The Walt Disney Co. 1,117,665 169,415,661
TripAdvisor, Inc. 67,036 1,903,822
Twitter, Inc. * 480,264 14,844,960
Zillow Group, Inc., Class A * 21,192 827,760
Zillow Group, Inc., Class C * 77,383 3,029,545
    1,245,589,313
 
 
40

 

Schwab U.S. Large-Cap Growth ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Pharmaceuticals, Biotechnology & Life Sciences 4.4%
Alexion Pharmaceuticals, Inc. * 139,299 15,871,728
Alnylam Pharmaceuticals, Inc. * 68,696 8,047,049
Avantor, Inc. * 137,099 2,348,506
Bio-Rad Laboratories, Inc., Class A * 13,251 4,894,654
Bio-Techne Corp. 23,482 5,124,947
Biogen, Inc. * 114,486 34,324,048
BioMarin Pharmaceutical, Inc. * 111,921 9,033,144
Bluebird Bio, Inc. * 34,145 2,763,696
Catalent, Inc. * 90,145 4,686,639
Exact Sciences Corp. * 86,615 7,016,681
Exelixis, Inc. * 187,188 3,112,936
Illumina, Inc. * 91,245 29,267,746
Incyte Corp. * 110,329 10,388,579
Ionis Pharmaceuticals, Inc. * 79,018 5,053,991
IQVIA Holdings, Inc. * 113,253 16,532,673
Jazz Pharmaceuticals plc * 34,954 5,282,248
Mettler-Toledo International, Inc. * 15,288 10,998,340
Neurocrine Biosciences, Inc. * 56,575 6,597,211
PerkinElmer, Inc. 68,606 6,373,497
PRA Health Sciences, Inc. * 38,776 4,219,217
Regeneron Pharmaceuticals, Inc. * 49,640 18,317,160
Sage Therapeutics, Inc. * 31,918 4,939,949
Sarepta Therapeutics, Inc. * 43,644 4,909,514
Seattle Genetics, Inc. * 69,904 8,412,946
Syneos Health, Inc. * 38,347 2,105,634
Thermo Fisher Scientific, Inc. 248,575 78,040,121
Vertex Pharmaceuticals, Inc. * 159,619 35,395,513
Waters Corp. * 41,583 9,234,337
Zoetis, Inc. 296,390 35,720,923
    389,013,627
 
Real Estate 3.3%
Alexandria Real Estate Equities, Inc. 70,576 11,470,011
American Homes 4 Rent, Class A 157,517 4,207,279
American Tower Corp. 274,708 58,795,753
AvalonBay Communities, Inc. 86,621 18,572,409
CBRE Group, Inc., Class A * 209,277 11,932,975
Crown Castle International Corp. 258,030 34,488,290
CyrusOne, Inc. 69,937 4,357,075
Digital Realty Trust, Inc. 129,336 15,643,189
Equinix, Inc. 52,649 29,844,086
Equity LifeStyle Properties, Inc. 112,485 8,332,889
Essex Property Trust, Inc. 40,804 12,738,193
Extra Space Storage, Inc. 79,409 8,421,324
Invitation Homes, Inc. 333,593 10,184,594
Kilroy Realty Corp. 57,372 4,775,645
Mid-America Apartment Communities, Inc. 71,009 9,665,035
Public Storage 93,067 19,607,356
SBA Communications Corp. 70,190 16,597,829
STORE Capital Corp. 129,780 5,283,344
Sun Communities, Inc. 56,022 9,227,384
    294,144,660
 
Retailing 10.2%
Advance Auto Parts, Inc. 44,099 6,927,071
Amazon.com, Inc. * 257,742 464,141,794
AutoZone, Inc. * 15,212 17,918,519
Booking Holdings, Inc. * 26,382 50,232,119
Burlington Stores, Inc. * 41,315 9,295,875
CarMax, Inc. * 102,332 9,952,810
Dollar General Corp. 159,516 25,101,438
Dollar Tree, Inc. * 146,979 13,442,699
eBay, Inc. 489,812 17,398,122
Expedia Group, Inc. 87,345 8,879,493
GrubHub, Inc. * 56,456 2,434,383
Security Number
of Shares
Value ($)
LKQ Corp. * 190,458 6,719,358
Lowe's Cos., Inc. 478,892 56,178,820
O'Reilly Automotive, Inc. * 47,452 20,987,071
Pool Corp. 24,638 5,086,515
Qurate Retail, Inc., Series A * 241,980 2,289,131
Ross Stores, Inc. 226,317 26,286,720
The Home Depot, Inc. 679,445 149,824,417
Tractor Supply Co. 73,676 6,957,961
Ulta Salon, Cosmetics & Fragrance, Inc. * 36,679 8,577,751
Wayfair, Inc., Class A * 40,067 3,402,490
    912,034,557
 
Semiconductors & Semiconductor Equipment 2.9%
Broadcom, Inc. 247,010 78,107,032
Cypress Semiconductor Corp. 228,251 5,352,486
First Solar, Inc. * 46,880 2,589,651
Lam Research Corp. 89,738 23,944,790
Micron Technology, Inc. * 685,057 32,547,058
Monolithic Power Systems, Inc. 24,835 3,990,488
NVIDIA Corp. 377,924 81,911,248
ON Semiconductor Corp. * 253,787 5,448,807
Qorvo, Inc. * 73,329 7,641,615
Skyworks Solutions, Inc. 106,966 10,514,758
Universal Display Corp. 26,185 5,085,651
    257,133,584
 
Software & Services 22.9%
Accenture plc, Class A 395,156 79,489,581
Adobe, Inc. * 301,346 93,275,627
Akamai Technologies, Inc. * 102,831 8,958,637
Alliance Data Systems Corp. 25,275 2,702,150
Alteryx, Inc., Class A * 28,759 3,265,009
Anaplan, Inc. * 51,859 2,796,237
ANSYS, Inc. * 52,366 13,337,097
Aspen Technology, Inc. * 42,611 5,343,419
Autodesk, Inc. * 136,454 24,684,529
Automatic Data Processing, Inc. 269,212 45,976,025
Black Knight, Inc. * 92,447 5,825,085
Broadridge Financial Solutions, Inc. 70,594 8,733,184
Cadence Design Systems, Inc. * 174,340 12,247,385
Cognizant Technology Solutions Corp., Class A 342,436 21,953,572
Coupa Software, Inc. * 38,152 5,855,950
DocuSign, Inc. * 76,222 5,427,769
Elastic N.V. * 19,354 1,536,901
EPAM Systems, Inc. * 34,266 7,259,252
Euronet Worldwide, Inc. * 33,653 5,289,915
Fair Isaac Corp. * 17,853 6,565,441
Fidelity National Information Services, Inc. 380,703 52,594,119
Fiserv, Inc. * 354,234 41,176,160
FleetCor Technologies, Inc. * 53,763 16,500,940
Fortinet, Inc. * 88,171 9,267,654
Gartner, Inc. * 56,189 9,016,087
Genpact Ltd. 95,267 3,877,367
Global Payments, Inc. 186,379 33,753,237
GoDaddy, Inc., Class A * 110,529 7,336,915
Guidewire Software, Inc. * 50,559 6,159,603
HubSpot, Inc. * 24,666 3,724,566
Intuit, Inc. 161,435 41,793,907
Jack Henry & Associates, Inc. 47,578 7,229,001
Mastercard, Inc., Class A 553,904 161,867,366
Microsoft Corp. 4,736,561 717,020,604
Okta, Inc. * 66,462 8,625,438
Palo Alto Networks, Inc. * 59,643 13,552,082
Paycom Software, Inc. * 30,321 8,393,156
PayPal Holdings, Inc. * 730,193 78,868,146
Proofpoint, Inc. * 34,624 4,109,523
 
41

 

Schwab U.S. Large-Cap Growth ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
PTC, Inc. * 64,062 4,907,149
RingCentral, Inc., Class A * 44,325 7,644,733
salesforce.com, Inc. * 544,339 88,667,380
ServiceNow, Inc. * 116,437 32,956,329
Splunk, Inc. * 93,455 13,945,355
Square, Inc., Class A * 212,954 14,719,381
SS&C Technologies Holdings, Inc. 136,478 8,195,504
Synopsys, Inc. * 93,554 13,194,856
The Trade Desk, Inc., Class A * 24,121 6,352,024
Twilio, Inc., Class A * 75,084 7,754,676
Tyler Technologies, Inc. * 23,850 6,920,555
VeriSign, Inc. * 64,609 12,323,521
Visa, Inc., Class A 1,071,492 197,700,989
VMware, Inc., Class A 48,582 7,560,331
WEX, Inc. * 26,722 5,374,596
Workday, Inc., Class A * 100,661 18,030,398
Zendesk, Inc. * 68,550 5,415,450
Zscaler, Inc. * 39,596 2,064,139
    2,039,116,002
 
Technology Hardware & Equipment 8.7%
Amphenol Corp., Class A 184,562 19,194,448
Apple, Inc. 2,635,274 704,276,977
Arista Networks, Inc. * 33,634 6,563,002
CDW Corp. 90,009 12,155,716
Cognex Corp. 105,468 5,292,384
Dell Technologies, Inc., Class C * 97,064 4,706,633
F5 Networks, Inc. * 37,131 5,410,358
IPG Photonics Corp. * 22,024 3,129,390
Trimble, Inc. * 155,658 6,308,819
Ubiquiti, Inc. 7,609 1,500,495
Zebra Technologies Corp., Class A * 33,786 8,478,259
    777,016,481
 
Telecommunication Services 0.3%
GCI Liberty, Inc., Class A * 58,707 4,167,610
T-Mobile US, Inc. * 196,460 15,431,933
Zayo Group Holdings, Inc. * 145,988 4,998,629
    24,598,172
 
Transportation 1.1%
Alaska Air Group, Inc. 76,120 5,253,041
AMERCO 4,940 1,789,367
Genesee & Wyoming, Inc., Class A * 34,942 3,894,286
J.B. Hunt Transport Services, Inc. 53,428 6,177,345
Security Number
of Shares
Value ($)
JetBlue Airways Corp. * 185,550 3,575,549
Kansas City Southern 62,548 9,533,566
Lyft, Inc., Class A * 122,828 6,016,115
Norfolk Southern Corp. 163,543 31,645,571
Old Dominion Freight Line, Inc. 39,543 7,576,043
Uber Technologies, Inc. * 126,171 3,734,662
United Airlines Holdings, Inc. * 137,376 12,748,493
XPO Logistics, Inc. * 56,926 4,707,211
    96,651,249
 
Utilities 0.9%
NextEra Energy, Inc. 303,129 70,877,623
NRG Energy, Inc. 156,305 6,209,997
    77,087,620
Total Common Stock
(Cost $6,236,097,473)   8,892,490,384

Other Investment Companies 0.1% of net assets
 
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 1.59% (b) 5,594,285 5,594,285
 
Securities Lending Collateral 0.0%
Wells Fargo Government Money Market Fund, Select Class 1.56% (b) 442,550 442,550
Total Other Investment Companies
(Cost $6,036,835)   6,036,835
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
Russell 1000 Growth Index, e-mini, expires 12/20/19 120 10,339,200 195,573
* Non-income producing security.
(a) All or a portion of this security is on loan. Securities on loan were valued at $439,688.
(b) The rate shown is the 7-day yield.
 
The fund owns shares of an affiliate, The Charles Schwab Corp., since that company is included in its index. Below is the summary of investment activities involving The Charles Schwab Corp. shares owned by the fund during the period ended November 30, 2019:
  Market
Value at
8/31/19
Gross
Purchases
Gross
Sales
Realized
Gains(Losses)
Net change
in unrealized
appreciation
(depreciation)
Market

Value at
11/30/19
Balance
of Shares
Held at
11/30/19
Dividends
Received
The Charles Schwab Corp. $24,714,498 $2,539,556 ($30,129,426) $3,819,332 ($943,960) $— $—
    

42

 

Schwab U.S. Large-Cap Growth ETF
Portfolio Holdings (Unaudited) continued

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2019:
Description Quoted Prices in
Active Markets for
Identical Assets
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable Inputs
(Level 3)
Total  
Assets          
Common Stock1 $8,892,490,384 $— $— $8,892,490,384  
Other Investment Companies1 6,036,835 6,036,835  
Futures Contracts2 195,573 195,573  
Total $8,898,722,792 $— $— $8,898,722,792  
1 As categorized in Portfolio Holdings.
2 Futures contracts are valued at unrealized appreciation or depreciation.
Fund investments in underlying mutual funds are classified as Level 1, without consideration to the classification level of the investments held by the underlying mutual funds, which could be Level 1, Level 2 or Level 3.
43

 

Schwab Strategic Trust
Schwab U.S. Large-Cap Value ETF

Portfolio Holdings as of November 30, 2019 (Unaudited)
The following are the portfolio holdings as of the report date. For more information, please refer to the fund’s semiannual or annual shareholder reports.    
 
Security Number
of Shares
Value ($)
Common Stock 99.6% of net assets
 
Automobiles & Components 1.0%
Aptiv plc 127,141 11,935,997
Autoliv, Inc. 39,040 3,190,349
BorgWarner, Inc. 102,440 4,307,602
Ford Motor Co. 1,944,873 17,620,549
General Motors Co. 623,515 22,446,540
Gentex Corp. 126,770 3,600,268
Harley-Davidson, Inc. 78,047 2,839,350
Lear Corp. 27,565 3,316,345
    69,257,000
 
Banks 10.6%
Bank of America Corp. 4,157,483 138,527,334
BB&T Corp. 380,224 20,805,857
BOK Financial Corp. 15,866 1,322,272
Citigroup, Inc. 1,121,101 84,217,107
Citizens Financial Group, Inc. 222,285 8,549,081
Comerica, Inc. 74,135 5,219,845
Commerce Bancshares, Inc. 49,098 3,291,039
Cullen/Frost Bankers, Inc. 28,399 2,657,010
East West Bancorp, Inc. 72,368 3,315,902
Fifth Third Bancorp 363,063 10,960,872
Huntington Bancshares, Inc. 516,081 7,684,446
JPMorgan Chase & Co. 1,587,368 209,151,608
KeyCorp 498,794 9,671,616
M&T Bank Corp. 66,429 10,943,513
New York Community Bancorp, Inc. 232,741 2,774,273
People's United Financial, Inc. 220,528 3,638,712
Regions Financial Corp. 496,012 8,253,640
Signature Bank 27,183 3,353,295
SunTrust Banks, Inc. 220,313 15,606,973
The PNC Financial Services Group, Inc. 220,968 33,854,507
U.S. Bancorp 711,652 42,720,470
Wells Fargo & Co. 1,989,822 108,365,706
Zions Bancorp NA 88,091 4,385,170
    739,270,248
 
Capital Goods 7.6%
3M Co. 285,494 48,468,316
A.O. Smith Corp. 68,856 3,332,630
AGCO Corp. 31,481 2,459,611
Allison Transmission Holdings, Inc. 59,940 2,901,096
Arconic, Inc. 192,238 5,951,688
Caterpillar, Inc. 279,196 40,408,037
Cummins, Inc. 78,304 14,318,669
Donaldson Co., Inc. 63,419 3,556,537
Dover Corp. 72,002 8,026,783
Eaton Corp. plc 208,433 19,280,052
Emerson Electric Co. 305,256 22,546,208
Fastenal Co. 284,999 10,123,164
Flowserve Corp. 65,262 3,178,259
Fortune Brands Home & Security, Inc. 69,583 4,401,821
Security Number
of Shares
Value ($)
General Dynamics Corp. 116,109 21,101,650
General Electric Co. 4,330,980 48,810,145
Graco, Inc. 83,045 4,011,904
Honeywell International, Inc. 357,070 63,754,848
Hubbell, Inc. 27,027 3,973,510
Illinois Tool Works, Inc. 146,084 25,466,824
Ingersoll-Rand plc 119,887 15,718,385
Jacobs Engineering Group, Inc. 67,243 6,192,408
Johnson Controls International plc 394,885 16,912,925
Lincoln Electric Holdings, Inc. 30,772 2,839,025
Masco Corp. 143,767 6,692,354
Owens Corning 54,046 3,624,325
PACCAR, Inc. 172,101 14,003,858
Parker-Hannifin Corp. 63,807 12,684,193
Pentair plc 83,642 3,709,523
Rockwell Automation, Inc. 58,067 11,371,841
Snap-on, Inc. 27,406 4,397,567
Spirit AeroSystems Holdings, Inc., Class A 51,419 4,472,939
Stanley Black & Decker, Inc. 75,412 11,895,489
United Technologies Corp. 402,546 59,713,674
    530,300,258
 
Commercial & Professional Services 0.6%
ManpowerGroup, Inc. 29,729 2,754,095
Nielsen Holdings plc 177,182 3,463,908
Republic Services, Inc. 105,214 9,327,221
Robert Half International, Inc. 58,427 3,400,451
Rollins, Inc. 70,012 2,509,930
Waste Management, Inc. 193,691 21,869,651
    43,325,256
 
Consumer Durables & Apparel 1.0%
Capri Holdings Ltd. * 75,446 2,802,064
Garmin Ltd. 71,758 7,010,039
Hanesbrands, Inc. 180,035 2,713,127
Hasbro, Inc. 62,674 6,373,946
Leggett & Platt, Inc. 65,393 3,421,362
Mohawk Industries, Inc. * 29,734 4,144,028
Newell Brands, Inc. 189,719 3,646,399
Polaris, Inc. 28,583 2,792,559
PulteGroup, Inc. 128,423 5,091,972
PVH Corp. 36,829 3,570,940
Ralph Lauren Corp. 25,701 2,758,745
Tapestry, Inc. 142,816 3,840,322
VF Corp. 162,035 14,346,579
Whirlpool Corp. 31,597 4,521,531
    67,033,613
 
Consumer Services 2.4%
Aramark 122,971 5,366,454
Caesars Entertainment Corp. * 276,826 3,609,811
Carnival Corp. 199,181 8,979,080
Darden Restaurants, Inc. 61,125 7,239,645
H&R Block, Inc. 99,895 2,435,440
 
44

 

Schwab U.S. Large-Cap Value ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Hilton Worldwide Holdings, Inc. 142,565 14,969,325
Las Vegas Sands Corp. 168,408 10,567,602
McDonald's Corp. 376,889 73,297,373
MGM Resorts International 259,143 8,279,619
Royal Caribbean Cruises Ltd. 85,403 10,250,068
Service Corp. International 90,768 3,995,607
Wynn Resorts Ltd. 48,167 5,820,982
Yum! Brands, Inc. 151,008 15,201,975
    170,012,981
 
Diversified Financials 4.8%
AGNC Investment Corp. 272,736 4,723,788
Ally Financial, Inc. 194,117 6,180,685
American Express Co. 337,629 40,555,995
Annaly Capital Management, Inc. 723,683 6,751,962
AXA Equitable Holdings, Inc. 219,436 5,428,847
Capital One Financial Corp. 233,412 23,343,534
Discover Financial Services 158,173 13,424,143
Eaton Vance Corp. 56,195 2,650,718
Franklin Resources, Inc. 140,418 3,860,091
Invesco Ltd. 191,831 3,368,552
Jefferies Financial Group, Inc. 125,479 2,622,511
KKR & Co., Inc., Class A 271,471 8,005,680
Lazard Ltd., Class A 55,981 2,163,106
Morgan Stanley 623,367 30,844,199
Nasdaq, Inc. 57,211 5,995,713
Northern Trust Corp. 106,851 11,458,701
Raymond James Financial, Inc. 61,319 5,507,673
Santander Consumer USA Holdings, Inc. 51,598 1,215,133
Starwood Property Trust, Inc. 140,181 3,434,435
State Street Corp. 185,162 13,905,666
Synchrony Financial 303,457 11,352,326
T. Rowe Price Group, Inc. 116,720 14,421,923
TD Ameritrade Holding Corp. 133,927 6,941,436
The Bank of New York Mellon Corp. 425,711 20,847,068
The Blackstone Group, Inc., Class A 328,238 17,797,064
The Charles Schwab Corp. (a) 576,047 28,514,327
The Goldman Sachs Group, Inc. 160,597 35,548,146
    330,863,422
 
Energy 7.6%
Apache Corp. 187,537 4,178,324
Baker Hughes Co. 321,268 7,202,829
Chevron Corp. 942,127 110,351,335
ConocoPhillips 550,930 33,022,744
Continental Resources, Inc. 42,846 1,323,084
Devon Energy Corp. 199,690 4,371,214
EOG Resources, Inc. 288,013 20,420,122
Exxon Mobil Corp. 2,100,160 143,083,901
Halliburton Co. 435,502 9,141,187
Helmerich & Payne, Inc. 54,505 2,154,583
Hess Corp. 128,644 7,987,506
HollyFrontier Corp. 75,425 3,888,159
Kinder Morgan, Inc. 966,172 18,946,633
Marathon Oil Corp. 399,024 4,648,630
Marathon Petroleum Corp. 326,704 19,811,331
National Oilwell Varco, Inc. 192,217 4,334,493
Noble Energy, Inc. 237,856 4,937,891
Occidental Petroleum Corp. 443,903 17,121,339
ONEOK, Inc. 204,943 14,561,200
Phillips 66 222,598 25,536,442
Schlumberger Ltd. 686,343 24,845,617
Targa Resources Corp. 115,131 4,205,735
TechnipFMC plc 209,323 3,943,645
The Williams Cos., Inc. 601,490 13,665,853
Security Number
of Shares
Value ($)
Valero Energy Corp. 205,656 19,638,091
WPX Energy, Inc. * 210,362 2,069,962
    525,391,850
 
Food & Staples Retailing 2.0%
Sysco Corp. 254,674 20,513,991
The Kroger Co. 397,307 10,862,373
Walgreens Boots Alliance, Inc. 376,490 22,438,804
Walmart, Inc. 705,766 84,049,673
    137,864,841
 
Food, Beverage & Tobacco 6.4%
Altria Group, Inc. 927,079 46,075,826
Archer-Daniels-Midland Co. 276,837 11,884,612
Brown-Forman Corp., Class A 27,678 1,765,856
Brown-Forman Corp., Class B 90,573 6,142,661
Bunge Ltd. 70,398 3,757,845
Campbell Soup Co. 83,937 3,908,946
Conagra Brands, Inc. 241,910 6,983,942
General Mills, Inc. 299,494 15,969,020
Hormel Foods Corp. 137,796 6,136,056
Ingredion, Inc. 33,222 2,763,074
Kellogg Co. 123,616 8,049,874
Lamb Weston Holdings, Inc. 72,465 6,085,611
McCormick & Co., Inc. Non-Voting Shares 61,158 10,350,991
Molson Coors Brewing Co., Class B 93,224 4,705,948
Mondelez International, Inc., Class A 715,696 37,602,668
PepsiCo, Inc. 693,869 94,248,226
Philip Morris International, Inc. 772,116 64,031,580
Pilgrim's Pride Corp. * 26,095 821,993
The Coca-Cola Co. 1,909,857 101,986,364
The J.M. Smucker Co. 56,788 5,967,851
The Kraft Heinz Co. 309,484 9,439,262
    448,678,206
 
Health Care Equipment & Services 3.7%
Abbott Laboratories 877,106 74,948,708
Baxter International, Inc. 253,374 20,769,067
Cardinal Health, Inc. 148,181 8,154,400
CVS Health Corp. 645,397 48,579,032
DENTSPLY SIRONA, Inc. 111,255 6,290,358
Encompass Health Corp. 49,026 3,466,628
McKesson Corp. 91,908 13,293,573
Medtronic plc 665,830 74,166,804
Quest Diagnostics, Inc. 66,916 7,129,900
    256,798,470
 
