0001752724-21-010972.txt : 20210126 0001752724-21-010972.hdr.sgml : 20210126 20210126141831 ACCESSION NUMBER: 0001752724-21-010972 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20201130 FILED AS OF DATE: 20210126 PERIOD START: 20210831 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: 21553112 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 S000026636 Schwab U.S. Small-Cap ETF C000079983 Schwab U.S. Small-Cap ETF SCHA NPORT-P 1 primary_doc.xml NPORT-P false 0001454889 XXXXXXXX S000026636 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US N 1 N N N Floor & Decor Holdings Inc 549300M5FR3N688XGQ36 Floor & Decor Holdings Inc 339750101 388044.00000000 NS USD 31078443.96000000 0.263216382195 Long EC CORP US N 1 N N N CONSOL Energy Inc 549300YJCTPJBTK7IJ81 CONSOL Energy Inc 20854L108 96349.00000000 NS USD 509686.21000000 0.004316746373 Long EC CORP US N 1 N N N Park Hotels & Resorts Inc 5493005UZ5TQN0H6HS73 Park Hotels & Resorts Inc 700517105 882975.00000000 NS USD 14410152.00000000 0.122045623687 Long EC US N 1 N N N Stepan Co IZU1EW9GB3WC7CYCSR17 Stepan Co 858586100 79775.00000000 NS USD 9266664.00000000 0.078483265643 Long EC CORP US N 1 N N N FTI Consulting Inc 549300K17GM8EQD0FQ48 FTI Consulting Inc 302941109 136882.00000000 NS USD 14375347.64000000 0.121750850958 Long EC CORP US N 1 N N N KB Home 549300LGUCWQURMWLG09 KB Home 48666K109 329747.00000000 NS USD 11607094.40000000 0.098305352729 Long EC CORP US N 1 N N N PacWest Bancorp 549300YI8VMFO7G36V04 PacWest Bancorp 695263103 438108.00000000 NS USD 10190392.08000000 0.086306706342 Long EC CORP US N 1 N N N SpartanNash Co 549300TV3QCCSQLF5X16 SpartanNash Co 847215100 133634.00000000 NS USD 2523009.92000000 0.021368429649 Long EC CORP US N 1 N N N Tenable Holdings Inc 5493004S5OMPESF0EF83 Tenable Holdings Inc 88025T102 246481.00000000 NS USD 8875780.81000000 0.075172711895 Long EC CORP US N 1 N N N Appian Corp 529900NIARIFW7HGU386 Appian Corp 03782L101 140830.00000000 NS USD 19716200.00000000 0.166984770580 Long EC CORP US N 1 N N N QAD Inc N/A QAD Inc 74727D306 44987.00000000 NS USD 2579104.71000000 0.021843519963 Long EC CORP US N 1 N N N Monro Inc N/A Monro Inc 610236101 124153.00000000 NS USD 5836432.53000000 0.049431196022 Long EC CORP US N 1 N N N Xencor Inc 549300V5IF65437JKG30 Xencor Inc 98401F105 214958.00000000 NS USD 9097022.56000000 0.077046501107 Long EC CORP US N 1 N N N Onto Innovation Inc 254900RXZVN73CHOO062 Onto Innovation Inc 683344105 182183.00000000 NS USD 8054310.43000000 0.068215334564 Long EC CORP US N 1 N N N Omega Flex Inc N/A Omega Flex Inc 682095104 10872.00000000 NS USD 1540779.84000000 0.013049510965 Long EC CORP US N 1 N N N Johnson Outdoors Inc N/A Johnson Outdoors Inc 479167108 26790.00000000 NS USD 2239644.00000000 0.018968484775 Long EC CORP US N 1 N N N Ingevity Corp 5493009UTFC4B5IMGF87 Ingevity Corp 45688C107 154187.00000000 NS USD 10265770.46000000 0.086945117471 Long EC CORP US N 1 N N N Argan Inc 529900E4KZWBV9KGBS83 Argan Inc 04010E109 55443.00000000 NS USD 2549823.57000000 0.021595525702 Long EC CORP US N 1 N N N Midland States Bancorp Inc 5493006RHXW9TTBWYC94 Midland States Bancorp Inc 597742105 76067.00000000 NS USD 1289335.65000000 0.010919924616 Long EC CORP US N 1 N N N Valhi Inc N/A Valhi Inc 918905209 7911.00000000 NS USD 123095.16000000 0.001042544559 Long EC CORP US N 1 N N N Element Solutions Inc 549300FLGN6P5CU20J91 Element Solutions Inc 28618M106 818032.00000000 NS USD 11297021.92000000 0.095679218792 Long EC CORP US N 1 N N N Clean Energy Fuels Corp 549300MTQB4VUAOPMF71 Clean Energy Fuels Corp 184499101 429915.00000000 NS USD 1956113.25000000 0.016567143885 Long EC CORP US N 1 N N N Heidrick & Struggles International Inc 5493006284N2J367VB57 Heidrick & Struggles International Inc 422819102 72156.00000000 NS USD 1883271.60000000 0.015950217388 Long EC CORP US N 1 N N N Hanover Insurance Group Inc/The JJYR6MFKFF6CF8DBZ078 Hanover Insurance Group Inc/The 410867105 140947.00000000 NS USD 15835395.45000000 0.134116608487 Long EC CORP US N 1 N N N PAR Technology Corp 549300HYPTHBJQINVG57 PAR Technology Corp 698884103 62590.00000000 NS USD 3378608.20000000 0.028614850486 Long EC CORP US N 1 N N N Otter Tail Corp N/A Otter Tail Corp 689648103 152453.00000000 NS USD 6070678.46000000 0.051415123092 Long EC CORP US N 1 N N N Allogene Therapeutics Inc N/A Allogene Therapeutics Inc 019770106 244874.00000000 NS USD 7603337.70000000 0.064395857288 Long EC CORP US N 1 N N N National Fuel Gas Co 8JB38FFW1Y3C1HM8E841 National Fuel Gas Co 636180101 340559.00000000 NS USD 14020814.03000000 0.118748157055 Long EC CORP US N 1 N N N Forrester Research Inc 549300UUSFXYLJ80Z897 Forrester Research Inc 346563109 40881.00000000 NS USD 1692473.40000000 0.014334267374 Long EC CORP US N 1 N N N MobileIron Inc 5493009ZKZIDFX3SG973 MobileIron Inc 60739U204 366587.00000000 NS USD 2580772.48000000 0.021857645007 Long EC CORP US N 1 N N N Equity Commonwealth 549300YPGVU9PR4L0606 Equity Commonwealth 294628102 454300.00000000 NS USD 12043493.00000000 0.102001395582 Long EC US N 1 N N N CVB Financial Corp N/A CVB Financial Corp 126600105 475819.00000000 NS USD 9035802.81000000 0.076528005357 Long EC CORP US N 1 N N N Aprea Therapeutics Inc N/A Aprea Therapeutics Inc 03836J102 45791.00000000 NS USD 1155764.84000000 0.009788657380 Long EC CORP US N 1 N N N Provident Financial Services Inc 529900JOSO3SXEDVE477 Provident Financial Services Inc 74386T105 272913.00000000 NS USD 4276546.71000000 0.036219868496 Long EC CORP US N 1 N N N Gritstone Oncology Inc 5493003TER6KY3MUVY84 Gritstone Oncology Inc 39868T105 72969.00000000 NS USD 222555.45000000 0.001884915488 Long EC CORP US N 1 N N N Black Diamond Therapeutics Inc N/A Black Diamond Therapeutics Inc 09203E105 58923.00000000 NS USD 1964492.82000000 0.016638113980 Long EC CORP US N 1 N N N Agenus Inc 529900NDQQGU5H4UJK81 Agenus Inc 00847G705 561150.00000000 NS USD 2076255.00000000 0.017584674777 Long EC CORP US N 1 N N N Aegion Corp 549300AG3DVJURRIT691 Aegion Corp 00770F104 114780.00000000 NS USD 1968477.00000000 0.016671857672 Long EC CORP US N 1 N N N CoreLogic Inc/United States 54930086CD8K2UIL0516 CoreLogic Inc/United States 21871D103 297133.00000000 NS USD 23027807.50000000 0.195032164024 Long EC CORP US N 1 N N N SunPower Corp 549300TXO070764WUH65 SunPower Corp 867652406 298024.00000000 NS USD 6604211.84000000 0.055933841154 Long EC CORP US N 1 N N N MannKind Corp 213800GFBCNY1ZFST722 MannKind Corp 56400P706 854984.00000000 NS USD 2547852.32000000 0.021578830359 Long EC CORP US N 1 N N N Investors Bancorp Inc N/A Investors Bancorp Inc 46146L101 849458.00000000 NS USD 8222753.44000000 0.069641949093 Long EC CORP US N 1 N N N Mercer International Inc 549300Z5IAG39VRTY874 Mercer International Inc 588056101 147417.00000000 NS USD 1207345.23000000 0.010225513346 Long EC CORP US N 1 N N N Rush Enterprises Inc 529900V3XHTN7A6DFT17 Rush Enterprises Inc 781846308 27661.00000000 NS USD 940197.39000000 0.007962926196 Long EC CORP US N 1 N N N Liberty Media Corp-Liberty Braves N/A Liberty Media Corp-Liberty Braves 531229706 37435.00000000 NS USD 942238.95000000 0.007980217024 Long EC CORP US N 1 N N N Covanta Holding Corp 40XIFLS8XDQGGHGPGC04 Covanta Holding Corp 22282E102 441764.00000000 NS USD 5477873.60000000 0.046394409995 Long EC CORP US N 1 N N N Timken Co/The B0I35MLPFXZSE70ASS73 Timken Co/The 887389104 252731.00000000 NS USD 18560564.64000000 0.157197209819 Long EC CORP US N 1 N N N CSW Industrials Inc 549300SYOEO3RVQ7FB83 CSW Industrials Inc 126402106 51183.00000000 NS USD 5491424.07000000 0.046509174612 Long EC CORP US N 1 N N N Zentalis Pharmaceuticals Inc N/A Zentalis Pharmaceuticals Inc 98943L107 52232.00000000 NS USD 2661742.72000000 0.022543415944 Long EC CORP US N 1 N N N Weyco Group Inc 549300I10J38MHJELM87 Weyco Group Inc 962149100 26352.00000000 NS USD 472227.84000000 0.003999495720 Long EC CORP US N 1 N N N SPS Commerce Inc 2549006XVF9GCCETDQ72 SPS Commerce Inc 78463M107 131583.00000000 NS USD 13562259.81000000 0.114864468960 Long EC CORP US N 1 N N N Optinose Inc 549300CPBME7Z3CYMN16 Optinose Inc 68404V100 131831.00000000 NS USD 533915.55000000 0.004521954820 Long EC CORP US N 1 N N N Repay Holdings Corp N/A Repay Holdings Corp 76029L100 243392.00000000 NS USD 5873048.96000000 0.049741315932 Long EC CORP US N 1 N N N Cars.com Inc 5493002G6J07LNGX4M98 Cars.com Inc 14575E105 250674.00000000 NS USD 2800028.58000000 0.023714616916 Long EC CORP US N 1 N N N Encore Wire Corp N/A Encore Wire Corp 292562105 77786.00000000 NS USD 4019202.62000000 0.034040313418 Long EC CORP US N 1 N N N Brinker International Inc 52990067JY6PBGJNTG76 Brinker International Inc 109641100 168411.00000000 NS USD 8439075.21000000 0.071474068930 Long EC CORP US N 1 N N N 2020-12-30 SCHWAB STRATEGIC TRUST Mark Fischer Mark Fischer CFO XXXX NPORT-EX 2 NPORT_5290705533861936.htm
Schwab Strategic Trust
Schwab U.S. Broad Market ETF

Portfolio Holdings as of November 30, 2020 (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 1.7%
Adient plc * 43,070 1,347,660
American Axle & Manufacturing Holdings, Inc. * 52,382 416,961
Aptiv plc 127,097 15,086,414
Autoliv, Inc. 36,746 3,272,231
BorgWarner, Inc. 114,797 4,459,864
Cooper Tire & Rubber Co. 24,630 978,550
Cooper-Standard Holding, Inc. * 7,573 256,876
Dana, Inc. 68,688 1,156,706
Dorman Products, Inc. * 13,932 1,286,899
Ford Motor Co. 1,835,934 16,670,281
Fox Factory Holding Corp. * 19,668 1,716,426
General Motors Co. 591,837 25,946,134
Gentex Corp. 116,854 3,809,440
Gentherm, Inc. * 15,076 857,221
Harley-Davidson, Inc. 71,442 2,878,398
LCI Industries 11,812 1,485,713
Lear Corp. 25,366 3,626,070
Modine Manufacturing Co. * 21,564 235,479
Motorcar Parts of America, Inc. * 7,913 159,210
Patrick Industries, Inc. 10,001 630,463
Standard Motor Products, Inc. 10,058 465,585
Stoneridge, Inc. * 12,339 331,426
Tenneco, Inc., Class A * 20,256 215,726
Tesla, Inc. * 350,933 199,189,571
The Goodyear Tire & Rubber Co. 111,741 1,164,341
Thor Industries, Inc. 25,795 2,489,476
Veoneer, Inc. * 42,652 850,054
Visteon Corp. * 13,672 1,652,261
Winnebago Industries, Inc. 16,038 848,891
Workhorse Group, Inc. *(a) 43,800 1,111,206
XPEL, Inc. * 7,718 292,358
    294,887,891
 
Banks 3.9%
1st Source Corp. 6,900 257,508
Allegiance Bancshares, Inc. 9,310 294,755
Altabancorp 8,496 232,790
Ameris Bancorp 31,502 1,071,383
Arrow Financial Corp. 8,143 242,336
Associated Banc-Corp. 75,198 1,152,033
Atlantic Union Bankshares Corp. 37,468 1,120,668
Axos Financial, Inc. * 24,906 834,351
Banc of California, Inc. 20,842 277,199
BancFirst Corp. 7,910 428,959
BancorpSouth Bank 46,829 1,187,115
Bank of America Corp. 3,590,139 101,098,314
Bank of Hawaii Corp. 18,537 1,388,051
Bank of Marin Bancorp 5,701 197,825
Bank OZK 58,032 1,622,575
BankUnited, Inc. 40,982 1,168,397
Banner Corp. 16,193 669,257
Security Number
of Shares
Value ($)
Berkshire Hills Bancorp, Inc. 22,723 372,657
BOK Financial Corp. 14,111 944,731
Boston Private Financial Holdings, Inc. 36,643 262,364
Bridge Bancorp, Inc. 8,573 191,349
Bridgewater Bancshares, Inc. * 11,813 139,039
Brookline Bancorp, Inc. 35,636 405,181
Bryn Mawr Bank Corp. 9,377 279,622
Byline Bancorp, Inc. 11,165 171,159
Cadence BanCorp 63,087 879,433
Camden National Corp. 7,085 243,370
Capitol Federal Financial, Inc. 60,311 743,031
Carter Bankshares, Inc. 10,467 98,076
Cathay General Bancorp 36,951 1,043,866
CBTX, Inc. 9,029 198,187
Central Pacific Financial Corp. 14,064 230,509
CIT Group, Inc. 48,848 1,635,919
Citigroup, Inc. 980,029 53,970,197
Citizens Financial Group, Inc. 201,558 6,582,884
City Holding Co. 8,014 526,440
Columbia Banking System, Inc. 34,260 1,082,959
Columbia Financial, Inc. * 23,715 340,785
Comerica, Inc. 65,266 3,211,087
Commerce Bancshares, Inc. 46,423 3,062,061
Community Bank System, Inc. 24,274 1,511,056
Community Trust Bancorp, Inc. 8,140 275,539
ConnectOne Bancorp, Inc. 15,633 277,173
CrossFirst Bankshares, Inc. * 21,893 199,226
Cullen/Frost Bankers, Inc. 26,195 2,198,022
Customers Bancorp, Inc. * 13,813 233,302
CVB Financial Corp. 59,586 1,131,538
Dime Community Bancshares, Inc. 14,689 212,256
Eagle Bancorp, Inc. 15,494 569,869
East West Bancorp, Inc. 65,118 2,781,841
Enterprise Financial Services Corp. 12,822 436,076
Equity Bancshares, Inc., Class A * 7,651 155,124
Essent Group Ltd. 52,835 2,317,343
F.N.B. Corp. 154,129 1,360,959
FB Financial Corp. 14,705 469,384
Federal Agricultural Mortgage Corp., Class C 4,086 276,622
Fifth Third Bancorp 336,340 8,522,856
Financial Institutions, Inc. 3,881 77,659
First BanCorp 103,662 823,076
First Bancorp (North Carolina) 14,407 452,092
First Bancshares, Inc. 11,285 308,758
First Busey Corp. 23,741 475,057
First Citizens BancShares, Inc., Class A 3,356 1,773,948
First Commonwealth Financial Corp. 47,448 458,822
First Community Bankshares, Inc. 5,985 126,104
First Financial Bancorp 48,281 774,910
First Financial Bankshares, Inc. 66,668 2,228,045
First Financial Corp. 6,692 253,426
First Foundation, Inc. 17,677 313,944
First Hawaiian, Inc. 61,213 1,341,789
First Horizon Corp. 264,570 3,233,045
First Interstate BancSystem, Inc., Class A 15,817 601,837
First Merchants Corp. 27,092 902,705
 
1

 

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

Security Number
of Shares
Value ($)
First Mid Bancshares, Inc. 6,261 188,143
First Midwest Bancorp, Inc. 57,329 802,033
First Republic Bank 80,573 10,439,038
Flagstar Bancorp, Inc. 24,097 844,359
Flushing Financial Corp. 15,268 216,806
Fulton Financial Corp. 77,492 954,701
German American Bancorp, Inc. 11,244 359,133
Glacier Bancorp, Inc. 44,839 1,828,086
Great Southern Bancorp, Inc. 4,778 219,310
Great Western Bancorp, Inc. 27,543 452,531
Hancock Whitney Corp. 41,813 1,174,527
Hanmi Financial Corp. 13,879 135,320
Harborone Bancorp, Inc. * 30,773 301,883
HBT Financial, Inc. 4,442 62,099
Heartland Financial USA, Inc. 15,816 616,508
Heritage Commerce Corp. 27,614 232,510
Heritage Financial Corp. 16,082 374,228
Hilltop Holdings, Inc. 32,090 773,048
Home BancShares, Inc. 73,918 1,368,222
HomeStreet, Inc. 10,870 351,644
HomeTrust Bancshares, Inc. 6,920 117,848
Hope Bancorp, Inc. 60,915 577,474
Horizon Bancorp, Inc. 19,289 275,833
Huntington Bancshares, Inc. 477,613 5,769,565
Independent Bank Corp. 15,411 1,042,400
Independent Bank Group, Inc. 17,179 963,914
International Bancshares Corp. 25,471 825,515
Investors Bancorp, Inc. 105,978 1,025,867
JPMorgan Chase & Co. 1,435,110 169,170,767
Kearny Financial Corp. 37,238 368,284
KeyCorp 460,402 7,117,815
Lakeland Bancorp, Inc. 22,419 269,476
Lakeland Financial Corp. 11,863 602,522
Live Oak Bancshares, Inc. 11,391 468,398
Luther Burbank Corp. 6,902 67,847
M&T Bank Corp. 60,436 7,040,190
Mercantile Bank Corp. 8,270 205,344
Merchants Bancorp 8,007 213,306
Meridian Bancorp, Inc. 26,331 359,286
Meta Financial Group, Inc. 16,709 553,068
Metrocity Bankshares, Inc. 9,583 132,725
MGIC Investment Corp. 158,761 1,898,782
Midland States Bancorp, Inc. 9,976 169,093
Mr Cooper Group, Inc. * 34,912 930,754
National Bank Holdings Corp., Class A 14,997 482,603
NBT Bancorp, Inc. 21,085 631,496
New York Community Bancorp, Inc. 212,241 2,056,615
Nicolet Bankshares, Inc. * 3,954 262,981
NMI Holdings, Inc., Class A * 39,199 858,850
Northfield Bancorp, Inc. 19,822 220,619
Northwest Bancshares, Inc. 56,520 668,632
OceanFirst Financial Corp. 28,748 453,356
Ocwen Financial Corp. * 4,476 105,634
OFG Bancorp 24,679 413,373
Old National Bancorp 77,201 1,222,092
Origin Bancorp, Inc. 9,694 249,233
Pacific Premier Bancorp, Inc. 43,237 1,246,090
PacWest Bancorp 54,003 1,256,110
Park National Corp. 6,745 681,987
Peapack-Gladstone Financial Corp. 7,920 174,319
PennyMac Financial Services, Inc. 19,842 1,143,693
People's United Financial, Inc. 198,102 2,456,465
Peoples Bancorp, Inc. 9,398 234,762
Peoples Financial Services Corp. 2,611 98,748
Pinnacle Financial Partners, Inc. 35,824 1,940,228
Popular, Inc. 39,564 1,920,041
Preferred Bank 6,949 255,515
Premier Financial Corp. 18,126 375,389
Prosperity Bancshares, Inc. 42,694 2,682,464
Security Number
of Shares
Value ($)
Provident Financial Services, Inc. 35,400 554,718
QCR Holdings, Inc. 7,911 275,857
Radian Group, Inc. 88,404 1,669,067
Red River Bancshares, Inc. 2,627 130,667
Regions Financial Corp. 452,797 6,914,210
Renasant Corp. 27,779 857,538
Republic Bancorp, Inc., Class A 3,793 133,893
Rocket Cos., Inc., Class A *(a) 48,097 996,570
S&T Bancorp, Inc. 19,031 426,104
Sandy Spring Bancorp, Inc. 23,345 687,744
Seacoast Banking Corp. of Florida * 24,685 623,543
ServisFirst Bancshares, Inc. 22,991 868,600
Signature Bank 24,651 2,765,596
Simmons First National Corp., Class A 49,931 973,654
South State Corp. 34,112 2,267,425
Southside Bancshares, Inc. 15,507 455,906
Sterling Bancorp 91,909 1,468,706
Stock Yards Bancorp, Inc. 9,836 391,866
SVB Financial Group * 24,361 8,401,134
Synovus Financial Corp. 70,418 2,223,096
TCF Financial Corp. 69,284 2,327,942
Texas Capital Bancshares, Inc. * 24,246 1,355,351
TFS Financial Corp. 19,523 335,796
The Bancorp, Inc. * 23,724 279,943
The First of Long Island Corp. 9,437 158,636
The PNC Financial Services Group, Inc. 199,093 27,488,770
Tompkins Financial Corp. 5,883 374,218
Towne Bank 31,635 688,061
TriCo Bancshares 11,864 388,665
TriState Capital Holdings, Inc. * 10,722 159,651
Triumph Bancorp, Inc. * 11,871 539,418
Truist Financial Corp. 633,630 29,413,105
TrustCo Bank Corp. 48,310 293,242
Trustmark Corp. 30,297 751,972
U.S. Bancorp 644,356 27,842,623
UMB Financial Corp. 20,955 1,425,150
Umpqua Holdings Corp. 106,166 1,474,646
United Bankshares, Inc. 60,191 1,762,392
United Community Banks, Inc. 38,328 916,422
Univest Financial Corp. 14,431 264,232
Valley National Bancorp 188,773 1,725,385
Veritex Holdings, Inc. 23,617 512,253
Walker & Dunlop, Inc. 13,426 1,074,214
Washington Federal, Inc. 36,736 858,520
Washington Trust Bancorp, Inc. 7,412 291,440
Waterstone Financial, Inc. 9,786 171,891
Webster Financial Corp. 41,448 1,568,392
Wells Fargo & Co. 1,939,123 53,035,014
WesBanco, Inc. 31,635 905,710
Westamerica BanCorp 12,983 715,623
Western Alliance Bancorp 47,119 2,415,791
Wintrust Financial Corp. 27,197 1,481,965
WSFS Financial Corp. 24,354 928,618
Zions Bancorp NA 76,592 2,955,685
    670,849,952
 