Household & Personal Products 3.1%
Colgate-Palmolive Co. 425,803 28,877,960
Herbalife Nutrition Ltd. * 47,411 2,162,416
Kimberly-Clark Corp. 170,816 23,289,053
The Clorox Co. 62,449 9,256,815
The Procter & Gamble Co. 1,242,255 151,629,645
    215,215,889
 
Insurance 4.2%
Aflac, Inc. 367,430 20,149,861
American Financial Group, Inc. 37,077 4,067,718
American International Group, Inc. 431,709 22,733,796
Arthur J. Gallagher & Co. 92,521 8,629,434
Assurant, Inc. 30,340 4,031,276
Axis Capital Holdings Ltd. 41,724 2,469,226
Brown & Brown, Inc. 115,463 4,357,574
Chubb Ltd. 226,174 34,260,837
 
45

 

Schwab U.S. Large-Cap Value ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Cincinnati Financial Corp. 75,385 8,069,964
CNA Financial Corp. 13,447 601,350
Erie Indemnity Co., Class A 9,096 1,539,953
Fidelity National Financial, Inc. 136,339 6,493,826
Globe Life, Inc. 49,840 5,121,558
Lincoln National Corp. 99,425 5,871,046
Loews Corp. 129,053 6,568,798
Marsh & McLennan Cos., Inc. 251,267 27,154,425
MetLife, Inc. 395,021 19,715,498
Old Republic International Corp. 141,928 3,201,896
Principal Financial Group, Inc. 128,861 7,100,241
Prudential Financial, Inc. 199,500 18,677,190
Reinsurance Group of America, Inc. 31,154 5,154,741
The Allstate Corp. 163,368 18,191,027
The Hartford Financial Services Group, Inc. 179,441 11,100,220
The Progressive Corp. 290,143 21,194,946
The Travelers Cos., Inc. 129,222 17,667,232
Unum Group 103,891 3,193,609
W.R. Berkley Corp. 71,814 4,883,352
    292,200,594
 
Materials 3.3%
Air Products & Chemicals, Inc. 109,355 25,843,867
Albemarle Corp. 52,745 3,448,468
Amcor plc * 807,500 8,284,950
Avery Dennison Corp. 41,616 5,425,478
Ball Corp. 164,531 10,868,918
Celanese Corp., Series A 61,529 7,726,196
CF Industries Holdings, Inc. 108,074 4,994,099
Corteva, Inc. * 371,062 9,655,033
Crown Holdings, Inc. * 67,413 5,116,647
Dow, Inc. * 368,834 19,684,671
DuPont de Nemours, Inc. 369,960 23,977,108
Eastman Chemical Co. 67,986 5,328,063
FMC Corp. 64,772 6,345,065
Freeport-McMoRan, Inc. 718,549 8,177,088
Huntsman Corp. 101,711 2,300,703
International Flavors & Fragrances, Inc. 53,094 7,498,466
International Paper Co. 194,511 9,013,640
LyondellBasell Industries N.V., Class A 128,107 11,855,022
Nucor Corp. 150,675 8,492,043
Packaging Corp. of America 47,156 5,276,756
PPG Industries, Inc. 117,265 15,108,423
Reliance Steel & Aluminum Co. 33,200 3,916,936
RPM International, Inc. 64,153 4,730,001
Sealed Air Corp. 76,854 2,899,701
Sonoco Products Co. 49,844 3,017,057
Steel Dynamics, Inc. 109,331 3,687,735
The Mosaic Co. 176,839 3,368,783
W.R. Grace & Co. 27,816 1,858,943
Westrock Co. 127,453 5,140,179
    233,040,039
 
Media & Entertainment 2.1%
CBS Corp., Class B Non-Voting Shares 165,390 6,678,448
Comcast Corp., Class A 2,250,851 99,375,072
DISH Network Corp., Class A * 119,655 4,088,611
Liberty Global plc, Class A * 81,184 1,830,699
Liberty Global plc, Class C * 205,209 4,411,994
Liberty Media Corp. - Liberty Formula One, Class A * 12,740 548,712
Liberty Media Corp. - Liberty Formula One, Class C * 100,965 4,552,512
News Corp., Class A 192,056 2,473,681
News Corp., Class B 60,573 797,746
Omnicom Group, Inc. 107,950 8,579,866
Snap, Inc., Class A * 379,070 5,780,818
Security Number
of Shares
Value ($)
The Interpublic Group of Cos., Inc. 192,392 4,309,581
Viacom, Inc., Class B 181,349 4,365,070
    147,792,810
 
Pharmaceuticals, Biotechnology & Life Sciences 10.7%
AbbVie, Inc. 733,726 64,369,782
Agilent Technologies, Inc. 153,877 12,428,645
Allergan plc 162,793 30,106,938
Amgen, Inc. 297,613 69,855,723
Bristol-Myers Squibb Co. 1,163,549 66,252,480
Elanco Animal Health, Inc. * 185,311 5,134,968
Eli Lilly & Co. 421,621 49,477,224
Gilead Sciences, Inc. 628,503 42,260,542
Johnson & Johnson 1,310,219 180,142,010
Merck & Co., Inc. 1,270,636 110,774,047
Mylan N.V. * 256,376 4,814,741
Perrigo Co., plc 67,650 3,465,710
Pfizer, Inc. 2,744,891 105,733,201
    744,816,011
 
Real Estate 3.9%
American Campus Communities, Inc. 68,453 3,288,482
Americold Realty Trust 95,397 3,588,835
Apartment Investment & Management Co., Class A 74,023 3,980,217
Boston Properties, Inc. 71,438 9,897,021
Brixmor Property Group, Inc. 148,266 3,252,956
Camden Property Trust 48,074 5,362,655
CubeSmart 95,745 2,952,776
Douglas Emmett, Inc. 81,976 3,612,682
Duke Realty Corp. 179,522 6,315,584
Equity Residential 173,001 14,722,385
Federal Realty Investment Trust 34,615 4,571,603
Gaming & Leisure Properties, Inc. 100,968 4,260,850
Healthcare Trust of America, Inc., Class A 102,153 3,100,344
Healthpeak Properties, Inc. 243,263 8,485,013
Highwoods Properties, Inc. 51,542 2,502,364
Host Hotels & Resorts, Inc. 362,878 6,346,736
Iron Mountain, Inc. 141,932 4,558,856
JBG SMITH Properties 58,655 2,339,161
Jones Lang LaSalle, Inc. 25,569 4,252,892
Kimco Realty Corp. 209,527 4,529,974
Lamar Advertising Co., Class A 42,795 3,570,387
Liberty Property Trust 78,298 4,824,723
Medical Properties Trust, Inc. 246,973 5,127,159
National Retail Properties, Inc. 85,197 4,748,881
Omega Healthcare Investors, Inc. 107,800 4,530,834
Park Hotels & Resorts, Inc. 119,339 2,822,367
Prologis, Inc. 313,210 28,674,376
Realty Income Corp. 157,926 12,101,869
Regency Centers Corp. 83,247 5,414,385
Simon Property Group, Inc. 152,858 23,113,658
SL Green Realty Corp. 40,995 3,498,103
The Macerich Co. 54,833 1,476,653
UDR, Inc. 145,448 6,988,776
Ventas, Inc. 184,585 10,763,151
VEREIT, Inc. 523,590 5,110,238
VICI Properties, Inc. 229,005 5,663,294
Vornado Realty Trust 78,775 5,086,502
Welltower, Inc. 201,112 17,008,042
Weyerhaeuser Co. 368,835 10,884,321
WP Carey, Inc. 84,757 7,070,429
    270,399,534
 
 
46

 

Schwab U.S. Large-Cap Value ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Retailing 1.5%
Best Buy Co., Inc. 115,263 9,294,808
Foot Locker, Inc. 54,614 2,187,291
Genuine Parts Co. 72,504 7,567,242
Kohl's Corp. 79,181 3,722,299
L Brands, Inc. 115,627 2,213,101
Macy's, Inc. (b) 153,790 2,356,063
Target Corp. 253,559 31,697,411
The Gap, Inc. 106,622 1,770,991
The TJX Cos., Inc. 599,957 36,675,371
Tiffany & Co. 54,007 7,226,137
Williams-Sonoma, Inc. 38,888 2,698,827
    107,409,541
 
Semiconductors & Semiconductor Equipment 5.1%
Advanced Micro Devices, Inc. * 538,723 21,091,005
Analog Devices, Inc. 183,325 20,706,559
Applied Materials, Inc. 458,431 26,543,155
Intel Corp. 2,198,474 127,621,416
KLA Corp. 79,034 12,950,511
Marvell Technology Group Ltd. 328,719 8,668,320
Maxim Integrated Products, Inc. 134,879 7,643,593
Microchip Technology, Inc. 118,378 11,191,456
QUALCOMM, Inc. 566,663 47,344,693
Teradyne, Inc. 84,556 5,292,360
Texas Instruments, Inc. 463,327 55,696,539
Xilinx, Inc. 125,601 11,653,261
    356,402,868
 
Software & Services 2.6%
Booz Allen Hamilton Holding Corp. 69,644 5,067,298
CDK Global, Inc. 60,248 3,226,280
Cerence, Inc. * 17,736 275,972
Ceridian HCM Holding, Inc. * 49,156 2,967,056
Citrix Systems, Inc. 61,127 6,895,737
DXC Technology Co. 130,439 4,869,288
International Business Machines Corp. 439,633 59,108,657
Leidos Holdings, Inc. 67,149 6,099,815
NortonLifeLock, Inc. 282,673 7,038,558
Nuance Communications, Inc. * 142,169 2,549,090
Oracle Corp. 1,092,607 61,338,957
Paychex, Inc. 158,986 13,691,874
Sabre Corp. 136,231 3,055,661
The Western Union Co. 210,408 5,655,767
    181,840,010
 
Technology Hardware & Equipment 3.1%
Arrow Electronics, Inc. * 41,346 3,292,795
Avnet, Inc. 51,515 2,094,085
Cisco Systems, Inc. 2,106,809 95,459,516
Corning, Inc. 387,521 11,253,610
FLIR Systems, Inc. 67,465 3,613,425
Hewlett Packard Enterprise Co. 649,235 10,277,390
HP, Inc. 735,427 14,767,374
Jabil, Inc. 69,277 2,690,719
Juniper Networks, Inc. 171,652 4,301,599
Keysight Technologies, Inc. * 93,244 9,979,905
Motorola Solutions, Inc. 82,282 13,765,779
National Instruments Corp. 59,123 2,490,261
NetApp, Inc. 118,250 7,164,767
Seagate Technology plc 117,494 7,012,042
TE Connectivity Ltd. 166,714 15,456,055
Security Number
of Shares
Value ($)
Western Digital Corp. 147,193 7,408,224
Xerox Holdings Corp. * 94,784 3,689,941
    214,717,487
 
Telecommunication Services 3.9%
AT&T, Inc. 3,626,241 135,548,889
CenturyLink, Inc. 488,223 7,074,351
Sprint Corp. * 305,422 1,808,098
Verizon Communications, Inc. 2,052,571 123,646,877
    268,078,215
 
Transportation 2.8%
American Airlines Group, Inc. 196,667 5,652,210
C.H. Robinson Worldwide, Inc. 67,450 5,183,533
CSX Corp. 396,111 28,337,781
Delta Air Lines, Inc. 287,180 16,458,286
Expeditors International of Washington, Inc. 84,828 6,341,741
FedEx Corp. 119,103 19,062,435
Southwest Airlines Co. 240,457 13,859,941
Union Pacific Corp. 349,637 61,532,616
United Parcel Service, Inc., Class B 346,562 41,493,868
    197,922,411
 
Utilities 5.6%
AES Corp. 329,759 6,235,743
Alliant Energy Corp. 118,041 6,256,173
Ameren Corp. 122,180 9,081,639
American Electric Power Co., Inc. 245,056 22,385,865
American Water Works Co., Inc. 89,653 10,850,702
Aqua America, Inc. 107,596 4,763,275
Atmos Energy Corp. 58,740 6,282,830
Avangrid, Inc. 27,616 1,340,481
CenterPoint Energy, Inc. 249,794 6,134,941
CMS Energy Corp. 141,114 8,650,288
Consolidated Edison, Inc. 164,642 14,305,743
Dominion Energy, Inc. 407,892 33,899,904
DTE Energy Co. 91,139 11,386,907
Duke Energy Corp. 361,582 31,880,685
Edison International 177,976 12,298,142
Entergy Corp. 98,884 11,509,109
Evergy, Inc. 117,017 7,403,665
Eversource Energy 160,594 13,271,488
Exelon Corp. 482,167 21,408,215
FirstEnergy Corp. 268,440 12,801,903
National Fuel Gas Co. 42,934 1,932,889
NiSource, Inc. 185,513 4,906,819
OGE Energy Corp. 99,683 4,192,667
Pinnacle West Capital Corp. 55,749 4,871,905
PPL Corp. 358,430 12,197,373
Public Service Enterprise Group, Inc. 250,932 14,882,777
Sempra Energy 136,251 20,065,685
The Southern Co. 518,717 32,155,267
UGI Corp. 103,803 4,520,621
Vistra Energy Corp. 224,485 5,955,587
WEC Energy Group, Inc. 156,541 13,877,360
Xcel Energy, Inc. 260,230 16,001,543
    387,708,191
Total Common Stock
(Cost $6,039,952,119)   6,936,339,745

 
47

 

Schwab U.S. Large-Cap Value ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Rights 0.0% of net assets
 
Media & Entertainment 0.0%
DISH Network Corp.
expires 12/09/19 *
6,479 4,406
Total Rights
(Cost $—)   4,406

Other Investment Companies 0.1% of net assets
 
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 1.59% (c) 2,263,432 2,263,432
 
Securities Lending Collateral 0.0%
Wells Fargo Government Money Market Fund, Select Class 1.56% (c) 2,091,200 2,091,200
Total Other Investment Companies
(Cost $4,354,632)   4,354,632
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
Russell 1000 Value Index, e-mini, expires 12/20/19 302 19,856,500 107,615
* Non-income producing security.
(a) Issuer is affiliated with the fund’s investment adviser.
(b) All or a portion of this security is on loan. Securities on loan were valued at $2,002,324.
(c) The rate shown is the 7-day yield.
 
The fund owns shares of an affiliate, The Charles Schwab Corp., since that company is included in its index. Below is the summary of investment activities involving The Charles Schwab Corp. shares owned by the fund during the period ended November 30, 2019:
  Market
Value at
8/31/19
Gross
Purchases
Gross
Sales
Realized
Gains(Losses)
Net change
in unrealized
appreciation
(depreciation)
Market

Value at
11/30/19
Balance
of Shares
Held at
11/30/19
Dividends
Received
The Charles Schwab Corp. $— $25,198,433 ($585,937) ($10,029) $3,911,860 $28,514,327 576,047 $97,812
    

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2019:
Description Quoted Prices in
Active Markets for
Identical Assets
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable Inputs
(Level 3)
Total  
Assets          
Common Stock1 $6,936,339,745 $— $— $6,936,339,745  
Rights1 4,406 4,406  
Other Investment Companies1 4,354,632 4,354,632  
Futures Contracts2 107,615 107,615  
Total $6,940,806,398 $— $— $6,940,806,398  
1 As categorized in Portfolio Holdings.
2 Futures contracts are valued at unrealized appreciation or depreciation.
Fund investments in underlying mutual funds are classified as Level 1, without consideration to the classification level of the investments held by the underlying mutual funds, which could be Level 1, Level 2 or Level 3.
48

 

Schwab Strategic Trust
Schwab U.S. Mid-Cap ETF

Portfolio Holdings as of November 30, 2019 (Unaudited)
The following are the portfolio holdings as of the report date. For more information, please refer to the fund’s semiannual or annual shareholder reports.    
 
Security Number
of Shares
Value ($)
Common Stock 99.8% of net assets
 
Automobiles & Components 1.1%
Autoliv, Inc. 160,353 13,104,047
BorgWarner, Inc. 422,924 17,783,954
Gentex Corp. 523,373 14,863,793
Harley-Davidson, Inc. 320,086 11,644,729
Lear Corp. 113,689 13,677,924
    71,074,447
 
Banks 5.1%
Associated Banc-Corp. 331,359 7,104,337
Bank OZK 249,226 7,397,028
BankUnited, Inc. 196,099 6,875,231
BOK Financial Corp. 65,461 5,455,520
CIT Group, Inc. 193,382 8,802,749
Comerica, Inc. 305,656 21,521,239
Commerce Bancshares, Inc. 203,006 13,607,492
Cullen/Frost Bankers, Inc. 116,449 10,894,968
East West Bancorp, Inc. 297,873 13,648,541
Essent Group Ltd. 202,401 11,061,215
F.N.B. Corp. 663,811 8,244,533
First Citizens BancShares, Inc., Class A 17,747 9,224,891
First Hawaiian, Inc. 272,237 7,769,644
First Horizon National Corp. 638,102 10,260,680
IBERIABANK Corp. 107,595 7,853,359
Investors Bancorp, Inc. 458,024 5,523,769
MGIC Investment Corp. 723,187 10,421,125
New York Community Bancorp, Inc. 960,538 11,449,613
PacWest Bancorp 241,367 8,988,507
People's United Financial, Inc. 908,883 14,996,569
Pinnacle Financial Partners, Inc. 147,666 9,069,646
Popular, Inc. 197,341 10,914,931
Prosperity Bancshares, Inc. 194,494 13,663,203
Radian Group, Inc. 418,223 10,806,882
Signature Bank 112,467 13,873,929
Sterling Bancorp 419,037 8,556,735
Synovus Financial Corp. 299,842 11,420,982
TCF Financial Corp. 315,488 13,405,085
TFS Financial Corp. 102,978 2,089,424
Webster Financial Corp. 188,222 9,164,529
Western Alliance Bancorp 194,703 10,155,708
Wintrust Financial Corp. 115,838 7,866,558
Zions Bancorp NA 361,997 18,020,211
    340,108,833
 
Capital Goods 11.6%
A.O. Smith Corp. 283,079 13,701,024
Acuity Brands, Inc. 81,514 10,660,401
AECOM * 322,105 13,956,810
AGCO Corp. 129,235 10,097,131
Air Lease Corp. 212,112 9,848,360
Allegion plc 191,148 22,943,494
Allison Transmission Holdings, Inc. 246,124 11,912,402
Security Number
of Shares
Value ($)
Arconic, Inc. 794,114 24,585,769
Armstrong World Industries, Inc. 99,327 9,537,379
BWX Technologies, Inc. 194,422 11,690,595
Carlisle Cos., Inc. 115,994 18,092,744
Colfax Corp. * 170,736 5,753,803
Crane Co. 104,054 8,643,766
Curtiss-Wright Corp. 87,252 11,980,572
Donaldson Co., Inc. 260,951 14,634,132
EMCOR Group, Inc. 114,627 10,193,779
Flowserve Corp. 268,465 13,074,245
Fortune Brands Home & Security, Inc. 286,471 18,122,155
Gardner Denver Holdings, Inc. * 270,889 9,175,010
Generac Holdings, Inc. * 127,977 12,605,734
Graco, Inc. 341,246 16,485,594
GrafTech International Ltd. 124,668 1,756,572
HD Supply Holdings, Inc. * 351,028 13,977,935
Hexcel Corp. 174,570 13,901,009
Hubbell, Inc. 111,448 16,385,085
Huntington Ingalls Industries, Inc. 84,654 21,304,872
IDEX Corp. 155,174 25,253,017
ITT, Inc. 179,722 12,541,001
Jacobs Engineering Group, Inc. 277,110 25,519,060
Lennox International, Inc. 72,346 18,509,724
Lincoln Electric Holdings, Inc. 126,172 11,640,629
MasTec, Inc. * 123,019 8,161,080
Mercury Systems, Inc. * 113,191 8,291,241
MSC Industrial Direct Co., Inc., Class A 91,963 6,751,004
Nordson Corp. 104,684 17,359,748
nVent Electric plc 317,912 7,855,605
Oshkosh Corp. 139,689 12,636,267
Owens Corning 223,561 14,992,001
Pentair plc 344,157 15,263,363
Quanta Services, Inc. 290,354 12,090,341
Regal Beloit Corp. 85,689 7,003,362
Sensata Technologies Holding plc * 329,965 16,989,898
Snap-on, Inc. 113,071 18,143,373
Spirit AeroSystems Holdings, Inc., Class A 212,420 18,478,416
Teledyne Technologies, Inc. * 74,453 25,462,181
The Middleby Corp. * 114,397 13,242,597
The Timken Co. 139,839 7,354,133
The Toro Co. 218,327 17,068,805
Trex Co., Inc. * 119,297 10,266,700
United Rentals, Inc. * 158,022 24,185,267
WABCO Holdings, Inc. * 105,123 14,165,324
Watsco, Inc. 66,598 11,852,446
Westinghouse Air Brake Technologies Corp. 372,449 29,263,318
Woodward, Inc. 114,942 13,424,076
    768,784,349
 
Commercial & Professional Services 1.6%
ADT, Inc. (a) 211,698 1,956,089
ASGN, Inc. * 108,091 7,243,178
Clean Harbors, Inc. * 104,945 8,673,704
IAA, Inc. * 272,630 12,358,318
Insperity, Inc. 79,028 6,146,008
 
49

 

Schwab U.S. Mid-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
KAR Auction Services, Inc. 272,730 5,760,058
ManpowerGroup, Inc. 122,198 11,320,423
Nielsen Holdings plc 730,601 14,283,250
Robert Half International, Inc. 241,544 14,057,861
Rollins, Inc. 287,537 10,308,201
Stericycle, Inc. * 186,039 11,686,970
TriNet Group, Inc. * 91,214 4,993,966
    108,788,026
 
Consumer Durables & Apparel 3.9%
Brunswick Corp. 175,031 10,286,572
Capri Holdings Ltd. * 309,650 11,500,401
Carter's, Inc. 91,338 9,436,129
Columbia Sportswear Co. 59,360 5,490,800
Hanesbrands, Inc. 738,189 11,124,508
Leggett & Platt, Inc. 270,055 14,129,277
Mattel, Inc. * 705,369 8,252,817
Mohawk Industries, Inc. * 122,655 17,094,427
Newell Brands, Inc. 782,222 15,034,307
NVR, Inc. * 7,028 26,649,403
Polaris, Inc. 117,333 11,463,434
PulteGroup, Inc. 528,014 20,935,755
PVH Corp. 152,370 14,773,795
Ralph Lauren Corp. 105,852 11,362,154
Skechers U.S.A., Inc., Class A * 273,058 10,982,393
Tapestry, Inc. 587,529 15,798,655
Toll Brothers, Inc. 263,799 10,596,806
Under Armour, Inc., Class A * 384,445 7,262,166
Under Armour, Inc., Class C * 400,629 6,930,882
Whirlpool Corp. 130,338 18,651,368
    257,756,049
 