Capital Goods 6.3%
3M Co. 271,312 46,863,722
A.O. Smith Corp. 63,527 3,577,205
AAON, Inc. 19,191 1,249,910
AAR Corp. 16,028 454,714
Acuity Brands, Inc. 18,475 2,193,352
Advanced Drainage Systems, Inc. 23,226 1,620,014
AECOM * 76,135 3,950,645
Aegion Corp. * 14,151 242,690
Aerojet Rocketdyne Holdings, Inc. * 34,636 1,296,425
AeroVironment, Inc. * 10,082 860,902
AGCO Corp. 28,964 2,679,460
 
2

 

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

Security Number
of Shares
Value ($)
Air Lease Corp. 49,149 1,797,379
Alamo Group, Inc. 4,424 600,425
Albany International Corp., Class A 15,222 1,043,164
Allegion plc 43,676 4,980,811
Allison Transmission Holdings, Inc. 54,064 2,219,327
Altra Industrial Motion Corp. 28,834 1,636,618
Ameresco, Inc., Class A * 10,469 466,394
American Woodmark Corp. * 7,517 657,813
AMETEK, Inc. 107,845 12,782,868
API Group Corp. * 64,561 1,000,696
Apogee Enterprises, Inc. 12,432 326,216
Applied Industrial Technologies, Inc. 18,095 1,419,191
Arcosa, Inc. 23,329 1,210,542
Argan, Inc. 6,618 304,362
Armstrong World Industries, Inc. 22,070 1,700,714
Astec Industries, Inc. 10,756 623,848
Astronics Corp. * 8,603 98,246
Atkore International Group, Inc. * 22,299 869,215
Axon Enterprise, Inc. * 29,752 3,739,529
AZEK Co., Inc. * 32,911 1,175,581
AZZ, Inc. 12,049 537,265
Babcock & Wilcox Enterprises, Inc. * 30,331 127,390
Barnes Group, Inc. 20,954 964,094
Beacon Roofing Supply, Inc. * 25,775 937,952
Bloom Energy Corp., Class A * 38,589 946,202
BMC Stock Holdings, Inc. * 31,517 1,542,442
Builders FirstSource, Inc. * 54,114 2,024,405
BWX Technologies, Inc. 44,380 2,524,334
CAI International, Inc. 8,765 277,412
Carlisle Cos., Inc. 25,787 3,734,731
Carrier Global Corp. 382,058 14,544,948
Caterpillar, Inc. 255,077 44,278,816
Chart Industries, Inc. * 16,073 1,661,305
CIRCOR International, Inc. * 9,478 313,437
Colfax Corp. * 46,998 1,695,688
Columbus McKinnon Corp. 12,237 462,436
Comfort Systems USA, Inc. 17,111 862,223
Construction Partners, Inc., Class A * 15,479 407,098
Cornerstone Building Brands, Inc. * 15,717 137,367
Crane Co. 24,042 1,671,640
CSW Industrials, Inc. 6,507 698,136
Cubic Corp. 15,182 889,058
Cummins, Inc. 69,669 16,105,383
Curtiss-Wright Corp. 19,372 2,232,817
Deere & Co. 147,612 38,618,251
Donaldson Co., Inc. 59,070 3,144,887
Douglas Dynamics, Inc. 10,308 403,249
Dover Corp. 68,037 8,302,555
DXP Enterprises, Inc. * 7,235 152,369
Dycom Industries, Inc. * 14,280 897,641
Eaton Corp. plc 188,631 22,845,100
EMCOR Group, Inc. 25,984 2,239,301
Emerson Electric Co. 281,800 21,647,876
Encore Wire Corp. 9,773 504,971
Energy Recovery, Inc. * 15,320 163,464
Enerpac Tool Group Corp. 26,345 589,865
EnerSys 20,074 1,642,254
EnPro Industries, Inc. 10,022 709,658
ESCO Technologies, Inc. 12,544 1,240,602
Evoqua Water Technologies Corp. * 43,413 1,132,645
Fastenal Co. 269,558 13,329,643
Federal Signal Corp. 28,095 871,788
Flowserve Corp. 60,413 2,058,875
Fluor Corp. 58,516 1,010,571
Fortive Corp. 157,865 11,071,072
Fortune Brands Home & Security, Inc. 64,509 5,386,501
Foundation Building Materials, Inc. * 7,790 149,880
Franklin Electric Co., Inc. 18,617 1,258,323
FuelCell Energy, Inc. *(a) 98,300 1,002,660
Security Number
of Shares
Value ($)
Gates Industrial Corp. plc * 22,798 293,638
GATX Corp. 16,466 1,313,328
Generac Holdings, Inc. * 29,519 6,364,296
General Dynamics Corp. 109,221 16,312,156
General Electric Co. 4,120,865 41,950,406
Gibraltar Industries, Inc. * 15,410 1,008,739
GMS, Inc. * 20,020 625,225
Graco, Inc. 78,559 5,321,587
GrafTech International Ltd. 43,369 342,615
Graham Corp. 5,148 81,287
Granite Construction, Inc. 22,332 549,814
Great Lakes Dredge & Dock Corp. * 30,692 346,513
Griffon Corp. 21,256 443,188
H&E Equipment Services, Inc. 14,034 377,234
HD Supply Holdings, Inc. * 75,659 4,220,259
HEICO Corp. 19,953 2,465,792
HEICO Corp., Class A 34,555 3,826,966
Helios Technologies, Inc. 14,311 704,531
Herc Holdings, Inc. * 11,262 645,087
Hexcel Corp. 38,292 1,896,220
Hillenbrand, Inc. 36,287 1,359,674
Honeywell International, Inc. 330,634 67,422,885
Howmet Aerospace, Inc. 185,745 4,357,578
Hubbell, Inc. 25,610 4,138,320
Huntington Ingalls Industries, Inc. 18,902 3,027,911
Hyster-Yale Materials Handling, Inc. 4,665 256,762
IDEX Corp. 35,632 6,882,321
IES Holdings, Inc. * 9,532 351,540
Illinois Tool Works, Inc. 135,464 28,595,096
Ingersoll Rand, Inc. * 175,100 7,751,677
Insteel Industries, Inc. 8,596 198,825
ITT, Inc. 41,029 2,979,936
Jacobs Engineering Group, Inc. 60,631 6,538,447
JELD-WEN Holding, Inc. * 31,635 765,251
John Bean Technologies Corp. 14,557 1,609,422
Johnson Controls International plc 349,236 16,078,825
Kadant, Inc. 5,711 730,494
Kaman Corp. 13,764 719,720
Kennametal, Inc. 39,541 1,383,540
Kratos Defense & Security Solutions, Inc. * 57,616 1,219,731
L.B. Foster Co., Class A * 5,504 80,138
L3Harris Technologies, Inc. 101,610 19,508,104
Lennox International, Inc. 16,378 4,714,080
Lincoln Electric Holdings, Inc. 27,522 3,165,030
Lindsay Corp. 4,793 555,125
Lockheed Martin Corp. 115,874 42,294,010
Lydall, Inc. * 7,558 207,089
Masco Corp. 122,429 6,570,764
Masonite International Corp. * 11,696 1,170,185
MasTec, Inc. * 26,409 1,497,654
Maxar Technologies, Inc. 28,757 799,732
Mercury Systems, Inc. * 26,646 1,897,728
Meritor, Inc. * 33,483 883,951
Moog, Inc., Class A 14,426 1,115,995
MRC Global, Inc. * 25,600 147,968
MSC Industrial Direct Co., Inc., Class A 21,510 1,792,213
Mueller Industries, Inc. 27,228 891,989
Mueller Water Products, Inc., Class A 74,164 880,327
MYR Group, Inc. * 7,511 384,037
National Presto Industries, Inc. 2,248 191,192
Navistar International Corp. * 23,517 1,040,862
Nikola Corp. *(a) 64,546 1,317,384
NN, Inc. * 22,619 141,708
Nordson Corp. 25,345 5,165,564
Northrop Grumman Corp. 73,097 22,094,299
NOW, Inc. * 53,418 298,072
NV5 Global, Inc. * 5,453 398,614
nVent Electric plc 79,510 1,828,730
 
3

 

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

Security Number
of Shares
Value ($)
Omega Flex, Inc. 1,630 231,004
Oshkosh Corp. 31,483 2,534,382
Otis Worldwide Corp. 192,192 12,865,332
Owens Corning 51,395 3,745,154
PACCAR, Inc. 163,351 14,221,338
PAE, Inc. * 28,850 277,249
Park Aerospace Corp. 7,657 97,474
Park-Ohio Holdings Corp. 4,684 131,574
Parker-Hannifin Corp. 60,352 16,129,676
Parsons Corp. * 11,237 367,450
Pentair plc 78,130 4,048,697
PGT Innovations, Inc. * 29,071 541,302
Plug Power, Inc. * 204,613 5,399,737
Powell Industries, Inc. 3,838 99,136
Preformed Line Products Co. 1,622 98,374
Primoris Services Corp. 20,433 495,500
Proto Labs, Inc. * 12,538 1,732,250
Quanex Building Products Corp. 16,072 331,083
Quanta Services, Inc. 64,714 4,422,555
Raven Industries, Inc. 17,216 434,188
Raytheon Technologies Corp. 719,331 51,590,419
RBC Bearings, Inc. * 12,021 2,029,626
Regal Beloit Corp. 18,958 2,256,760
Resideo Technologies, Inc. * 66,499 1,229,567
REV Group, Inc. 7,413 68,496
Rexnord Corp. 55,961 2,099,097
Rockwell Automation, Inc. 54,434 13,911,153
Roper Technologies, Inc. 49,180 20,999,860
Rush Enterprises, Inc., Class A 19,632 752,495
Rush Enterprises, Inc., Class B 5,177 175,966
Sensata Technologies Holding plc * 73,932 3,610,100
Shyft Group, Inc. 14,990 388,691
Simpson Manufacturing Co., Inc. 20,373 1,872,279
SiteOne Landscape Supply, Inc. * 20,649 2,851,627
Snap-on, Inc. 25,538 4,490,857
Spirit AeroSystems Holdings, Inc., Class A 48,068 1,634,312
SPX Corp. * 20,789 1,065,020
SPX FLOW, Inc. * 20,720 1,110,178
Standex International Corp. 6,093 459,778
Stanley Black & Decker, Inc. 75,247 13,868,775
Sunrun, Inc. * 72,131 4,622,154
Systemax, Inc. 8,337 256,529
Teledyne Technologies, Inc. * 17,380 6,568,597
Tennant Co. 9,055 608,134
Terex Corp. 32,498 1,007,438
Textron, Inc. 106,419 4,799,497
The Boeing Co. 249,823 52,640,204
The Gorman-Rupp Co. 8,640 284,256
The Greenbrier Cos., Inc. 15,281 509,927
The Manitowoc Co., Inc. * 16,898 187,737
The Middleby Corp. * 26,026 3,539,276
The Timken Co. 31,795 2,335,025
The Toro Co. 50,379 4,569,879
Thermon Group Holdings, Inc. * 15,462 218,633
Titan International, Inc. 25,312 127,066
Titan Machinery, Inc. * 9,622 175,794
TPI Composites, Inc. * 15,394 619,301
Trane Technologies plc 112,366 16,432,404
TransDigm Group, Inc. 25,439 14,734,014
Trex Co., Inc. * 53,880 4,031,302
TriMas Corp. * 21,111 564,297
Trinity Industries, Inc. 41,769 954,422
Triton International Ltd. 31,923 1,444,835
Triumph Group, Inc. 24,884 327,722
Tutor Perini Corp. * 20,179 272,820
UFP Industries, Inc. 29,256 1,569,584
United Rentals, Inc. * 33,660 7,640,147
Univar Solutions, Inc. * 79,244 1,418,468
Security Number
of Shares
Value ($)
Valmont Industries, Inc. 10,162 1,656,203
Veritiv Corp. * 5,454 101,335
Vertiv Holdings Co. * 108,240 2,025,170
Vicor Corp. * 10,148 831,730
Virgin Galactic Holdings, Inc. *(a) 60,871 1,619,777
W.W. Grainger, Inc. 21,148 8,846,208
Wabash National Corp. 23,724 419,440
Watsco, Inc. 15,464 3,515,895
Watts Water Technologies, Inc., Class A 13,235 1,550,480
Welbilt, Inc. * 61,607 582,186
WESCO International, Inc. * 20,952 1,366,489
Westinghouse Air Brake Technologies Corp. 84,437 6,189,232
WillScot Mobile Mini Holdings Corp. * 78,079 1,679,479
Woodward, Inc. 26,918 3,010,240
Xylem, Inc. 84,139 8,074,820
    1,078,678,595
 
Commercial & Professional Services 1.1%
ABM Industries, Inc. 31,994 1,231,769
Acacia Research Corp. * 21,682 80,007
ACCO Brands Corp. 49,292 377,577
ADT, Inc. 64,957 504,716
ASGN, Inc. * 24,527 1,917,521
Barrett Business Services, Inc. 3,846 256,567
Brady Corp., Class A 23,814 1,052,103
BrightView Holdings, Inc. * 14,710 200,644
Casella Waste Systems, Inc., Class A * 21,571 1,298,143
CBIZ, Inc. * 27,229 659,486
Cimpress plc * 9,171 821,997
Cintas Corp. 40,735 14,473,145
Clean Harbors, Inc. * 24,146 1,747,446
Copart, Inc. * 96,848 11,181,102
CoreLogic, Inc. 37,365 2,895,787
CoStar Group, Inc. * 18,475 16,822,781
Covanta Holding Corp. 56,954 706,230
Deluxe Corp. 19,595 504,375
Dun & Bradstreet Holdings, Inc. * 62,902 1,686,403
Ennis, Inc. 12,951 212,008
Equifax, Inc. 56,904 9,497,278
Exponent, Inc. 24,546 2,037,563
Forrester Research, Inc. * 5,023 207,952
Franklin Covey Co. * 4,991 109,652
FTI Consulting, Inc. * 17,298 1,816,636
GP Strategies Corp. * 8,809 101,304
Harsco Corp. * 36,024 610,607
Healthcare Services Group, Inc. 35,168 832,427
Heidrick & Struggles International, Inc. 8,673 226,365
Heritage-Crystal Clean, Inc. * 5,196 100,127
Herman Miller, Inc. 28,200 1,005,048
HNI Corp. 20,503 747,539
Huron Consulting Group, Inc. * 11,042 486,621
IAA, Inc. * 62,332 3,734,933
ICF International, Inc. 8,000 579,440
IHS Markit Ltd. 176,135 17,518,387
Insperity, Inc. 16,580 1,417,590
Interface, Inc. 26,372 220,074
KAR Auction Services, Inc. 62,715 1,132,006
Kelly Services, Inc., Class A 15,124 309,437
Kforce, Inc. 8,460 347,283
Kimball International, Inc., Class B 18,130 198,161
Knoll, Inc. 24,242 331,146
Korn Ferry 25,758 1,031,350
ManpowerGroup, Inc. 27,162 2,353,587
Matthews International Corp., Class A 14,167 378,684
McGrath RentCorp 11,866 755,152
MSA Safety, Inc. 16,998 2,540,181
Nielsen Holdings plc 165,322 2,673,257
 
4

 

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

Security Number
of Shares
Value ($)
PICO Holdings, Inc. * 12,215 106,515
Pitney Bowes, Inc. 86,893 495,290
Quad/Graphics, Inc. 15,948 49,439
Republic Services, Inc. 99,179 9,592,593
Resources Connection, Inc. 12,682 153,579
Robert Half International, Inc. 53,225 3,415,980
Rollins, Inc. 69,134 3,953,082
SP Plus Corp. * 10,419 296,316
Steelcase, Inc., Class A 40,468 491,686
Stericycle, Inc. * 42,353 2,983,345
Team, Inc. * 13,445 117,106
Tetra Tech, Inc. 25,212 3,006,531
The Brink's Co. 24,042 1,613,218
TransUnion 89,846 8,184,072
TriNet Group, Inc. * 18,911 1,418,325
TrueBlue, Inc. * 18,963 362,193
UniFirst Corp. 6,917 1,278,815
Upwork, Inc. * 41,340 1,352,645
US Ecology, Inc. 15,069 510,688
Verisk Analytics, Inc. 76,690 15,208,394
Viad Corp. 9,914 297,123
VSE Corp. 4,431 151,540
Waste Management, Inc. 183,181 21,822,353
    188,790,422
 
Consumer Durables & Apparel 1.5%
Acushnet Holdings Corp. 16,294 614,284
American Outdoor Brands, Inc. * 6,734 93,502
Beazer Homes USA, Inc. * 12,479 184,814
Brunswick Corp. 37,628 2,808,554
Callaway Golf Co. 43,708 928,795
Capri Holdings Ltd. * 72,443 2,563,033
Carter's, Inc. 20,061 1,785,228
Casper Sleep, Inc. * 8,773 55,182
Cavco Industries, Inc. * 4,151 747,222
Century Communities, Inc. * 13,713 610,229
Columbia Sportswear Co. 14,235 1,166,274
Crocs, Inc. * 31,534 1,857,037
D.R. Horton, Inc. 154,973 11,545,488
Deckers Outdoor Corp. * 13,203 3,361,352
Ethan Allen Interiors, Inc. 11,964 218,582
Fossil Group, Inc. * 23,941 253,775
G-III Apparel Group Ltd. * 20,924 426,222
Garmin Ltd. 70,495 8,230,996
GoPro, Inc., Class A * 60,093 420,050
Green Brick Partners, Inc. * 22,955 499,730
Hanesbrands, Inc. 162,176 2,302,899
Hasbro, Inc. 59,946 5,576,776
Helen of Troy Ltd. * 12,089 2,441,857
Installed Building Products, Inc. * 10,246 1,012,510
iRobot Corp. * 13,550 1,062,726
Johnson Outdoors, Inc., Class A 3,145 262,922
KB Home 41,660 1,466,432
Kontoor Brands, Inc. * 22,360 931,741
La-Z-Boy, Inc. 22,383 829,066
Legacy Housing Corp. * 2,600 38,740
Leggett & Platt, Inc. 62,709 2,702,758
Lennar Corp., Class A 134,710 10,219,101
Levi Strauss & Co., Class A 29,054 534,303
LGI Homes, Inc. * 10,322 1,115,292
Lululemon Athletica, Inc. * 55,852 20,677,527
M.D.C Holdings, Inc. 24,184 1,167,362
M/I Homes, Inc. * 14,079 639,891
Malibu Boats, Inc., Class A * 8,974 511,428
Marine Products Corp. 13,896 214,276
Mattel, Inc. * 160,502 2,486,176
Meritage Homes Corp. * 17,767 1,601,695
Mohawk Industries, Inc. * 27,800 3,498,074
Security Number
of Shares
Value ($)
Movado Group, Inc. 8,387 141,992
Newell Brands, Inc. 178,147 3,787,405
NIKE, Inc., Class B 586,581 79,012,461
NVR, Inc. * 1,634 6,531,392
Oxford Industries, Inc. 8,016 447,213
Peloton Interactive, Inc., Class A * 96,645 11,244,646
Polaris, Inc. 27,493 2,639,328
PulteGroup, Inc. 126,821 5,533,200
Purple Innovation, Inc. * 10,716 319,551
PVH Corp. 33,087 2,630,086
Ralph Lauren Corp. 22,837 1,958,273
Skechers U.S.A., Inc., Class A * 62,960 2,107,271
Skyline Champion Corp. * 23,818 731,927
Smith & Wesson Brands, Inc. 27,035 426,072
Sonos, Inc. * 41,503 923,027
Steven Madden Ltd. 36,586 1,151,361
Sturm Ruger & Co., Inc. 8,391 513,865
Tapestry, Inc. 131,672 3,728,951
Taylor Morrison Home Corp., Class A * 61,024 1,542,687
Tempur Sealy International, Inc. * 90,750 2,285,992
Toll Brothers, Inc. 53,746 2,544,873
TopBuild Corp. * 15,554 2,709,973
TRI Pointe Group, Inc. * 62,815 1,098,006
Tupperware Brands Corp. * 23,624 794,948
Under Armour, Inc., Class A * 89,247 1,478,823
Under Armour, Inc., Class C * 87,078 1,266,985
Unifi, Inc. * 6,525 98,789
Universal Electronics, Inc. * 7,285 383,628
Vera Bradley, Inc. * 9,048 76,727
VF Corp. 149,735 12,487,899
Vista Outdoor, Inc. * 26,338 543,353
Whirlpool Corp. 29,384 5,718,420
Wolverine World Wide, Inc. 38,921 1,123,260
YETI Holdings, Inc. * 35,224 2,225,100
    259,871,385
 
Consumer Services 2.0%
Accel Entertainment, Inc. * 20,581 214,866
Adtalem Global Education, Inc. * 24,629 705,128
American Public Education, Inc. * 5,812 180,404
Aramark 120,147 4,205,145
Bally's Corp. 7,759 344,732
Biglari Holdings, Inc., Class B * 600 67,200
BJ's Restaurants, Inc. 9,849 325,312
Bloomin' Brands, Inc. 39,951 699,143
Bluegreen Vacations Holding Corp. 5,955 75,688
Boyd Gaming Corp. 36,801 1,416,470
Bright Horizons Family Solutions, Inc. * 28,431 4,836,397
Brinker International, Inc. 21,639 1,084,330
Caesars Entertainment, Inc. * 93,665 6,380,460
Carnival Corp. 244,641 4,887,927
Carriage Services, Inc. 8,723 237,353
Carrols Restaurant Group, Inc. * 20,013 136,088
Chegg, Inc. * 58,739 4,577,530
Chipotle Mexican Grill, Inc. * 13,143 16,946,978
Choice Hotels International, Inc. 13,608 1,356,037
Churchill Downs, Inc. 16,423 2,954,826
Chuy's Holdings, Inc. * 9,054 214,580
Cracker Barrel Old Country Store, Inc. 10,994 1,534,543
Darden Restaurants, Inc. 61,297 6,618,850
Dave & Buster's Entertainment, Inc. 23,283 589,526
Denny's Corp. * 27,966 321,889
Dine Brands Global, Inc. 8,262 520,258
Domino's Pizza, Inc. 18,409 7,226,821
DraftKings, Inc., Class A * 142,083 7,439,466
Dunkin' Brands Group, Inc. 38,511 4,095,260
El Pollo Loco Holdings, Inc. * 7,690 120,502
Everi Holdings, Inc. * 39,550 420,812
 
5

 

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

Security Number
of Shares
Value ($)
Extended Stay America, Inc. 75,567 1,036,024
Fiesta Restaurant Group, Inc. * 7,548 88,689
Franchise Group, Inc. 12,630 338,358
frontdoor, Inc. * 40,462 1,915,471
Golden Entertainment, Inc. * 9,059 150,832
Graham Holdings Co., Class B 1,942 868,113
Grand Canyon Education, Inc. * 21,617 1,804,371
H&R Block, Inc. 92,115 1,731,762
Hilton Grand Vacations, Inc. * 41,057 1,138,921
Hilton Worldwide Holdings, Inc. 129,751 13,446,096
Houghton Mifflin Harcourt Co. * 44,538 134,059
Hyatt Hotels Corp., Class A 16,534 1,189,952
Jack in the Box, Inc. 10,503 966,171
K12, Inc. * 20,640 481,531
Las Vegas Sands Corp. 153,491 8,550,984
Laureate Education, Inc., Class A * 51,912 737,150
Lindblad Expeditions Holdings, Inc. * 14,701 188,320
Marriott International, Inc., Class A 124,549 15,801,532
Marriott Vacations Worldwide Corp. 19,307 2,458,360
McDonald's Corp. 350,459 76,203,805
MGM Resorts International 193,708 5,472,251
Monarch Casino & Resort, Inc. * 5,837 322,319
Noodles & Co. * 18,475 146,876
Norwegian Cruise Line Holdings Ltd. * 148,511 3,396,447
OneSpaWorld Holdings Ltd. 26,730 236,293
Papa John's International, Inc. 15,403 1,237,785
Penn National Gaming, Inc. * 67,672 4,737,040
Perdoceo Education Corp. * 34,512 391,366
Planet Fitness, Inc., Class A * 37,959 2,769,109
Playa Hotels & Resorts N.V. * 24,798 126,222
PlayAGS, Inc. * 20,179 99,281
Red Rock Resorts, Inc., Class A 33,255 723,130
Regis Corp. * 12,988 110,268
Royal Caribbean Cruises Ltd. 84,162 6,632,807
Ruth's Hospitality Group, Inc. 12,724 198,113
Scientific Games Corp., Class A * 25,130 936,846
SeaWorld Entertainment, Inc. * 23,879 666,224
Service Corp. International 83,202 4,046,945
Shake Shack, Inc., Class A * 17,027 1,390,425
Six Flags Entertainment Corp. 34,209 1,051,243
Starbucks Corp. 550,586 53,968,440
Strategic Education, Inc. 11,553 1,084,711
Terminix Global Holdings, Inc. * 62,159 3,047,656
Texas Roadhouse, Inc. 30,387 2,303,335
The Cheesecake Factory, Inc. 20,477 767,478
The Wendy's Co. 85,685 1,884,213
Vail Resorts, Inc. 18,957 5,229,099
Vivint Smart Home, Inc. * 19,218 423,373
Wingstop, Inc. 14,065 1,790,615
WW International, Inc. * 22,405 661,172
Wyndham Destinations, Inc. 40,800 1,716,048
Wyndham Hotels & Resorts, Inc. 44,413 2,553,748
Wynn Resorts Ltd. 45,902 4,613,151
Yum! Brands, Inc. 142,009 15,024,552
    339,723,603
 
Diversified Financials 4.7%
Affiliated Managers Group, Inc. 21,460 1,869,595
AGNC Investment Corp. 263,414 4,024,966
Alerus Financial Corp. 2,000 48,060
Ally Financial, Inc. 175,603 5,206,629
American Express Co. 307,031 36,410,806
Ameriprise Financial, Inc. 56,381 10,444,016
Annaly Capital Management, Inc. 662,751 5,302,008
Anworth Mortgage Asset Corp. 49,041 105,438
Apollo Commercial Real Estate Finance, Inc. 68,854 742,246
Apollo Global Management, Inc. 98,853 4,311,968
Security Number
of Shares
Value ($)
Arbor Realty Trust, Inc. 45,723 609,030
Ares Management Corp., Class A 44,682 2,012,924
ARMOUR Residential REIT, Inc. 28,372 300,176
Artisan Partners Asset Management, Inc., Class A 28,224 1,270,080
Assetmark Financial Holdings, Inc. * 6,064 144,202
B. Riley Financial, Inc. 6,882 248,715
Berkshire Hathaway, Inc., Class B * 933,487 213,684,509
BGC Partners, Inc., Class A 133,843 554,110
BlackRock, Inc. 66,741 46,608,577
Blackstone Mortgage Trust, Inc., Class A 69,553 1,806,987
Blucora, Inc. * 22,985 299,724
Brightsphere Investment Group, Inc. 27,076 479,245
Broadmark Realty Capital, Inc. 59,039 599,246
Cannae Holdings, Inc. * 40,480 1,595,722
Capital One Financial Corp. 213,917 18,319,852
Capstead Mortgage Corp. 41,716 234,861
Cboe Global Markets, Inc. 51,490 4,702,067
Chimera Investment Corp. 112,370 1,152,916
CME Group, Inc. 169,040 29,587,071
Cohen & Steers, Inc. 10,535 745,562
Colony Credit Real Estate, Inc. 41,489 301,210
Cowen, Inc., Class A 13,071 313,181
Credit Acceptance Corp. * 5,741 1,713,574
Curo Group Holdings Corp. 6,425 55,512
Diamond Hill Investment Group, Inc. 1,123 153,649
Discover Financial Services 144,473 11,004,508
Donnelley Financial Solutions, Inc. * 14,380 234,250
Dynex Capital, Inc. 11,682 205,720
Eaton Vance Corp. 54,654 3,660,725
Ellington Financial, Inc. 17,102 246,269
Encore Capital Group, Inc. * 15,385 525,244
Enova International, Inc. * 16,686 348,904
Equitable Holdings, Inc. 187,776 4,765,755
Evercore, Inc., Class A 19,312 1,756,040
EZCORP, Inc., Class A * 28,954 147,376
FactSet Research Systems, Inc. 17,936 5,986,319
Federated Hermes, Inc. 46,204 1,240,115
FirstCash, Inc. 19,701 1,265,592
Focus Financial Partners, Inc., Class A * 14,621 579,138
Franklin Resources, Inc. 126,473 2,781,141
Granite Point Mortgage Trust, Inc. 24,979 231,306
Green Dot Corp., Class A * 25,118 1,345,320
Greenhill & Co., Inc. 8,652 112,649
Hamilton Lane, Inc., Class A 14,346 1,002,498
Hannon Armstrong Sustainable Infrastructure Capital, Inc. 35,028 1,914,631
Houlihan Lokey, Inc. 23,732 1,537,359
Interactive Brokers Group, Inc., Class A 37,819 1,995,330
Intercontinental Exchange, Inc. 264,686 27,927,020
Invesco Ltd. 176,965 2,872,142
Invesco Mortgage Capital, Inc. (a) 84,588 280,832
Janus Henderson Group plc 72,781 2,076,442
Jefferies Financial Group, Inc. 102,561 2,331,212
KKR & Co., Inc. 262,219 9,945,967
KKR Real Estate Finance Trust, Inc. 13,793 251,446
Ladder Capital Corp., Class A 56,620 516,374
Lazard Ltd., Class A 51,790 1,932,803
LendingClub Corp. * 41,126 328,185
LendingTree, Inc. * 5,109 1,305,758
LPL Financial Holdings, Inc. 36,963 3,355,132
MarketAxess Holdings, Inc. 17,789 9,591,473
MFA Financial, Inc. 212,302 785,517
Moelis & Co., Class A 26,086 1,023,615
Moody's Corp. 76,171 21,506,120
Morgan Stanley 672,644 41,589,579
Morningstar, Inc. 9,964 1,993,796
MSCI, Inc. 39,229 16,061,137
Nasdaq, Inc. 54,322 6,952,673
 
6

 

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

Security Number
of Shares
Value ($)
Navient Corp. 93,707 878,035
Nelnet, Inc., Class A 10,244 695,568
New Residential Investment Corp. 200,639 1,857,917
New York Mortgage Trust, Inc. 170,622 599,736
Northern Trust Corp. 97,530 9,081,994
OneMain Holdings, Inc. 35,591 1,387,693
Open Lending Corp., Class A * 29,889 840,479
Oportun Financial Corp. * 9,107 153,999
PennyMac Mortgage Investment Trust 48,505 829,436
Piper Sandler Cos. 6,156 567,399
PJT Partners, Inc., Class A 11,158 773,026
PRA Group, Inc. * 21,023 875,188
Raymond James Financial, Inc. 57,325 5,213,709
Ready Capital Corp. 18,790 243,143
Redwood Trust, Inc. 52,572 454,748
S&P Global, Inc. 113,550 39,944,619
Safeguard Scientifics, Inc. 8,371 53,658
Santander Consumer USA Holdings, Inc. 33,889 748,947
SEI Investments Co. 57,425 3,029,169
SLM Corp. 179,186 1,901,163
Starwood Property Trust, Inc. 130,797 2,346,498
State Street Corp. 165,278 11,648,793
Stifel Financial Corp. 33,144 2,296,879
StoneX Group, Inc. * 8,206 505,654
Synchrony Financial 253,182 7,714,456
T. Rowe Price Group, Inc. 107,147 15,365,951
The Bank of New York Mellon Corp. 383,103 14,986,989
The Blackstone Group, Inc., Class A 316,463 18,845,372
The Carlyle Group, Inc. 55,371 1,573,090
The Charles Schwab Corp. (b) 699,505 34,121,854
The Goldman Sachs Group, Inc. 162,079 37,372,176
TPG RE Finance Trust, Inc. 26,326 273,001
Tradeweb Markets, Inc., Class A 42,755 2,550,336
Two Harbors Investment Corp. 130,024 811,350
Virtu Financial, Inc., Class A 38,466 876,640
Virtus Investment Partners, Inc. 3,151 563,651
Voya Financial, Inc. 58,434 3,367,551
Waddell & Reed Financial, Inc., Class A 28,771 473,571
WisdomTree Investments, Inc. 56,040 239,851
World Acceptance Corp. * 2,091 236,095
    817,771,230
 
Energy 2.1%
Antero Midstream Corp. 128,459 865,814
Antero Resources Corp. * 130,519 511,634
Apache Corp. 179,156 2,309,321
Arch Resources, Inc. 7,788 260,431
Archrock, Inc. 57,377 445,819
Baker Hughes Co. 311,285 5,827,255
Berry Corp. 40,395 155,117
Bonanza Creek Energy, Inc. * 9,034 199,380
Brigham Minerals, Inc., Class A 15,019 156,498
Bristow Group, Inc. * 11,139 247,843
Cabot Oil & Gas Corp. 186,978 3,275,855
Cactus, Inc., Class A 22,295 517,244
Callon Petroleum Co. * 14,258 135,594
Centennial Resource Development, Inc., Class A * 89,013 105,035
ChampionX Corp. * 83,728 994,689
Cheniere Energy, Inc. * 108,856 6,171,047
Chevron Corp. 905,583 78,948,726
Cimarex Energy Co. 49,064 1,763,851
Clean Energy Fuels Corp. * 50,590 230,184
CNX Resources Corp. * 99,253 933,971
Comstock Resources, Inc. * 31,633 154,053
Concho Resources, Inc. 93,303 5,363,056
ConocoPhillips 503,551 19,920,478
Continental Resources, Inc. 29,826 458,724
Security Number
of Shares
Value ($)
Core Laboratories N.V. 20,931 459,854
CVR Energy, Inc. 14,279 201,905
Delek US Holdings, Inc. 29,584 393,171
Devon Energy Corp. 185,017 2,588,388
Diamondback Energy, Inc. 75,491 3,016,620
DMC Global, Inc. 7,176 293,140
Dorian LPG Ltd. * 14,411 157,512
Dril-Quip, Inc. * 17,500 497,350
EOG Resources, Inc. 273,205 12,807,850
EQT Corp. 129,572 1,928,031
Equitrans Midstream Corp. 188,470 1,537,915
Exterran Corp. * 13,566 57,520
Exxon Mobil Corp. 1,988,648 75,827,148
Falcon Minerals Corp. 17,856 41,069
Frank's International N.V. * 55,359 123,451
Green Plains, Inc. * 16,314 241,121
Halliburton Co. 416,059 6,902,419
Helix Energy Solutions Group, Inc. * 69,003 259,451
Helmerich & Payne, Inc. 52,162 1,187,729
Hess Corp. 129,309 6,100,799
HollyFrontier Corp. 71,143 1,664,035
International Seaways, Inc. 15,429 260,596
Kinder Morgan, Inc. 913,881 13,141,609
Kosmos Energy Ltd. 173,259 304,936
Laredo Petroleum, Inc. * 7,040 83,142
Liberty Oilfield Services, Inc., Class A 24,358 226,529
Magnolia Oil & Gas Corp., Class A * 62,917 393,231
Marathon Oil Corp. 379,536 2,246,853
Marathon Petroleum Corp. 305,221 11,866,992
Matador Resources Co. * 54,085 550,585
Matrix Service Co. * 14,241 136,429
Murphy Oil Corp. 72,860 732,972
Nabors Industries Ltd. (a) 2,374 124,374
NACCO Industries, Inc., Class A 2,318 62,006
National Oilwell Varco, Inc. 185,957 2,279,833
New Fortress Energy, Inc. 8,034 346,346
NextDecade Corp. *(a) 53,715 128,916
NexTier Oilfield Solutions, Inc. * 80,126 224,353
Northern Oil and Gas, Inc. * 9,273 57,956
Occidental Petroleum Corp. 396,918 6,255,428
Oceaneering International, Inc. * 48,468 294,201
Oil States International, Inc. * 22,586 100,282
ONEOK, Inc. 210,392 7,546,761
Overseas Shipholding Group, Inc., Class A * 41,731 83,462
Ovintiv, Inc. 126,107 1,609,125
Par Pacific Holdings, Inc. * 17,935 204,280
Parsley Energy, Inc., Class A 140,110 1,755,578
Patterson-UTI Energy, Inc. 97,098 418,492
PBF Energy, Inc., Class A 48,917 355,137
PDC Energy, Inc. * 47,465 793,615
Penn Virginia Corp. * 6,999 63,131
Phillips 66 204,871 12,411,085
Pioneer Natural Resources Co. 77,814 7,826,532
ProPetro Holding Corp. * 36,475 210,461
QEP Resources, Inc. 69,337 111,633
Range Resources Corp. 121,577 887,512
Renewable Energy Group, Inc. * 18,006 1,045,788
REX American Resources Corp. * 2,406 188,871
RPC, Inc. * 24,691 76,542
Schlumberger N.V. 649,713 13,507,533
Select Energy Services, Inc., Class A * 36,698 155,232
SM Energy Co. 43,359 183,409
Southwestern Energy Co. * 303,625 944,274
Talos Energy, Inc. * 6,666 57,061
Targa Resources Corp. 108,990 2,561,265
TechnipFMC plc 197,920 1,644,715
Tellurian, Inc. * 96,955 144,463
The Williams Cos., Inc. 569,718 11,952,684
 
7

 

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

Security Number
of Shares
Value ($)
Tidewater, Inc. * 18,832 179,092
Transocean Ltd. * 275,865 510,350
US Silica Holdings, Inc. 36,608 158,147
Valero Energy Corp. 191,262 10,284,158
W&T Offshore, Inc. * 44,740 87,690
World Fuel Services Corp. 30,806 875,506
WPX Energy, Inc. * 186,272 1,326,257
    366,215,507
 
Food & Staples Retailing 1.4%
Albertsons Cos, Inc. Class A *(a) 21,263 340,846
BJ's Wholesale Club Holdings, Inc. * 65,101 2,668,490
Casey's General Stores, Inc. 17,269 3,137,432
Costco Wholesale Corp. 207,854 81,430,962
Grocery Outlet Holding Corp. * 39,192 1,513,595
Ingles Markets, Inc., Class A 6,525 245,275
Natural Grocers by Vitamin Cottage, Inc. 3,751 54,615
Performance Food Group Co. * 62,711 2,720,403
PriceSmart, Inc. 10,745 873,354
Rite Aid Corp. *(a) 25,756 339,979
SpartanNash Co. 16,396 309,556
Sprouts Farmers Market, Inc. * 56,898 1,204,531
Sysco Corp. 238,399 16,995,465
The Andersons, Inc. 15,721 357,338
The Chefs' Warehouse, Inc. * 15,197 350,215
The Kroger Co. 364,426 12,026,058
United Natural Foods, Inc. * 24,562 423,694
US Foods Holding Corp. * 105,272 3,313,962
Village Super Market, Inc., Class A 4,605 106,652
Walgreens Boots Alliance, Inc. 336,783 12,801,122
Walmart, Inc. 653,796 99,893,491
Weis Markets, Inc. 8,064 384,088
    241,491,123
 