Consumer Services 3.9%
Aramark 505,161 22,045,226
Bright Horizons Family Solutions, Inc. * 119,164 17,936,565
Caesars Entertainment Corp. * 1,141,719 14,888,016
Chegg, Inc. * 231,956 8,992,934
Choice Hotels International, Inc. 64,784 6,300,244
Churchill Downs, Inc. 73,346 9,535,713
Cracker Barrel Old Country Store, Inc. 49,097 7,548,173
Domino's Pizza, Inc. 84,389 24,835,683
Dunkin' Brands Group, Inc. 168,931 12,931,668
Grand Canyon Education, Inc. * 98,746 8,412,172
H&R Block, Inc. 409,835 9,991,777
Marriott Vacations Worldwide Corp. 79,102 9,716,890
Planet Fitness, Inc., Class A * 172,803 12,773,598
Service Corp. International 373,513 16,442,042
ServiceMaster Global Holdings, Inc. * 278,882 10,929,386
Six Flags Entertainment Corp. 160,338 6,971,496
Texas Roadhouse, Inc. 133,636 7,737,524
The Wendy's Co. 376,447 8,071,024
Vail Resorts, Inc. 82,345 19,982,661
Wyndham Destinations, Inc. 188,318 9,133,423
Wyndham Hotels & Resorts, Inc. 196,918 11,407,460
    256,583,675
 
Diversified Financials 4.2%
Affiliated Managers Group, Inc. 103,449 8,831,441
AGNC Investment Corp. 1,121,813 19,429,801
Blackstone Mortgage Trust, Inc., Class A 274,034 10,037,865
Chimera Investment Corp. 382,071 7,782,786
Credit Acceptance Corp. * 28,410 12,229,369
Eaton Vance Corp. 230,867 10,889,996
FactSet Research Systems, Inc. 78,341 20,341,241
Invesco Ltd. 788,532 13,846,622
Janus Henderson Group plc 325,033 8,255,838
Security Number
of Shares
Value ($)
Jefferies Financial Group, Inc. 514,831 10,759,968
Lazard Ltd., Class A 230,788 8,917,648
LPL Financial Holdings, Inc. 168,139 15,527,637
MFA Financial, Inc. 920,615 7,051,911
Morningstar, Inc. 41,908 6,583,747
Navient Corp. 414,475 5,947,716
New Residential Investment Corp. 853,914 13,235,667
OneMain Holdings, Inc. 155,724 6,710,147
Raymond James Financial, Inc. 253,052 22,729,131
Santander Consumer USA Holdings, Inc. 213,657 5,031,622
SEI Investments Co. 259,818 16,766,056
SLM Corp. 871,626 7,434,970
Starwood Property Trust, Inc. 577,213 14,141,718
Two Harbors Investment Corp. 557,161 8,101,121
Voya Financial, Inc. 287,182 16,736,967
    277,320,985
 
Energy 2.2%
Antero Midstream Corp. (a) 612,129 2,803,551
Apache Corp. 768,333 17,118,459
Cabot Oil & Gas Corp. 856,964 13,660,006
Cimarex Energy Co. 207,257 9,527,604
Devon Energy Corp. 829,875 18,165,964
Equitrans Midstream Corp. 416,877 4,156,264
Helmerich & Payne, Inc. 223,606 8,839,145
HollyFrontier Corp. 310,035 15,982,304
Murphy Oil Corp. 314,949 7,246,977
National Oilwell Varco, Inc. 790,262 17,820,408
Parsley Energy, Inc., Class A 574,246 8,602,205
Targa Resources Corp. 476,681 17,413,157
WPX Energy, Inc. * 862,705 8,489,017
    149,825,061
 
Food & Staples Retailing 0.6%
Casey's General Stores, Inc. 75,092 13,048,737
Performance Food Group Co. * 215,994 10,164,677
US Foods Holding Corp. * 447,858 17,811,313
    41,024,727
 
Food, Beverage & Tobacco 1.3%
Beyond Meat, Inc. *(a) 21,019 1,743,736
Bunge Ltd. 290,696 15,517,353
Flowers Foods, Inc. 392,981 8,460,881
Ingredion, Inc. 136,273 11,333,826
Lamb Weston Holdings, Inc. 298,004 25,026,376
Lancaster Colony Corp. 40,444 6,391,365
Pilgrim's Pride Corp. * 106,982 3,369,933
Post Holdings, Inc. * 140,882 14,877,139
Seaboard Corp. 525 2,158,574
    88,879,183
 
Health Care Equipment & Services 4.9%
ABIOMED, Inc. * 92,935 18,231,988
Chemed Corp. 32,670 14,048,753
DaVita, Inc. * 185,841 13,337,809
DENTSPLY SIRONA, Inc. 458,617 25,930,205
Encompass Health Corp. 201,455 14,244,883
Guardant Health, Inc. * 81,577 6,336,086
Haemonetics Corp. * 103,694 12,505,496
HealthEquity, Inc. * 144,267 9,072,952
Henry Schein, Inc. * 303,437 20,906,809
Hill-Rom Holdings, Inc. 137,081 14,696,454
ICU Medical, Inc. * 39,268 7,361,965
Insulet Corp. * 123,441 22,922,994
Integra LifeSciences Holdings Corp. * 144,963 8,841,293
 
50

 

Schwab U.S. Mid-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
LivaNova plc * 98,824 8,277,498
Masimo Corp. * 100,634 15,605,314
Molina Healthcare, Inc. * 128,756 17,446,438
Penumbra, Inc. * 65,718 11,626,829
STERIS plc 173,369 26,202,991
Teladoc Health, Inc. * 147,136 12,321,169
Varian Medical Systems, Inc. * 186,427 24,930,883
West Pharmaceutical Services, Inc. 150,915 22,189,032
    327,037,841
 
Household & Personal Products 0.2%
Coty, Inc., Class A 601,024 6,935,817
Herbalife Nutrition Ltd. * 194,707 8,880,586
    15,816,403
 
Insurance 4.6%
Alleghany Corp. * 29,528 23,033,021
American Financial Group, Inc. 152,894 16,774,001
American National Insurance Co. 18,676 2,203,768
Assurant, Inc. 125,338 16,653,660
Assured Guaranty Ltd. 201,561 10,007,504
Athene Holding Ltd., Class A * 246,877 11,114,403
Axis Capital Holdings Ltd. 171,435 10,145,523
Brighthouse Financial, Inc. * 227,572 9,366,864
Brown & Brown, Inc. 478,245 18,048,966
Erie Indemnity Co., Class A 37,732 6,388,028
Everest Re Group Ltd. 83,393 22,621,185
First American Financial Corp. 229,986 14,631,709
Globe Life, Inc. 205,523 21,119,544
Kemper Corp. 127,869 9,452,077
Old Republic International Corp. 584,895 13,195,231
Primerica, Inc. 85,540 11,448,674
Reinsurance Group of America, Inc. 128,531 21,266,739
RenaissanceRe Holdings Ltd. 90,486 17,041,228
Selective Insurance Group, Inc. 121,152 8,022,685
The Hanover Insurance Group, Inc. 80,757 10,977,299
Unum Group 427,006 13,126,164
W.R. Berkley Corp. 296,183 20,140,444
    306,778,717
 
Materials 6.4%
Albemarle Corp. 217,795 14,239,437
Alcoa Corp. * 378,989 7,712,426
AptarGroup, Inc. 131,341 14,725,953
Ashland Global Holdings, Inc. 123,590 8,861,403
Avery Dennison Corp. 172,505 22,489,477
Axalta Coating Systems Ltd. * 423,989 12,070,967
Berry Global Group, Inc. * 269,765 12,595,328
CF Industries Holdings, Inc. 447,070 20,659,105
Crown Holdings, Inc. * 277,879 21,091,016
Eagle Materials, Inc. 85,799 7,896,082
Eastman Chemical Co. 280,322 21,968,835
FMC Corp. 267,138 26,168,839
Graphic Packaging Holding Co. 600,130 9,764,115
Huntsman Corp. 417,074 9,434,214
International Flavors & Fragrances, Inc. 218,419 30,847,315
NewMarket Corp. 15,080 7,449,068
Packaging Corp. of America 193,857 21,692,598
Reliance Steel & Aluminum Co. 136,888 16,150,046
Royal Gold, Inc. 134,362 15,756,632
RPM International, Inc. 265,226 19,555,113
Sealed Air Corp. 315,591 11,907,248
Sonoco Products Co. 204,374 12,370,758
Steel Dynamics, Inc. 449,403 15,158,363
The Mosaic Co. 729,241 13,892,041
The Scotts Miracle-Gro Co. 80,428 8,129,662
Security Number
of Shares
Value ($)
Valvoline, Inc. 384,246 8,703,172
W.R. Grace & Co. 114,486 7,651,099
Westlake Chemical Corp. 70,772 4,860,621
Westrock Co. 526,732 21,243,102
    425,044,035
 
Media & Entertainment 2.6%
Altice USA, Inc., Class A * 632,547 16,180,552
Cable One, Inc. 10,305 15,818,175
Cinemark Holdings, Inc. 217,646 7,371,670
DISH Network Corp., Class A * 492,717 16,836,140
Liberty Media Corp. - Liberty Formula One, Class A * 52,401 2,256,911
Liberty Media Corp. - Liberty Formula One, Class C * 416,053 18,759,830
Match Group, Inc. (a) 111,659 7,869,726
News Corp., Class A 793,180 10,216,158
News Corp., Class B 248,730 3,275,774
Pinterest, Inc., Class A * 176,547 3,439,136
The Interpublic Group of Cos., Inc. 792,985 17,762,864
The Madison Square Garden Co., Class A * 34,948 9,847,648
The New York Times Co., Class A 293,297 9,458,828
TripAdvisor, Inc. 214,328 6,086,915
Zillow Group, Inc., Class A * 70,551 2,755,722
Zillow Group, Inc., Class C * 254,905 9,979,531
Zynga, Inc., Class A * 1,931,763 12,034,884
    169,950,464
 
Pharmaceuticals, Biotechnology & Life Sciences 5.1%
Adaptive Biotechnologies Corp. * 30,439 827,636
Alkermes plc * 321,064 6,748,765
Allogene Therapeutics, Inc. * 104,401 2,942,020
Alnylam Pharmaceuticals, Inc. * 228,035 26,712,020
Avantor, Inc. * 453,076 7,761,192
Bio-Rad Laboratories, Inc., Class A * 44,090 16,285,964
Bio-Techne Corp. 78,043 17,032,885
Bluebird Bio, Inc. * 112,930 9,140,554
Bruker Corp. 208,384 10,667,177
Catalent, Inc. * 299,351 15,563,259
Charles River Laboratories International, Inc. * 99,689 14,479,827
Exelixis, Inc. * 618,827 10,291,093
FibroGen, Inc. * 159,831 6,772,040
Horizon Therapeutics plc * 382,671 12,543,955
Ionis Pharmaceuticals, Inc. * 261,930 16,753,043
Jazz Pharmaceuticals plc * 116,161 17,554,250
Mylan N.V. * 1,055,894 19,829,689
Neurocrine Biosciences, Inc. * 187,263 21,836,739
PerkinElmer, Inc. 227,859 21,168,101
Perrigo Co., plc 278,651 14,275,291
PRA Health Sciences, Inc. * 128,258 13,955,753
Repligen Corp. * 94,641 8,399,389
Sage Therapeutics, Inc. * 105,908 16,391,381
Sarepta Therapeutics, Inc. * 145,055 16,317,237
Syneos Health, Inc. * 126,771 6,960,996
United Therapeutics Corp. * 89,535 8,260,499
    339,470,755
 
Real Estate 11.0%
American Campus Communities, Inc. 281,817 13,538,489
American Homes 4 Rent, Class A 522,899 13,966,632
Americold Realty Trust 392,972 14,783,607
Apartment Investment & Management Co., Class A 305,186 16,409,851
Brixmor Property Group, Inc. 611,165 13,408,960
Camden Property Trust 198,080 22,095,824
 
51

 

Schwab U.S. Mid-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Cousins Properties, Inc. 301,118 12,192,268
CubeSmart 394,939 12,179,919
CyrusOne, Inc. 231,872 14,445,626
Douglas Emmett, Inc. 337,810 14,887,287
Duke Realty Corp. 739,042 25,999,498
EastGroup Properties, Inc. 76,645 10,438,283
EPR Properties 159,158 11,287,485
Equity Commonwealth 248,987 8,179,223
Equity LifeStyle Properties, Inc. 372,223 27,574,280
Federal Realty Investment Trust 142,731 18,850,483
First Industrial Realty Trust, Inc. 259,650 11,055,897
Gaming & Leisure Properties, Inc. 417,791 17,630,780
Healthcare Realty Trust, Inc. 263,870 8,757,845
Healthcare Trust of America, Inc., Class A 421,013 12,777,745
Highwoods Properties, Inc. 211,793 10,282,550
Hudson Pacific Properties, Inc. 315,287 11,287,275
Iron Mountain, Inc. 588,514 18,903,070
JBG SMITH Properties 240,863 9,605,616
Jones Lang LaSalle, Inc. 105,522 17,551,474
Kilroy Realty Corp. 190,479 15,855,472
Kimco Realty Corp. 864,433 18,689,041
Lamar Advertising Co., Class A 176,303 14,708,959
Liberty Property Trust 323,125 19,910,963
Life Storage, Inc. 95,245 10,431,232
Medical Properties Trust, Inc. 1,015,903 21,090,146
National Retail Properties, Inc. 351,204 19,576,111
Omega Healthcare Investors, Inc. 443,239 18,629,335
Paramount Group, Inc. 411,396 5,590,872
Park Hotels & Resorts, Inc. 491,273 11,618,606
PS Business Parks, Inc. 40,865 7,216,350
Rayonier, Inc. 264,613 8,105,096
Regency Centers Corp. 342,711 22,289,923
Rexford Industrial Realty, Inc. 223,958 10,718,630
RLJ Lodging Trust 351,716 6,010,826
Service Properties Trust 335,725 7,819,035
SL Green Realty Corp. 168,812 14,404,728
Spirit Realty Capital, Inc. 204,067 10,693,111
STORE Capital Corp. 430,608 17,530,052
Sun Communities, Inc. 185,676 30,582,694
The Howard Hughes Corp. * 88,110 9,728,225
The Macerich Co. 225,133 6,062,832
VEREIT, Inc. 2,160,113 21,082,703
VICI Properties, Inc. 943,434 23,331,123
Weingarten Realty Investors 247,129 7,868,587
    727,634,619
 
Retailing 3.9%
Advance Auto Parts, Inc. 146,050 22,941,534
AutoNation, Inc. * 120,124 6,137,135
Burlington Stores, Inc. * 135,714 30,535,650
Etsy, Inc. * 246,022 10,674,895
Five Below, Inc. * 114,368 14,148,465
Floor & Decor Holdings, Inc., Class A * 140,299 6,735,755
Foot Locker, Inc. 223,945 8,968,997
GrubHub, Inc. * 186,558 8,044,381
Kohl's Corp. 326,717 15,358,966
L Brands, Inc. 473,994 9,072,245
LKQ Corp. * 631,152 22,267,042
Macy's, Inc. (a) 630,809 9,663,994
Nordstrom, Inc. 220,219 8,405,759
Ollie's Bargain Outlet Holdings, Inc. * 111,600 7,298,640
Penske Automotive Group, Inc. 68,781 3,472,753
Pool Corp. 81,912 16,910,732
Qurate Retail, Inc., Series A * 793,620 7,507,645
The Gap, Inc. 437,096 7,260,165
Tractor Supply Co. 243,977 23,041,188
Security Number
of Shares
Value ($)
Wayfair, Inc., Class A * 132,418 11,244,937
Williams-Sonoma, Inc. 159,707 11,083,666
    260,774,544
 
Semiconductors & Semiconductor Equipment 2.5%
Cree, Inc. * 219,823 9,718,375
Cypress Semiconductor Corp. 756,546 17,741,004
Entegris, Inc. 277,044 13,109,722
First Solar, Inc. * 155,049 8,564,907
MKS Instruments, Inc. 111,267 11,825,457
Monolithic Power Systems, Inc. 82,143 13,198,737
ON Semiconductor Corp. * 840,601 18,047,703
Qorvo, Inc. * 241,431 25,159,525
Silicon Laboratories, Inc. * 88,452 9,369,720
Teradyne, Inc. 347,885 21,774,122
Universal Display Corp. 86,942 16,885,875
    165,395,147
 
Software & Services 11.1%
Alliance Data Systems Corp. 83,599 8,937,569
Alteryx, Inc., Class A * 95,090 10,795,568
Anaplan, Inc. * 171,325 9,237,844
Aspen Technology, Inc. * 141,251 17,712,875
Avalara, Inc. * 134,076 10,461,950
Black Knight, Inc. * 306,285 19,299,018
Blackbaud, Inc. 100,402 8,321,318
Booz Allen Hamilton Holding Corp. 287,160 20,893,762
CACI International, Inc., Class A * 51,183 12,249,116
CDK Global, Inc. 247,562 13,256,945
Cerence, Inc. * 72,592 1,129,531
Ceridian HCM Holding, Inc. * 202,610 12,229,540
Coupa Software, Inc. * 126,538 19,422,318
DocuSign, Inc. * 253,296 18,037,208
Dropbox, Inc., Class A * 436,590 8,072,549
DXC Technology Co. 535,393 19,986,221
Dynatrace, Inc. * 74,389 1,976,516
Elastic N.V. * 64,047 5,085,972
EPAM Systems, Inc. * 112,323 23,795,628
Euronet Worldwide, Inc. * 111,565 17,536,902
Fair Isaac Corp. * 59,187 21,766,019
Gartner, Inc. * 184,583 29,618,188
Genpact Ltd. 315,119 12,825,343
GoDaddy, Inc., Class A * 362,043 24,032,414
Guidewire Software, Inc. * 167,611 20,420,048
HubSpot, Inc. * 82,123 12,400,573
Jack Henry & Associates, Inc. 157,536 23,936,020
Leidos Holdings, Inc. 276,751 25,140,061
LogMeIn, Inc. 100,939 7,871,223
Manhattan Associates, Inc. * 131,349 10,968,955
MAXIMUS, Inc. 130,309 9,727,567
Medallia, Inc. *(a) 32,989 1,001,546
MongoDB, Inc. * 71,235 10,592,644
New Relic, Inc. * 101,431 6,899,337
Nuance Communications, Inc. * 583,508 10,462,298
Nutanix, Inc., Class A * 292,479 10,924,091
Paylocity Holding Corp. * 72,577 8,877,619
Pegasystems, Inc. 77,514 6,016,637
Perspecta, Inc. 281,640 7,767,631
Proofpoint, Inc. * 115,238 13,677,598
PTC, Inc. * 211,732 16,218,671
Q2 Holdings, Inc. * 88,450 7,467,833
RealPage, Inc. * 162,536 8,944,356
RingCentral, Inc., Class A * 146,830 25,323,770
Sabre Corp. 559,019 12,538,796
Science Applications International Corp. 100,088 8,542,511
Slack Technologies, Inc., Class A * 79,213 1,807,641
SolarWinds Corp. * 132,908 2,570,441
 
52

 

Schwab U.S. Mid-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
SS&C Technologies Holdings, Inc. 451,722 27,125,906
Teradata Corp. * 232,999 6,188,453
The Western Union Co. 868,017 23,332,297
Tyler Technologies, Inc. * 79,013 22,927,202
WEX, Inc. * 88,637 17,827,560
Zendesk, Inc. * 227,342 17,960,018
Zscaler, Inc. * 130,820 6,819,647
    738,959,264
 
Technology Hardware & Equipment 4.3%
Arrow Electronics, Inc. * 169,807 13,523,430
Avnet, Inc. 211,662 8,604,060
Ciena Corp. * 318,989 12,108,822
Cognex Corp. 349,504 17,538,111
Coherent, Inc. * 49,007 7,393,196
Dell Technologies, Inc., Class C * 317,764 15,408,376
Dolby Laboratories, Inc., Class A 131,663 9,068,947
F5 Networks, Inc. * 122,995 17,921,601
FLIR Systems, Inc. 277,423 14,858,776
IPG Photonics Corp. * 72,786 10,342,163
Jabil, Inc. 286,260 11,118,338
Juniper Networks, Inc. 707,416 17,727,845
Littelfuse, Inc. 50,202 9,107,145
Lumentum Holdings, Inc. * 156,923 11,558,948
National Instruments Corp. 242,382 10,209,130
NCR Corp. * 261,481 8,584,421
SYNNEX Corp. 83,492 10,253,653
Trimble, Inc. * 515,587 20,896,741
Ubiquiti, Inc. 25,265 4,982,258
ViaSat, Inc. * 117,684 8,649,774
Xerox Holdings Corp. * 388,622 15,129,055
Zebra Technologies Corp., Class A * 110,737 27,788,343
    282,773,133
 
Telecommunication Services 0.5%
GCI Liberty, Inc., Class A * 195,147 13,853,486
Zayo Group Holdings, Inc. * 484,130 16,576,611
    30,430,097
 
Transportation 2.6%
Alaska Air Group, Inc. 252,435 17,420,539
AMERCO 16,425 5,949,464
Expeditors International of Washington, Inc. 349,201 26,106,267
Genesee & Wyoming, Inc., Class A * 115,607 12,884,400
J.B. Hunt Transport Services, Inc. 174,912 20,223,325
JetBlue Airways Corp. * 604,958 11,657,541
Kirby Corp. * 122,292 10,317,776
Knight-Swift Transportation Holdings, Inc. 250,650 9,271,544
Landstar System, Inc. 80,923 9,015,631
Macquarie Infrastructure Corp. 158,632 6,654,612
Old Dominion Freight Line, Inc. 131,069 25,111,510
XPO Logistics, Inc. * 189,353 15,657,600
    170,270,209
 
Utilities 4.6%
AES Corp. 1,358,313 25,685,699
ALLETE, Inc. 105,411 8,444,475
Alliant Energy Corp. 486,806 25,800,718
Security Number
of Shares
Value ($)
Aqua America, Inc. 441,975 19,566,233
Atmos Energy Corp. 242,044 25,889,026
Black Hills Corp. 124,610 9,541,388
Hawaiian Electric Industries, Inc. 222,374 9,711,073
IDACORP, Inc. 102,900 10,809,645
MDU Resources Group, Inc. 406,493 11,804,557
National Fuel Gas Co. 176,285 7,936,351
NiSource, Inc. 764,081 20,209,943
NRG Energy, Inc. 518,051 20,582,166
OGE Energy Corp. 409,957 17,242,791
ONE Gas, Inc. 107,612 9,563,479
Pinnacle West Capital Corp. 229,824 20,084,319
Portland General Electric Co. 182,485 10,129,742
Southwest Gas Holdings, Inc. 110,858 8,398,602
UGI Corp. 427,637 18,623,591
Vistra Energy Corp. 926,287 24,574,394
    304,598,192
Total Common Stock
(Cost $5,683,109,631)   6,625,078,755

Rights 0.0% of net assets
 
Media & Entertainment 0.0%
DISH Network Corp.
expires 12/09/19 *
26,597 18,086
Total Rights
(Cost $—)   18,086

Other Investment Companies 0.4% of net assets
 
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 1.59% (b) 4,603,223 4,603,223
 
Securities Lending Collateral 0.3%
Wells Fargo Government Money Market Fund, Select Class 1.56% (b) 20,545,775 20,545,775
Total Other Investment Companies
(Cost $25,148,998)   25,148,998
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
S&P Mid-Cap 400 Index, e-mini, expires 12/20/19 59 11,859,000 58,627
* Non-income producing security.
(a) All or a portion of this security is on loan. Securities on loan were valued at $19,773,846.
(b) The rate shown is the 7-day yield.
 