Food, Beverage & Tobacco 3.0%
Alico, Inc. 2,500 77,475
Altria Group, Inc. 873,619 34,796,245
Archer-Daniels-Midland Co. 261,201 12,999,974
B&G Foods, Inc. (a) 31,326 867,417
Beyond Meat, Inc. * 23,303 3,260,090
Brown-Forman Corp., Class A 25,719 1,896,262
Brown-Forman Corp., Class B 85,836 6,923,532
Bunge Ltd. 65,985 3,885,857
Cal-Maine Foods, Inc. * 17,374 679,845
Calavo Growers, Inc. 7,912 566,736
Campbell Soup Co. 95,075 4,755,651
Celsius Holdings, Inc. * 12,205 393,611
Coca-Cola Consolidated, Inc. 2,174 568,914
Conagra Brands, Inc. 228,693 8,361,016
Constellation Brands, Inc., Class A 78,783 16,216,693
Darling Ingredients, Inc. * 76,614 3,698,924
Flowers Foods, Inc. 91,688 2,034,557
Fresh Del Monte Produce, Inc. 14,656 372,116
Freshpet, Inc. * 19,074 2,610,849
General Mills, Inc. 286,623 17,432,411
Hormel Foods Corp. 132,194 6,236,913
Hostess Brands, Inc. * 61,817 837,620
Ingredion, Inc. 31,847 2,456,996
J&J Snack Foods Corp. 7,234 1,051,751
John B Sanfilippo & Son, Inc. 4,137 307,007
Kellogg Co. 118,729 7,587,970
Keurig Dr Pepper, Inc. 271,447 8,265,561
Lamb Weston Holdings, Inc. 68,579 4,963,748
Lancaster Colony Corp. 9,089 1,539,040
Landec Corp. * 13,155 136,154
Limoneira Co. 8,109 118,635
Security Number
of Shares
Value ($)
McCormick & Co., Inc. Non-Voting Shares 58,097 10,862,977
MGP Ingredients, Inc. 6,129 267,286
Molson Coors Beverage Co., Class B 87,539 4,026,794
Mondelez International, Inc., Class A 672,687 38,645,868
Monster Beverage Corp. * 173,920 14,744,938
National Beverage Corp. *(a) 5,978 586,023
PepsiCo, Inc. 652,329 94,085,412
Philip Morris International, Inc. 733,316 55,548,687
Pilgrim's Pride Corp. * 25,300 477,917
Post Holdings, Inc. * 29,802 2,815,097
Sanderson Farms, Inc. 9,444 1,291,278
Seaboard Corp. 126 403,544
Seneca Foods Corp., Class A * 3,084 129,158
Simply Good Foods Co. * 40,534 881,209
The Boston Beer Co., Inc., Class A * 4,311 4,012,851
The Coca-Cola Co. 1,821,237 93,975,829
The Hain Celestial Group, Inc. * 38,608 1,486,408
The Hershey Co. 69,075 10,215,502
The J.M. Smucker Co. 53,204 6,235,509
The Kraft Heinz Co. 305,002 10,046,766
Tootsie Roll Industries, Inc. 8,179 253,304
TreeHouse Foods, Inc. * 26,753 1,100,351
Turning Point Brands, Inc. 8,260 322,305
Tyson Foods, Inc., Class A 137,801 8,984,625
Universal Corp. 12,419 565,189
Vector Group Ltd. 55,368 622,336
Vital Farms, Inc. * 7,168 212,459
    518,699,192
 
Health Care Equipment & Services 6.4%
1Life Healthcare, Inc. * 33,980 1,116,923
Abbott Laboratories 833,707 90,223,772
ABIOMED, Inc. * 21,252 5,825,173
Acadia Healthcare Co., Inc. * 43,034 1,826,793
Accelerate Diagnostics, Inc. *(a) 12,216 95,651
Accolade, Inc. * 7,127 369,963
Accuray, Inc. * 48,031 214,218
Acutus Medical, Inc. * 4,682 133,062
AdaptHealth Corp. * 18,040 538,674
Addus HomeCare Corp. * 7,320 726,510
Align Technology, Inc. * 33,766 16,251,238
Allscripts Healthcare Solutions, Inc. * 80,699 1,103,962
Amedisys, Inc. * 15,313 3,748,469
American Renal Associates Holdings, Inc. * 7,092 80,920
AmerisourceBergen Corp. 69,393 7,155,112
AMN Healthcare Services, Inc. * 21,477 1,399,441
AngioDynamics, Inc. * 17,188 244,413
Antares Pharma, Inc. * 61,943 193,262
Anthem, Inc. 118,323 36,859,981
Apollo Medical Holdings, Inc. * 6,294 114,677
AtriCure, Inc. * 21,630 940,472
Atrion Corp. 662 397,200
Avanos Medical, Inc. * 23,728 1,005,830
AxoGen, Inc. * 16,856 240,872
Axonics Modulation Technologies, Inc. * 13,744 603,224
Baxter International, Inc. 238,705 18,158,289
Becton Dickinson & Co. 136,474 32,049,554
BioLife Solutions, Inc. * 11,666 419,859
BioTelemetry, Inc. * 16,430 910,386
Boston Scientific Corp. * 674,070 22,345,421
Brookdale Senior Living, Inc. * 87,080 369,219
Cantel Medical Corp. 18,431 1,095,354
Cardinal Health, Inc. 137,688 7,516,388
Cardiovascular Systems, Inc. * 19,438 669,833
Castle Biosciences, Inc. * 6,408 304,764
Castlight Health, Inc., Class B * 66,795 84,162
 
8

 

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

Security Number
of Shares
Value ($)
Centene Corp. * 272,895 16,823,977
Cerner Corp. 142,958 10,698,977
Cerus Corp. * 73,499 488,768
Change Healthcare, Inc. * 104,816 1,795,498
Chemed Corp. 7,434 3,555,311
Cigna Corp. 172,920 36,164,489
Community Health Systems, Inc. * 54,469 445,556
Computer Programs & Systems, Inc. 6,617 188,121
CONMED Corp. 13,731 1,399,052
CorVel Corp. * 4,705 421,333
Covetrus, Inc. * 48,006 1,296,882
CryoLife, Inc. * 17,584 366,099
CryoPort, Inc. * 18,400 895,160
CVS Health Corp. 616,430 41,787,790
Danaher Corp. 297,443 66,814,621
DaVita, Inc. * 35,050 3,850,243
DENTSPLY SIRONA, Inc. 103,269 5,255,359
DexCom, Inc. * 44,899 14,353,312
Edwards Lifesciences Corp. * 292,898 24,571,213
Encompass Health Corp. 46,544 3,750,516
Envista Holdings Corp. * 75,618 2,248,123
Evolent Health, Inc., Class A * 35,983 522,833
Fulgent Genetics, Inc. *(a) 5,578 250,564
GenMark Diagnostics, Inc. * 32,619 436,116
Glaukos Corp. * 20,982 1,415,865
Globus Medical, Inc., Class A * 35,517 2,133,861
Guardant Health, Inc. * 39,696 4,807,980
Haemonetics Corp. * 23,518 2,654,006
Hanger, Inc. * 17,052 386,910
HCA Healthcare, Inc. 124,168 18,638,859
Health Catalyst, Inc. * 13,994 498,886
HealthEquity, Inc. * 36,378 2,607,939
HealthStream, Inc. * 12,991 242,672
Henry Schein, Inc. * 67,050 4,311,986
Heska Corp. * 3,953 494,125
Hill-Rom Holdings, Inc. 31,076 2,947,869
HMS Holdings Corp. * 41,846 1,314,801
Hologic, Inc. * 121,289 8,384,709
Humana, Inc. 62,264 24,937,977
ICU Medical, Inc. * 9,264 1,748,117
IDEXX Laboratories, Inc. * 39,947 18,414,768
Inari Medical, Inc. * 3,776 260,808
Inogen, Inc. * 8,758 307,143
Inovalon Holdings, Inc., Class A * 37,203 694,580
Inspire Medical Systems, Inc. * 12,623 2,344,596
Insulet Corp. * 30,698 7,911,182
Integer Holdings Corp. * 15,822 1,140,608
Integra LifeSciences Holdings Corp. * 33,215 1,817,857
Intuitive Surgical, Inc. * 55,054 39,971,957
Invacare Corp. 16,238 138,510
iRhythm Technologies, Inc. * 13,602 3,325,825
Laboratory Corp. of America Holdings * 45,621 9,116,901
Lantheus Holdings, Inc. * 31,775 418,159
LeMaitre Vascular, Inc. 7,156 281,875
LENSAR, Inc. * 4,945 42,379
LHC Group, Inc. * 14,874 2,920,064
LivaNova plc * 23,731 1,254,183
Magellan Health, Inc. * 10,546 833,661
Masimo Corp. * 23,857 6,071,368
McKesson Corp. 76,098 13,690,791
MEDNAX, Inc. * 40,183 812,098
Medtronic plc 633,184 71,993,021
Meridian Bioscience, Inc. * 22,306 421,583
Merit Medical Systems, Inc. * 23,129 1,273,714
Mesa Laboratories, Inc. 2,089 567,707
Molina Healthcare, Inc. * 27,965 5,708,495
National HealthCare Corp. 5,849 363,925
National Research Corp. 5,905 302,986
Natus Medical, Inc. * 17,188 359,573
Security Number
of Shares
Value ($)
Neogen Corp. * 24,568 1,823,437
Nevro Corp. * 16,217 2,614,991
NextGen Healthcare, Inc. * 23,357 414,353
Novocure Ltd. * 39,607 4,976,620
NuVasive, Inc. * 23,841 1,104,315
Omnicell, Inc. * 20,449 2,144,078
Ontrak, Inc. *(a) 3,628 180,130
Option Care Health, Inc. * 25,378 399,704
OraSure Technologies, Inc. * 30,987 371,844
Orthofix Medical, Inc. * 8,747 321,540
OrthoPediatrics Corp. * 6,232 285,176
Owens & Minor, Inc. 33,938 874,243
Patterson Cos., Inc. 41,243 1,144,906
Penumbra, Inc. * 15,887 3,525,325
PetIQ, Inc. * 11,216 322,796
Phreesia, Inc. * 14,027 619,432
Premier, Inc., Class A 32,053 1,135,317
Progyny, Inc. * 16,983 602,727
Quest Diagnostics, Inc. 62,865 7,794,003
Quidel Corp. * 18,093 3,529,040
R1 RCM, Inc. * 56,059 1,136,877
RadNet, Inc. * 19,345 360,204
ResMed, Inc. 67,987 14,250,075
Schrodinger, Inc. * 15,472 1,076,542
SeaSpine Holdings Corp. * 8,935 127,056
Select Medical Holdings Corp. * 48,634 1,172,079
Shockwave Medical, Inc. * 14,537 1,422,155
SI-BONE, Inc. * 11,778 272,778
Silk Road Medical, Inc. * 15,855 908,492
Simulations Plus, Inc. 7,192 402,536
SmileDirectClub, Inc. *(a) 39,192 482,062
STAAR Surgical Co. * 21,570 1,537,294
STERIS plc 40,079 7,767,711
Stryker Corp. 153,888 35,917,459
Surgery Partners, Inc. * 8,080 197,394
Surmodics, Inc. * 6,113 228,871
Tabula Rasa HealthCare, Inc. * 9,650 332,539
Tactile Systems Technology, Inc. * 9,702 418,253
Tandem Diabetes Care, Inc. * 28,742 2,698,299
Teladoc Health, Inc. * 56,227 11,176,241
Teleflex, Inc. 21,783 8,337,443
Tenet Healthcare Corp. * 49,639 1,560,154
The Cooper Cos., Inc. 22,983 7,704,361
The Ensign Group, Inc. 23,809 1,711,153
The Pennant Group, Inc. * 11,904 603,414
The Providence Service Corp. * 5,681 771,423
Tivity Health, Inc. * 16,929 312,001
TransMedics Group, Inc. * 11,267 167,540
Triple-S Management Corp., Class B * 10,466 234,543
UnitedHealth Group, Inc. 447,514 150,516,859
Universal Health Services, Inc., Class B 36,713 4,793,984
US Physical Therapy, Inc. 6,066 644,331
Vapotherm, Inc. * 10,147 255,299
Varex Imaging Corp. * 18,687 311,699
Varian Medical Systems, Inc. * 42,947 7,471,919
Veeva Systems, Inc., Class A * 63,482 17,576,261
ViewRay, Inc. * 49,137 188,686
Vocera Communications, Inc. * 14,973 506,537
West Pharmaceutical Services, Inc. 34,780 9,570,065
Zimmer Biomet Holdings, Inc. 97,136 14,484,920
    1,107,791,319
 
Household & Personal Products 1.6%
BellRing Brands, Inc., Class A * 18,793 383,377
Central Garden & Pet Co. * 4,978 199,319
Central Garden & Pet Co., Class A * 18,215 671,951
Church & Dwight Co., Inc. 115,799 10,163,678
Colgate-Palmolive Co. 403,950 34,594,278
 
9

 

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

Security Number
of Shares
Value ($)
Coty, Inc., Class A 142,347 1,023,475
Edgewell Personal Care Co. * 26,782 930,675
elf Beauty, Inc. * 17,556 381,668
Energizer Holdings, Inc. 27,673 1,159,222
Herbalife Nutrition Ltd. * 45,990 2,203,381
Inter Parfums, Inc. 8,403 456,367
Kimberly-Clark Corp. 160,653 22,380,569
Medifast, Inc. 5,371 1,096,436
Nu Skin Enterprises, Inc., Class A 23,447 1,207,755
Revlon, Inc., Class A *(a) 3,422 44,007
Reynolds Consumer Products, Inc. 25,505 773,822
Spectrum Brands Holdings, Inc. 18,296 1,222,722
The Clorox Co. 59,130 12,001,025
The Estee Lauder Cos., Inc., Class A 106,325 26,083,649
The Procter & Gamble Co. 1,172,528 162,828,963
USANA Health Sciences, Inc. * 5,861 440,630
WD-40 Co. 6,288 1,599,101
    281,846,070
 
Insurance 2.0%
Aflac, Inc. 310,787 13,652,873
Alleghany Corp. 6,751 3,883,175
Ambac Financial Group, Inc. * 21,364 312,769
American Equity Investment Life Holding Co. 42,161 1,107,991
American Financial Group, Inc. 33,812 3,023,131
American International Group, Inc. 403,560 15,512,846
American National Group, Inc. 4,134 350,481
AMERISAFE, Inc. 9,105 498,317
Aon plc, Class A 109,152 22,364,153
Arch Capital Group Ltd. * 191,501 6,165,375
Argo Group International Holdings Ltd. 16,289 638,366
Arthur J. Gallagher & Co. 90,151 10,404,327
Assurant, Inc. 28,141 3,633,566
Assured Guaranty Ltd. 38,431 1,157,926
Athene Holding Ltd., Class A * 59,175 2,624,411
Axis Capital Holdings Ltd. 37,847 1,896,513
Brighthouse Financial, Inc. * 42,356 1,486,696
Brown & Brown, Inc. 111,296 5,011,659
BRP Group, Inc., Class A * 17,376 511,723
Chubb Ltd. 212,533 31,418,753
Cincinnati Financial Corp. 69,695 5,321,213
Citizens, Inc. *(a) 21,410 135,739
CNA Financial Corp. 12,972 447,664
CNO Financial Group, Inc. 68,921 1,466,639
Crawford & Co., Class A 6,804 50,009
Crawford & Co., Class B 6,871 50,158
Donegal Group, Inc., Class A 4,373 61,135
eHealth, Inc. * 11,610 882,244
Employers Holdings, Inc. 14,582 444,897
Enstar Group Ltd. * 6,234 1,179,972
Erie Indemnity Co., Class A 11,699 2,639,411
Everest Re Group Ltd. 18,871 4,289,944
FBL Financial Group, Inc., Class A 4,765 247,780
Fidelity National Financial, Inc. 137,650 4,954,024
First American Financial Corp. 52,260 2,531,474
Genworth Financial, Inc., Class A * 236,777 1,074,968
Globe Life, Inc. 45,704 4,255,042
GoHealth, Inc., Class A * 19,903 209,778
Goosehead Insurance, Inc., Class A 7,368 907,075
Greenlight Capital Re Ltd., Class A * 15,045 115,997
Horace Mann Educators Corp. 20,461 816,803
Independence Holding Co. 4,498 177,356
James River Group Holdings Ltd. 13,946 635,659
Kemper Corp. 29,029 2,175,724
Kinsale Capital Group, Inc. 9,720 2,334,355
Lemonade, Inc. * 5,771 399,757
Lincoln National Corp. 85,888 4,055,631
Security Number
of Shares
Value ($)
Loews Corp. 112,775 4,726,400
Markel Corp. * 6,497 6,326,974
Marsh & McLennan Cos., Inc. 238,733 27,368,351
MBIA, Inc. * 28,309 180,328
Mercury General Corp. 13,200 587,004
MetLife, Inc. 361,760 16,702,459
National General Holdings Corp. 32,034 1,091,719
National Western Life Group, Inc., Class A 1,192 221,807
NI Holdings, Inc. * 3,867 66,126
Old Republic International Corp. 131,694 2,359,957
Palomar Holdings, Inc. * 10,220 675,542
Primerica, Inc. 18,632 2,427,191
Principal Financial Group, Inc. 119,634 5,956,577
ProAssurance Corp. 26,730 425,274
ProSight Global, Inc. * 4,183 53,333
Prudential Financial, Inc. 184,740 13,970,039
Reinsurance Group of America, Inc. 32,113 3,701,987
RenaissanceRe Holdings Ltd. 24,199 3,984,123
RLI Corp. 18,652 1,785,556
Safety Insurance Group, Inc. 7,246 516,278
Selective Insurance Group, Inc. 28,209 1,743,880
Selectquote, Inc. * 15,033 322,458
State Auto Financial Corp. 8,406 126,258
Stewart Information Services Corp. 11,879 497,374
The Allstate Corp. 147,406 15,087,004
The Hanover Insurance Group, Inc. 17,244 1,937,363
The Hartford Financial Services Group, Inc. 167,400 7,399,080
The Progressive Corp. 275,763 24,021,715
The Travelers Cos., Inc. 118,762 15,397,493
Third Point Reinsurance Ltd. * 39,469 376,534
Trean Insurance Group, Inc. * 5,729 81,638
Trupanion, Inc. * 15,278 1,548,884
United Fire Group, Inc. 10,876 237,858
United Insurance Holdings Corp. 11,278 49,962
Universal Insurance Holdings, Inc. 15,346 214,230
Unum Group 93,102 2,069,657
W.R. Berkley Corp. 66,399 4,324,567
Watford Holdings Ltd. * 9,234 320,604
White Mountains Insurance Group Ltd. 1,463 1,404,480
Willis Towers Watson plc 60,469 12,589,041
    350,392,604
 
Materials 2.8%
AdvanSix, Inc. * 13,328 236,839
Air Products and Chemicals, Inc. 104,023 29,141,003
Albemarle Corp. 50,183 6,823,382
Alcoa Corp. * 90,577 1,802,482
Allegheny Technologies, Inc. * 58,940 795,101
Amcor plc 734,469 8,321,534
American Vanguard Corp. 12,220 185,255
Amyris, Inc. *(a) 56,827 165,935
AptarGroup, Inc. 30,436 3,844,676
Arconic Corp. * 46,593 1,281,773
Ashland Global Holdings, Inc. 25,797 1,939,160
Avery Dennison Corp. 39,048 5,831,428
Avient Corp. 43,394 1,586,051
Axalta Coating Systems Ltd. * 99,713 2,852,789
Balchem Corp. 15,490 1,606,158
Ball Corp. 153,404 14,728,318
Berry Global Group, Inc. * 61,658 3,267,874
Boise Cascade Co. 19,333 836,152
Cabot Corp. 26,651 1,103,618
Carpenter Technology Corp. 22,847 558,381
Celanese Corp. 55,227 7,142,508
Century Aluminum Co. * 23,166 235,135
CF Industries Holdings, Inc. 99,749 3,720,638
 
10

 