53

 

Schwab U.S. Mid-Cap ETF
Portfolio Holdings (Unaudited) continued

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2019:
Description Quoted Prices in
Active Markets for
Identical Assets
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable Inputs
(Level 3)
Total  
Assets          
Common Stock1 $6,625,078,755 $— $— $6,625,078,755  
Rights1 18,086 18,086  
Other Investment Companies1 25,148,998 25,148,998  
Futures Contracts2 58,627 58,627  
Total $6,650,304,466 $— $— $6,650,304,466  
1 As categorized in Portfolio Holdings.
2 Futures contracts are valued at unrealized appreciation or depreciation.
Fund investments in underlying mutual funds are classified as Level 1, without consideration to the classification level of the investments held by the underlying mutual funds, which could be Level 1, Level 2 or Level 3.
54

 

Schwab Strategic Trust
Schwab U.S. Small-Cap ETF

Portfolio Holdings as of November 30, 2019 (Unaudited)
The following are the portfolio holdings as of the report date. For more information, please refer to the fund’s semiannual or annual shareholder reports.    
 
Security Number
of Shares
Value ($)
Common Stock 99.9% of net assets
 
Automobiles & Components 1.2%
Adient plc * 273,466 5,977,967
American Axle & Manufacturing Holdings, Inc. * 354,467 3,495,045
Cooper Tire & Rubber Co. 158,243 4,560,563
Cooper-Standard Holding, Inc. * 53,214 1,512,874
Dana, Inc. 453,753 7,691,113
Delphi Technologies plc * 273,667 3,409,891
Dorman Products, Inc. * 92,023 6,839,149
Fox Factory Holding Corp. * 121,001 7,977,596
Garrett Motion, Inc. * 231,893 2,683,002
Gentherm, Inc. * 103,923 4,349,178
LCI Industries 78,831 8,392,348
Modine Manufacturing Co. * 157,729 1,170,349
Motorcar Parts of America, Inc. * 58,724 1,145,705
Standard Motor Products, Inc. 63,275 3,187,162
Stoneridge, Inc. * 86,345 2,602,438
Tenneco, Inc., Class A 180,457 2,235,862
The Goodyear Tire & Rubber Co. 729,335 11,662,067
Thor Industries, Inc. 172,702 11,013,207
Veoneer, Inc. * 313,505 5,075,646
Visteon Corp. * 87,592 8,192,480
Winnebago Industries, Inc. 105,872 5,032,096
    108,205,738
 
Banks 11.5%
1st Source Corp. 46,038 2,366,814
Allegiance Bancshares, Inc. * 60,310 2,163,923
Ameris Bancorp 205,668 8,977,408
Arrow Financial Corp. 47,723 1,711,347
Associated Banc-Corp. 508,863 10,910,023
Atlantic Union Bankshares Corp. 258,176 9,759,053
Axos Financial, Inc. * 167,716 4,939,236
Banc of California, Inc. 139,540 2,143,334
BancFirst Corp. 57,238 3,382,193
BancorpSouth Bank 294,232 9,150,615
Bank of Hawaii Corp. 128,094 11,542,550
Bank of Marin Bancorp 38,169 1,722,567
Bank OZK 379,827 11,273,265
BankUnited, Inc. 298,173 10,453,945
Banner Corp. 108,486 5,926,590
Berkshire Hills Bancorp, Inc. 139,176 4,391,003
Boston Private Financial Holdings, Inc. 268,154 3,148,128
Bridge Bancorp, Inc. 57,377 1,875,080
Bridgewater Bancshares, Inc. * 67,953 868,439
Brookline Bancorp, Inc. 252,021 4,044,937
Bryn Mawr Bank Corp. 62,572 2,457,202
Byline Bancorp, Inc. * 73,300 1,347,987
Cadence BanCorp 405,014 6,686,781
Camden National Corp. 49,998 2,171,913
Capitol Federal Financial, Inc. 443,729 6,292,077
Carolina Financial Corp. 65,039 2,750,499
Carter Bank & Trust * 71,664 1,513,544
Security Number
of Shares
Value ($)
Cathay General Bancorp 238,456 8,779,950
CBTX, Inc. 53,474 1,578,552
CenterState Bank Corp. 404,736 10,292,436
Central Pacific Financial Corp. 90,803 2,638,735
CIT Group, Inc. 297,057 13,522,035
City Holding Co. 51,713 4,110,149
Columbia Banking System, Inc. 229,783 8,979,920
Columbia Financial, Inc. * 158,595 2,642,193
Community Bank System, Inc. 161,912 10,985,729
Community Trust Bancorp, Inc. 51,930 2,333,734
ConnectOne Bancorp, Inc. 95,595 2,408,038
CrossFirst Bankshares, Inc. * 22,162 293,868
Customers Bancorp, Inc. * 93,216 2,179,390
CVB Financial Corp. 417,394 8,915,536
Dime Community Bancshares, Inc. 98,083 1,977,353
Eagle Bancorp, Inc. 108,679 4,827,521
Enterprise Financial Services Corp. 84,923 3,838,520
Equity Bancshares, Inc., Class A * 44,021 1,296,418
Essent Group Ltd. 308,595 16,864,717
F.N.B. Corp. 1,022,972 12,705,312
FB Financial Corp. 54,386 2,093,861
Federal Agricultural Mortgage Corp., Class C 31,351 2,603,701
Financial Institutions, Inc. 49,721 1,619,910
First BanCorp 681,277 7,153,408
First Bancorp (North Carolina) 93,476 3,654,912
First Bancshares, Inc. 59,110 1,983,732
First Busey Corp. 158,796 4,223,974
First Citizens BancShares, Inc., Class A 27,314 14,197,817
First Commonwealth Financial Corp. 309,494 4,397,910
First Community Bankshares, Inc. 42,289 1,289,392
First Defiance Financial Corp. 61,337 1,849,311
First Financial Bancorp 312,890 7,609,485
First Financial Bankshares, Inc. 426,230 14,734,771
First Financial Corp. 42,744 1,890,140
First Foundation, Inc. 120,684 1,978,011
First Hawaiian, Inc. 419,703 11,978,324
First Horizon National Corp. 983,524 15,815,066
First Interstate BancSystem, Inc., Class A 110,701 4,660,512
First Merchants Corp. 175,514 7,106,562
First Mid Bancshares, Inc. 40,890 1,430,332
First Midwest Bancorp, Inc. 346,325 7,466,767
Flagstar Bancorp, Inc. 108,272 4,034,215
Flushing Financial Corp. 87,628 1,857,714
Fulton Financial Corp. 522,704 8,969,601
German American Bancorp, Inc. 79,129 2,666,647
Glacier Bancorp, Inc. 268,674 11,781,355
Great Southern Bancorp, Inc. 34,457 2,102,911
Great Western Bancorp, Inc. 178,666 6,140,750
Hancock Whitney Corp. 285,585 11,597,607
Hanmi Financial Corp. 96,175 1,887,915
Harborone Bancorp, Inc. * 187,327 1,987,539
Heartland Financial USA, Inc. 103,702 4,896,808
Heritage Commerce Corp. 185,951 2,324,387
Heritage Financial Corp. 116,747 3,219,882
Hilltop Holdings, Inc. 224,450 5,528,203
Home BancShares, Inc. 489,367 9,209,887
 
55

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
HomeStreet, Inc. * 75,836 2,420,685
HomeTrust Bancshares, Inc. 50,859 1,328,946
Hope Bancorp, Inc. 396,810 5,757,713
Horizon Bancorp, Inc. 117,648 2,214,135
IBERIABANK Corp. 166,525 12,154,660
Independent Bank Corp. 108,299 9,118,776
Independent Bank Group, Inc. 114,521 6,599,845
International Bancshares Corp. 181,061 7,680,608
Investors Bancorp, Inc. 706,456 8,519,859
Kearny Financial Corp. 249,961 3,524,450
Lakeland Bancorp, Inc. 147,521 2,460,650
Lakeland Financial Corp. 80,942 3,813,987
LendingTree, Inc. * 23,985 8,647,312
Live Oak Bancshares, Inc. 83,044 1,515,553
Luther Burbank Corp. 47,161 545,181
Mercantile Bank Corp. 51,046 1,799,372
Merchants Bancorp 51,589 927,570
Meridian Bancorp, Inc. 167,998 3,381,800
Meta Financial Group, Inc. 110,053 3,914,585
MGIC Investment Corp. 1,118,782 16,121,649
Midland States Bancorp, Inc. 64,366 1,807,397
Mr Cooper Group, Inc. * 229,476 3,084,157
National Bank Holdings Corp., Class A 98,366 3,525,437
NBT Bancorp, Inc. 137,585 5,503,400
Nicolet Bankshares, Inc. * 28,192 2,042,792
NMI Holdings, Inc., Class A * 212,751 7,142,051
Northfield Bancorp, Inc. 134,805 2,278,205
Northwest Bancshares, Inc. 315,114 5,243,497
OceanFirst Financial Corp. 160,921 3,858,886
Ocwen Financial Corp. * 366,762 572,149
OFG Bancorp 162,143 3,477,967
Old National Bancorp 539,700 9,757,776
Opus Bank 67,617 1,738,433
Origin Bancorp, Inc. 64,359 2,295,686
Oritani Financial Corp. 121,436 2,258,710
Pacific Premier Bancorp, Inc. 189,455 6,070,138
PacWest Bancorp 373,563 13,911,486
Park National Corp. 44,963 4,511,138
Peapack Gladstone Financial Corp. 53,476 1,598,932
PennyMac Financial Services, Inc. 130,938 4,492,483
People's Utah Bancorp 48,585 1,425,970
Peoples Bancorp, Inc. 58,545 1,915,007
Peoples Financial Services Corp. 21,080 1,035,450
Pinnacle Financial Partners, Inc. 227,506 13,973,419
Popular, Inc. 304,262 16,828,731
Preferred Bank 43,277 2,386,727
Prosperity Bancshares, Inc. 298,127 20,943,422
Provident Financial Services, Inc. 190,771 4,639,551
QCR Holdings, Inc. 46,083 1,926,269
Radian Group, Inc. 637,753 16,479,538
Renasant Corp. 183,870 6,508,998
Republic Bancorp, Inc., Class A 28,524 1,317,809
S&T Bancorp, Inc. 121,192 4,571,362
Sandy Spring Bancorp, Inc. 113,985 4,030,510
Seacoast Banking Corp. of Florida * 163,029 4,850,113
ServisFirst Bancshares, Inc. 146,707 5,334,267
Simmons First National Corp., Class A 358,424 9,286,766
South State Corp. 107,425 8,946,354
Southside Bancshares, Inc. 100,273 3,520,585
Sterling Bancorp 645,586 13,182,866
Sterling Bancorp, Inc. 47,156 456,942
Stock Yards Bancorp, Inc. 67,977 2,813,568
Synovus Financial Corp. 460,596 17,544,102
TCF Financial Corp. 482,826 20,515,277
Texas Capital Bancshares, Inc. * 157,958 9,129,972
TFS Financial Corp. 159,861 3,243,580
The Bancorp, Inc. * 165,019 1,830,061
The First of Long Island Corp. 73,592 1,783,134
Tompkins Financial Corp. 39,176 3,398,518
Security Number
of Shares
Value ($)
Towne Bank 201,382 5,668,903
TriCo Bancshares 84,082 3,249,769
TriState Capital Holdings, Inc. * 74,741 1,810,974
Triumph Bancorp, Inc. * 77,884 2,792,920
TrustCo Bank Corp. 308,240 2,706,347
Trustmark Corp. 203,057 6,977,039
UMB Financial Corp. 135,706 9,128,943
Umpqua Holdings Corp. 690,516 11,303,747
United Bankshares, Inc. 320,668 12,143,697
United Community Banks, Inc. 247,816 7,682,296
Univest Financial Corp. 91,073 2,377,916
Valley National Bancorp 1,045,150 12,102,837
Veritex Holdings, Inc. 154,449 4,017,218
Walker & Dunlop, Inc. 89,835 5,896,769
Washington Federal, Inc. 249,023 9,166,537
Washington Trust Bancorp, Inc. 46,338 2,418,380
Waterstone Financial, Inc. 83,623 1,577,966
Webster Financial Corp. 290,485 14,143,715
WesBanco, Inc. 207,409 7,566,280
Westamerica Bancorp 84,766 5,509,790
Western Alliance Bancorp 299,657 15,630,109
Wintrust Financial Corp. 177,703 12,067,811
WSFS Financial Corp. 165,980 7,401,048
    1,007,861,813
 
Capital Goods 10.4%
AAON, Inc. 127,730 6,306,030
AAR Corp. 104,301 4,661,212
Actuant Corp., Class A 173,249 4,254,995
Advanced Drainage Systems, Inc. 159,517 6,087,169
AECOM * 495,289 21,460,872
Aegion Corp. * 100,363 2,173,863
Aerojet Rocketdyne Holdings, Inc. * 226,956 10,031,455
AeroVironment, Inc. * 68,101 4,177,315
Air Lease Corp. 326,464 15,157,724
Aircastle Ltd. 164,798 5,271,888
Alamo Group, Inc. 30,442 3,494,742
Albany International Corp., Class A 96,803 8,100,475
Altra Industrial Motion Corp. 204,314 6,715,801
Ameresco, Inc., Class A * 61,148 999,770
American Woodmark Corp. * 49,170 5,059,593
Apogee Enterprises, Inc. 83,946 3,210,095
Applied Industrial Technologies, Inc. 120,999 7,725,786
Arcosa, Inc. 152,059 5,962,233
Argan, Inc. 40,844 1,496,524
Armstrong Flooring, Inc. * 54,790 219,708
Armstrong World Industries, Inc. 152,893 14,680,786
Astec Industries, Inc. 70,076 2,625,047
Astronics Corp. * 72,627 2,117,077
Atkore International Group, Inc. * 146,537 6,113,524
Axon Enterprise, Inc. * 185,991 13,726,136
AZZ, Inc. 81,324 3,096,005
Babcock & Wilcox Enterprises, Inc. * 101,829 352,328
Barnes Group, Inc. 149,048 8,822,151
Beacon Roofing Supply, Inc. * 214,773 6,368,019
BMC Stock Holdings, Inc. * 211,782 6,270,865
Briggs & Stratton Corp. 130,949 700,577
Builders FirstSource, Inc. * 363,763 9,243,218
BWX Technologies, Inc. 299,313 17,997,691
CAI International, Inc. * 49,436 1,191,408
Chart Industries, Inc. * 112,862 6,229,982
CIRCOR International, Inc. * 61,841 2,743,267
Colfax Corp. * 261,966 8,828,254
Columbus McKinnon Corp. 74,948 3,078,864
Comfort Systems USA, Inc. 115,442 5,899,086
Continental Building Products, Inc. * 109,795 4,039,358
Cornerstone Building Brands, Inc. * 143,657 991,233
Crane Co. 160,374 13,322,268
 
56

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
CSW Industrials, Inc. 47,499 3,506,851
Cubic Corp. 98,263 5,851,562
Curtiss-Wright Corp. 134,327 18,444,440
Douglas Dynamics, Inc. 71,773 3,883,637
DXP Enterprises, Inc. * 49,784 1,918,178
Dycom Industries, Inc. * 99,822 5,195,735
EMCOR Group, Inc. 176,067 15,657,638
Encore Wire Corp. 65,704 3,833,171
Energy Recovery, Inc. * 106,070 923,870
EnerSys 133,595 9,374,361
EnPro Industries, Inc. 64,705 4,295,765
ESCO Technologies, Inc. 81,468 7,174,887
Evoqua Water Technologies Corp. * 227,405 4,307,051
Federal Signal Corp. 189,359 6,237,485
Fluor Corp. 443,980 7,743,011
Foundation Building Materials, Inc. * 54,814 1,120,398
Franklin Electric Co., Inc. 120,758 6,698,446
Gardner Denver Holdings, Inc. * 417,514 14,141,199
Gates Industrial Corp. plc * 144,226 1,714,847
GATX Corp. 112,305 9,077,613
Generac Holdings, Inc. * 196,242 19,329,837
Gibraltar Industries, Inc. * 101,389 5,294,534
GMS, Inc. * 131,361 4,066,937
GrafTech International Ltd. 192,608 2,713,847
Graham Corp. 27,392 581,806
Granite Construction, Inc. 148,302 3,820,260
Great Lakes Dredge & Dock Corp. * 198,395 2,118,859
Griffon Corp. 135,166 2,868,223
H&E Equipment Services, Inc. 99,554 3,285,282
Harsco Corp. * 255,709 5,689,525
Helios Technologies, Inc. 92,391 4,137,269
Herc Holdings, Inc. * 76,064 3,556,753
Hillenbrand, Inc. 232,116 7,339,508
Hyster-Yale Materials Handling, Inc. 30,593 1,812,023
Insteel Industries, Inc. 56,801 1,325,167
ITT, Inc. 276,142 19,269,189
JELD-WEN Holding, Inc. * 212,865 4,842,679
John Bean Technologies Corp. 99,358 10,884,669
Kadant, Inc. 35,642 3,471,531
Kaman Corp. 87,607 5,571,805
Kennametal, Inc. 259,578 9,041,102
Kratos Defense & Security Solutions, Inc. * 283,382 5,117,879
L.B. Foster Co., Class A * 27,349 517,990
Lindsay Corp. 33,980 3,065,676
Lydall, Inc. * 54,506 1,014,902
Masonite International Corp. * 78,517 5,637,521
MasTec, Inc. * 189,766 12,589,076
Mercury Systems, Inc. * 174,487 12,781,173
Meritor, Inc. * 245,700 6,203,925
Moog, Inc., Class A 101,999 8,758,654
MRC Global, Inc. * 265,730 3,544,838
MSC Industrial Direct Co., Inc., Class A 141,704 10,402,491
Mueller Industries, Inc. 178,169 5,592,725
Mueller Water Products, Inc., Class A 499,849 5,638,297
MYR Group, Inc. * 51,714 1,776,893
National Presto Industries, Inc. 15,631 1,390,846
Navistar International Corp. * 205,527 6,710,457
NN, Inc. 131,835 1,148,283
NOW, Inc. * 345,208 3,869,782
NV5 Global, Inc. * 32,120 1,544,651
nVent Electric plc 488,318 12,066,338
Omega Flex, Inc. 9,316 892,566
Oshkosh Corp. 215,159 19,463,283
Park Aerospace Corp. 60,532 987,277
Park-Ohio Holdings Corp. 26,786 847,241
Parsons Corp. * 58,687 2,349,241
Patrick Industries, Inc. * 71,017 3,516,762
PGT Innovations, Inc. * 185,331 2,665,060
Plug Power, Inc. *(a) 720,896 2,811,494
Security Number
of Shares
Value ($)
Powell Industries, Inc. 28,121 1,169,552
Preformed Line Products Co. 8,891 639,263
Primoris Services Corp. 137,931 3,037,241
Proto Labs, Inc. * 84,551 8,192,146
Quanex Building Products Corp. 103,020 2,004,769
Raven Industries, Inc. 113,000 3,883,810
RBC Bearings, Inc. * 78,260 12,981,769
Regal Beloit Corp. 132,671 10,843,201
Resideo Technologies, Inc. * 386,468 3,779,657
REV Group, Inc. 83,475 1,085,175
Rexnord Corp. * 383,494 12,114,575
Rush Enterprises, Inc., Class A 86,638 3,969,753
Rush Enterprises, Inc., Class B 16,610 757,748
Simpson Manufacturing Co., Inc. 127,884 10,384,181
SiteOne Landscape Supply, Inc. * 129,412 11,486,609
SPX Corp. * 138,347 6,610,220
SPX FLOW, Inc. * 134,119 6,357,241
Standex International Corp. 39,485 3,047,452
Sunrun, Inc. * 244,702 3,396,464
Systemax, Inc. 45,401 1,051,487
Tennant Co. 57,416 4,275,195
Terex Corp. 205,290 5,762,490
The Gorman-Rupp Co. 54,443 2,014,935
The Greenbrier Cos., Inc. 103,994 2,926,391
The Manitowoc Co., Inc. * 109,950 1,759,200
The Timken Co. 215,363 11,325,940
Thermon Group Holdings, Inc. * 101,762 2,670,235
Titan International, Inc. 170,862 500,626
Titan Machinery, Inc. * 57,657 776,640
TPI Composites, Inc. * 98,260 1,773,593
Trex Co., Inc. * 183,182 15,764,643
TriMas Corp. * 141,947 4,397,518
Trinity Industries, Inc. 320,101 6,734,925
Triton International Ltd. 169,532 6,421,872
Triumph Group, Inc. 158,306 4,386,659
Tutor Perini Corp. * 123,560 1,968,311
Univar Solutions, Inc. * 434,058 10,165,638
Universal Forest Products, Inc. 193,172 9,581,331
Valmont Industries, Inc. 67,801 9,705,035
Veritiv Corp. * 38,885 713,151
Vicor Corp. * 56,702 2,328,751
Vivint Solar, Inc. *(a) 136,420 1,002,687
Wabash National Corp. 169,336 2,667,042
Watsco, Inc. 102,524 18,246,196
Watts Water Technologies, Inc., Class A 87,152 8,450,258
Welbilt, Inc. * 411,199 6,862,911
Wesco Aircraft Holdings, Inc. * 204,568 2,242,065
WESCO International, Inc. * 132,944 6,995,513
WillScot Corp. * 172,483 3,063,298
    918,306,027
 
Commercial & Professional Services 3.3%
ABM Industries, Inc. 208,063 7,904,313
Acacia Research Corp. * 139,198 413,418
ACCO Brands Corp. 310,345 2,839,657
ADT, Inc. (a) 326,646 3,018,209
Advanced Disposal Services, Inc. * 226,353 7,458,331
ASGN, Inc. * 166,472 11,155,289
Barrett Business Services, Inc. 23,187 2,048,803
Brady Corp., Class A 155,837 8,882,709
BrightView Holdings, Inc. * 94,409 1,514,320
Casella Waste Systems, Inc., Class A * 137,402 6,418,047
CBIZ, Inc. * 172,614 4,636,412
Clean Harbors, Inc. * 161,763 13,369,712
Covanta Holding Corp. 366,946 5,397,776
Deluxe Corp. 135,045 6,898,099
Ennis, Inc. 81,201 1,675,989
Exponent, Inc. 162,733 10,341,682
 
57

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Forrester Research, Inc. 32,768 1,308,426
Franklin Covey Co. * 29,991 1,106,968
FTI Consulting, Inc. * 118,113 12,873,136
GP Strategies Corp. * 38,901 494,043
Healthcare Services Group, Inc. 233,097 5,862,390
Heidrick & Struggles International, Inc. 59,428 1,843,457
Heritage-Crystal Clean, Inc. * 37,481 1,159,287
Herman Miller, Inc. 184,893 8,834,188
HNI Corp. 135,145 5,309,847
Huron Consulting Group, Inc. * 72,165 4,838,663
ICF International, Inc. 59,065 5,299,902
InnerWorkings, Inc. * 113,226 533,295
Insperity, Inc. 121,862 9,477,208
Interface, Inc. 185,354 3,112,094
KAR Auction Services, Inc. 418,276 8,833,989
Kelly Services, Inc., Class A 105,218 2,305,326
Kforce, Inc. 62,214 2,458,697
Kimball International, Inc., Class B 116,073 2,481,641
Knoll, Inc. 156,298 4,307,573
Korn Ferry 176,489 6,932,488
Matthews International Corp., Class A 99,790 3,826,947
McGrath RentCorp 76,194 5,588,068
Mistras Group, Inc. * 56,251 744,763
Mobile Mini, Inc. 140,466 5,332,089
MSA Safety, Inc. 112,097 13,892,181
NL Industries, Inc. * 26,932 114,192
PICO Holdings, Inc. * 62,091 681,759
Pitney Bowes, Inc. 546,102 2,572,140
Quad/Graphics, Inc. 101,370 455,151
R.R. Donnelley & Sons Co. 217,687 864,217
Resources Connection, Inc. 92,999 1,436,835
SP Plus Corp. * 72,808 3,192,631
Steelcase, Inc., Class A 279,212 5,059,321
Team, Inc. * 94,180 1,522,891
Tetra Tech, Inc. 171,689 15,158,422
The Brink's Co. 157,273 14,626,389
TriNet Group, Inc. * 137,848 7,547,178
TrueBlue, Inc. * 126,995 2,960,253
UniFirst Corp. 48,618 10,027,463
Upwork, Inc. * 199,162 2,320,237
US Ecology, Inc. 79,984 4,398,320
Viad Corp. 63,966 4,023,461
VSE Corp. 26,688 1,088,604
    290,778,896
 
Consumer Durables & Apparel 3.1%
Acushnet Holdings Corp. 109,852 3,303,250
American Outdoor Brands Corp. * 170,460 1,489,820
Beazer Homes USA, Inc. * 90,527 1,386,874
Brunswick Corp. 269,368 15,830,757
Callaway Golf Co. 299,293 6,219,309
Carter's, Inc. 140,879 14,554,210
Cavco Industries, Inc. * 26,916 5,383,469
Century Communities, Inc. * 83,216 2,371,656
Columbia Sportswear Co. 91,505 8,464,213
Crocs, Inc. * 218,842 7,637,586
Deckers Outdoor Corp. * 90,930 15,292,607
Ethan Allen Interiors, Inc. 76,011 1,359,077
Fossil Group, Inc. * 144,333 1,081,054
G-III Apparel Group Ltd. * 135,376 4,007,130
GoPro, Inc., Class A * 408,823 1,651,645
Helen of Troy Ltd. * 79,033 12,757,507
Installed Building Products, Inc. * 66,946 4,800,028
iRobot Corp. *(a) 89,984 3,919,703
Johnson Outdoors, Inc., Class A 19,362 1,250,785
KB Home 269,363 9,314,573
Kontoor Brands, Inc. * 146,600 5,255,610
La-Z-Boy, Inc. 146,637 4,633,729
Security Number
of Shares
Value ($)
Legacy Housing Corp. * 18,425 295,169
Levi Strauss & Co., Class A 131,094 2,199,757
LGI Homes, Inc. * 62,698 4,531,185
M.D.C Holdings, Inc. 155,309 6,145,577
M/I Homes, Inc. * 86,868 3,845,646
Malibu Boats, Inc., Class A * 64,809 2,562,548
Marine Products Corp. 21,182 320,484
Mattel, Inc. * 1,089,205 12,743,699
Meritage Homes Corp. * 112,647 7,495,531
Movado Group, Inc. 51,022 997,480
Oxford Industries, Inc. 53,497 3,981,247
Skechers U.S.A., Inc., Class A * 421,033 16,933,947
Skyline Champion Corp. * 157,513 5,226,281
Sonos, Inc. * 197,637 2,737,272
Steven Madden Ltd. 244,937 10,402,474
Sturm Ruger & Co., Inc. 51,619 2,351,245
Taylor Morrison Home Corp., Class A * 330,142 7,665,897
Tempur Sealy International, Inc. * 144,366 12,253,786
TopBuild Corp. * 108,073 11,918,290
TRI Pointe Group, Inc. * 447,860 6,977,659
Tupperware Brands Corp. 151,637 1,281,333
Unifi, Inc. * 45,426 1,106,123
Universal Electronics, Inc. * 43,140 2,398,584
Vera Bradley, Inc. * 73,600 812,544
Vista Outdoor, Inc. * 179,619 1,487,245
William Lyon Homes, Class A * 102,613 2,142,559
Wolverine World Wide, Inc. 254,308 8,163,287
YETI Holdings, Inc. * 95,988 3,054,338
    273,995,779
 
Consumer Services 4.0%
Adtalem Global Education, Inc. * 172,235 5,809,487
American Public Education, Inc. * 49,876 1,234,930
BBX Capital Corp. 193,988 888,465
Biglari Holdings, Inc., Class A * 236 138,910
Biglari Holdings, Inc., Class B * 3,295 371,676
BJ's Restaurants, Inc. 60,253 2,479,411
Bloomin' Brands, Inc. 272,873 6,562,596
Bluegreen Vacations Corp. 24,058 237,452
Boyd Gaming Corp. 252,205 7,417,349
Brinker International, Inc. 118,042 5,288,282
Career Education Corp. * 221,751 3,698,807
Carriage Services, Inc. 50,392 1,211,928
Carrols Restaurant Group, Inc. * 127,194 1,007,376
Chegg, Inc. * 356,782 13,832,438
Choice Hotels International, Inc. 99,958 9,720,915
Churchill Downs, Inc. 111,960 14,555,920
Chuy's Holdings, Inc. * 51,605 1,487,256
Cracker Barrel Old Country Store, Inc. 75,704 11,638,733
Dave & Buster's Entertainment, Inc. 98,680 3,964,962
Denny's Corp. * 187,299 3,659,822
Dine Brands Global, Inc. 54,154 4,488,284
Drive Shack, Inc. * 185,391 711,901
El Pollo Loco Holdings, Inc. * 64,129 1,033,759
Eldorado Resorts, Inc. * 205,781 11,011,341
Everi Holdings, Inc. * 230,594 3,106,101
Extended Stay America, Inc. 591,690 8,733,344
Fiesta Restaurant Group, Inc. * 66,710 660,429
frontdoor, Inc. * 266,611 12,066,814
Golden Entertainment, Inc. * 57,031 1,033,402
Graham Holdings Co., Class B 13,644 8,617,687
Grand Canyon Education, Inc. * 152,808 13,017,714
Hilton Grand Vacations, Inc. * 269,485 9,332,266
Houghton Mifflin Harcourt Co. * 320,808 1,883,143
Hyatt Hotels Corp., Class A 118,417 9,568,094
Jack in the Box, Inc. 74,386 5,898,066
K12, Inc. * 120,497 2,367,766
Laureate Education, Inc., Class A * 343,159 5,953,809
 
58

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Lindblad Expeditions Holdings, Inc. * 81,727 1,266,768
Marriott Vacations Worldwide Corp. 121,621 14,939,924
Monarch Casino & Resort, Inc. * 36,999 1,687,154
Noodles & Co. * 92,002 579,613
OneSpaWorld Holdings Ltd. * 102,590 1,675,295
Papa John's International, Inc. 68,882 4,358,853
Penn National Gaming, Inc. * 341,499 7,864,722
Planet Fitness, Inc., Class A * 264,446 19,547,848
Playa Hotels & Resorts N.V. * 165,582 1,304,786
PlayAGS, Inc. * 78,212 898,656
Red Robin Gourmet Burgers, Inc. * 40,286 1,098,599
Red Rock Resorts, Inc., Class A 222,778 5,213,005
Regis Corp. * 76,235 1,229,671
Ruth's Hospitality Group, Inc. 86,123 2,012,694
Scientific Games Corp., Class A * 169,874 4,647,753
SeaWorld Entertainment, Inc. * 126,193 3,694,931
Shake Shack, Inc., Class A * 95,913 5,944,688
Six Flags Entertainment Corp. 247,111 10,744,386
Strategic Education, Inc. 68,825 9,755,255
Target Hospitality Corp. * 100,296 474,400
Texas Roadhouse, Inc. 205,231 11,882,875
The Cheesecake Factory, Inc. 129,045 5,627,652
The Habit Restaurants, Inc., Class A * 66,814 710,901
The Wendy's Co. 580,884 12,454,153
Twin River Worldwide Holdings, Inc. 79,467 1,931,048
Wingstop, Inc. 92,417 7,393,360
WW International, Inc. * 145,759 6,309,907
Wyndham Destinations, Inc. 289,961 14,063,108
    354,002,640
 
Diversified Financials 4.7%
Affiliated Managers Group, Inc. 158,859 13,561,793
AG Mortgage Investment Trust, Inc. 101,786 1,584,808
Anworth Mortgage Asset Corp. 308,524 1,086,004
Apollo Commercial Real Estate Finance, Inc. 448,402 8,192,305
Arbor Realty Trust, Inc. 258,246 3,915,009
Ares Management Corp., Class A 233,255 7,718,408
Arlington Asset Investment Corp., Class A 113,080 661,518
ARMOUR Residential REIT, Inc. 184,453 3,183,659
Artisan Partners Asset Management, Inc., Class A 167,308 4,964,028
Assetmark Financial Holdings, Inc. * 38,124 954,244
B. Riley Financial, Inc. 43,438 1,268,824
BGC Partners, Inc., Class A 866,016 5,022,893
Blackstone Mortgage Trust, Inc., Class A 422,766 15,485,919
Blucora, Inc. * 153,766 3,619,652
Brightsphere Investment Group, Inc. * 208,526 2,008,105
Cannae Holdings, Inc. * 210,817 7,903,529
Capstead Mortgage Corp. 298,466 2,322,065
Chimera Investment Corp. 590,232 12,023,026
Cohen & Steers, Inc. 68,494 4,598,002
Colony Credit Real Estate, Inc. 266,757 3,534,530
Cowen, Inc., Class A * 92,975 1,424,377
Curo Group Holdings Corp. * 45,830 623,746
Diamond Hill Investment Group, Inc. 9,810 1,339,556
Donnelley Financial Solutions, Inc. * 97,006 973,940
Dynex Capital, Inc. 72,178 1,219,086
Ellington Financial, Inc. 112,486 2,037,121
Encore Capital Group, Inc. * 87,115 3,177,084
Enova International, Inc. * 108,316 2,494,517
Evercore, Inc., Class A 126,329 9,775,338
Exantas Capital Corp. 104,382 1,256,759
EZCORP, Inc., Class A * 163,105 835,098
Federated Investors, Inc., Class B 301,900 10,119,688
FGL Holdings 413,059 3,771,229
FirstCash, Inc. 134,804 10,897,555
Focus Financial Partners, Inc., Class A * 93,607 2,631,293
Security Number
of Shares
Value ($)
GAMCO Investors, Inc., Class A 14,408 259,056
Granite Point Mortgage Trust, Inc. 173,487 3,152,259
Green Dot Corp., Class A * 152,672 3,627,487
Greenhill & Co., Inc. 49,455 841,230
Hamilton Lane, Inc., Class A 81,269 4,713,602
Houlihan Lokey, Inc. 130,144 6,203,964
Interactive Brokers Group, Inc., Class A 241,702 11,703,211
INTL FCStone, Inc. * 50,607 2,024,280
Invesco Mortgage Capital, Inc. 448,727 7,287,326
Janus Henderson Group plc 498,789 12,669,241
KKR Real Estate Finance Trust, Inc. 79,334 1,601,753
Ladder Capital Corp., Class A 310,886 5,375,219
Ladenburg Thalmann Financial Services, Inc. 360,331 1,257,555
Legg Mason, Inc. 257,036 10,044,967
LendingClub Corp. * 275,265 3,801,410
LPL Financial Holdings, Inc. 258,928 23,912,001
MFA Financial, Inc. 1,415,448 10,842,332
Moelis & Co., Class A 154,770 5,101,219
Navient Corp. 642,802 9,224,209
Nelnet, Inc., Class A 66,897 4,214,511
New Residential Investment Corp. 1,306,630 20,252,765
New York Mortgage Trust, Inc. 904,584 5,635,558
On Deck Capital, Inc. * 180,198 740,614
OneMain Holdings, Inc. 239,023 10,299,501
PennyMac Mortgage Investment Trust 275,292 6,356,492
Piper Jaffray Cos. 44,667 3,612,667
PJT Partners, Inc., Class A 63,987 2,727,126
PRA Group, Inc. * 142,869 5,234,720
Pzena Investment Management, Inc., Class A 56,789 504,854
Ready Capital Corp. 94,950 1,497,362
Redwood Trust, Inc. 351,504 5,687,335
Safeguard Scientifics, Inc. * 60,855 701,050
SLM Corp. 1,337,531 11,409,139
Stifel Financial Corp. 219,069 13,696,194
TPG RE Finance Trust, Inc. 174,280 3,529,170
Tradeweb Markets, Inc., Class A 198,857 8,894,874
Two Harbors Investment Corp. 857,346 12,465,811
Virtu Financial, Inc., Class A 232,186 3,854,288
Virtus Investment Partners, Inc. 20,268 2,387,570
Waddell & Reed Financial, Inc., Class A 233,588 3,772,446
Western Asset Mortgage Capital Corp. 165,517 1,701,515
Westwood Holdings Group, Inc. 24,754 763,908
WisdomTree Investments, Inc. 366,396 1,780,685
World Acceptance Corp. * 17,419 1,654,631
    413,201,815
 
Energy 2.7%
Altus Midstream Co., Class A * 158,667 306,227
Antero Midstream Corp. (a) 940,091 4,305,617
Antero Resources Corp. * 696,453 1,385,941
Apergy Corp. * 244,768 6,251,375
Arch Coal, Inc., Class A (a) 47,256 3,502,142
Archrock, Inc. 401,233 3,374,370
Berry Petroleum Corp. 125,693 1,001,773
Bonanza Creek Energy, Inc. * 57,732 1,008,001
Brigham Minerals, Inc., Class A 49,950 967,032
Cactus, Inc., Class A 148,387 4,479,804
California Resources Corp. *(a) 152,307 996,088
Callon Petroleum Co. * 733,558 2,677,487
Carrizo Oil & Gas, Inc. * 287,919 1,845,561
Centennial Resource Development, Inc., Class A * 591,900 1,828,971
Chesapeake Energy Corp. *(a) 3,570,554 2,125,551
Clean Energy Fuels Corp. * 424,976 828,703
CNX Resources Corp. * 595,105 4,112,176
Comstock Resources, Inc. *(a) 45,853 291,167
 
59

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
CONSOL Energy, Inc. * 84,790 1,081,920
Contura Energy, Inc. * 59,612 397,612
Core Laboratories N.V. 140,178 6,139,796
Covia Holdings Corp. * 98,273 146,427
CVR Energy, Inc. 91,652 3,976,780
Delek US Holdings, Inc. 237,461 8,147,287
Denbury Resources, Inc. * 1,539,630 1,518,845
Diamond Offshore Drilling, Inc. * 201,327 1,137,498
DMC Global, Inc. 45,398 2,092,394
Dorian LPG Ltd. * 90,566 1,299,622
Dril-Quip, Inc. * 114,473 4,837,629
EQT Corp. 806,928 7,044,481
Equitrans Midstream Corp. 640,721 6,387,988
Era Group, Inc. * 61,408 587,675
Evolution Petroleum Corp. 80,789 420,911
Exterran Corp. * 92,236 496,230
Extraction Oil & Gas, Inc. * 238,778 343,840
Falcon Minerals Corp. 117,083 755,185
Forum Energy Technologies, Inc. * 244,264 319,986
Frank's International N.V. * 315,096 1,606,990
FTS International, Inc. * 106,971 111,250
Geospace Technologies Corp. * 41,569 599,425
Green Plains, Inc. 106,310 1,621,227
Gulfport Energy Corp. * 450,968 1,068,794
Helix Energy Solutions Group, Inc. * 444,859 3,692,330
HighPoint Resources Corp. * 337,306 421,632
International Seaways, Inc. * 78,336 2,074,337
Jagged Peak Energy, Inc. * 185,912 1,240,033
KLX Energy Services Holdings, Inc. * 65,355 369,256
Kosmos Energy Ltd. 1,145,900 6,841,023
Laredo Petroleum, Inc. * 560,837 1,211,408
Liberty Oilfield Services, Inc., Class A 158,844 1,404,181
Magnolia Oil & Gas Corp., Class A * 323,286 3,510,886
Mammoth Energy Services, Inc. 40,700 63,899
Matador Resources Co. * 348,851 4,911,822
Matrix Service Co. * 84,337 1,766,017
McDermott International, Inc. *(a) 564,886 452,135
Murphy Oil Corp. 484,458 11,147,379
Nabors Industries Ltd. 1,050,842 2,164,734
NACCO Industries, Inc., Class A 14,042 661,378
Natural Gas Services Group, Inc. * 35,853 388,646
Newpark Resources, Inc. * 280,062 1,641,163
NextDecade Corp. * 20,711 135,657
NexTier Oilfield Solutions, Inc. * 494,849 2,370,327
Nine Energy Service, Inc. * 49,667 272,175
Noble Corp. plc * 775,089 821,594
Northern Oil & Gas, Inc. * 703,218 1,251,728
Oasis Petroleum, Inc. * 915,172 2,141,502
Oceaneering International, Inc. * 314,319 4,215,018
Oil States International, Inc. * 188,131 2,998,808
Overseas Shipholding Group, Inc., Class A * 186,882 327,043
Par Pacific Holdings, Inc. * 114,094 2,839,800
Patterson-UTI Energy, Inc. 646,531 5,779,987
PBF Energy, Inc., Class A 319,616 10,003,981
PDC Energy, Inc. * 185,958 4,226,825
Peabody Energy Corp. 225,139 2,179,345
Penn Virginia Corp. * 41,791 1,009,253
ProPetro Holding Corp. * 255,835 2,205,298
QEP Resources, Inc. 739,850 2,419,309
Range Resources Corp. 657,978 2,296,343
Renewable Energy Group, Inc. * 120,988 2,064,055
REX American Resources Corp. * 17,426 1,600,578
RigNet, Inc. * 37,365 194,298
Ring Energy, Inc. * 197,543 379,283
Roan Resources, Inc. * 114,058 173,368
RPC, Inc. 160,300 618,758
SandRidge Energy, Inc. * 103,312 339,896
SEACOR Holdings, Inc. * 54,304 2,299,231
Security Number
of Shares
Value ($)
SEACOR Marine Holdings, Inc. * 60,961 721,169
Select Energy Services, Inc., Class A * 199,579 1,532,767
SemGroup Corp., Class A 208,530 3,205,106
SM Energy Co. 329,805 2,740,680
Southwestern Energy Co. * 1,727,001 3,143,142
SRC Energy, Inc. * 769,573 2,747,376
Talos Energy, Inc. * 62,347 1,446,450
Tellurian, Inc. *(a) 286,172 2,086,194
TETRA Technologies, Inc. * 387,808 477,004
Tidewater, Inc. * 119,139 1,822,827
Transocean Ltd. * 1,812,603 9,026,763
U.S. Well Services, Inc. * 52,968 84,749
Unit Corp. * 179,530 153,624
US Silica Holdings, Inc. 228,771 1,127,841
Valaris plc *(a) 626,859 2,670,419
W&T Offshore, Inc. * 288,727 1,235,752
Whiting Petroleum Corp. * 283,807 1,299,836
World Fuel Services Corp. 206,783 8,767,599
    236,842,795
 
Food & Staples Retailing 0.9%
BJ's Wholesale Club Holdings, Inc. * 382,214 9,058,472
Casey's General Stores, Inc. 115,561 20,081,035
Grocery Outlet Holding Corp. * 96,771 3,206,023
Ingles Markets, Inc., Class A 46,154 2,051,084
Natural Grocers by Vitamin Cottage, Inc. 25,299 236,546
Performance Food Group Co. * 330,097 15,534,365
PriceSmart, Inc. 70,114 5,240,320
Rite Aid Corp. *(a) 167,305 1,515,783
SpartanNash Co. 112,964 1,599,570
Sprouts Farmers Market, Inc. * 371,355 7,352,829
The Andersons, Inc. 101,231 2,338,436
The Chefs' Warehouse, Inc. * 80,207 2,852,161
United Natural Foods, Inc. * 163,841 1,494,230
Village Super Market, Inc., Class A 26,290 743,481
Weis Markets, Inc. 53,312 2,123,417
    75,427,752
 
Food, Beverage & Tobacco 1.6%
Alico, Inc. 11,561 391,455
B&G Foods, Inc. (a) 205,733 3,406,938
Cal-Maine Foods, Inc. 95,569 4,160,119
Calavo Growers, Inc. 51,533 4,596,228
Coca-Cola Consolidated, Inc. 14,606 3,945,957
Darling Ingredients, Inc. * 518,066 12,329,971
Farmer Brothers Co. * 45,020 682,953
Flowers Foods, Inc. 604,243 13,009,352
Fresh Del Monte Produce, Inc. 96,542 3,156,923
Freshpet, Inc. * 97,557 5,242,713
Hostess Brands, Inc. * 379,566 5,105,163
J&J Snack Foods Corp. 46,733 8,645,605
John B Sanfilippo & Son, Inc. 27,901 2,727,044
Lancaster Colony Corp. 62,339 9,851,432
Landec Corp. * 90,597 1,038,242
Limoneira Co. 48,137 950,465
MGP Ingredients, Inc. 41,262 1,882,372
National Beverage Corp. *(a) 36,229 1,798,408
Primo Water Corp. * 102,388 1,044,358
Sanderson Farms, Inc. 61,827 10,237,315
Seaboard Corp. 798 3,281,033
Seneca Foods Corp., Class A * 23,916 935,116
Simply Good Foods Co. * 256,839 7,096,462
The Boston Beer Co., Inc., Class A * 28,949 11,125,680
The Hain Celestial Group, Inc. * 252,241 6,235,397
Tootsie Roll Industries, Inc. 54,366 1,867,472
TreeHouse Foods, Inc. * 176,469 8,627,569
Turning Point Brands, Inc. (a) 26,794 739,782
 
60

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Universal Corp. 78,638 4,106,476
Vector Group Ltd. 360,849 4,849,811
    143,067,811
 