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

Security Number
of Shares
Value ($)
Chase Corp. 3,389 359,065
Clearwater Paper Corp. * 8,300 289,753
Cleveland-Cliffs, Inc. 185,084 2,037,775
Coeur Mining, Inc. * 113,507 804,765
Commercial Metals Co. 56,920 1,133,277
Compass Minerals International, Inc. 16,028 1,001,109
Corteva, Inc. 351,338 13,463,272
Crown Holdings, Inc. * 63,613 5,995,525
Domtar Corp. 27,359 823,506
Dow, Inc. 347,560 18,424,156
DuPont de Nemours, Inc. 344,685 21,866,816
Eagle Materials, Inc. 19,287 1,754,924
Eastman Chemical Co. 63,985 6,232,139
Ecolab, Inc. 117,045 26,001,547
Element Solutions, Inc. 106,488 1,470,599
Ferro Corp. * 40,384 577,895
FMC Corp. 60,612 7,031,598
Forterra, Inc. * 7,441 138,031
Freeport-McMoRan, Inc. 680,455 15,915,842
FutureFuel Corp. 13,302 159,491
GCP Applied Technologies, Inc. * 22,162 520,585
Glatfelter Corp. 21,746 349,676
Graphic Packaging Holding Co. 133,008 2,037,683
Greif, Inc., Class A 15,920 773,871
H.B. Fuller Co. 24,524 1,283,341
Hawkins, Inc. 4,809 241,316
Haynes International, Inc. 5,911 125,254
Hecla Mining Co. 244,629 1,169,327
Huntsman Corp. 94,864 2,349,781
Ingevity Corp. * 20,068 1,336,127
Innospec, Inc. 11,506 946,829
International Flavors & Fragrances, Inc. (a) 49,959 5,600,404
International Paper Co. 185,588 9,182,894
Kaiser Aluminum Corp. 7,602 592,804
Koppers Holdings, Inc. * 8,984 243,197
Kraton Corp. * 14,819 400,113
Kronos Worldwide, Inc. 8,846 121,632
Linde plc 247,569 63,481,643
Livent Corp. * 69,634 1,056,348
Loop Industries, Inc. *(a) 7,913 66,153
Louisiana-Pacific Corp. 52,724 1,804,743
LyondellBasell Industries N.V., Class A 120,455 10,250,720
Martin Marietta Materials, Inc. 29,109 7,732,224
Materion Corp. 8,933 520,794
McEwen Mining, Inc. *(a) 131,041 128,302
Mercer International, Inc. 19,949 163,382
Minerals Technologies, Inc. 15,606 946,816
Myers Industries, Inc. 18,307 311,036
Neenah, Inc. 7,912 383,811
NewMarket Corp. 3,351 1,239,066
Newmont Corp. 378,168 22,243,842
Nucor Corp. 141,146 7,579,540
O-I Glass, Inc. 74,652 845,061
Olin Corp. 69,234 1,515,532
Orion Engineered Carbons S.A. 28,039 436,287
Packaging Corp. of America 44,762 5,819,060
PPG Industries, Inc. 110,821 16,265,198
PQ Group Holdings, Inc. * 17,122 218,990
Quaker Chemical Corp. 6,189 1,528,683
Ranpak Holdings Corp. * 16,327 184,658
Rayonier Advanced Materials, Inc. * 22,057 142,709
Reliance Steel & Aluminum Co. 29,794 3,509,733
Resolute Forest Products, Inc. * 39,580 216,898
Royal Gold, Inc. 30,943 3,418,273
RPM International, Inc. 61,140 5,380,931
Schnitzer Steel Industries, Inc., Class A 12,373 316,996
Schweitzer-Mauduit International, Inc. 14,414 501,319
Sealed Air Corp. 73,362 3,305,692
Security Number
of Shares
Value ($)
Sensient Technologies Corp. 20,202 1,448,887
Silgan Holdings, Inc. 37,261 1,259,422
Sonoco Products Co. 47,572 2,762,030
Steel Dynamics, Inc. 94,601 3,425,502
Stepan Co. 9,857 1,144,989
Summit Materials, Inc., Class A * 54,297 1,031,643
SunCoke Energy, Inc. 42,866 192,897
The Chemours Co. 76,517 1,861,659
The Mosaic Co. 163,398 3,588,220
The Scotts Miracle-Gro Co. 19,097 3,356,680
The Sherwin-Williams Co. 38,605 28,862,256
TimkenSteel Corp. * 18,832 88,699
Tredegar Corp. 12,633 199,728
Trinseo S.A. 19,256 731,535
Tronox Holdings plc, Class A 39,660 501,699
United States Lime & Minerals, Inc. 858 94,981
United States Steel Corp. 105,380 1,495,342
US Concrete, Inc. * 7,324 259,856
Valvoline, Inc. 86,399 1,969,033
Venator Materials plc * 35,656 88,783
Verso Corp., Class A 12,086 130,650
Vulcan Materials Co. 62,485 8,726,030
W.R. Grace & Co. 29,111 1,592,954
Warrior Met Coal, Inc. 24,273 422,836
Westlake Chemical Corp. 16,271 1,222,766
Westrock Co. 122,767 5,181,995
Worthington Industries, Inc. 17,313 895,428
    484,813,049
 
Media & Entertainment 8.4%
Activision Blizzard, Inc. 363,348 28,878,899
Alphabet, Inc., Class A * 141,449 248,158,126
Alphabet, Inc., Class C * 138,203 243,339,550
Altice USA, Inc., Class A * 155,998 5,291,452
AMC Entertainment Holdings, Inc., Class A (a) 27,678 118,185
AMC Networks, Inc., Class A *(a) 13,922 459,008
ANGI Homeservices, Inc., Class A * 37,187 459,631
Cable One, Inc. 2,515 4,981,385
Cardlytics, Inc. * 12,905 1,531,565
Cargurus, Inc. * 40,208 1,007,210
Cars.com, Inc. * 30,580 341,579
Charter Communications, Inc., Class A * 70,412 45,907,920
Cinemark Holdings, Inc. 51,329 793,033
Clear Channel Outdoor Holdings, Inc. * 228,851 345,565
Comcast Corp., Class A 2,146,739 107,852,167
Discovery, Inc., Class A * 72,293 1,945,405
Discovery, Inc., Class C * 147,461 3,542,013
DISH Network Corp., Class A * 116,929 4,194,243
Electronic Arts, Inc. * 136,185 17,397,634
Entercom Communications Corp., Class A 55,412 134,651
Eventbrite, Inc., Class A * 31,766 532,716
EverQuote, Inc., Class A * 4,361 164,235
Facebook, Inc., Class A * 1,131,987 313,526,439
Fox Corp., Class A 160,837 4,638,539
Fox Corp., Class B 74,930 2,126,513
Gannett Co., Inc. * 44,260 125,698
Glu Mobile, Inc. * 66,548 672,800
Gray Television, Inc. * 43,150 762,029
Hemisphere Media Group, Inc. * 10,548 113,497
IAC/InterActiveCorp * 37,545 5,331,015
iHeartMedia, Inc., Class A * 27,475 328,464
John Wiley & Sons, Inc., Class A 21,674 748,620
Liberty Broadband Corp., Class A * 11,161 1,749,710
Liberty Broadband Corp., Class C * 71,598 11,265,945
Liberty Media Corp. - Liberty Braves, Class A * 5,190 130,632
 
11

 

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

Security Number
of Shares
Value ($)
Liberty Media Corp. - Liberty Braves, Class C * 16,323 408,075
Liberty Media Corp. - Liberty Formula One, Class A * 12,244 463,191
Liberty Media Corp. - Liberty Formula One, Class C * 95,398 3,985,728
Liberty Media Corp. - Liberty SiriusXM, Class A * 39,541 1,618,809
Liberty Media Corp. - Liberty SiriusXM, Class C * 81,012 3,322,302
Liberty TripAdvisor Holdings, Inc., Class A * 33,664 92,576
Lions Gate Entertainment Corp., Class A * 26,575 258,841
Lions Gate Entertainment Corp., Class B * 58,433 524,728
Live Nation Entertainment, Inc. * 66,380 4,357,847
Loral Space & Communications, Inc. 5,482 125,976
Madison Square Garden Entertainment Corp. * 8,137 618,493
Madison Square Garden Sports Corp. * 8,059 1,365,195
Match Group, Inc. * 121,985 16,981,532
Meredith Corp. 19,040 387,464
MSG Networks, Inc., Class A * 23,227 281,976
National CineMedia, Inc. 25,154 84,769
Netflix, Inc. * 207,601 101,869,811
News Corp., Class A 180,545 3,186,619
News Corp., Class B 59,705 1,063,346
Nexstar Media Group, Inc., Class A 21,611 2,274,558
Omnicom Group, Inc. 101,257 6,379,191
Pinterest, Inc., Class A * 217,777 15,248,746
QuinStreet, Inc. * 21,995 392,501
Roku, Inc. * 49,655 14,577,218
Scholastic Corp. 12,047 285,755
Sciplay Corp., Class A * 11,021 164,103
Sinclair Broadcast Group, Inc., Class A 22,532 614,222
Sirius XM Holdings, Inc. 577,565 3,748,397
Snap, Inc., Class A * 422,035 18,746,795
Take-Two Interactive Software, Inc. * 53,624 9,679,668
TechTarget, Inc. * 11,167 586,268
TEGNA, Inc. 105,157 1,515,312
The E.W. Scripps Co., Class A 26,454 337,553
The Interpublic Group of Cos., Inc. 185,443 4,131,670
The Marcus Corp. 10,925 128,260
The New York Times Co., Class A 67,199 2,883,509
The Walt Disney Co. 850,860 125,935,789
Tribune Publishing Co. 8,580 103,646
TripAdvisor, Inc. * 45,486 1,187,185
TrueCar, Inc. * 44,538 181,715
Twitter, Inc. * 370,789 17,245,396
ViacomCBS, Inc., Class B 270,661 9,548,920
Warner Music Group Corp., Class A 41,907 1,245,895
WideOpenWest, Inc. * 28,213 231,064
World Wrestling Entertainment, Inc., Class A 22,967 988,500
Yelp, Inc. * 31,100 993,334
Zillow Group, Inc., Class A * 17,191 1,897,027
Zillow Group, Inc., Class C * 67,479 7,274,911
ZoomInfo Technologies, Inc., Class A * 28,482 1,459,703
Zynga, Inc., Class A * 471,859 3,892,837
    1,453,772,999
 
Pharmaceuticals, Biotechnology & Life Sciences 7.4%
10X Genomics, Inc., Class A * 30,440 4,660,668
89bio, Inc. * 2,822 76,222
AbbVie, Inc. 831,140 86,920,621
ACADIA Pharmaceuticals, Inc. * 53,849 3,051,084
Security Number
of Shares
Value ($)
Acceleron Pharma, Inc. * 24,435 2,885,040
Adaptive Biotechnologies Corp. * 38,446 1,853,866
Adverum Biotechnologies, Inc. * 44,043 598,544
Aerie Pharmaceuticals, Inc. * 19,781 245,482
Agenus, Inc. * 71,033 262,822
Agilent Technologies, Inc. 145,567 17,016,782
Agios Pharmaceuticals, Inc. * 27,463 1,272,086
Akebia Therapeutics, Inc. * 67,813 224,461
Akero Therapeutics, Inc. * 8,367 240,802
Akouos, Inc. * 6,514 134,710
Alector, Inc. * 24,894 326,360
Alexion Pharmaceuticals, Inc. * 102,769 12,549,123
Alkermes plc * 74,140 1,353,796
Allakos, Inc. * 14,644 1,567,347
Allogene Therapeutics, Inc. * 30,100 934,605
Allovir, Inc. * 7,668 303,729
Alnylam Pharmaceuticals, Inc. * 54,156 7,035,406
Altimmune, Inc. * 12,401 151,664
ALX Oncology Holdings, Inc. * 4,060 312,336
Amgen, Inc. 275,797 61,237,966
Amicus Therapeutics, Inc. * 123,593 2,829,044
Amneal Pharmaceuticals, Inc. * 62,728 247,776
Amphastar Pharmaceuticals, Inc. * 15,626 277,518
AnaptysBio, Inc. * 11,866 306,024
ANI Pharmaceuticals, Inc. * 4,547 134,409
Anika Therapeutics, Inc. * 7,320 276,696
Annexon, Inc. * 6,865 166,133
Apellis Pharmaceuticals, Inc. * 26,539 1,251,048
Applied Molecular Transport, Inc. *(a) 6,679 207,249
Aprea Therapeutics, Inc. * 6,057 152,879
Arcturus Therapeutics Holdings, Inc. * 8,907 817,306
Arcus Biosciences, Inc. * 19,670 535,614
Arcutis Biotherapeutics, Inc. * 8,505 230,656
Arena Pharmaceuticals, Inc. * 27,089 1,784,352
Arrowhead Pharmaceuticals, Inc. * 47,622 2,977,804
Arvinas, Inc. * 11,530 279,026
Assembly Biosciences, Inc. * 15,239 87,853
Atara Biotherapeutics, Inc. * 35,211 816,543
Athenex, Inc. * 30,148 410,917
Avantor, Inc. * 242,024 6,602,415
Avidity Biosciences, Inc. * 7,694 230,358
Avrobio, Inc. * 13,730 189,062
Axsome Therapeutics, Inc. * 12,146 880,464
Beam Therapeutics, Inc. * 10,230 511,500
Berkeley Lights, Inc. * 3,698 306,416
Bio-Rad Laboratories, Inc., Class A * 9,963 5,365,075
Bio-Techne Corp. 17,969 5,450,177
BioCryst Pharmaceuticals, Inc. * 84,040 429,444
Biogen, Inc. * 74,327 17,851,116
Biohaven Pharmaceutical Holding Co., Ltd. * 23,997 2,134,533
BioMarin Pharmaceutical, Inc. * 84,838 6,676,751
Bioxcel Therapeutics, Inc. * 6,975 306,900
Black Diamond Therapeutics, Inc. * 6,034 201,174
Bluebird Bio, Inc. * 30,895 1,362,161
Blueprint Medicines Corp. * 25,916 2,801,001
Bridgebio Pharma, Inc. *(a) 36,438 1,830,645
Bristol-Myers Squibb Co. 1,061,444 66,234,106
Bruker Corp. 48,547 2,456,964
Cara Therapeutics, Inc. * 19,771 290,041
CareDx, Inc. * 23,085 1,319,769
CASI Pharmaceuticals, Inc. * 23,724 59,073
Catalent, Inc. * 76,770 7,380,668
Catalyst Pharmaceuticals, Inc. * 46,167 168,971
Charles River Laboratories International, Inc. * 23,343 5,474,400
ChemoCentryx, Inc. * 23,446 1,293,047
Chimerix, Inc. * 21,882 82,495
Clovis Oncology, Inc. *(a) 45,401 223,373
 
12

 

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

Security Number
of Shares
Value ($)
Codexis, Inc. * 23,355 432,535
Coherus Biosciences, Inc. * 28,291 522,252
Collegium Pharmaceutical, Inc. * 16,343 302,182
Constellation Pharmaceuticals, Inc. * 14,606 370,116
Corbus Pharmaceuticals Holdings, Inc. *(a) 41,188 50,249
Corcept Therapeutics, Inc. * 50,779 1,149,637
Cortexyme, Inc. * 6,235 303,021
Crinetics Pharmaceuticals, Inc. * 8,649 115,637
Cue Biopharma, Inc. * 12,871 180,001
Cyclerion Therapeutics, Inc. * 15,527 47,823
Cymabay Therapeutics, Inc. * 31,649 237,367
Cytokinetics, Inc. * 31,947 536,710
CytomX Therapeutics, Inc. * 21,865 164,425
Deciphera Pharmaceuticals, Inc. * 18,602 1,149,604
Denali Therapeutics, Inc. * 37,714 2,299,423
Dicerna Pharmaceuticals, Inc. * 28,856 729,191
Dynavax Technologies Corp. * 41,355 210,083
Eagle Pharmaceuticals, Inc. * 6,300 286,650
Editas Medicine, Inc. * 29,199 893,197
Eidos Therapeutics, Inc. * 5,014 461,589
Elanco Animal Health, Inc. * 154,917 4,738,911
Eli Lilly and Co. 373,702 54,429,696
Emergent BioSolutions, Inc. * 21,057 1,725,200
Enanta Pharmaceuticals, Inc. * 8,089 333,267
Endo International plc * 110,521 561,447
Epizyme, Inc. * 44,911 617,077
Esperion Therapeutics, Inc. * 13,743 389,202
Evelo Biosciences, Inc. *(a) 15,327 78,628
Exact Sciences Corp. * 70,946 8,588,723
Exelixis, Inc. * 144,297 2,764,731
Fate Therapeutics, Inc. * 34,834 2,036,570
FibroGen, Inc. * 38,393 1,586,015
Five Prime Therapeutics, Inc. * 18,528 348,326
Flexion Therapeutics, Inc. * 21,582 231,143
Forma Therapeutics Holdings, Inc. *(a) 6,902 301,893
Frequency Therapeutics, Inc. * 14,560 417,872
G1 Therapeutics, Inc. * 12,765 233,089
Generation Bio Co. * 5,814 280,351
Geron Corp. * 151,976 283,435
Gilead Sciences, Inc. 590,448 35,822,480
Global Blood Therapeutics, Inc. * 28,717 1,318,397
Gossamer Bio, Inc. * 24,066 212,743
Halozyme Therapeutics, Inc. * 60,830 2,378,453
Harpoon Therapeutics, Inc. * 5,042 75,227
Heron Therapeutics, Inc. * 37,265 645,802
Homology Medicines, Inc. * 19,289 189,804
Horizon Therapeutics plc * 98,827 6,960,386
IGM Biosciences, Inc. * 3,226 215,432
Illumina, Inc. * 68,567 22,084,745
IMARA, Inc. *(a) 2,449 62,474
ImmunoGen, Inc. * 82,640 450,388
Immunovant, Inc. * 18,540 911,983
Incyte Corp. * 87,759 7,419,146
Innoviva, Inc. * 30,432 318,167
Inovio Pharmaceuticals, Inc. *(a) 79,290 968,924
Inozyme Pharma, Inc. *(a) 3,259 84,799
Insmed, Inc. * 47,452 1,851,103
Intellia Therapeutics, Inc. * 23,411 919,350
Intercept Pharmaceuticals, Inc. * 12,109 429,991
Intersect ENT, Inc. * 14,747 282,110
Intra-Cellular Therapies, Inc. * 31,073 734,566
Invitae Corp. * 62,324 3,094,387
Ionis Pharmaceuticals, Inc. * 65,765 3,323,105
Iovance Biotherapeutics, Inc. * 63,678 2,471,343
IQVIA Holdings, Inc. * 89,757 15,168,035
Ironwood Pharmaceuticals, Inc. * 76,482 881,073
iTeos Therapeutics, Inc. * 4,979 133,387
Jazz Pharmaceuticals plc * 26,255 3,694,341
Security Number
of Shares
Value ($)
Johnson & Johnson 1,239,831 179,378,749
Jounce Therapeutics, Inc. * 9,862 70,513
Kadmon Holdings, Inc. * 75,606 329,642
Kaleido Biosciences, Inc. *(a) 14,034 110,588
Karuna Therapeutics, Inc. * 7,644 762,642
Karyopharm Therapeutics, Inc. * 31,734 539,161
Keros Therapeutics, Inc. * 3,212 242,859
Kodiak Sciences, Inc. * 14,551 1,988,685
Krystal Biotech, Inc. * 7,256 398,645
Kura Oncology, Inc. * 26,533 963,148
Lannett Co., Inc. * 14,426 88,864
Lexicon Pharmaceuticals, Inc. * 22,212 33,984
Ligand Pharmaceuticals, Inc. *(a) 7,729 652,096
Luminex Corp. 21,371 507,134
MacroGenics, Inc. * 24,240 559,217
Madrigal Pharmaceuticals, Inc. * 4,096 478,372
MannKind Corp. * 93,615 278,973
Medpace Holdings, Inc. * 12,669 1,626,193
Merck & Co., Inc. 1,191,163 95,757,594
Mersana Therapeutics, Inc. * 25,874 659,270
Mettler-Toledo International, Inc. * 11,291 12,985,102
Mirati Therapeutics, Inc. * 20,520 4,880,682
Mirum Pharmaceuticals, Inc. * 4,958 116,265
Moderna, Inc. * 141,449 21,604,920
Molecular Templates, Inc. * 17,033 152,445
Morphic Holding, Inc. * 3,550 111,364
Myriad Genetics, Inc. * 35,591 624,266
NanoString Technologies, Inc. * 20,193 1,002,381
NantKwest, Inc. *(a) 22,316 213,787
Natera, Inc. * 36,230 3,198,022
Nektar Therapeutics * 83,005 1,360,452
NeoGenomics, Inc. * 52,981 2,520,836
Neurocrine Biosciences, Inc. * 43,472 4,127,232
NextCure, Inc. * 5,634 57,016
NGM Biopharmaceuticals, Inc. * 9,265 219,581
Nkarta, Inc. * 7,635 254,093
Novavax, Inc. * 26,662 3,719,349
Nurix Therapeutics, Inc. * 5,197 221,496
Odonate Therapeutics, Inc. * 6,365 95,602
Omeros Corp. *(a) 29,367 340,364
OPKO Health, Inc. * 213,723 991,675
Optinose, Inc. * 15,444 62,548
Organogenesis Holdings, Inc. * 15,414 79,382
ORIC Pharmaceuticals, Inc. * 3,953 134,046
Osmotica Pharmaceuticals plc * 14,044 85,949
Oyster Point Pharma, Inc. * 5,893 129,233
Pacific Biosciences of California, Inc. * 83,402 1,318,586
Pacira BioSciences, Inc. * 20,288 1,229,250
Paratek Pharmaceuticals, Inc. * 14,370 88,950
Passage Bio, Inc. * 6,217 127,511
PDL BioPharma, Inc. * 65,192 164,936
PerkinElmer, Inc. 52,747 7,015,351
Perrigo Co., plc 63,686 3,070,939
Personalis, Inc. * 10,706 294,736
Pfizer, Inc. 2,616,737 100,247,194
Phathom Pharmaceuticals, Inc. * 4,818 206,307
Phibro Animal Health Corp., Class A 9,846 185,991
Pliant Therapeutics, Inc. * 4,342 119,492
Poseida Therapeutics, Inc. *(a) 8,039 93,333
PPD, Inc. * 50,634 1,772,190
PRA Health Sciences, Inc. * 29,680 3,330,096
Precigen, Inc. *(a) 34,664 274,539
Precision BioSciences, Inc. * 20,106 250,722
Prestige Consumer Healthcare, Inc. * 24,666 877,370
Protagonist Therapeutics, Inc. * 16,062 388,058
Prothena Corp. plc * 12,431 140,719
Provention Bio, Inc. * 22,653 339,568
PTC Therapeutics, Inc. * 32,229 2,016,569
Puma Biotechnology, Inc. * 16,241 182,711
 
13

 

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

Security Number
of Shares
Value ($)
Quanterix Corp. * 10,527 454,661
Radius Health, Inc. * 22,206 350,411
RAPT Therapeutics, Inc. * 3,503 75,910
Reata Pharmaceuticals, Inc., Class A * 11,371 1,736,920
Regeneron Pharmaceuticals, Inc. * 49,202 25,389,708
REGENXBIO, Inc. * 12,738 443,792
Relay Therapeutics, Inc. * 9,349 498,395
Relmada Therapeutics, Inc. * 5,991 213,040
Repligen Corp. * 23,093 4,380,049
Replimune Group, Inc. * 11,864 613,132
Revance Therapeutics, Inc. * 29,134 703,295
REVOLUTION Medicines, Inc. * 19,330 843,368
Rhythm Pharmaceuticals, Inc. * 13,712 424,386
Rocket Pharmaceuticals, Inc. * 16,005 495,515
Royalty Pharma plc, Class A 36,951 1,574,113
Rubius Therapeutics, Inc. * 16,256 101,925
Sage Therapeutics, Inc. * 24,724 1,831,801
Sangamo Therapeutics, Inc. * 58,485 584,265
Sarepta Therapeutics, Inc. * 37,116 5,228,160
Satsuma Pharmaceuticals, Inc. * 1,731 7,790
Seagen, Inc. * 57,041 9,714,653
Seres Therapeutics, Inc. * 24,541 677,577
SIGA Technologies, Inc. * 20,396 141,344
Sorrento Therapeutics, Inc. *(a) 96,368 790,218
Spectrum Pharmaceuticals, Inc. * 72,660 342,229
SpringWorks Therapeutics, Inc. * 12,668 828,994
Stoke Therapeutics, Inc. * 7,285 379,476
Supernus Pharmaceuticals, Inc. * 25,321 539,337
Syndax Pharmaceuticals, Inc. * 13,702 317,475
Syneos Health, Inc. * 32,577 2,144,870
Syros Pharmaceuticals, Inc. * 14,370 117,116
TCR2 Therapeutics, Inc. * 10,978 299,096
TG Therapeutics, Inc. * 47,918 1,405,914
TherapeuticsMD, Inc. *(a) 89,358 119,740
Theravance Biopharma, Inc. * 22,812 378,451
Thermo Fisher Scientific, Inc. 186,353 86,650,418
Translate Bio, Inc. * 32,796 728,727
Travere Therapeutics, Inc. * 21,826 500,470
Tricida, Inc. * 13,540 98,977
Turning Point Therapeutics, Inc. * 19,343 2,060,029
Twist Bioscience Corp. * 17,981 2,009,197
Ultragenyx Pharmaceutical, Inc. * 28,738 3,406,603
uniQure N.V. * 17,648 848,516
United Therapeutics Corp. * 20,757 2,753,208
UNITY Biotechnology, Inc. * 11,510 69,405
Vanda Pharmaceuticals, Inc. * 24,620 300,610
Vaxart, Inc. *(a) 51,722 412,742
Vaxcyte, Inc. * 8,376 268,870
VBI Vaccines, Inc. *(a) 103,165 353,340
Veracyte, Inc. * 27,180 1,481,582
Vericel Corp. * 21,422 547,118
Vertex Pharmaceuticals, Inc. * 122,414 27,879,788
Viatris, Inc. * 567,738 9,549,353
Viela Bio, Inc. * 8,083 309,902
Vir Biotechnology, Inc. * 30,664 977,568
Voyager Therapeutics, Inc. * 10,859 90,347
Waters Corp. * 29,218 6,778,868
WaVe Life Sciences Ltd. * 8,416 74,229
Xencor, Inc. * 26,938 1,140,016
Y-mAbs Therapeutics, Inc. * 11,681 594,212
Zentalis Pharmaceuticals, Inc. * 7,394 376,798
ZIOPHARM Oncology, Inc. *(a) 101,379 283,861
Zoetis, Inc. 223,643 35,867,864
Zogenix, Inc. * 25,517 546,829
    1,280,161,985
 
Security Number
of Shares
Value ($)
Real Estate 3.2%
Acadia Realty Trust 42,397 602,037
Agree Realty Corp. 25,098 1,653,958
Alexander & Baldwin, Inc. 33,860 529,909
Alexander's, Inc. 1,052 287,575
Alexandria Real Estate Equities, Inc. 54,945 8,996,145
Altisource Portfolio Solutions S.A. * 4,491 59,191
American Assets Trust, Inc. 22,820 654,706
American Campus Communities, Inc. 63,504 2,527,459
American Finance Trust, Inc. 50,998 376,365
American Homes 4 Rent, Class A 124,885 3,586,697
American Tower Corp. 209,004 48,321,725
Americold Realty Trust 96,510 3,293,886
Apartment Investment & Management Co., Class A 86,961 2,639,266
Apple Hospitality REIT, Inc. 99,617 1,320,921
Armada Hoffler Properties, Inc. 26,506 281,229
AvalonBay Communities, Inc. 65,981 10,991,775
Boston Properties, Inc. 66,984 6,575,149
Brandywine Realty Trust 77,683 864,612
Brixmor Property Group, Inc. 141,818 2,165,561
Camden Property Trust 45,606 4,507,241
CareTrust REIT, Inc. 45,386 881,850
CBRE Group, Inc., Class A * 157,366 9,621,357
Chatham Lodging Trust 22,445 247,119
CIM Commercial Trust Corp. 7,548 91,859
City Office REIT, Inc. 15,643 137,189
Colony Capital, Inc. 239,287 1,033,720
Columbia Property Trust, Inc. 56,778 793,756
Community Healthcare Trust, Inc. 10,514 474,812
CoreCivic, Inc. 57,771 409,596
CorEnergy Infrastructure Trust, Inc. 11,956 71,138
CorePoint Lodging, Inc. 18,332 119,341
CoreSite Realty Corp. 20,077 2,517,455
Corporate Office Properties Trust 53,296 1,419,272
Cousins Properties, Inc. 69,369 2,317,618
Crown Castle International Corp. 197,516 33,097,756
CubeSmart 91,918 2,990,093
Cushman & Wakefield plc * 49,714 740,739
CyrusOne, Inc. 54,458 3,807,159
DiamondRock Hospitality Co. 94,505 710,678
Digital Realty Trust, Inc. 126,303 17,019,329
Diversified Healthcare Trust 113,169 499,075
Douglas Emmett, Inc. 78,780 2,439,817
Duke Realty Corp. 173,074 6,587,196
Easterly Government Properties, Inc. 34,956 757,147
EastGroup Properties, Inc. 18,520 2,524,832
Empire State Realty Trust, Inc., Class A 73,178 662,261
EPR Properties 35,202 1,267,976
Equinix, Inc. 41,698 29,096,447
Equity Commonwealth 56,578 1,499,883
Equity LifeStyle Properties, Inc. 80,685 4,727,334
Equity Residential 160,356 9,287,820
Essential Properties Realty Trust, Inc. 47,455 974,726
Essex Property Trust, Inc. 30,821 7,578,267
eXp World Holdings, Inc. * 12,870 686,357
Extra Space Storage, Inc. 60,504 6,820,616
Federal Realty Investment Trust 32,550 2,839,011
First Industrial Realty Trust, Inc. 58,607 2,454,461
Forestar Group, Inc. * 9,361 182,165
Four Corners Property Trust, Inc. 34,133 956,065
Franklin Street Properties Corp. 49,229 228,423
Front Yard Residential Corp. 26,669 435,238
FRP Holdings, Inc. * 3,539 162,051
Gaming & Leisure Properties, Inc. 98,049 4,072,955
Getty Realty Corp. 15,640 444,020
Gladstone Commercial Corp. 17,400 314,766
Global Medical REIT, Inc. 19,150 262,163
 
14

 

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

Security Number
of Shares
Value ($)
Global Net Lease, Inc. 39,772 663,795
Healthcare Realty Trust, Inc. 62,387 1,840,416
Healthcare Trust of America, Inc., Class A 102,752 2,674,635
Healthpeak Properties, Inc. 254,703 7,350,729
Hersha Hospitality Trust 17,956 145,444
Highwoods Properties, Inc. 49,577 1,898,799
Host Hotels & Resorts, Inc. 333,271 4,675,792
Hudson Pacific Properties, Inc. 72,821 1,893,346
Independence Realty Trust, Inc. 43,508 560,383
Industrial Logistics Properties Trust 30,255 657,441
Innovative Industrial Properties, Inc. 10,219 1,570,252
Investors Real Estate Trust 5,699 395,511
Invitation Homes, Inc. 263,968 7,544,205
Iron Mountain, Inc. 134,272 3,692,480
iStar, Inc. 35,829 505,189
JBG SMITH Properties 53,018 1,629,773
Jones Lang LaSalle, Inc. * 23,996 3,174,431
Kennedy-Wilson Holdings, Inc. 56,362 900,665
Kilroy Realty Corp. 49,589 3,032,863
Kimco Realty Corp. 202,444 2,923,291
Kite Realty Group Trust 41,391 596,030
Lamar Advertising Co., Class A 40,860 3,252,865
Lexington Realty Trust 133,212 1,360,095
Life Storage, Inc. 21,758 2,387,288
LTC Properties, Inc. 18,594 688,722
Mack-Cali Realty Corp. 38,142 521,020
Marcus & Millichap, Inc. * 10,903 390,873
Medical Properties Trust, Inc. 249,550 4,841,270
Mid-America Apartment Communities, Inc. 54,329 6,854,147
Monmouth Real Estate Investment Corp. 47,858 709,734
National Health Investors, Inc. 20,529 1,327,405
National Retail Properties, Inc. 82,242 3,100,523
National Storage Affiliates Trust 27,869 946,989
New Senior Investment Group, Inc. 39,401 217,888
Newmark Group, Inc., Class A 76,394 536,286
NexPoint Residential Trust, Inc. 9,732 431,225
Office Properties Income Trust 21,204 484,511
Omega Healthcare Investors, Inc. 106,904 3,765,159
One Liberty Properties, Inc. 7,340 130,505
Outfront Media, Inc. 68,102 1,289,852
Paramount Group, Inc. 80,527 744,875
Park Hotels & Resorts, Inc. 114,757 1,872,834
Pebblebrook Hotel Trust 62,878 1,163,243
Physicians Realty Trust 97,324 1,688,571
Piedmont Office Realty Trust, Inc., Class A 60,476 945,240
PotlatchDeltic Corp. 32,268 1,501,753
Preferred Apartment Communities, Inc., Class A 18,161 141,837
Prologis, Inc. 348,320 34,849,416
PS Business Parks, Inc. 9,045 1,192,131
Public Storage 71,841 16,125,431
QTS Realty Trust, Inc., Class A 28,860 1,714,573
Rayonier, Inc. 63,396 1,785,865
RE/MAX Holdings, Inc., Class A 9,378 293,531
Realogy Holdings Corp. * 54,446 670,230
Realty Income Corp. 161,689 9,696,489
Redfin Corp. * 46,896 2,245,849
Regency Centers Corp. 74,591 3,399,858
Retail Opportunity Investments Corp. 55,361 718,586
Retail Properties of America, Inc., Class A 96,778 783,902
Retail Value, Inc. 7,553 116,316
Rexford Industrial Realty, Inc. 57,180 2,740,066
RLJ Lodging Trust 79,818 984,156
RPT Realty 39,321 288,223
Security Number
of Shares
Value ($)
Ryman Hospitality Properties, Inc. 26,085 1,674,396
Sabra Health Care REIT, Inc. 98,463 1,622,670
Safehold, Inc. 6,670 454,027
Saul Centers, Inc. 5,520 172,224
SBA Communications Corp. 52,575 15,098,488
Seritage Growth Properties, Class A *(a) 16,088 264,808
Service Properties Trust 79,132 938,506
Simon Property Group, Inc. 153,081 12,639,898
SITE Centers Corp. 72,925 735,813
SL Green Realty Corp. 34,654 2,006,467
Spirit Realty Capital, Inc. 48,067 1,770,788
STAG Industrial, Inc. 71,173 2,119,532
STORE Capital Corp. 107,769 3,508,959
Summit Hotel Properties, Inc. 51,283 445,649
Sun Communities, Inc. 45,927 6,383,853
Sunstone Hotel Investors, Inc. 101,460 1,065,330
Tanger Factory Outlet Centers, Inc. (a) 46,137 435,995
Taubman Centers, Inc. 29,651 1,266,691
Tejon Ranch Co. * 8,955 128,325
Terreno Realty Corp. 32,240 1,867,986
The GEO Group, Inc. 57,901 547,164
The Howard Hughes Corp. * 20,718 1,506,820
The Macerich Co. (a) 55,489 554,890
The RMR Group, Inc., Class A 7,642 283,060
The St. Joe Co. 15,353 506,803
UDR, Inc. 139,257 5,357,217
UMH Properties, Inc. 16,611 238,036
Uniti Group, Inc. 87,873 903,334
Universal Health Realty Income Trust 6,178 373,337
Urban Edge Properties 49,152 637,993
Urstadt Biddle Properties, Inc. 194 2,514
Urstadt Biddle Properties, Inc., Class A 13,190 185,188
Ventas, Inc. 174,522 8,361,349
VEREIT, Inc. 510,391 3,618,672
VICI Properties, Inc. 251,606 6,363,116
Vornado Realty Trust 73,424 2,856,928
Washington Prime Group, Inc. 125,398 127,906
Washington Real Estate Investment Trust 39,417 914,869
Weingarten Realty Investors 57,534 1,203,036
Welltower, Inc. 195,705 12,325,501
Weyerhaeuser Co. 349,755 10,156,885
Whitestone REIT 17,956 135,029
WP Carey, Inc. 80,965 5,603,588
Xenia Hotels & Resorts, Inc. 50,168 706,867
    551,793,624
 
Retailing 7.1%
1-800-Flowers.com, Inc., Class A * 10,782 252,730
Aaron's Holdings Co., Inc. 32,216 2,027,353
Abercrombie & Fitch Co., Class A 28,905 599,490
Advance Auto Parts, Inc. 32,583 4,812,509
Amazon.com, Inc. * 200,419 634,935,409
America's Car-Mart, Inc. * 3,259 340,565
American Eagle Outfitters, Inc. 69,749 1,254,784
Asbury Automotive Group, Inc. * 9,176 1,034,778
At Home Group, Inc. * 27,890 528,237
AutoNation, Inc. * 27,206 1,667,456
AutoZone, Inc. * 10,989 12,501,636
Bed Bath & Beyond, Inc. 59,115 1,239,050
Best Buy Co., Inc. 108,497 11,804,474
Big Lots, Inc. 16,876 871,983
Booking Holdings, Inc. * 19,241 39,029,406
Boot Barn Holdings, Inc. * 12,917 532,955
Burlington Stores, Inc. * 30,748 6,719,668
Caleres, Inc. 20,199 237,742
Camping World Holdings, Inc., Class A 15,426 472,807
CarMax, Inc. * 76,985 7,196,558
CarParts.com, Inc. *(a) 16,437 247,706
 
15

 

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

Security Number
of Shares
Value ($)
Carvana Co. * 26,064 6,521,473
Chewy, Inc., Class A * 32,922 2,554,089
Chico's FAS, Inc. 57,412 86,692
Conn's, Inc. * 9,199 101,971
Core-Mark Holding Co., Inc. 21,829 680,847
Designer Brands, Inc., Class A 27,692 218,767
Dick's Sporting Goods, Inc. 31,084 1,765,882
Dillard's, Inc., Class A (a) 2,644 123,633
Dollar General Corp. 117,171 25,611,237
Dollar Tree, Inc. * 111,210 12,148,580
Duluth Holdings, Inc., Class B * 6,125 90,037
eBay, Inc. 311,538 15,710,861
Etsy, Inc. * 56,393 9,062,355
Expedia Group, Inc. 63,909 7,956,031
Five Below, Inc. * 26,374 4,124,894
Floor & Decor Holdings, Inc., Class A * 48,771 3,906,069
Foot Locker, Inc. 49,480 1,850,552
Funko, Inc., Class A * 13,027 114,377
GameStop Corp., Class A *(a) 27,167 449,886
Genesco, Inc. * 7,413 232,546
Genuine Parts Co. 67,309 6,621,186
Group 1 Automotive, Inc. 7,666 910,797
Groupon, Inc. * 10,796 325,607
GrowGeneration Corp. * 19,153 673,611
GrubHub, Inc. * 43,657 3,070,833
Guess?, Inc. 20,196 339,091
Haverty Furniture Cos., Inc. 9,903 269,560
Hibbett Sports, Inc. * 7,755 319,196
Kohl's Corp. 74,366 2,394,585
L Brands, Inc. 109,022 4,231,144
Lands' End, Inc. * 7,091 176,850
Liquidity Services, Inc. * 13,557 128,927
Lithia Motors, Inc., Class A 12,037 3,482,304
LKQ Corp. * 132,257 4,658,092
Lowe's Cos., Inc. 355,485 55,391,673
Lumber Liquidators Holdings, Inc. * 12,611 364,206
Macy's, Inc. 148,541 1,516,604
Magnite, Inc. * 56,903 1,081,157
MarineMax, Inc. * 10,978 360,518
Monro, Inc. 16,218 762,408
Murphy USA, Inc. 12,743 1,633,653
National Vision Holdings, Inc. * 37,787 1,617,661
Nordstrom, Inc. (a) 51,040 1,322,957
O'Reilly Automotive, Inc. * 34,742 15,371,250
Ollie's Bargain Outlet Holdings, Inc. * 26,377 2,322,759
Overstock.com, Inc. * 20,087 1,355,672
Party City Holdco, Inc. * 55,905 256,045
Penske Automotive Group, Inc. 14,322 788,713
PetMed Express, Inc. 9,242 283,729
Pool Corp. 18,849 6,523,827
Quotient Technology, Inc. * 38,572 287,361
Qurate Retail, Inc., Class A 186,017 1,947,598
Rent-A-Center, Inc. 23,899 808,264
RH * 7,276 3,297,192
Ross Stores, Inc. 166,881 17,943,045
Sally Beauty Holdings, Inc. * 54,704 629,096
Shoe Carnival, Inc. 4,381 160,213
Shutterstock, Inc. 10,527 723,837
Signet Jewelers Ltd. 24,816 751,677
Sleep Number Corp. * 13,342 925,801
Sonic Automotive, Inc., Class A 11,155 450,439
Sportsman's Warehouse Holdings, Inc. * 22,227 309,622
Stamps.com, Inc. * 8,306 1,557,043
Stitch Fix, Inc., Class A * 26,822 1,086,291
Target Corp. 235,412 42,263,516
The Buckle, Inc. 15,086 404,607
The Cato Corp., Class A 10,770 86,806
The Children's Place, Inc. 7,741 332,708
The Container Store Group, Inc. * 4,788 44,528
Security Number
of Shares
Value ($)
The Gap, Inc. 96,955 2,032,177
The Home Depot, Inc. 506,939 140,629,948
The Michaels Cos., Inc. * 34,361 339,830
The ODP Corp. 26,497 759,669
The RealReal, Inc. * 27,685 383,437
The TJX Cos., Inc. 564,596 35,857,492
Tiffany & Co. 51,008 6,706,532
Tractor Supply Co. 54,351 7,653,164
Ulta Beauty, Inc. * 26,519 7,303,333
Urban Outfitters, Inc. * 33,514 917,613
Vroom, Inc. * 15,335 549,913
Wayfair, Inc., Class A * 32,252 8,203,619
Weyco Group, Inc. 3,518 63,043
Williams-Sonoma, Inc. 36,469 3,992,261
Winmark Corp. 1,401 252,180
Zumiez, Inc. * 9,418 349,314
    1,230,175,859
 
Semiconductors & Semiconductor Equipment 5.0%
ACM Research, Inc. Class A * 4,616 381,374
Advanced Energy Industries, Inc. * 17,937 1,730,203
Advanced Micro Devices, Inc. * 552,182 51,165,184
Ambarella, Inc. * 16,687 1,303,755
Amkor Technology, Inc. * 52,240 770,018
Analog Devices, Inc. 174,312 24,243,313
Applied Materials, Inc. 430,458 35,504,176
Axcelis Technologies, Inc. * 16,848 454,559
Broadcom, Inc. 189,447 76,078,126
Brooks Automation, Inc. 33,972 2,479,616
CEVA, Inc. * 9,569 375,870
Cirrus Logic, Inc. * 27,681 2,217,248
CMC Materials, Inc. 13,875 2,140,635
Cohu, Inc. 20,184 573,024
Cree, Inc. * 51,171 4,625,347
Diodes, Inc. * 19,435 1,320,803
Enphase Energy, Inc. * 59,570 8,135,475
Entegris, Inc. 63,594 5,890,076
First Solar, Inc. * 39,442 3,685,066
FormFactor, Inc. * 37,101 1,521,141
Ichor Holdings Ltd. * 11,750 374,825
Impinj, Inc. * 9,981 417,106
Inphi Corp. * 24,470 3,796,031
Intel Corp. 2,003,087 96,849,256
KLA Corp. 72,983 18,389,527
Kulicke & Soffa Industries, Inc. 29,845 908,780
Lam Research Corp. 68,587 31,046,591
Lattice Semiconductor Corp. * 64,888 2,715,563
MACOM Technology Solutions Holdings, Inc. * 21,453 958,520
Marvell Technology Group Ltd. 312,377 14,459,931
Maxim Integrated Products, Inc. 125,923 10,456,646
MaxLinear, Inc., Class A * 29,972 936,625
Microchip Technology, Inc. 118,384 15,909,626
Micron Technology, Inc. * 523,361 33,542,207
MKS Instruments, Inc. 25,605 3,532,978
Monolithic Power Systems, Inc. 19,890 6,364,004
NeoPhotonics Corp. * 18,478 148,933
NVIDIA Corp. 290,501 155,725,966
NXP Semiconductor N.V. 131,106 20,769,813
ON Semiconductor Corp. * 193,117 5,552,114
Onto Innovation, Inc. * 23,594 1,043,091
PDF Solutions, Inc. * 12,157 268,305
Photronics, Inc. * 32,004 370,926
Power Integrations, Inc. 27,594 1,969,936
Qorvo, Inc. * 53,449 8,374,389
QUALCOMM, Inc. 531,315 78,193,629
Rambus, Inc. * 54,838 862,053
Semtech Corp. * 30,201 2,037,661
 