Health Care Equipment & Services 5.6%
Acadia Healthcare Co., Inc. * 277,777 8,933,308
Accuray, Inc. * 304,990 939,369
Addus HomeCare Corp. * 41,516 3,869,706
Allscripts Healthcare Solutions, Inc. * 526,429 5,674,905
Amedisys, Inc. * 101,158 16,484,708
American Renal Associates Holdings, Inc. * 43,482 411,340
AMN Healthcare Services, Inc. * 147,922 8,796,921
AngioDynamics, Inc. * 116,376 1,788,699
Antares Pharma, Inc. * 466,307 2,205,632
Apollo Medical Holdings, Inc. *(a) 77,841 1,422,155
AtriCure, Inc. * 124,525 3,704,619
Atrion Corp. 4,568 3,219,070
Avanos Medical, Inc. * 150,666 5,222,084
AxoGen, Inc. * 110,848 1,920,996
Axonics Modulation Technologies, Inc. * 47,028 1,147,013
BioTelemetry, Inc. * 107,121 4,960,773
Brookdale Senior Living, Inc. * 586,241 4,185,761
Cantel Medical Corp. 115,828 8,907,173
Capital Senior Living Corp. * 93,403 356,799
Cardiovascular Systems, Inc. * 110,806 5,048,321
Castlight Health, Inc., Class B * 243,809 338,894
Cerus Corp. * 436,199 1,893,104
Change Healthcare, Inc. * 139,142 1,861,720
Community Health Systems, Inc. * 366,969 1,174,301
Computer Programs & Systems, Inc. 39,368 1,046,795
CONMED Corp. 89,039 10,085,447
CorVel Corp. * 28,069 2,315,973
Covetrus, Inc. * 307,169 4,395,588
CryoLife, Inc. * 118,942 2,941,436
CryoPort, Inc. * 110,312 1,737,414
Diplomat Pharmacy, Inc. * 179,184 922,798
Enzo Biochem, Inc. * 116,861 309,682
Evolent Health, Inc., Class A * 237,081 1,709,354
GenMark Diagnostics, Inc. * 160,784 897,175
Glaukos Corp. * 121,951 7,820,718
Globus Medical, Inc., Class A * 240,383 13,449,429
Hanger, Inc. * 118,504 3,104,805
Health Catalyst, Inc. * 22,604 898,057
HealthEquity, Inc. * 222,785 14,010,949
HealthStream, Inc. * 79,462 2,314,728
Heska Corp. * 21,809 2,082,759
HMS Holdings Corp. * 274,730 8,296,846
ICU Medical, Inc. * 60,837 11,405,721
Inogen, Inc. * 57,400 4,225,214
Inovalon Holdings, Inc., Class A * 232,630 4,187,340
Inspire Medical Systems, Inc. * 46,351 3,289,067
Integer Holdings Corp. * 102,193 7,751,339
Integra LifeSciences Holdings Corp. * 222,921 13,595,952
Invacare Corp. 102,821 897,627
iRhythm Technologies, Inc. * 82,723 5,963,501
Lantheus Holdings, Inc. * 124,475 2,601,527
LeMaitre Vascular, Inc. 52,346 1,861,947
LHC Group, Inc. * 92,865 12,388,191
LivaNova plc * 152,133 12,742,660
Livongo Health, Inc. *(a) 39,428 1,126,064
Magellan Health, Inc. * 68,599 5,332,200
MEDNAX, Inc. * 265,845 6,943,871
Meridian Bioscience, Inc. 132,786 1,214,992
Merit Medical Systems, Inc. * 173,716 4,864,048
Mesa Laboratories, Inc. 12,577 2,944,527
National HealthCare Corp. 35,611 3,026,935
National Research Corp. 37,066 2,391,128
Security Number
of Shares
Value ($)
Natus Medical, Inc. * 108,146 3,459,591
Neogen Corp. * 164,672 10,962,215
Nevro Corp. * 97,345 10,881,224
NextGen Healthcare, Inc. * 153,941 2,835,593
NuVasive, Inc. * 163,293 11,796,286
Omnicell, Inc. * 130,885 10,469,491
Option Care Health, Inc. * 415,155 1,291,132
OraSure Technologies, Inc. * 199,940 1,619,514
Orthofix Medical, Inc. * 60,558 2,749,333
Owens & Minor, Inc. 195,712 1,295,613
Patterson Cos., Inc. 272,416 5,301,215
Penumbra, Inc. * 100,420 17,766,306
PetIQ, Inc. * 56,214 1,292,922
Phreesia, Inc. * 28,611 804,541
Premier, Inc., Class A * 199,605 7,093,962
Quidel Corp. * 118,219 8,112,188
R1 RCM, Inc. * 318,325 4,103,209
RadNet, Inc. * 129,231 2,476,066
SeaSpine Holdings Corp. * 47,711 631,216
Select Medical Holdings Corp. * 341,413 7,548,641
Senseonics Holdings, Inc. *(a) 426,419 443,476
Shockwave Medical, Inc. *(a) 27,069 1,060,022
SI-BONE, Inc. * 46,963 835,472
Silk Road Medical, Inc. * 19,879 716,042
Simulations Plus, Inc. 37,477 1,252,481
STAAR Surgical Co. * 92,064 3,393,479
Surgery Partners, Inc. * 64,129 883,698
Surmodics, Inc. * 41,914 1,720,151
Tabula Rasa HealthCare, Inc. * 63,455 2,830,728
Tactile Systems Technology, Inc. * 59,879 3,844,831
Tandem Diabetes Care, Inc. * 174,953 12,077,006
Teladoc Health, Inc. * 227,301 19,034,186
Tenet Healthcare Corp. * 324,147 10,437,533
The Ensign Group, Inc. 157,328 6,832,755
The Pennant Group, Inc. * 77,874 1,823,809
The Providence Service Corp. * 35,803 2,137,081
Tivity Health, Inc. * 133,796 3,030,479
TransEnterix, Inc. * 686,806 138,048
TransMedics Group, Inc. * 19,245 360,844
Triple-S Management Corp., Class B * 76,617 1,467,216
US Physical Therapy, Inc. 40,088 4,684,684
Varex Imaging Corp. * 121,022 3,623,399
ViewRay, Inc. *(a) 189,443 628,951
Vocera Communications, Inc. * 97,789 2,122,021
Wright Medical Group N.V. * 397,723 11,840,214
    491,270,039
 
Household & Personal Products 0.7%
Avon Products, Inc. * 1,390,845 6,383,979
Central Garden & Pet Co. * 32,651 861,333
Central Garden & Pet Co., Class A * 129,817 3,246,723
Edgewell Personal Care Co. * 170,140 5,301,562
elf Beauty, Inc. * 82,107 1,360,513
Energizer Holdings, Inc. 201,070 10,031,382
Inter Parfums, Inc. 55,506 3,912,618
Medifast, Inc. (a) 37,309 3,279,834
Nu Skin Enterprises, Inc., Class A 174,944 6,689,859
Revlon, Inc., Class A *(a) 24,741 613,824
Spectrum Brands Holdings, Inc. 145,943 9,124,356
USANA Health Sciences, Inc. * 40,913 3,011,197
WD-40 Co. 43,105 8,324,007
    62,141,187
 
 
61

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Insurance 3.0%
Ambac Financial Group, Inc. * 141,709 2,950,381
American Equity Investment Life Holding Co. 285,240 8,477,333
American National Insurance Co. 28,746 3,392,028
AMERISAFE, Inc. 60,817 4,111,229
Argo Group International Holdings Ltd. 107,403 7,064,969
Assured Guaranty Ltd. 310,616 15,422,084
Brighthouse Financial, Inc. * 350,723 14,435,759
Citizens, Inc. * 160,025 1,091,371
CNO Financial Group, Inc. 493,210 8,936,965
Crawford & Co., Class A 50,754 556,264
Crawford & Co., Class B 36,303 367,023
Donegal Group, Inc., Class A 37,883 554,228
eHealth, Inc. * 63,104 5,821,975
Employers Holdings, Inc. 100,160 4,303,875
Enstar Group Ltd. * 46,433 9,482,083
FBL Financial Group, Inc., Class A 30,632 1,763,484
First American Financial Corp. 352,684 22,437,756
Genworth Financial, Inc., Class A * 1,577,559 6,247,134
Global Indemnity Ltd. 15,077 433,765
Goosehead Insurance, Inc., Class A 36,092 1,462,448
Greenlight Capital Re Ltd., Class A * 88,607 925,057
Health Insurance Innovations, Inc., Class A *(a) 34,313 616,605
Horace Mann Educators Corp. 129,292 5,612,566
Independence Holding Co. 15,711 663,947
James River Group Holdings Ltd. 95,541 3,779,602
Kemper Corp. 196,685 14,538,955
Kinsale Capital Group, Inc. 64,460 6,527,220
MBIA, Inc. * 245,302 2,288,668
Mercury General Corp. 85,066 4,166,533
National General Holdings Corp. 205,654 4,378,374
National Western Life Group, Inc., Class A 7,158 1,805,462
NI Holdings, Inc. * 28,875 483,368
Palomar Holdings, Inc. * 39,430 2,151,695
Primerica, Inc. 131,748 17,633,152
ProAssurance Corp. 168,542 6,337,179
ProSight Global, Inc. * 25,308 434,538
RLI Corp. 125,550 11,471,503
Safety Insurance Group, Inc. 45,991 4,491,021
Selective Insurance Group, Inc. 186,646 12,359,698
State Auto Financial Corp. 54,080 1,772,742
Stewart Information Services Corp. 74,787 3,198,640
The Hanover Insurance Group, Inc. 124,432 16,914,042
Third Point Reinsurance Ltd. * 248,502 2,373,194
Trupanion, Inc. *(a) 91,882 3,131,339
United Fire Group, Inc. 67,657 2,972,849
United Insurance Holdings Corp. 64,578 819,495
Universal Insurance Holdings, Inc. 99,129 2,884,654
Watford Holdings Ltd. * 11,618 314,267
White Mountains Insurance Group Ltd. 9,536 10,555,589
    264,914,108
 
Materials 4.1%
AdvanSix, Inc. * 86,484 1,749,571
AK Steel Holding Corp. * 1,015,803 2,803,616
Alcoa Corp. * 586,426 11,933,769
Allegheny Technologies, Inc. * 398,710 9,194,253
American Vanguard Corp. 82,642 1,330,536
Balchem Corp. 101,539 10,116,331
Boise Cascade Co. 122,954 4,662,416
Cabot Corp. 181,447 8,526,195
Carpenter Technology Corp. 149,737 7,871,674
Century Aluminum Co. * 154,897 1,092,024
Chase Corp. 22,891 2,693,126
Clearwater Paper Corp. * 55,093 1,205,986
Security Number
of Shares
Value ($)
Cleveland-Cliffs, Inc. (a) 846,994 6,767,482
Coeur Mining, Inc. * 753,749 4,944,593
Commercial Metals Co. 370,926 7,922,979
Compass Minerals International, Inc. 106,338 5,877,301
Domtar Corp. 180,117 6,721,966
Eagle Materials, Inc. 132,910 12,231,707
Element Solutions, Inc. * 708,407 8,281,278
Ferro Corp. * 260,928 3,762,582
Forterra, Inc. * 60,725 674,655
FutureFuel Corp. 80,296 900,921
GCP Applied Technologies, Inc. * 169,373 3,788,874
Graphic Packaging Holding Co. 924,173 15,036,295
Greif, Inc., Class A 81,454 3,514,740
Greif, Inc., Class B 20,510 1,111,027
H.B. Fuller Co. 159,462 7,953,965
Hawkins, Inc. 29,518 1,219,684
Haynes International, Inc. 38,895 1,428,224
Hecla Mining Co. 1,545,172 3,816,575
Ingevity Corp. * 131,313 11,858,877
Innophos Holdings, Inc. 61,207 1,952,503
Innospec, Inc. 76,733 7,550,527
Kaiser Aluminum Corp. 50,145 5,494,889
Koppers Holdings, Inc. * 66,133 2,450,228
Kraton Corp. * 98,549 2,220,309
Kronos Worldwide, Inc. 68,364 941,372
Livent Corp. * 459,630 3,585,114
Loop Industries, Inc. * 47,282 482,276
Louisiana-Pacific Corp. 389,396 11,549,485
LSB Industries, Inc. * 66,187 262,101
Materion Corp. 64,054 3,770,218
McEwen Mining, Inc. *(a) 980,700 1,108,191
Mercer International, Inc. 124,460 1,559,484
Minerals Technologies, Inc. 110,643 5,974,722
Myers Industries, Inc. 110,350 1,826,292
Neenah, Inc. 53,142 3,867,675
Olin Corp. 515,634 9,033,908
OMNOVA Solutions, Inc. * 139,452 1,411,254
Owens-Illinois, Inc. 490,016 4,841,358
P.H. Glatfelter Co. 137,383 2,452,287
PolyOne Corp. 241,512 7,614,873
PQ Group Holdings, Inc. * 121,679 1,929,829
Quaker Chemical Corp. 40,427 6,032,921
Ramaco Resources, Inc. * 28,942 98,982
Rayonier Advanced Materials, Inc. 152,785 598,917
Resolute Forest Products, Inc. 277,482 1,112,703
Schnitzer Steel Industries, Inc., Class A 82,583 1,779,664
Schweitzer-Mauduit International, Inc. 97,099 4,258,762
Sensient Technologies Corp. 133,288 8,435,798
Silgan Holdings, Inc. 243,715 7,508,859
Stepan Co. 63,840 6,186,096
Summit Materials, Inc., Class A * 353,469 8,437,305
SunCoke Energy, Inc. 283,514 1,451,592
The Chemours Co. 513,163 8,102,844
The Scotts Miracle-Gro Co. 124,040 12,537,963
TimkenSteel Corp. * 123,787 720,440
Tredegar Corp. 76,756 1,652,557
Trinseo S.A. 126,383 4,801,290
Tronox Holdings plc, Class A * 291,638 3,377,168
United States Lime & Minerals, Inc. 6,606 679,559
United States Steel Corp. 538,336 7,062,968
US Concrete, Inc. * 49,934 2,043,799
Valhi, Inc. 88,641 171,964
Valvoline, Inc. 592,181 13,412,900
Venator Materials plc * 144,799 534,308
Verso Corp., Class A * 107,041 1,975,977
Warrior Met Coal, Inc. 162,762 3,341,504
Worthington Industries, Inc. 116,755 4,471,716
    363,660,673
 
 
62

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Media & Entertainment 2.6%
AMC Entertainment Holdings, Inc., Class A (a) 161,915 1,324,465
AMC Networks, Inc., Class A * 138,638 5,327,858
ANGI Homeservices, Inc., Class A *(a) 229,710 1,780,252
Cardlytics, Inc. * 62,266 3,490,009
Cargurus, Inc. * 222,846 8,933,896
Cars.com, Inc. * 212,945 2,830,039
Central European Media Enterprises Ltd., Class A * 288,364 1,297,638
Cinemark Holdings, Inc. 334,150 11,317,660
Clear Channel Outdoor Holdings, Inc. * 1,140,744 2,829,045
Emerald Expositions Events, Inc. 76,114 761,901
Entercom Communications Corp., Class A 375,116 1,774,299
Entravision Communications Corp., Class A 188,879 536,416
Eventbrite, Inc., Class A * 115,739 2,489,546
Gannett Co., Inc. (a) 384,272 2,443,970
Glu Mobile, Inc. * 358,086 1,980,216
Gray Television, Inc. * 273,142 5,528,394
Hemisphere Media Group, Inc. * 51,971 727,594
iHeartMedia, Inc. Class A * 181,576 2,794,455
John Wiley & Sons, Inc., Class A 142,139 6,717,489
Liberty Latin America Ltd., Class A * 144,427 2,570,801
Liberty Latin America Ltd., Class C * 358,514 6,431,741
Liberty Media Corp. - Liberty Braves, Class A * 28,234 801,563
Liberty Media Corp. - Liberty Braves, Class C * 110,803 3,135,725
Liberty TripAdvisor Holdings, Inc., Class A * 224,366 1,554,856
Lions Gate Entertainment Corp., Class A * 171,306 1,601,711
Lions Gate Entertainment Corp., Class B * 339,959 2,947,445
Loral Space & Communications, Inc. * 39,912 1,351,420
Match Group, Inc. (a) 171,699 12,101,346
Meredith Corp. 127,292 4,460,312
MSG Networks, Inc., Class A * 144,676 2,349,538
National CineMedia, Inc. 191,533 1,285,186
Nexstar Media Group, Inc., Class A 144,956 15,613,211
Pinterest, Inc., Class A * 271,658 5,291,898
QuinStreet, Inc. * 146,764 2,310,065
Scholastic Corp. 96,929 3,598,974
Sciplay Corp., Class A * 71,746 845,168
Sinclair Broadcast Group, Inc., Class A 211,205 7,356,270
TechTarget, Inc. * 73,606 1,952,031
TEGNA, Inc. 679,851 10,435,713
The E.W. Scripps Co., Class A 169,318 2,526,225
The Madison Square Garden Co., Class A * 53,742 15,143,421
The Marcus Corp. 72,362 2,276,509
The New York Times Co., Class A 451,963 14,575,807
Tribune Publishing Co. 53,435 669,006
TrueCar, Inc. * 297,075 1,559,644
WideOpenWest, Inc. * 73,574 451,009
World Wrestling Entertainment, Inc., Class A 149,197 9,253,198
Yelp, Inc. * 203,812 7,068,200
Zynga, Inc., Class A * 2,960,837 18,446,014
    224,849,149
 
Pharmaceuticals, Biotechnology & Life Sciences 8.2%
ACADIA Pharmaceuticals, Inc. * 353,533 16,011,510
Accelerate Diagnostics, Inc. *(a) 82,709 1,235,672
Acceleron Pharma, Inc. * 144,570 7,078,147
Achillion Pharmaceuticals, Inc. * 434,209 2,696,438
Acorda Therapeutics, Inc. * 149,458 239,133
Security Number
of Shares
Value ($)
Adaptive Biotechnologies Corp. * 46,219 1,256,695
Adverum Biotechnologies, Inc. * 163,820 1,787,276
Aerie Pharmaceuticals, Inc. * 133,363 2,532,563
Agenus, Inc. * 335,793 1,406,973
Agios Pharmaceuticals, Inc. * 185,664 7,222,330
Aimmune Therapeutics, Inc. * 128,222 3,579,958
Akcea Therapeutics, Inc. *(a) 49,150 956,951
Akebia Therapeutics, Inc. * 369,416 2,323,627
Akero Therapeutics, Inc. * 18,573 365,702
Akorn, Inc. * 294,103 1,073,476
Alector, Inc. * 89,674 1,671,523
Alkermes plc * 494,298 10,390,144
Allakos, Inc. * 76,053 7,225,035
Allogene Therapeutics, Inc. * 161,161 4,541,517
AMAG Pharmaceuticals, Inc. * 104,900 1,117,185
Amicus Therapeutics, Inc. * 799,377 8,377,471
Amneal Pharmaceuticals, Inc. * 326,399 1,227,260
Amphastar Pharmaceuticals, Inc. * 107,071 2,088,955
AnaptysBio, Inc. * 75,898 1,023,864
ANI Pharmaceuticals, Inc. * 29,622 1,825,308
Anika Therapeutics, Inc. * 43,702 2,525,976
Apellis Pharmaceuticals, Inc. * 128,300 3,448,704
Arcus Biosciences, Inc. * 92,461 764,652
Arena Pharmaceuticals, Inc. * 156,203 7,400,898
Arqule, Inc. * 351,775 3,373,522
Arrowhead Pharmaceuticals, Inc. * 299,943 21,898,838
Arvinas Holding Co. LLC * 46,923 1,801,843
Assembly Biosciences, Inc. * 71,126 1,153,664
Assertio Therapeutics, Inc. * 208,726 158,632
Atara Biotherapeutics, Inc. * 167,110 2,374,633
Athenex, Inc. * 144,199 2,246,620
Audentes Therapeutics, Inc. * 144,732 4,201,570
Avrobio, Inc. * 70,515 1,131,061
Axsome Therapeutics, Inc. * 77,846 3,064,797
BioCryst Pharmaceuticals, Inc. * 396,379 1,129,680
Biohaven Pharmaceutical Holding Co., Ltd. * 124,823 7,154,854
Blueprint Medicines Corp. * 154,235 12,653,439
Bridgebio Pharma, Inc. * 64,636 1,874,444
Bruker Corp. 321,243 16,444,429
Cambrex Corp. * 105,640 6,335,231
Cara Therapeutics, Inc. * 134,530 3,495,089
CareDx, Inc. * 119,211 2,446,210
CASI Pharmaceuticals, Inc. * 142,976 473,251
Catalyst Pharmaceuticals, Inc. * 296,648 1,376,447
Charles River Laboratories International, Inc. * 153,419 22,284,110
Chimerix, Inc. * 149,352 328,574
Clovis Oncology, Inc. *(a) 161,437 2,410,254
Codexis, Inc. * 152,357 2,367,628
Coherus Biosciences, Inc. * 188,736 3,395,361
Corcept Therapeutics, Inc. * 322,036 4,131,722
Cortexyme, Inc. * 14,537 381,596
Crinetics Pharmaceuticals, Inc. *(a) 24,076 470,927
Cyclerion Therapeutics, Inc. * 50,567 93,549
Cymabay Therapeutics, Inc. * 198,674 349,666
Cytokinetics, Inc. * 182,377 1,763,586
CytomX Therapeutics, Inc. * 141,191 883,856
Deciphera Pharmaceuticals, Inc. * 54,919 2,597,120
Denali Therapeutics, Inc. * 214,241 3,811,347
Dermira, Inc. * 145,310 1,182,823
Dicerna Pharmaceuticals, Inc. * 165,697 3,986,670
Dynavax Technologies Corp. *(a) 260,230 1,470,299
Eagle Pharmaceuticals, Inc. * 31,420 1,837,442
Editas Medicine, Inc. * 156,458 4,737,548
Eidos Therapeutics, Inc. *(a) 16,035 903,252
Eloxx Pharmaceuticals, Inc. * 80,267 418,994
Emergent BioSolutions, Inc. * 137,354 7,535,240
Enanta Pharmaceuticals, Inc. * 50,860 3,237,748
 