16

 

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

Security Number
of Shares
Value ($)
Silicon Laboratories, Inc. * 20,914 2,451,330
SiTime Corp. * 4,326 376,232
Skyworks Solutions, Inc. 78,305 11,054,317
SMART Global Holdings, Inc. * 6,399 196,385
SolarEdge Technologies, Inc. * 23,586 6,556,436
SunPower Corp. * 38,124 844,828
Synaptics, Inc. * 16,028 1,246,498
Teradyne, Inc. 78,086 8,616,009
Texas Instruments, Inc. 431,635 69,601,144
Ultra Clean Holdings, Inc. * 17,403 550,631
Universal Display Corp. 20,231 4,633,708
Veeco Instruments, Inc. * 25,089 416,979
Xilinx, Inc. 114,569 16,675,518
    863,790,056
 
Software & Services 14.7%
2U, Inc. * 32,922 1,063,710
8x8, Inc. * 46,977 928,735
A10 Networks, Inc. * 30,740 245,305
Accenture plc, Class A 299,682 74,647,789
ACI Worldwide, Inc. * 55,782 1,817,378
Adobe, Inc. * 225,957 108,113,646
Agilysys, Inc. * 9,845 367,809
Akamai Technologies, Inc. * 76,254 7,893,052
Alarm.com Holdings, Inc. * 20,223 1,535,128
Alliance Data Systems Corp. 22,870 1,672,712
Altair Engineering, Inc., Class A * 19,656 1,059,458
Alteryx, Inc., Class A * 25,287 3,030,394
Anaplan, Inc. * 64,951 4,545,920
ANSYS, Inc. * 40,248 13,606,239
Appfolio, Inc., Class A * 7,083 1,154,033
Appian Corp. * 17,213 2,409,820
Aspen Technology, Inc. * 31,868 4,284,653
Autodesk, Inc. * 103,280 28,942,154
Automatic Data Processing, Inc. 202,631 35,233,478
Avalara, Inc. * 39,409 6,768,496
Avaya Holdings Corp. * 35,592 662,367
Benefitfocus, Inc. * 15,828 227,765
BigCommerce Holdings, Inc. *(a) 6,217 501,463
Bill.com Holdings, Inc. * 27,879 3,421,032
Black Knight, Inc. * 73,852 6,766,320
Blackbaud, Inc. 23,437 1,291,144
Blackline, Inc. * 23,880 2,934,852
Booz Allen Hamilton Holding Corp. 65,039 5,644,735
Bottomline Technologies (DE), Inc. * 18,269 833,797
Box, Inc., Class A * 66,666 1,245,988
Broadridge Financial Solutions, Inc. 54,397 7,989,831
CACI International, Inc., Class A * 11,926 2,829,921
Cadence Design Systems, Inc. * 131,355 15,276,587
Cardtronics plc, Class A * 16,572 402,368
Cass Information Systems, Inc. 5,533 234,765
CDK Global, Inc. 57,858 2,771,398
Cerence, Inc. * 16,988 1,541,661
Ceridian HCM Holding, Inc. * 61,327 5,913,149
ChannelAdvisor Corp. * 11,026 162,634
Citrix Systems, Inc. 58,291 7,223,421
Cloudera, Inc. * 97,018 1,133,170
Cloudflare, Inc., Class A * 68,366 5,132,919
Cognizant Technology Solutions Corp., Class A 255,686 19,976,747
CommVault Systems, Inc. * 21,691 1,035,962
Conduent, Inc. * 79,354 334,874
Cornerstone OnDemand, Inc. * 27,292 1,204,942
Coupa Software, Inc. * 31,394 10,325,801
Crowdstrike Holdings, Inc., Class A * 70,915 10,869,851
CSG Systems International, Inc. 16,028 695,295
Datadog, Inc., Class A * 82,596 8,170,396
Digimarc Corp. * 6,112 256,887
Security Number
of Shares
Value ($)
Digital Turbine, Inc. * 34,775 1,564,180
DocuSign, Inc. * 86,389 19,686,325
Domo, Inc., Class B * 12,114 460,211
Dropbox, Inc., Class A * 138,446 2,764,767
Duck Creek Technologies, Inc. * 10,834 430,760
DXC Technology Co. 117,873 2,582,597
Dynatrace, Inc. * 85,120 3,236,262
Ebix, Inc. 11,226 381,796
Elastic N.V. * 28,174 3,487,941
Endurance International Group Holdings, Inc. * 37,243 353,064
Envestnet, Inc. * 24,957 2,003,049
EPAM Systems, Inc. * 26,354 8,494,685
Euronet Worldwide, Inc. * 24,164 3,248,608
Everbridge, Inc. * 16,096 2,043,226
EVERTEC, Inc. 27,705 1,029,795
Evo Payments, Inc., Class A * 20,300 510,342
ExlService Holdings, Inc. * 15,571 1,296,441
Fair Isaac Corp. * 13,677 6,466,212
Fastly, Inc. Class A * 35,044 2,970,680
Fidelity National Information Services, Inc. 291,865 43,315,685
FireEye, Inc. * 104,405 1,569,207
Fiserv, Inc. * 261,282 30,094,461
Five9, Inc. * 30,869 4,790,869
FleetCor Technologies, Inc. * 39,402 10,449,804
Fortinet, Inc. * 62,916 7,753,139
Gartner, Inc. * 42,113 6,401,176
Genpact Ltd. 83,056 3,376,226
Global Payments, Inc. 140,968 27,515,544
GoDaddy, Inc., Class A * 78,409 6,236,652
GreenSky, Inc., Class A * 20,021 85,289
Grid Dynamics Holdings, Inc. * 11,777 127,074
GTT Communications, Inc. *(a) 12,308 55,878
GTY Technology Holdings, Inc. * 17,412 62,335
Guidewire Software, Inc. * 38,917 4,766,554
HubSpot, Inc. * 20,226 7,975,719
International Business Machines Corp. 419,771 51,850,114
International Money Express, Inc. * 13,734 216,173
Intuit, Inc. 123,249 43,386,113
j2 Global, Inc. * 21,385 1,916,310
Jack Henry & Associates, Inc. 36,224 5,826,993
Jamf Holding Corp. * 13,143 416,633
KBR, Inc. 65,402 1,816,214
Leidos Holdings, Inc. 63,052 6,349,336
Limelight Networks, Inc. * 57,576 255,062
LivePerson, Inc. * 28,484 1,664,035
LiveRamp Holdings, Inc. * 31,115 1,820,539
Manhattan Associates, Inc. * 29,823 3,049,104
ManTech International Corp., Class A 13,037 1,003,458
Mastercard, Inc., Class A 416,007 139,990,516
MAXIMUS, Inc. 29,193 2,096,349
Medallia, Inc. * 36,601 1,280,669
Microsoft Corp. 3,563,032 762,738,260
MicroStrategy, Inc., Class A * 3,460 1,185,984
Mimecast Ltd. * 27,047 1,216,574
MobileIron, Inc. * 42,171 296,884
Model N, Inc. * 14,867 512,317
MoneyGram International, Inc. * 24,259 164,476
MongoDB, Inc. * 23,915 6,871,019
New Relic, Inc. * 24,051 1,436,566
NIC, Inc. 30,833 722,571
NortonLifeLock, Inc. 278,919 5,084,693
Nuance Communications, Inc. * 132,786 5,727,060
Nutanix, Inc., Class A * 87,154 2,387,148
Okta, Inc. * 54,444 13,340,958
OneSpan, Inc. * 14,027 277,454
Oracle Corp. 911,231 52,596,253
Pagerduty, Inc. * 26,021 895,643
 
17

 

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

Security Number
of Shares
Value ($)
Palo Alto Networks, Inc. * 45,256 13,301,644
Paychex, Inc. 151,252 14,089,124
Paycom Software, Inc. * 22,926 9,561,976
Paylocity Holding Corp. * 17,671 3,474,119
PayPal Holdings, Inc. * 552,439 118,288,239
Paysign, Inc. * 12,895 63,057
Pegasystems, Inc. 18,605 2,435,022
Perficient, Inc. * 16,323 743,186
Perspecta, Inc. 62,766 1,407,214
Ping Identity Holding Corp. * 17,188 386,558
Pluralsight, Inc., Class A * 48,249 790,319
Progress Software Corp. 21,325 855,133
Proofpoint, Inc. * 26,905 2,784,398
PROS Holdings, Inc. * 18,727 803,201
PTC, Inc. * 48,772 5,260,060
Q2 Holdings, Inc. * 23,530 2,667,596
QAD, Inc., Class A 5,213 298,861
Qualys, Inc. * 15,812 1,502,298
Rackspace Technology, Inc. *(a) 15,632 280,751
Rapid7, Inc. * 24,023 1,800,284
RealPage, Inc. * 41,921 2,892,130
Repay Holdings Corp. * 28,072 677,377
RingCentral, Inc., Class A * 36,636 10,882,724
Sabre Corp. 149,241 1,678,961
Sailpoint Technologies Holdings, Inc. * 42,798 1,992,675
salesforce.com, Inc. * 428,550 105,337,590
Science Applications International Corp. 27,203 2,517,366
ServiceNow, Inc. * 90,229 48,231,912
Shift4 Payments, Inc., Class A * 10,914 672,630
Slack Technologies, Inc., Class A * 204,522 8,769,903
Smartsheet, Inc., Class A * 52,955 3,072,979
Snowflake, Inc., Class A * 13,133 4,279,257
SolarWinds Corp. * 34,443 788,056
Splunk, Inc. * 74,485 15,208,347
Sprout Social, Inc., Class A * 12,901 662,853
SPS Commerce, Inc. * 16,904 1,742,295
Square, Inc., Class A * 174,796 36,874,964
SS&C Technologies Holdings, Inc. 104,857 7,223,599
SVMK, Inc. * 55,366 1,178,188
Switch, Inc., Class A 36,930 583,125
Sykes Enterprises, Inc. * 19,040 716,475
Synopsys, Inc. * 71,193 16,196,407
TeleNav, Inc. * 17,773 84,422
Tenable Holdings, Inc. * 30,929 1,113,753
Teradata Corp. * 50,899 1,116,215
The Trade Desk, Inc., Class A * 19,621 17,679,894
The Western Union Co. 193,191 4,358,389
TTEC Holdings, Inc. 8,770 593,378
Tucows, Inc., Class A * 4,397 318,783
Twilio, Inc., Class A * 64,720 20,716,225
Tyler Technologies, Inc. * 18,842 8,056,839
Unisys Corp. * 26,037 379,619
Upland Software, Inc. * 11,646 532,805
Varonis Systems, Inc. * 14,818 1,787,644
Verint Systems, Inc. * 31,178 1,775,899
VeriSign, Inc. * 47,425 9,519,146
Verra Mobility Corp. * 62,489 762,366
VirnetX Holding Corp. 28,532 154,643
Virtusa Corp. * 13,317 666,915
Visa, Inc., Class A 794,032 167,024,631
VMware, Inc., Class A * 37,822 5,290,920
WEX, Inc. * 20,554 3,560,775
Workday, Inc., Class A * 81,679 18,360,622
Workiva, Inc. * 18,904 1,417,611
Xperi Holding Corp. 49,127 937,343
Yext, Inc. * 44,445 844,899
Zendesk, Inc. * 54,333 7,253,456
Zoom Video Communications, Inc., Class A * 85,632 40,962,924
Security Number
of Shares
Value ($)
Zscaler, Inc. * 33,942 5,286,467
Zuora, Inc., Class A * 46,929 534,521
    2,536,373,939
 
Technology Hardware & Equipment 7.1%
3D Systems Corp. * 62,645 573,202
Acacia Communications, Inc. * 18,104 1,261,487
ADTRAN, Inc. 25,291 319,552
Amphenol Corp., Class A 140,882 18,428,774
Apple Inc. 7,568,841 901,070,521
Applied Optoelectronics, Inc. * 8,538 70,951
Arista Networks, Inc. * 25,762 6,973,773
Arlo Technologies, Inc. * 30,802 162,019
Arrow Electronics, Inc. * 36,620 3,356,223
Avid Technology, Inc. * 15,820 192,213
Avnet, Inc. 48,077 1,459,137
Badger Meter, Inc. 13,525 1,115,001
Belden, Inc. 21,561 829,667
Benchmark Electronics, Inc. 17,064 414,996
CalAmp Corp. * 18,653 170,115
Calix, Inc. * 25,346 600,193
Casa Systems, Inc. * 13,848 73,533
CDW Corp. 67,373 8,791,503
Ciena Corp. * 71,231 3,191,149
Cisco Systems, Inc. 1,993,446 85,758,047
Cognex Corp. 81,327 6,110,911
Coherent, Inc. * 11,123 1,354,559
CommScope Holding Co., Inc. * 92,690 1,098,376
Comtech Telecommunications Corp. 12,495 238,155
Corning, Inc. 356,915 13,355,759
CTS Corp. 15,598 475,115
Daktronics, Inc. 22,611 101,976
Dell Technologies, Inc., Class C * 110,716 7,642,725
Diebold Nixdorf, Inc. * 37,393 354,112
Dolby Laboratories, Inc., Class A 29,893 2,644,036
EchoStar Corp., Class A * 24,535 583,197
ePlus, Inc. * 6,569 553,832
Extreme Networks, Inc. * 58,844 330,703
F5 Networks, Inc. * 28,959 4,714,815
Fabrinet * 17,292 1,181,216
FARO Technologies, Inc. * 8,878 587,013
Fitbit, Inc., Class A * 113,758 816,782
FLIR Systems, Inc. 61,253 2,342,315
Harmonic, Inc. * 53,428 348,885
Hewlett Packard Enterprise Co. 600,140 6,625,546
HP, Inc. 644,679 14,137,810
II-VI, Inc. * 48,893 3,307,611
Infinera Corp. * 88,077 745,131
Inseego Corp. *(a) 30,172 299,608
Insight Enterprises, Inc. * 15,872 1,134,531
InterDigital, Inc. 14,127 846,349
IPG Photonics Corp. * 16,671 3,451,064
Itron, Inc. * 19,115 1,502,630
Jabil, Inc. 62,873 2,403,006
Juniper Networks, Inc. 155,997 3,396,055
Keysight Technologies, Inc. * 87,764 10,535,191
Kimball Electronics, Inc. * 11,070 170,589
Knowles Corp. * 39,884 677,230
Littelfuse, Inc. 11,392 2,740,118
Lumentum Holdings, Inc. * 35,663 3,080,570
Methode Electronics, Inc. 16,987 594,885
Motorola Solutions, Inc. 79,545 13,644,354
MTS Systems Corp. 8,449 295,968
Napco Security Technologies, Inc. * 5,649 172,294
National Instruments Corp. 61,328 2,295,507
NCR Corp. * 61,018 1,688,368
NetApp, Inc. 104,764 5,584,969
NETGEAR, Inc. * 14,771 469,865
 
18

 

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

Security Number
of Shares
Value ($)
NetScout Systems, Inc. * 35,129 822,721
nLight, Inc. * 15,825 475,066
Novanta, Inc. * 16,861 2,022,983
OSI Systems, Inc. * 8,116 715,020
PAR Technology Corp. * 7,812 421,692
PC Connection, Inc. 5,453 248,929
Plantronics, Inc. 16,155 441,355
Plexus Corp. * 14,007 1,046,463
Pure Storage, Inc., Class A * 112,191 2,049,730
Ribbon Communications, Inc. * 64,655 443,533
Rogers Corp. * 9,064 1,331,592
Sanmina Corp. * 31,633 1,006,404
ScanSource, Inc. * 11,689 293,394
Seagate Technology plc 105,597 6,210,160
Super Micro Computer, Inc. * 21,100 595,231
SYNNEX Corp. 19,133 3,067,211
TE Connectivity Ltd. 155,654 17,739,886
Trimble, Inc. * 117,994 7,064,301
TTM Technologies, Inc. * 46,444 606,559
Ubiquiti, Inc. 3,531 876,076
ViaSat, Inc. * 29,817 1,013,778
Viavi Solutions, Inc. * 110,957 1,502,913
Vishay Intertechnology, Inc. 62,238 1,204,928
Vontier Corp. * 63,139 2,094,321
Western Digital Corp. 142,276 6,385,347
Xerox Holdings Corp. 84,594 1,851,763
Zebra Technologies Corp., Class A * 24,924 9,431,740
    1,230,408,883
 
Telecommunication Services 1.6%
Anterix, Inc. * 5,316 159,108
AT&T, Inc. 3,355,398 96,467,693
ATN International, Inc. 5,238 256,348
Bandwidth, Inc., Class A * 9,744 1,478,944
Boingo Wireless, Inc. * 20,844 294,943
CenturyLink, Inc. 467,059 4,880,767
Cincinnati Bell, Inc. * 24,890 378,577
Cogent Communications Holdings, Inc. 19,281 1,120,997
Consolidated Communications Holdings, Inc. * 34,655 194,068
GCI Liberty, Inc., Class A * 47,593 4,336,674
Globalstar, Inc. * 284,810 91,794
Gogo, Inc. *(a) 19,968 210,463
Iridium Communications, Inc. * 54,692 1,755,066
Liberty Global plc, Class A * 67,650 1,523,478
Liberty Global plc, Class C * 175,377 3,795,158
Liberty Latin America Ltd., Class A * 23,080 261,958
Liberty Latin America Ltd., Class C * 71,514 808,823
ORBCOMM, Inc. * 39,590 226,455
Shenandoah Telecommunications Co. 22,775 1,012,121
Spok Holdings, Inc. 8,382 82,395
T-Mobile US, Inc. * 273,731 36,389,799
Telephone and Data Systems, Inc. 47,875 908,668
United States Cellular Corp. * 7,489 234,780
Verizon Communications, Inc. 1,948,754 117,724,229
Vonage Holdings Corp. * 111,271 1,430,945
    276,024,251
 
Transportation 2.1%
Air Transport Services Group, Inc. * 29,128 895,395
Alaska Air Group, Inc. 57,009 2,905,749
Allegiant Travel Co. 5,751 978,763
AMERCO 4,283 1,774,147
American Airlines Group, Inc. 257,237 3,634,759
ArcBest Corp. 12,582 527,312
Atlas Air Worldwide Holdings, Inc. * 12,135 677,254
Avis Budget Group, Inc. * 25,204 886,425
Security Number
of Shares
Value ($)
C.H. Robinson Worldwide, Inc. 63,532 5,970,102
CSX Corp. 360,203 32,436,280
Daseke, Inc. * 28,475 192,206
Delta Air Lines, Inc. 300,545 12,096,936
Echo Global Logistics, Inc. * 13,894 394,451
Expeditors International of Washington, Inc. 78,965 7,057,102
FedEx Corp. 113,382 32,493,014
Forward Air Corp. 13,833 1,010,777
Hawaiian Holdings, Inc. 22,779 461,502
Heartland Express, Inc. 20,267 374,534
Hub Group, Inc., Class A * 16,156 882,441
J.B. Hunt Transport Services, Inc. 39,406 5,330,844
JetBlue Airways Corp. * 130,165 1,964,190
Kansas City Southern 44,211 8,230,762
Kirby Corp. * 28,783 1,456,420
Knight-Swift Transportation Holdings, Inc. 58,867 2,430,618
Landstar System, Inc. 17,735 2,330,734
Lyft, Inc., Class A * 114,680 4,377,336
Macquarie Infrastructure Corp. 34,049 1,101,485
Marten Transport Ltd. 25,754 454,043
Matson, Inc. 20,557 1,194,978
Norfolk Southern Corp. 120,065 28,457,806
Old Dominion Freight Line, Inc. 45,247 9,201,430
Ryder System, Inc. 25,546 1,512,834
Saia, Inc. * 12,312 2,148,936
Schneider National, Inc., Class B 15,120 316,008
SEACOR Holdings, Inc. * 10,504 348,943
SkyWest, Inc. 24,216 1,039,593
Southwest Airlines Co. 277,548 12,861,574
Spirit Airlines, Inc. * 42,510 962,001
Uber Technologies, Inc. * 651,833 32,370,027
Union Pacific Corp. 319,731 65,250,702
United Airlines Holdings, Inc. * 137,297 6,185,230
United Parcel Service, Inc., Class B 332,988 56,964,257
Universal Logistics Holdings, Inc. 5,158 110,949
Werner Enterprises, Inc. 27,564 1,102,284
XPO Logistics, Inc. * 43,153 4,603,562
    357,956,695
 