63

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Endo International plc * 635,229 3,226,963
Epizyme, Inc. * 241,312 3,986,474
Esperion Therapeutics, Inc. * 79,640 4,090,310
Evelo Biosciences, Inc. * 36,866 166,266
Fate Therapeutics, Inc. * 191,465 2,990,683
FibroGen, Inc. * 245,216 10,389,802
Five Prime Therapeutics, Inc. * 104,195 408,444
Flexion Therapeutics, Inc. * 104,232 1,848,033
G1 Therapeutics, Inc. * 86,277 1,863,583
Geron Corp. *(a) 628,292 898,458
Global Blood Therapeutics, Inc. * 189,138 12,577,677
Gossamer Bio, Inc. * 116,610 2,973,555
Gritstone Oncology, Inc. * 56,705 493,901
Halozyme Therapeutics, Inc. * 389,824 7,558,687
Harpoon Therapeutics, Inc. * 20,879 390,437
Heron Therapeutics, Inc. * 237,780 6,077,657
Homology Medicines, Inc. * 75,162 1,202,592
Horizon Therapeutics plc * 584,865 19,171,875
ImmunoGen, Inc. * 465,956 1,682,101
Immunomedics, Inc. * 540,061 10,142,346
Innoviva, Inc. * 213,089 2,872,440
Inovio Pharmaceuticals, Inc. *(a) 307,592 775,132
Insmed, Inc. * 282,711 6,516,489
Intellia Therapeutics, Inc. *(a) 121,562 2,106,669
Intercept Pharmaceuticals, Inc. * 79,309 8,594,716
Intersect ENT, Inc. * 97,821 2,120,759
Intra-Cellular Therapies, Inc. * 142,350 1,382,219
Intrexon Corp. *(a) 236,908 1,319,578
Invitae Corp. * 270,853 5,389,975
Iovance Biotherapeutics, Inc. * 357,490 8,161,497
Ironwood Pharmaceuticals, Inc. * 495,410 5,954,828
Jounce Therapeutics, Inc. * 50,927 275,515
Kaleido Biosciences, Inc. *(a) 16,334 142,269
Karuna Therapeutics, Inc. *(a) 26,180 1,881,818
Karyopharm Therapeutics, Inc. * 169,345 2,966,924
Kodiak Sciences, Inc. * 56,164 1,662,454
Krystal Biotech, Inc. * 34,305 1,938,576
Kura Oncology, Inc. * 123,382 1,966,709
La Jolla Pharmaceutical Co. * 63,830 174,894
Lannett Co., Inc. * 104,225 919,265
Lexicon Pharmaceuticals, Inc. *(a) 129,021 455,444
Ligand Pharmaceuticals, Inc. * 55,200 6,237,600
Luminex Corp. 130,222 2,751,591
MacroGenics, Inc. * 151,946 1,438,929
Madrigal Pharmaceuticals, Inc. * 25,390 2,810,419
Mallinckrodt plc *(a) 261,160 984,573
MannKind Corp. *(a) 563,559 693,178
Medpace Holdings, Inc. * 84,993 6,516,413
Mirati Therapeutics, Inc. * 106,420 10,723,943
Moderna, Inc. * 643,446 13,100,561
Momenta Pharmaceuticals, Inc. * 313,295 5,263,356
Morphic Holding, Inc. *(a) 18,886 299,910
MyoKardia, Inc. * 145,746 9,495,352
Myriad Genetics, Inc. * 231,969 5,970,882
NanoString Technologies, Inc. * 105,314 2,835,053
NantKwest, Inc. *(a) 128,421 220,884
Natera, Inc. * 201,867 7,366,127
Nektar Therapeutics * 553,775 11,236,095
NeoGenomics, Inc. * 325,599 8,403,710
NextCure, Inc. * 29,519 1,411,303
NGM Biopharmaceuticals, Inc. *(a) 21,291 350,876
Novavax, Inc. *(a) 78,878 382,558
Odonate Therapeutics, Inc. * 36,032 1,238,780
Omeros Corp. *(a) 148,124 2,192,235
OPKO Health, Inc. * 1,296,884 2,062,046
Optinose, Inc. *(a) 77,588 724,672
Organogenesis Holdings, Inc. * 31,310 160,620
Osmotica Pharmaceuticals plc * 21,716 145,171
Pacific Biosciences of California, Inc. * 450,257 2,314,321
Security Number
of Shares
Value ($)
Pacira BioSciences, Inc. * 130,824 6,046,685
Paratek Pharmaceuticals, Inc. *(a) 94,248 276,147
PDL BioPharma, Inc. * 355,127 1,100,894
Personalis, Inc. * 26,053 231,872
Phibro Animal Health Corp., Class A 63,019 1,528,841
Portola Pharmaceuticals, Inc. * 221,639 6,327,793
Precision BioSciences, Inc. * 26,030 462,553
Prestige Consumer Healthcare, Inc. * 158,233 5,976,460
Principia Biopharma, Inc. * 56,208 2,013,933
Progenics Pharmaceuticals, Inc. * 275,742 1,439,373
Prothena Corp. plc * 116,649 1,495,440
PTC Therapeutics, Inc. * 185,371 8,705,022
Puma Biotechnology, Inc. * 105,172 998,082
Quanterix Corp. * 41,868 1,060,516
Ra Pharmaceuticals, Inc. * 109,410 5,112,729
Radius Health, Inc. * 132,467 2,967,261
Reata Pharmaceuticals, Inc., Class A * 80,255 15,660,158
REGENXBIO, Inc. * 98,524 4,124,215
Repligen Corp. * 146,108 12,967,085
resTORbio, Inc. *(a) 48,547 58,256
Retrophin, Inc. * 137,204 1,903,019
Revance Therapeutics, Inc. * 115,189 2,061,883
Rhythm Pharmaceuticals, Inc. * 92,159 2,068,970
Rocket Pharmaceuticals, Inc. * 100,190 1,762,342
Rubius Therapeutics, Inc. *(a) 103,824 799,445
Sangamo Therapeutics, Inc. * 364,056 3,931,805
Seres Therapeutics, Inc. * 154,135 608,833
SIGA Technologies, Inc. * 165,926 813,037
Solid Biosciences, Inc. *(a) 46,173 181,460
Spark Therapeutics, Inc. * 110,063 12,232,402
Spectrum Pharmaceuticals, Inc. * 352,909 3,169,123
Stemline Therapeutics, Inc. * 139,586 1,492,174
Stoke Therapeutics, Inc. * 25,335 620,708
Supernus Pharmaceuticals, Inc. * 165,728 3,874,721
Synthorx, Inc. *(a) 26,102 467,226
Syros Pharmaceuticals, Inc. * 104,202 531,430
TCR2 Therapeutics, Inc. * 43,143 731,274
TG Therapeutics, Inc. * 251,985 2,063,757
The Medicines Co. * 231,533 19,495,079
TherapeuticsMD, Inc. *(a) 688,606 1,728,401
Theravance Biopharma, Inc. * 133,785 2,911,162
Tricida, Inc. * 84,069 3,359,397
Turning Point Therapeutics * 44,496 2,501,565
Twist Bioscience Corp. * 72,643 1,731,083
Ultragenyx Pharmaceutical, Inc. * 172,418 6,836,374
United Therapeutics Corp. * 138,165 12,747,103
UNITY Biotechnology, Inc. *(a) 71,070 548,660
Vanda Pharmaceuticals, Inc. * 165,566 2,769,919
Veracyte, Inc. * 139,429 4,004,401
Vericel Corp. * 136,790 2,552,501
Voyager Therapeutics, Inc. * 82,665 1,127,551
WaVe Life Sciences Ltd. * 54,332 1,801,106
Xencor, Inc. * 155,252 6,116,929
Y-mAbs Therapeutics, Inc. * 53,161 1,794,184
ZIOPHARM Oncology, Inc. *(a) 526,454 2,742,825
Zogenix, Inc. * 125,964 6,018,560
    724,465,405
 
Real Estate 8.6%
Acadia Realty Trust 264,431 7,107,905
Agree Realty Corp. 132,158 9,882,775
Alexander & Baldwin, Inc. 213,463 4,627,878
Alexander's, Inc. 6,678 2,179,432
Altisource Portfolio Solutions S.A. * 28,889 520,580
American Assets Trust, Inc. 149,830 7,121,420
American Finance Trust, Inc. 333,154 4,927,348
Apple Hospitality REIT, Inc. 660,024 10,731,990
Armada Hoffler Properties, Inc. 166,995 3,015,930
 
64

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Ashford Hospitality Trust, Inc. 263,937 725,827
Braemar Hotels & Resorts, Inc. 93,191 914,204
Brandywine Realty Trust 555,182 8,566,458
CareTrust REIT, Inc. 299,346 6,250,345
CBL & Associates Properties, Inc. 557,956 803,457
Cedar Realty Trust, Inc. 267,599 714,489
Chatham Lodging Trust 145,870 2,669,421
CIM Commercial Trust Corp. 4,802 69,629
City Office REIT, Inc. 167,617 2,251,096
Colony Capital, Inc. 1,528,380 7,458,494
Columbia Property Trust, Inc. 371,114 7,704,327
Community Healthcare Trust, Inc. 57,459 2,735,048
CoreCivic, Inc. 373,678 5,661,222
CorEnergy Infrastructure Trust, Inc. 39,875 1,764,070
CorePoint Lodging, Inc. 122,154 1,234,977
CoreSite Realty Corp. 115,960 13,148,704
Corporate Office Properties Trust 354,489 10,343,989
Cousins Properties, Inc. 463,367 18,761,730
DiamondRock Hospitality Co. 629,897 6,487,939
Easterly Government Properties, Inc. 227,048 5,281,137
EastGroup Properties, Inc. 118,246 16,103,923
Empire State Realty Trust, Inc., Class A 462,812 6,460,856
EPR Properties 243,014 17,234,553
Equity Commonwealth 383,145 12,586,313
Essential Properties Realty Trust, Inc. 254,818 6,648,202
eXp World Holdings, Inc. *(a) 68,185 746,626
First Industrial Realty Trust, Inc. 398,032 16,948,203
Forestar Group, Inc. * 48,479 988,972
Four Corners Property Trust, Inc. 214,576 6,076,792
Franklin Street Properties Corp. 340,381 2,964,719
Front Yard Residential Corp. 152,351 1,767,272
FRP Holdings, Inc. * 21,256 1,060,674
Getty Realty Corp. 107,353 3,602,767
Gladstone Commercial Corp. 98,190 2,236,768
Global Net Lease, Inc. 281,168 5,733,016
Hannon Armstrong Sustainable Infrastructure Capital, Inc. 206,095 6,048,888
Healthcare Realty Trust, Inc. 406,852 13,503,418
Hersha Hospitality Trust 113,588 1,610,678
Hudson Pacific Properties, Inc. 487,411 17,449,314
Independence Realty Trust, Inc. 284,278 4,247,113
Industrial Logistics Properties Trust 204,999 4,436,178
Innovative Industrial Properties, Inc. (a) 35,591 2,755,099
Investors Real Estate Trust 36,696 2,837,335
iStar, Inc. 188,068 2,443,003
Kennedy-Wilson Holdings, Inc. 390,608 8,831,647
Kite Realty Group Trust 264,604 5,120,087
Lexington Realty Trust 779,783 8,639,996
Life Storage, Inc. 146,834 16,081,260
LTC Properties, Inc. 124,624 5,833,649
Mack-Cali Realty Corp. 284,021 6,075,209
Marcus & Millichap, Inc. * 72,848 2,677,892
Monmouth Real Estate Investment Corp., Class A 299,610 4,593,021
National Health Investors, Inc. 136,122 11,024,521
National Storage Affiliates Trust 185,958 6,229,593
New Senior Investment Group, Inc. 258,740 2,031,109
Newmark Group, Inc., Class A 492,157 6,422,649
NexPoint Residential Trust, Inc. 67,713 3,240,067
Office Properties Income Trust 152,666 5,092,938
One Liberty Properties, Inc. 49,751 1,358,700
Outfront Media, Inc. 451,328 11,274,173
Paramount Group, Inc. 637,721 8,666,628
Pebblebrook Hotel Trust 410,220 10,747,764
Pennsylvania Real Estate Investment Trust (a) 185,846 1,070,473
Physicians Realty Trust 581,124 11,151,770
Piedmont Office Realty Trust, Inc., Class A 395,908 8,757,485
PotlatchDeltic Corp. 211,414 9,181,710
Security Number
of Shares
Value ($)
Preferred Apartment Communities, Inc., Class A 141,450 1,947,767
PS Business Parks, Inc. 63,094 11,141,769
QTS Realty Trust, Inc., Class A 182,745 9,698,277
Rayonier, Inc. 406,773 12,459,457
RE/MAX Holdings, Inc., Class A 55,444 2,126,277
Realogy Holdings Corp. 360,290 3,772,236
Redfin Corp. * 261,281 5,037,498
Retail Opportunity Investments Corp. 358,356 6,536,413
Retail Properties of America, Inc., Class A 673,079 9,577,914
Retail Value, Inc. 46,211 1,640,953
Rexford Industrial Realty, Inc. 345,412 16,531,418
RLJ Lodging Trust 545,627 9,324,765
RPT Realty 254,097 3,755,554
Ryman Hospitality Properties, Inc. 161,771 14,434,826
Sabra Health Care REIT, Inc. 595,855 13,275,649
Safehold, Inc. 38,704 1,581,058
Saul Centers, Inc. 36,456 1,937,272
Senior Housing Properties Trust 749,626 5,487,262
Seritage Growth Properties, Class A 105,895 4,477,241
Service Properties Trust 517,338 12,048,802
SITE Centers Corp. 464,609 6,732,184
Spirit Realty Capital, Inc. 313,453 16,424,937
STAG Industrial, Inc. 400,316 12,405,793
Summit Hotel Properties, Inc. 330,250 4,002,630
Sunstone Hotel Investors, Inc. 706,451 9,890,314
Tanger Factory Outlet Centers, Inc. (a) 293,221 4,462,824
Taubman Centers, Inc. 191,744 6,227,845
Tejon Ranch Co. * 62,171 1,022,091
Terreno Realty Corp. 206,597 11,924,779
The GEO Group, Inc. 380,508 5,273,841
The Howard Hughes Corp. * 135,730 14,985,949
The RMR Group, Inc., Class A 47,330 2,223,090
The St. Joe Co. * 99,400 1,888,600
UMH Properties, Inc. 111,967 1,747,805
Uniti Group, Inc. 608,621 4,089,933
Universal Health Realty Income Trust 39,713 4,733,790
Urban Edge Properties 360,716 7,477,643
Urstadt Biddle Properties, Inc. 9,226 176,493
Urstadt Biddle Properties, Inc., Class A 93,087 2,268,530
Washington Prime Group, Inc. (a) 602,937 2,508,218
Washington Real Estate Investment Trust 250,977 7,797,855
Weingarten Realty Investors 381,266 12,139,509
Whitestone REIT 125,073 1,756,025
Xenia Hotels & Resorts, Inc. 352,827 7,430,537
    760,638,467
 
Retailing 3.6%
1-800-Flowers.com, Inc., Class A * 71,223 959,374
Aaron's, Inc. 212,280 12,397,152
Abercrombie & Fitch Co., Class A 198,882 3,176,146
America's Car-Mart, Inc. * 19,457 2,125,872
American Eagle Outfitters, Inc. 499,975 7,484,626
Asbury Automotive Group, Inc. * 60,717 6,729,872
At Home Group, Inc. * 147,123 1,262,315
AutoNation, Inc. * 184,700 9,436,323
Barnes & Noble Education, Inc. * 117,881 594,120
Bed Bath & Beyond, Inc. (a) 403,664 5,885,421
Big Lots, Inc. 124,222 2,596,240
Boot Barn Holdings, Inc. * 89,752 3,573,925
Caleres, Inc. 135,128 2,957,952
Camping World Holdings, Inc., Class A (a) 101,554 1,222,710
Carvana Co. * 156,142 14,883,455
Chewy, Inc., Class A * 167,360 4,143,834
Chico's FAS, Inc. 366,620 1,748,777
Conn's, Inc. * 59,335 1,301,217
Core-Mark Holding Co., Inc. 144,591 3,896,728
Designer Brands, Inc., Class A 176,423 2,910,980
 
65

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Dick's Sporting Goods, Inc. 206,519 9,460,635
Dillard's, Inc., Class A 31,810 2,283,958
Duluth Holdings, Inc., Class B *(a) 36,597 337,790
Etsy, Inc. * 379,018 16,445,591
Express, Inc. * 209,145 821,940
Five Below, Inc. * 175,055 21,656,054
Floor & Decor Holdings, Inc., Class A * 215,803 10,360,702
Funko, Inc., Class A * 54,415 776,502
GameStop Corp., Class A (a) 280,948 1,781,210
Genesco, Inc. * 46,545 1,728,681
GNC Holdings, Inc., Class A *(a) 258,538 760,102
Group 1 Automotive, Inc. 54,929 5,662,631
Groupon, Inc. * 1,414,410 4,101,789
Guess?, Inc. 132,651 2,553,532
Haverty Furniture Cos., Inc. 56,547 1,137,160
Hibbett Sports, Inc. * 57,962 1,644,382
J.C. Penney Co., Inc. * 929,473 1,050,305
Lands' End, Inc. * 49,498 583,086
Liquidity Services, Inc. * 83,848 586,098
Lithia Motors, Inc., Class A 70,423 11,308,525
Lumber Liquidators Holdings, Inc. *(a) 88,754 790,798
MarineMax, Inc. * 67,370 1,115,647
Monro, Inc. 104,293 7,655,106
Murphy USA, Inc. * 94,341 11,087,898
National Vision Holdings, Inc. * 246,540 7,445,508
Nordstrom, Inc. 336,477 12,843,327
Office Depot, Inc. 1,722,262 3,840,644
Ollie's Bargain Outlet Holdings, Inc. * 171,848 11,238,859
Overstock.com, Inc. * 99,496 755,175
Party City Holdco, Inc. * 167,371 323,026
Penske Automotive Group, Inc. 106,141 5,359,059
PetMed Express, Inc. (a) 65,252 1,489,703
Quotient Technology, Inc. * 236,373 2,465,370
Rent-A-Center, Inc. 156,562 4,075,309
RH * 50,336 10,348,578
Sally Beauty Holdings, Inc. * 378,437 6,974,594
Shoe Carnival, Inc. 28,795 1,022,223
Shutterstock, Inc. * 59,245 2,463,407
Signet Jewelers Ltd. 167,105 3,069,719
Sleep Number Corp. * 92,073 4,444,364
Sonic Automotive, Inc., Class A 77,154 2,526,794
Sportsman's Warehouse Holdings, Inc. * 132,248 966,733
Stamps.com, Inc. * 51,224 4,469,294
Stitch Fix, Inc., Class A *(a) 75,762 1,786,468
Tailored Brands, Inc. (a) 157,098 831,048
The Buckle, Inc. 88,785 2,469,999
The Cato Corp., Class A 67,973 1,295,565
The Children's Place, Inc. 48,989 3,539,945
The Container Store Group, Inc. * 49,492 205,887
The Michaels Cos., Inc. * 251,061 2,053,679
The RealReal, Inc. *(a) 50,917 875,772
The Rubicon Project, Inc. * 155,079 1,253,038
Urban Outfitters, Inc. * 221,706 5,688,976
Vitamin Shoppe, Inc. * 51,300 332,424
Weyco Group, Inc. 18,657 458,029
Winmark Corp. 6,797 1,203,069
Zumiez, Inc. * 63,252 1,868,464
    314,961,210
 
Semiconductors & Semiconductor Equipment 2.7%
Advanced Energy Industries, Inc. * 121,571 7,806,074
Ambarella, Inc. * 97,838 5,355,652
Amkor Technology, Inc. * 331,937 4,013,118
Axcelis Technologies, Inc. * 100,462 2,153,905
Brooks Automation, Inc. 226,501 10,140,450
Cabot Microelectronics Corp. 91,535 12,211,684
CEVA, Inc. * 68,237 1,768,703
Cirrus Logic, Inc. * 182,475 13,083,457
Security Number
of Shares
Value ($)
Cohu, Inc. 131,954 2,340,864
Cree, Inc. * 335,673 14,840,103
Diodes, Inc. * 131,426 6,063,996
Enphase Energy, Inc. *(a) 248,224 5,428,659
Entegris, Inc. 424,604 20,092,261
FormFactor, Inc. * 237,152 5,487,697
Ichor Holdings Ltd. * 69,737 2,200,202
Impinj, Inc. * 45,984 1,451,255
Inphi Corp. * 142,593 9,928,751
Kulicke & Soffa Industries, Inc. 199,453 5,004,276
Lattice Semiconductor Corp. * 418,496 7,905,389
MACOM Technology Solutions Holdings, Inc. * 143,732 3,545,868
MaxLinear, Inc., Class A * 203,934 4,052,169
MKS Instruments, Inc. 171,046 18,178,769
NeoPhotonics Corp. * 129,625 1,062,925
Onto Innovation, Inc. * 153,423 5,148,876
PDF Solutions, Inc. * 86,688 1,373,138
Photronics, Inc. * 213,568 2,511,560
Power Integrations, Inc. 92,234 8,438,489
Rambus, Inc. * 349,769 4,564,485
Semtech Corp. * 209,160 10,135,894
Silicon Laboratories, Inc. * 136,129 14,420,145
SMART Global Holdings, Inc. * 41,392 1,274,874
SolarEdge Technologies, Inc. * 151,035 12,325,966
SunPower Corp. * 269,157 2,015,986
Synaptics, Inc. * 103,668 5,925,663
Ultra Clean Holdings, Inc. * 122,882 2,732,896
Veeco Instruments, Inc. * 152,245 2,084,234
Xperi Corp. 156,164 3,090,486
    240,158,919
 
Software & Services 7.7%
2U, Inc. * 199,488 4,975,231
8x8, Inc. * 311,288 6,387,630
A10 Networks, Inc. * 175,617 1,171,365
ACI Worldwide, Inc. * 366,182 13,731,825
Agilysys, Inc. * 65,508 1,659,318
Alarm.com Holdings, Inc. * 114,153 4,979,354
Altair Engineering, Inc., Class A * 119,264 3,955,987
Appfolio, Inc., Class A * 45,271 5,112,001
Appian Corp. *(a) 106,033 4,567,902
Avalara, Inc. * 206,323 16,099,384
Avaya Holdings Corp. * 351,094 4,483,470
Benefitfocus, Inc. * 94,942 2,276,709
Blackbaud, Inc. 154,412 12,797,666
Blackline, Inc. * 133,590 7,189,814
Bottomline Technologies (DE), Inc. * 120,696 5,973,245
Box, Inc., Class A * 465,183 8,484,938
CACI International, Inc., Class A * 78,192 18,712,909
Carbonite, Inc. * 109,190 2,511,370
Cardtronics plc, Class A * 115,309 4,868,346
Cass Information Systems, Inc. 37,346 2,108,929
ChannelAdvisor Corp. * 84,506 801,962
Cision Ltd. * 285,173 2,834,620
Cloudera, Inc. * 756,253 7,471,780
CommVault Systems, Inc. * 131,011 6,631,777
Conduent, Inc. * 527,580 3,571,717
CoreLogic, Inc. * 251,168 10,405,890
Cornerstone OnDemand, Inc. * 166,171 10,247,766
Crowdstrike Holdings, Inc., Class A *(a) 64,955 3,767,390
CSG Systems International, Inc. 103,672 5,929,002
Digimarc Corp. * 41,093 1,330,591
Digital Turbine, Inc. * 190,326 1,690,095
Domo, Inc., Class B * 62,017 1,165,920
Dropbox, Inc., Class A * 672,654 12,437,372
Dynatrace, Inc. * 116,116 3,085,202
Ebix, Inc. 70,552 2,453,798
 
66

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Endurance International Group Holdings, Inc. * 274,471 1,111,607
Envestnet, Inc. * 163,572 11,647,962
Everbridge, Inc. * 106,372 9,354,354
EVERTEC, Inc. 187,310 6,072,590
Evo Payments, Inc., Class A * 114,961 3,226,955
Exela Technologies, Inc. * 147,706 47,842
ExlService Holdings, Inc. * 107,027 7,471,555
FireEye, Inc. * 673,744 11,291,949
Five9, Inc. * 191,022 13,021,970
ForeScout Technologies, Inc. * 114,852 4,115,147
GreenSky, Inc., Class A * 130,719 972,549
GTT Communications, Inc. *(a) 91,158 808,571
GTY Technology Holdings, Inc. * 109,694 540,791
Instructure, Inc. * 105,100 5,595,524
International Money Express, Inc. * 78,985 1,073,406
j2 Global, Inc. 146,055 14,170,256
KBR, Inc. 444,677 13,238,034
LivePerson, Inc. * 192,336 7,633,816
LiveRamp Holdings, Inc. * 213,396 10,689,006
LogMeIn, Inc. 154,928 12,081,285
Manhattan Associates, Inc. * 202,382 16,900,921
ManTech International Corp., Class A 84,106 6,524,943
MAXIMUS, Inc. 200,924 14,998,977
Medallia, Inc. *(a) 50,063 1,519,913
MicroStrategy, Inc., Class A * 26,244 3,945,260
MobileIron, Inc. * 281,791 1,361,050
Model N, Inc. * 84,196 2,561,242
MoneyGram International, Inc. *(a) 92,623 284,353
MongoDB, Inc. * 109,351 16,260,494
New Relic, Inc. * 155,858 10,601,461
NIC, Inc. 210,905 4,785,434
Nutanix, Inc., Class A * 452,759 16,910,549
OneSpan, Inc. * 102,608 1,913,639
Pagerduty, Inc. * 28,244 735,756
Paylocity Holding Corp. * 111,574 13,647,732
Paysign, Inc. *(a) 82,561 847,076
Pegasystems, Inc. 119,035 9,239,497
Perficient, Inc. * 103,161 4,361,647
Perspecta, Inc. 432,550 11,929,729
Pivotal Software, Inc., Class A * 269,681 4,050,609
Pluralsight, Inc., Class A * 258,082 4,384,813
Presidio, Inc. 147,311 2,432,105
Progress Software Corp. 140,421 5,899,086
PROS Holdings, Inc. * 115,816 7,214,179
Q2 Holdings, Inc. * 136,500 11,524,695
QAD, Inc., Class A 36,172 1,848,751
Qualys, Inc. * 105,875 9,265,121
Rapid7, Inc. * 136,216 7,637,631
RealPage, Inc. * 251,630 13,847,199
SailPoint Technologies Holding, Inc. * 265,278 6,639,908
Science Applications International Corp. 154,317 13,170,956
Slack Technologies, Inc., Class A * 122,291 2,790,681
Smartsheet, Inc., Class A * 274,531 13,021,005
SolarWinds Corp. * 203,918 3,943,774
SPS Commerce, Inc. * 109,572 6,172,191
SVMK, Inc. * 279,580 4,772,431
Switch, Inc., Class A 162,503 2,561,047
Sykes Enterprises, Inc. * 121,569 4,271,935
TeleNav, Inc. * 112,672 644,484
Tenable Holdings, Inc. * 131,240 3,563,166
Teradata Corp. * 359,363 9,544,681
TiVo Corp. 400,333 3,126,601
TTEC Holdings, Inc. 45,446 2,087,335
Unisys Corp. * 160,897 1,831,008
Upland Software, Inc. * 66,662 2,580,486
Varonis Systems, Inc. * 95,153 7,432,401
Verint Systems, Inc. * 206,285 10,027,514
Verra Mobility Corp. * 408,781 6,119,452
Security Number
of Shares
Value ($)
VirnetX Holding Corp. *(a) 191,697 676,690
Virtusa Corp. * 95,936 4,287,380
Workiva, Inc. * 117,822 5,109,940
Yext, Inc. * 294,283 5,079,325
Zoom Video Communications, Inc., Class A * 80,217 5,976,166
Zuora, Inc., Class A * 214,607 3,420,836
    676,322,699
 
Technology Hardware & Equipment 4.2%
3D Systems Corp. * 376,103 3,193,114
Acacia Communications, Inc. * 117,346 7,819,937
ADTRAN, Inc. 148,446 1,364,219
Anixter International, Inc. * 94,407 8,103,897
Applied Optoelectronics, Inc. *(a) 60,967 652,347
Arlo Technologies, Inc. * 232,833 805,602
Avid Technology, Inc. * 110,215 867,392
AVX Corp. 147,065 2,992,773
Badger Meter, Inc. 91,526 5,674,612
Belden, Inc. 121,233 6,515,061
Benchmark Electronics, Inc. 118,283 4,077,215
CalAmp Corp. * 104,352 1,094,652
Calix, Inc. * 149,739 1,160,477
Casa Systems, Inc. * 88,701 326,420
Ciena Corp. * 487,912 18,521,140
Coherent, Inc. * 75,379 11,371,676
CommScope Holding Co., Inc. * 609,634 8,291,022
Comtech Telecommunications Corp. 74,929 2,831,567
CTS Corp. 102,755 2,813,432
Daktronics, Inc. 116,041 714,813
Diebold Nixdorf, Inc. * 238,550 1,734,258
Dolby Laboratories, Inc., Class A 202,897 13,975,545
EchoStar Corp., Class A * 143,628 6,042,430
ePlus, Inc. * 42,503 3,551,976
Extreme Networks, Inc. * 383,072 2,692,996
Fabrinet * 115,658 6,996,152
FARO Technologies, Inc. * 55,141 2,686,470
Fitbit, Inc., Class A * 715,406 4,979,226
Harmonic, Inc. * 285,975 2,362,153
II-VI, Inc. * 273,121 7,972,402
Infinera Corp. * 490,728 3,130,845
Insight Enterprises, Inc. * 112,203 7,359,395
InterDigital, Inc. 98,161 5,575,545
Itron, Inc. * 110,219 8,826,338
KEMET Corp. 183,326 4,898,471
Kimball Electronics, Inc. * 75,059 1,316,535
Knowles Corp. * 269,048 5,892,151
Littelfuse, Inc. 77,178 14,000,861
Lumentum Holdings, Inc. * 241,293 17,773,642
Methode Electronics, Inc. 116,756 4,344,491
MTS Systems Corp. 56,596 2,570,590
Napco Security Technologies, Inc. * 35,478 1,108,688
NCR Corp. * 400,903 13,161,645
NETGEAR, Inc. * 97,960 2,459,776
NetScout Systems, Inc. * 211,337 5,325,692
nLight, Inc. * 101,654 2,025,964
Novanta, Inc. * 110,113 10,260,329
OSI Systems, Inc. * 53,209 5,293,763
PC Connection, Inc. 35,690 1,760,231
Plantronics, Inc. 102,467 2,596,514
Plexus Corp. * 92,293 7,005,039
Pure Storage, Inc., Class A * 699,574 11,242,154
Ribbon Communications, Inc. * 177,835 521,057
Rogers Corp. * 58,494 7,605,390
Sanmina Corp. * 218,110 6,938,079
ScanSource, Inc. * 78,408 2,777,211
SYNNEX Corp. 128,334 15,760,699
Tech Data Corp. * 112,111 16,243,763
 
67

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
TTM Technologies, Inc. * 310,925 4,169,504
ViaSat, Inc. * 181,209 13,318,861
Viavi Solutions, Inc. * 718,877 10,797,533
Vishay Intertechnology, Inc. 415,974 8,273,723
    366,519,455
 
Telecommunication Services 0.6%
Anterix, Inc. * 36,084 1,532,487
ATN International, Inc. 33,828 1,899,442
Bandwidth, Inc., Class A * 49,266 2,755,447
Boingo Wireless, Inc. * 137,098 1,577,998
Cincinnati Bell, Inc. * 154,587 1,003,270
Cogent Communications Holdings, Inc. 131,345 8,232,705
Consolidated Communications Holdings, Inc. 224,235 813,973
Globalstar, Inc. * 1,895,776 739,353
Gogo, Inc. *(a) 169,592 858,135
Iridium Communications, Inc. * 303,660 7,075,278
ORBCOMM, Inc. * 247,963 994,332
Shenandoah Telecommunications Co. 147,556 5,540,728
Spok Holdings, Inc. 55,458 682,688
Telephone & Data Systems, Inc. 306,845 7,275,295
United States Cellular Corp. * 50,290 1,705,334
Vonage Holdings Corp. * 715,119 5,656,591
    48,343,056
 
Transportation 1.7%
Air Transport Services Group, Inc. * 187,376 4,611,323
Allegiant Travel Co. 41,415 7,029,368
ArcBest Corp. 79,298 2,282,196
Atlas Air Worldwide Holdings, Inc. * 80,293 2,094,844
Avis Budget Group, Inc. * 184,001 5,474,030
Daseke, Inc. * 185,201 546,343
Echo Global Logistics, Inc. * 84,781 1,698,163
Forward Air Corp. 88,856 6,222,586
Hawaiian Holdings, Inc. 149,277 4,521,600
Heartland Express, Inc. 147,025 3,147,805
Hertz Global Holdings, Inc. * 317,599 4,922,785
Hub Group, Inc., Class A * 105,074 5,366,129
Kirby Corp. * 187,804 15,845,024
Knight-Swift Transportation Holdings, Inc. 386,281 14,288,534
Landstar System, Inc. 124,532 13,874,110
Macquarie Infrastructure Corp. 244,200 10,244,190
Marten Transport Ltd. 123,155 2,602,265
Matson, Inc. 134,724 5,084,484
Ryder System, Inc. 168,083 8,822,677
Saia, Inc. * 81,360 7,721,064
Schneider National, Inc., Class B 108,612 2,470,923
SkyWest, Inc. 159,447 9,987,760
Spirit Airlines, Inc. * 215,434 8,417,006
Universal Logistics Holdings, Inc. 26,425 526,915
Werner Enterprises, Inc. 139,181 5,116,294
    152,918,418
 
Utilities 3.2%
ALLETE, Inc. 162,125 12,987,834
American States Water Co. 115,527 9,853,298
AquaVenture Holdings Ltd. * 63,630 1,416,404
Avista Corp. 209,146 9,888,423
Black Hills Corp. 191,513 14,664,150
California Water Service Group 151,770 7,800,978
Chesapeake Utilities Corp. 51,418 4,686,237
Clearway Energy, Inc., Class A 104,567 1,984,682
Clearway Energy, Inc., Class C 234,201 4,644,206
El Paso Electric Co. 128,461 8,712,225
Hawaiian Electric Industries, Inc. 343,038 14,980,469
Security Number
of Shares
Value ($)
IDACORP, Inc. 158,542 16,654,837
MDU Resources Group, Inc. 625,723 18,170,996
MGE Energy, Inc. 109,228 8,467,355
Middlesex Water Co. 52,110 3,273,029
New Jersey Resources Corp. 283,211 12,047,796
Northwest Natural Holding Co. 96,243 6,618,631
NorthWestern Corp. 158,269 11,327,312
ONE Gas, Inc. 165,335 14,693,321
Ormat Technologies, Inc. 160,191 12,310,678
Otter Tail Corp. 125,642 6,176,561
Pattern Energy Group, Inc., Class A 289,137 7,957,050
PNM Resources, Inc. 249,743 12,100,048
Portland General Electric Co. 281,249 15,612,132
SJW Group 82,398 5,835,426
South Jersey Industries, Inc. 290,790 9,084,280
Southwest Gas Holdings, Inc. 170,368 12,907,080
Spire, Inc. 159,765 12,369,006
Sunnova Energy International, Inc. * 41,620 427,854
TerraForm Power, Inc., Class A 248,699 3,857,321
Unitil Corp. 47,028 2,870,589
    284,380,208
Total Common Stock
(Cost $8,019,604,898)   8,797,234,059

Rights 0.0% of net assets
 
Materials 0.0%
A. Schulman, Inc. CVR *(b) 82,213 35,598
 
Media & Entertainment 0.0%
Media General, Inc. CVR *(b) 177,806 15,131
Total Rights
(Cost $35,598)   50,729

Other Investment Companies 1.4% of net assets
 
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 1.59% (c) 6,593,577 6,593,577
 
Securities Lending Collateral 1.3%
Wells Fargo Government Money Market Fund, Select Class 1.56% (c) 114,303,353 114,303,353
Total Other Investment Companies
(Cost $120,896,930)   120,896,930
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
Russell 2000 Index, e-mini expires 12/20/19 102 8,281,380 132,229
* Non-income producing security.
(a) All or a portion of this security is on loan. Securities on loan were valued at $108,385,300.
(b) Fair-valued by management using significant unobservable inputs in accordance with procedures approved by the fund’s Board of Trustees.
(c) The rate shown is the 7-day yield.
   
 
68

 

Schwab U.S. Small-Cap ETF
Portfolio Holdings (Unaudited) continued

CVR – Contingent Value Rights
REIT – Real Estate Investment Trust

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2019:
Description Quoted Prices in
Active Markets for
Identical Assets
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable Inputs
(Level 3)
Total  
Assets          
Common Stock1 $8,797,234,059 $— $— $8,797,234,059  
Rights1          
Materials 35,598 35,598  
Media & Entertainment 15,131 15,131  
Other Investment Companies1 120,896,930 120,896,930  
Futures Contracts2 132,229 132,229  
Total $8,918,263,218 $— $50,729 $8,918,313,947  
1 As categorized in Portfolio Holdings.
2 Futures contracts are valued at unrealized appreciation or depreciation.
Fund investments in underlying mutual funds are classified as Level 1, without consideration to the classification level of the investments held by the underlying mutual funds, which could be Level 1, Level 2 or Level 3.
69

 

Schwab Strategic Trust
Schwab U.S. Dividend Equity ETF

Portfolio Holdings as of November 30, 2019 (Unaudited)
The following are the portfolio holdings as of the report date. For more information, please refer to the fund’s semiannual or annual shareholder reports.    
 
Security Number
of Shares
Value ($)
Common Stock 99.6% of net assets
 
Automobiles & Components 0.3%
Harley-Davidson, Inc. 575,408 20,933,343
Thor Industries, Inc. 189,568 12,088,751
    33,022,094
 
Banks 2.8%
Bank of Hawaii Corp. 148,462 13,377,911
Bank OZK 438,170 13,004,886
Boston Private Financial Holdings, Inc. 304,095 3,570,075
Comerica, Inc. 558,059 39,292,934
Fifth Third Bancorp 2,632,990 79,489,968
Huntington Bancshares, Inc. 3,788,252 56,407,072
KeyCorp 3,648,629 70,746,916
Northwest Bancshares, Inc. 385,773 6,419,263
PacWest Bancorp 430,141 16,018,451
Umpqua Holdings Corp. 799,266 13,083,985
    311,411,461
 
Capital Goods 13.5%
3M Co. 2,086,642 354,249,212
Cummins, Inc. 524,721 95,950,482
Eaton Corp. plc 1,532,081 141,717,493
Emerson Electric Co. 2,224,650 164,312,649
Fastenal Co. 2,072,560 73,617,331
Illinois Tool Works, Inc. 1,084,855 189,122,772
Lockheed Martin Corp. 889,972 348,005,751
MSC Industrial Direct Co., Inc., Class A 163,054 11,969,794
Rockwell Automation, Inc. 428,413 83,900,402
Snap-on, Inc. 200,569 32,183,302
Watsco, Inc. 116,498 20,733,149
    1,515,762,337
 
Commercial & Professional Services 0.1%
Ennis, Inc. 95,271 1,966,393
Steelcase, Inc., Class A 319,582 5,790,826
    7,757,219
 
Consumer Durables & Apparel 1.2%
Garmin Ltd. 439,300 42,915,217
Hasbro, Inc. 419,477 42,660,811
Leggett & Platt, Inc. 474,902 24,846,873
Polaris, Inc. 207,652 20,287,600
    130,710,501
 
Security Number
of Shares
Value ($)
Consumer Services 0.7%
Cracker Barrel Old Country Store, Inc. 87,149 13,398,287
Darden Restaurants, Inc. 445,162 52,724,987
Wyndham Destinations, Inc. 338,977 16,440,385
    82,563,659
 
Diversified Financials 4.6%
Ameriprise Financial, Inc. 484,969 79,471,870
BlackRock, Inc. 430,662 213,138,930
Cohen & Steers, Inc. 79,009 5,303,874
Eaton Vance Corp. 412,171 19,442,106
Evercore, Inc., Class A 148,854 11,518,322
Federated Investors, Inc., Class B 348,615 11,685,575
Franklin Resources, Inc. 1,066,137 29,308,106
Janus Henderson Group plc 594,089 15,089,861
Lazard Ltd., Class A 469,020 18,122,933
T. Rowe Price Group, Inc. 855,852 105,749,073
Waddell & Reed Financial, Inc., Class A 272,704 4,404,170
    513,234,820
 
Energy 6.3%
Exxon Mobil Corp. 6,791,698 462,718,385
ONEOK, Inc. 1,493,995 106,148,345
Valero Energy Corp. 1,510,195 144,208,520
    713,075,250
 
Food, Beverage & Tobacco 14.0%
Altria Group, Inc. 6,772,562 336,596,331
B&G Foods, Inc. (a) 236,990 3,924,554
Flowers Foods, Inc. 666,551 14,350,843
General Mills, Inc. 2,167,408 115,566,195
Kellogg Co. 899,410 58,569,579
PepsiCo, Inc. 3,582,603 486,624,966
The Coca-Cola Co. 8,918,867 476,267,498
The Hershey Co. 504,505 74,747,461
    1,566,647,427
 
Health Care Equipment & Services 3.7%
Cardinal Health, Inc. 1,079,213 59,389,091
CVS Health Corp. 4,702,620 353,966,208
National HealthCare Corp. 35,068 2,980,780
    416,336,079
 
Household & Personal Products 6.6%
Kimberly-Clark Corp. 1,244,412 169,663,132
Nu Skin Enterprises, Inc., Class A 201,387 7,701,039
The Clorox Co. 461,323 68,381,908
The Procter & Gamble Co. 4,027,867 491,641,446
    737,387,525
 
 
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Schwab U.S. Dividend Equity ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Insurance 2.5%
Assurant, Inc. 222,675 29,586,827
Fidelity National Financial, Inc. 994,548 47,370,321
Mercury General Corp. 98,478 4,823,453
Principal Financial Group, Inc. 937,798 51,672,670
Prudential Financial, Inc. 1,469,744 137,597,433
Safety Insurance Group, Inc. 52,869 5,162,658
    276,213,362
 
Materials 1.9%
Eastman Chemical Co. 501,445 39,298,245
Huntsman Corp. 758,579 17,159,057
International Paper Co. 1,439,185 66,691,833
Packaging Corp. of America 341,971 38,266,555
Schweitzer-Mauduit International, Inc. 112,548 4,936,355
Sonoco Products Co. 361,957 21,909,257
Steel Dynamics, Inc. 805,623 27,173,664
    215,434,966
 
Media & Entertainment 0.6%
Omnicom Group, Inc. 797,470 63,382,916
 
Pharmaceuticals, Biotechnology & Life Sciences 7.5%
Bristol-Myers Squibb Co. 5,922,090 337,203,804
Pfizer, Inc. 13,056,915 502,952,366
    840,156,170
 
Retailing 8.1%
American Eagle Outfitters, Inc. 589,593 8,826,207
Best Buy Co., Inc. 841,532 67,861,141
Foot Locker, Inc. 406,449 16,278,282
Genuine Parts Co. 528,806 55,191,482
Macy's, Inc. (a) 1,117,815 17,124,926
Nordstrom, Inc. 381,025 14,543,724
Target Corp. 1,854,497 231,830,670
The Buckle, Inc. 104,595 2,909,833
The Gap, Inc. 767,216 12,743,458
The Home Depot, Inc. 2,099,546 462,970,889
Williams-Sonoma, Inc. 285,086 19,784,968
    910,065,580
 
Semiconductors & Semiconductor Equipment 13.1%
Intel Corp. 9,254,089 537,199,867
KLA Corp. 585,270 95,902,342
Maxim Integrated Products, Inc. 985,952 55,873,900
QUALCOMM, Inc. 4,400,828 367,689,179
Texas Instruments, Inc. 3,396,295 408,268,622
    1,464,933,910
 
Security Number
of Shares
Value ($)
Software & Services 4.7%
International Business Machines Corp. 3,209,639 431,535,964
Paychex, Inc. 1,158,193 99,743,581
    531,279,545
 
Technology Hardware & Equipment 0.0%
AVX Corp. 171,992 3,500,037
 
Telecommunication Services 4.4%
Verizon Communications, Inc. 8,123,725 489,373,194
 
Transportation 3.0%
C.H. Robinson Worldwide, Inc. 494,071 37,969,356
United Parcel Service, Inc., Class B 2,525,294 302,353,451
    340,322,807
Total Common Stock
(Cost $9,786,375,033)   11,162,570,859

Other Investment Companies 0.2% of net assets
 
Money Market Fund 0.0%
State Street Institutional U.S. Government Money Market Fund, Premier Class 1.59% (b) 4,889,312 4,889,312
 
Securities Lending Collateral 0.2%
Wells Fargo Government Money Market Fund, Select Class 1.56% (b) 18,539,555 18,539,555
Total Other Investment Companies
(Cost $23,428,867)   23,428,867
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
S&P 500 Index, e-mini, expires 12/20/19 247 38,824,695 562,542
(a) All or a portion of this security is on loan. Securities on loan were valued at $17,824,592.
(b) The rate shown is the 7-day yield.
 

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Schwab U.S. Dividend Equity ETF
Portfolio Holdings (Unaudited) continued

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2019:
Description Quoted Prices in
Active Markets for
Identical Assets
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable Inputs
(Level 3)
Total  
Assets          
Common Stock1 $11,162,570,859 $— $— $11,162,570,859  
Other Investment Companies1 23,428,867 23,428,867  
Futures Contracts2 562,542 562,542  
Total $11,186,562,268 $— $— $11,186,562,268  
1 As categorized in Portfolio Holdings.
2 Futures contracts are valued at unrealized appreciation or depreciation.
Fund investments in underlying mutual funds are classified as Level 1, without consideration to the classification level of the investments held by the underlying mutual funds, which could be Level 1, Level 2 or Level 3.
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Schwab U.S. Equity ETFs
Notes to Portfolio Holdings

Under procedures approved by the funds’ Board of Trustees (the Board), the investment adviser has formed a Pricing Committee to administer the pricing and valuation of portfolio securities and other assets and to ensure that prices used for internal purposes or provided by third parties reasonably reflect fair market value. Among other things, these procedures allow the funds to utilize independent pricing services, quotations from securities and financial instrument dealers and other market sources to determine fair value.
The funds value the securities in their portfolios every business day. The funds use the following policies to value various types of securities:
•  Securities traded on an exchange or over-the-counter: Traded securities are valued at the closing value for the day, or, on days when no closing value has been reported, at the mean of the most recent bid and ask quotes. Securities that are primarily traded on foreign exchanges are valued at the official closing price or the last sales price on the exchange where the securities are principally traded with these values then translated into U.S. dollars at the current exchange rate, unless these securities are fair valued as discussed below.
•  Securities for which no quoted value is available: The Board has adopted procedures to fair value each fund’s securities when market prices are not “readily available” or are unreliable. For example, a fund may fair value a security when it is de-listed or its trading is halted or suspended; when a security’s primary pricing source is unable or unwilling to provide a price; or when a security’s primary trading market is closed during regular market hours. Each fund makes fair value determinations in good faith in accordance with the fund’s valuation procedures. The Pricing Committee considers a number of factors, including unobservable market inputs when arriving at fair value. The Pricing Committee may employ techniques such as the review of related or comparable assets or liabilities, related market activities, recent transactions, market multiples, book values, transactional back-testing, disposition analysis and other relevant information. The Pricing Committee regularly reviews these inputs and assumptions to calibrate the valuations. Due to the subjective and variable nature of fair value pricing, there can be no assurance that a fund could obtain the fair value assigned to the security upon the sale of such security. The Board convenes on a regular basis to review fair value determinations made by the funds pursuant to the valuation procedures.
•   Futures contracts: Futures contracts are valued at their settlement prices as of the close of their exchanges.
•  Underlying funds: Mutual funds are valued at their respective net asset values (NAVs). Exchange-traded funds (ETFs) traded on a recognized securities exchange are valued at the last reported sale price that day or the official closing price, if applicable.
In accordance with the authoritative guidance on fair value measurements and disclosures under generally accepted accounting principles in the United States of America (GAAP), the funds disclose the fair value of their investments in a hierarchy that prioritizes the significant inputs to valuation techniques used to measure the fair value. The hierarchy gives the highest priority to valuations based upon unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to valuations based upon unobservable inputs that are significant to the valuation (Level 3 measurements). If inputs used to measure the financial instruments fall within different levels of the hierarchy, the categorization is based on the lowest level input that is significant to the valuation. If the funds determine that either the volume and/or level of activity for an asset or liability has significantly decreased (from normal conditions for that asset or liability) or price quotations or observable inputs are not associated with orderly transactions, increased analysis and management judgment will be required to estimate fair value.
The three levels of the fair value hierarchy are as follows:
•  Level 1quoted prices in active markets for identical securitiesInvestments whose values are based on quoted market prices in active markets, and whose values are therefore classified as Level 1 prices, include active listed equities, ETFs and futures contracts. Investments in mutual funds are valued daily at their NAVs, which are classified as Level 1 prices, without consideration to the classification level of the specific investments held by an underlying fund.
•  Level 2other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)Investments that trade in markets that are not considered to be active, but whose values are based on quoted market prices, dealer quotations or valuations provided by alternative pricing sources supported by observable inputs are classified as Level 2 prices. These generally include U.S. government and sovereign obligations, most government agency securities, investment-grade corporate bonds, certain mortgage products, less liquid listed equities, and state, municipal and provincial obligations.
•  Level 3significant unobservable inputs (including the funds’ own assumptions in determining the fair value of investments)Investments whose values are classified as Level 3 prices have significant unobservable inputs, as they may trade infrequently or not at all. When observable prices are not available for these securities, the funds use one or more valuation techniques for which sufficient and reliable data is available. The inputs used by the funds in estimating the value of Level 3 prices may include the original transaction price, quoted prices for similar securities or assets in active markets, completed or pending third-party transactions in the underlying investment or comparable issuers, and changes in financial ratios or cash flows. Level 3 prices may also be adjusted to reflect illiquidity and/or non-transferability, with the amount of such discount estimated by the funds in the absence of market information. Assumptions used by the funds due to the lack of observable inputs may significantly impact the resulting fair value and therefore the funds’ results of operations.
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Schwab U.S. Equity ETFs
Notes to Portfolio Holdings (continued)

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
REG89448NOV19
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