Utilities 2.7%
ALLETE, Inc. 24,658 1,386,766
Alliant Energy Corp. 117,649 6,188,337
Ameren Corp. 115,786 9,005,835
American Electric Power Co., Inc. 234,092 19,872,070
American States Water Co. 17,902 1,321,526
American Water Works Co., Inc. 85,508 13,115,217
Atmos Energy Corp. 57,888 5,550,880
Avangrid, Inc. 26,951 1,254,300
Avista Corp. 31,636 1,186,983
Black Hills Corp. 28,712 1,746,551
California Water Service Group 23,554 1,165,452
CenterPoint Energy, Inc. 257,650 5,974,903
Chesapeake Utilities Corp. 7,908 822,511
Clearway Energy, Inc., Class A 15,849 430,142
Clearway Energy, Inc., Class C 34,072 997,287
CMS Energy Corp. 135,235 8,322,362
Consolidated Edison, Inc. 157,059 11,975,749
Dominion Energy, Inc. 395,596 31,050,330
DTE Energy Co. 90,354 11,367,437
Duke Energy Corp. 346,769 32,131,616
Edison International 177,254 10,876,305
Entergy Corp. 93,687 10,197,830
Essential Utilities, Inc. 104,936 4,751,502
Evergy, Inc. 107,129 5,936,018
Eversource Energy 161,349 14,119,651
Exelon Corp. 457,543 18,791,291
 
19

 

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

Security Number
of Shares
Value ($)
FirstEnergy Corp. 253,515 6,733,358
Hawaiian Electric Industries, Inc. 52,055 1,865,131
IDACORP, Inc. 24,042 2,177,724
MDU Resources Group, Inc. 95,156 2,373,191
MGE Energy, Inc. 16,280 1,117,948
Middlesex Water Co. 8,665 593,466
National Fuel Gas Co. 41,796 1,720,741
New Jersey Resources Corp. 45,544 1,504,318
NextEra Energy, Inc. 922,664 67,898,844
NiSource, Inc. 180,818 4,375,796
Northwest Natural Holding Co. 15,077 722,490
NorthWestern Corp. 22,871 1,326,518
NRG Energy, Inc. 115,650 3,787,537
OGE Energy Corp. 92,441 2,994,164
ONE Gas, Inc. 25,589 2,026,137
Ormat Technologies, Inc. 20,878 1,645,395
Otter Tail Corp. 19,455 774,698
PG&E Corp. * 686,756 8,721,801
Pinnacle West Capital Corp. 52,759 4,318,324
PNM Resources, Inc. 37,535 1,843,344
Portland General Electric Co. 43,043 1,781,119
PPL Corp. 360,024 10,231,882
Public Service Enterprise Group, Inc. 237,387 13,834,914
Sempra Energy 135,841 17,317,011
SJW Group 12,620 827,872
South Jersey Industries, Inc. 44,610 1,026,922
Southwest Gas Holdings, Inc. 26,763 1,719,523
Spire, Inc. 24,479 1,565,677
Sunnova Energy International, Inc. * 21,771 881,943
The AES Corp. 313,286 6,403,566
The Southern Co. 498,260 29,820,861
UGI Corp. 96,713 3,431,377
Unitil Corp. 7,632 311,996
Vistra Corp. 230,119 4,298,623
WEC Energy Group, Inc. 148,935 14,141,378
Xcel Energy, Inc. 247,810 16,692,482
York Water Co. 5,465 246,144
    472,593,066
Total Common Stock
(Cost $11,454,779,884)   17,254,873,299

Rights 0.0% of net assets
 
Media & Entertainment 0.0%
Media General, Inc. CVR *(c) 42,134 3,586
Total Rights
(Cost $—)   3,586
Security Number
of Shares
Value ($)
Other Investment Companies 0.2% of net assets
 
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 0.02% (d) 12,117,028 12,117,028
 
Securities Lending Collateral 0.1%
Wells Fargo Government Money Market Fund, Select Class 0.02% (d) 24,423,688 24,423,688
Total Other Investment Companies
(Cost $36,540,716)   36,540,716
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
S&P 500 Index, e-mini, expires 12/18/20 200 36,232,000 861,446
* Non-income producing security.
(a) All or a portion of this security is on loan. Securities on loan were valued at $23,367,420.
(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, 2020:
 
Value at
8/31/20
Gross
Purchases
Gross
Sales
Realized
Gains(Losses)
Net change
in unrealized
appreciation
(depreciation)


Value at
11/30/20
Balance
of Shares
Held at
11/30/20
Dividends
Received
The Charles Schwab Corp. $19,521,781 $6,557,995 ($577,983) $124,152 $8,495,909 $34,121,854 699,505 $124,796
    

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, 2020:
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 $17,254,873,299 $— $— $17,254,873,299  
Rights1          
Media & Entertainment 3,586 3,586  
Other Investment Companies1 36,540,716 36,540,716  
Futures Contracts2 861,446 861,446  
Total $17,292,275,461 $— $3,586 $17,292,279,047  
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, 2020 (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 1.7%
Aptiv plc 10,253 1,217,031
Autoliv, Inc. 3,000 267,150
BorgWarner, Inc. 9,220 358,197
Ford Motor Co. 148,559 1,348,916
General Motors Co. 47,817 2,096,297
Gentex Corp. 9,295 303,017
Harley-Davidson, Inc. 5,874 236,663
Lear Corp. 2,048 292,762
Tesla, Inc. * 28,315 16,071,594
Thor Industries, Inc. 2,133 205,856
    22,397,483
 
Banks 3.7%
Bank of America Corp. 289,709 8,158,205
Bank of Hawaii Corp. 1,515 113,443
Bank OZK 4,543 127,022
BOK Financial Corp. 1,141 76,390
CIT Group, Inc. 3,854 129,070
Citigroup, Inc. 79,107 4,356,423
Citizens Financial Group, Inc. 16,222 529,811
Comerica, Inc. 5,338 262,630
Commerce Bancshares, Inc. 3,813 251,506
Community Bank System, Inc. 2,069 128,795
Cullen/Frost Bankers, Inc. 2,141 179,651
East West Bancorp, Inc. 5,388 230,175
Essent Group Ltd. 4,272 187,370
F.N.B. Corp. 12,501 110,384
Fifth Third Bancorp 27,071 685,979
First Citizens BancShares, Inc., Class A 270 142,719
First Financial Bankshares, Inc. 5,389 180,100
First Hawaiian, Inc. 4,844 106,181
First Horizon Corp. 20,869 255,019
First Republic Bank 6,544 847,841
Glacier Bancorp, Inc. 3,571 145,590
Hancock Whitney Corp. 3,270 91,854
Huntington Bancshares, Inc. 38,712 467,641
JPMorgan Chase & Co. 115,750 13,644,610
KeyCorp 37,003 572,066
M&T Bank Corp. 4,874 567,772
MGIC Investment Corp. 12,789 152,956
New York Community Bancorp, Inc. 17,734 171,843
PacWest Bancorp 4,543 105,670
People’s United Financial, Inc. 16,286 201,946
Pinnacle Financial Partners, Inc. 2,830 153,273
Popular, Inc. 3,175 154,083
Prosperity Bancshares, Inc. 3,480 218,648
Radian Group, Inc. 7,326 138,315
Regions Financial Corp. 36,606 558,974
Signature Bank 2,029 227,634
Sterling Bancorp 7,466 119,307
SVB Financial Group * 1,968 678,685
Synovus Financial Corp. 5,527 174,487
Security Number
of Shares
Value ($)
TCF Financial Corp. 5,842 196,291
TFS Financial Corp. 1,887 32,456
The PNC Financial Services Group, Inc. 16,122 2,225,965
Truist Financial Corp. 51,165 2,375,079
U.S. Bancorp 52,037 2,248,519
Umpqua Holdings Corp. 8,347 115,940
United Bankshares, Inc. 4,970 145,522
Valley National Bancorp 14,960 136,734
Webster Financial Corp. 3,394 128,429
Wells Fargo & Co. 156,320 4,275,352
Western Alliance Bancorp 3,822 195,954
Wintrust Financial Corp. 2,184 119,006
Zions Bancorp NA 6,252 241,265
    48,040,580
 
Capital Goods 6.0%
3M Co. 21,864 3,776,569
A.O. Smith Corp. 5,165 290,841
Acuity Brands, Inc. 1,510 179,267
AECOM * 6,114 317,255
Aerojet Rocketdyne Holdings, Inc. * 2,825 105,740
AGCO Corp. 2,343 216,751
Air Lease Corp. 4,122 150,742
Allegion plc 3,504 399,596
Allison Transmission Holdings, Inc. 4,260 174,873
AMETEK, Inc. 8,733 1,035,123
Armstrong World Industries, Inc. 1,788 137,783
Axon Enterprise, Inc. * 2,434 305,929
BWX Technologies, Inc. 3,635 206,759
Carlisle Cos., Inc. 2,082 301,536
Carrier Global Corp. 30,983 1,179,523
Caterpillar, Inc. 20,550 3,567,275
Colfax Corp. * 3,819 137,790
Crane Co. 1,849 128,561
Cummins, Inc. 5,611 1,297,095
Curtiss-Wright Corp. 1,549 178,538
Deere & Co. 11,890 3,110,662
Donaldson Co., Inc. 4,775 254,221
Dover Corp. 5,445 664,453
Eaton Corp. plc 15,165 1,836,633
EMCOR Group, Inc. 2,106 181,495
Emerson Electric Co. 22,710 1,744,582
Fastenal Co. 21,819 1,078,950
Flowserve Corp. 4,873 166,072
Fortive Corp. 12,822 899,207
Fortune Brands Home & Security, Inc. 5,256 438,876
Gates Industrial Corp. plc * 1,784 22,978
Generac Holdings, Inc. * 2,375 512,050
General Dynamics Corp. 8,804 1,314,877
General Electric Co. 332,429 3,384,127
Graco, Inc. 6,368 431,368
HD Supply Holdings, Inc. * 6,148 342,935
HEICO Corp. 1,620 200,200
HEICO Corp., Class A 2,788 308,771
Hexcel Corp. 3,183 157,622
Honeywell International, Inc. 26,664 5,437,323
 
22

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Howmet Aerospace, Inc. 14,817 347,607
Hubbell, Inc. 2,055 332,067
Huntington Ingalls Industries, Inc. 1,548 247,974
IDEX Corp. 2,856 551,636
Illinois Tool Works, Inc. 10,940 2,309,325
Ingersoll Rand, Inc. * 14,120 625,092
ITT, Inc. 3,297 239,461
Jacobs Engineering Group, Inc. 4,926 531,220
Johnson Controls International plc 28,283 1,302,149
L3Harris Technologies, Inc. 8,215 1,577,198
Lennox International, Inc. 1,311 377,345
Lincoln Electric Holdings, Inc. 2,267 260,705
Lockheed Martin Corp. 9,337 3,408,005
Masco Corp. 9,942 533,587
MasTec, Inc. * 2,093 118,694
Mercury Systems, Inc. * 2,162 153,978
Nordson Corp. 2,041 415,976
Northrop Grumman Corp. 5,892 1,780,916
nVent Electric plc 6,421 147,683
Oshkosh Corp. 2,556 205,758
Otis Worldwide Corp. 15,506 1,037,972
Owens Corning 4,076 297,018
PACCAR, Inc. 13,124 1,142,575
Parker-Hannifin Corp. 4,884 1,305,298
Parsons Corp. * 822 26,879
Pentair plc 6,323 327,658
Quanta Services, Inc. 5,263 359,673
Raytheon Technologies Corp. 58,059 4,163,992
RBC Bearings, Inc. * 960 162,086
Rexnord Corp. 4,596 172,396
Rockwell Automation, Inc. 4,416 1,128,553
Roper Technologies, Inc. 3,974 1,696,898
Sensata Technologies Holding plc * 5,986 292,296
SiteOne Landscape Supply, Inc. * 1,677 231,594
Snap-on, Inc. 2,062 362,603
Spirit AeroSystems Holdings, Inc., Class A 3,917 133,178
Stanley Black & Decker, Inc. 6,066 1,118,025
Teledyne Technologies, Inc. * 1,402 529,872
Textron, Inc. 8,594 387,589
The Boeing Co. 20,143 4,244,332
The Middleby Corp. * 2,114 287,483
The Timken Co. 2,532 185,950
The Toro Co. 4,093 371,276
Trane Technologies plc 9,087 1,328,883
TransDigm Group, Inc. 2,055 1,190,235
Trex Co., Inc. * 4,375 327,338
United Rentals, Inc. * 2,739 621,698
Univar Solutions, Inc. * 6,380 114,202
W.W. Grainger, Inc. 1,709 714,875
Watsco, Inc. 1,248 283,745
Westinghouse Air Brake Technologies Corp. 6,798 498,293
Woodward, Inc. 2,194 245,355
Xylem, Inc. 6,848 657,203
    77,988,347
 
Commercial & Professional Services 1.0%
ADT, Inc. 5,717 44,421
ASGN, Inc. * 2,009 157,064
Cintas Corp. 3,293 1,170,003
Clean Harbors, Inc. * 1,969 142,497
Copart, Inc. * 7,814 902,126
CoStar Group, Inc. * 1,496 1,362,213
Equifax, Inc. 4,600 767,740
FTI Consulting, Inc. * 1,371 143,982
IAA, Inc. * 5,096 305,352
IHS Markit Ltd. 14,179 1,410,243
ManpowerGroup, Inc. 2,226 192,883
MSA Safety, Inc. 1,347 201,296
Security Number
of Shares
Value ($)
Nielsen Holdings plc 13,547 219,055
Republic Services, Inc. 8,000 773,760
Robert Half International, Inc. 4,374 280,723
Rollins, Inc. 5,580 319,064
Stericycle, Inc. * 3,472 244,568
Tetra Tech, Inc. 2,050 244,463
The Brink’s Co. 1,922 128,966
TransUnion 7,242 659,674
TriNet Group, Inc. * 1,502 112,650
Verisk Analytics, Inc. 6,162 1,221,986
Waste Management, Inc. 14,770 1,759,550
    12,764,279
 
Consumer Durables & Apparel 1.3%
Brunswick Corp. 3,002 224,069
Capri Holdings Ltd. * 5,676 200,817
Carter’s, Inc. 1,661 147,812
Columbia Sportswear Co. 1,121 91,844
D.R. Horton, Inc. 12,508 931,846
Deckers Outdoor Corp. * 1,064 270,884
Garmin Ltd. 5,640 658,526
Hanesbrands, Inc. 13,353 189,613
Hasbro, Inc. 4,850 451,196
Helen of Troy Ltd. * 949 191,689
Leggett & Platt, Inc. 5,112 220,327
Lennar Corp., Class A 10,439 791,903
Lululemon Athletica, Inc. * 4,498 1,665,250
Mattel, Inc. * 13,396 207,504
Mohawk Industries, Inc. * 2,287 287,773
Newell Brands, Inc. 14,274 303,465
NIKE, Inc., Class B 47,269 6,367,134
NVR, Inc. * 132 527,628
Polaris, Inc. 2,199 211,104
PulteGroup, Inc. 10,217 445,768
PVH Corp. 2,669 212,159
Ralph Lauren Corp. 1,796 154,007
Skechers U.S.A., Inc., Class A * 5,211 174,412
Tapestry, Inc. 10,515 297,785
Tempur Sealy International, Inc. * 7,200 181,368
Toll Brothers, Inc. 4,395 208,103
Under Armour, Inc., Class A * 7,092 117,514
Under Armour, Inc., Class C * 7,340 106,797
VF Corp. 12,136 1,012,142
Whirlpool Corp. 2,371 461,420
    17,311,859
 
Consumer Services 1.9%
Aramark 9,683 338,905
Bright Horizons Family Solutions, Inc. * 2,292 389,892
Caesars Entertainment, Inc. * 7,524 512,535
Carnival Corp. 19,713 393,866
Chegg, Inc. * 4,705 366,661
Chipotle Mexican Grill, Inc. * 1,062 1,369,375
Choice Hotels International, Inc. 1,072 106,825
Churchill Downs, Inc. 1,341 241,273
Cracker Barrel Old Country Store, Inc. 883 123,249
Darden Restaurants, Inc. 4,969 536,553
Domino’s Pizza, Inc. 1,497 587,677
Dunkin’ Brands Group, Inc. 3,098 329,441
frontdoor, Inc. * 3,164 149,784
Grand Canyon Education, Inc. * 1,812 151,248
H&R Block, Inc. 7,428 139,646
Hilton Worldwide Holdings, Inc. 10,547 1,092,986
Las Vegas Sands Corp. 12,513 697,099
Marriott International, Inc., Class A 10,092 1,280,372
Marriott Vacations Worldwide Corp. 1,553 197,743
McDonald’s Corp. 28,279 6,148,986
 
23

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
MGM Resorts International 15,602 440,756
Norwegian Cruise Line Holdings Ltd. * 11,985 274,097
Planet Fitness, Inc., Class A * 3,007 219,361
Royal Caribbean Cruises Ltd. 6,772 533,701
Service Corp. International 6,683 325,061
Starbucks Corp. 44,370 4,349,147
Terminix Global Holdings, Inc. * 5,075 248,827
Texas Roadhouse, Inc. 2,451 185,786
The Wendy’s Co. 6,684 146,981
Vail Resorts, Inc. 1,516 418,173
Wyndham Destinations, Inc. 3,237 136,148
Wyndham Hotels & Resorts, Inc. 3,483 200,273
Wynn Resorts Ltd. 3,720 373,860
Yum! Brands, Inc. 11,444 1,210,775
    24,217,062
 
Diversified Financials 4.7%
Affiliated Managers Group, Inc. 1,779 154,986
AGNC Investment Corp. 21,198 323,905
Ally Financial, Inc. 14,255 422,661
American Express Co. 24,770 2,937,474
Ameriprise Financial, Inc. 4,570 846,547
Annaly Capital Management, Inc. 53,679 429,432
Berkshire Hathaway, Inc., Class B * 75,279 17,232,116
BlackRock, Inc. 5,385 3,760,615
Blackstone Mortgage Trust, Inc., Class A 5,511 143,176
Capital One Financial Corp. 17,325 1,483,713
Cboe Global Markets, Inc. 4,165 380,348
Chimera Investment Corp. 8,922 91,540
CME Group, Inc. 13,624 2,384,609
Credit Acceptance Corp. * 455 135,808
Discover Financial Services 11,659 888,066
Eaton Vance Corp. 4,401 294,779
Equitable Holdings, Inc. 15,276 387,705
FactSet Research Systems, Inc. 1,450 483,952
Franklin Resources, Inc. 10,195 224,188
Interactive Brokers Group, Inc., Class A 3,030 159,863
Intercontinental Exchange, Inc. 21,315 2,248,946
Invesco Ltd. 14,207 230,580
Janus Henderson Group plc 5,606 159,939
Jefferies Financial Group, Inc. 8,198 186,340
Lazard Ltd., Class A 4,202 156,819
LendingTree, Inc. * 411 105,043
LPL Financial Holdings, Inc. 3,004 272,673
MarketAxess Holdings, Inc. 1,436 774,262
Moody’s Corp. 6,122 1,728,485
Morgan Stanley 54,225 3,352,732
Morningstar, Inc. 813 162,681
MSCI, Inc. 3,171 1,298,271
Nasdaq, Inc. 4,371 559,444
New Residential Investment Corp. 15,660 145,012
Northern Trust Corp. 7,903 735,927
OneMain Holdings, Inc. 2,922 113,929
Raymond James Financial, Inc. 4,606 418,916
S&P Global, Inc. 9,155 3,220,546
Santander Consumer USA Holdings, Inc. 2,696 59,582
SEI Investments Co. 4,626 244,021
Starwood Property Trust, Inc. 10,687 191,725
State Street Corp. 13,411 945,207
Stifel Financial Corp. 2,575 178,447
Synchrony Financial 20,606 627,865
T. Rowe Price Group, Inc. 8,609 1,234,617
The Bank of New York Mellon Corp. 30,950 1,210,764
The Blackstone Group, Inc., Class A 25,520 1,519,716
The Charles Schwab Corp. (a) 56,142 2,738,607
The Goldman Sachs Group, Inc. 13,064 3,012,297
Security Number
of Shares
Value ($)
Two Harbors Investment Corp. 10,249 63,954
Voya Financial, Inc. 4,798 276,509
    61,339,339
 
Energy 2.1%
Apache Corp. 14,262 183,837
Baker Hughes Co. 24,773 463,751
Cabot Oil & Gas Corp. 15,258 267,320
Cheniere Energy, Inc. * 8,759 496,548
Chevron Corp. 73,061 6,369,458
Cimarex Energy Co. 3,862 138,839
Concho Resources, Inc. 7,522 432,365
ConocoPhillips 40,639 1,607,679
Continental Resources, Inc. 2,353 36,189
CVR Energy, Inc. 1,116 15,780
Devon Energy Corp. 14,693 205,555
Diamondback Energy, Inc. 6,020 240,559
EOG Resources, Inc. 22,177 1,039,658
Exxon Mobil Corp. 160,464 6,118,492
Halliburton Co. 33,395 554,023
Helmerich & Payne, Inc. 4,031 91,786
Hess Corp. 10,396 490,483
HollyFrontier Corp. 5,596 130,891
Kinder Morgan, Inc. 73,661 1,059,245
Marathon Oil Corp. 30,458 180,311
Marathon Petroleum Corp. 24,784 963,602
Murphy Oil Corp. 5,502 55,350
National Oilwell Varco, Inc. 14,757 180,921
Occidental Petroleum Corp. 31,834 501,704
ONEOK, Inc. 16,828 603,620
Parsley Energy, Inc., Class A 11,187 140,173
PBF Energy, Inc., Class A 3,867 28,074
Phillips 66 16,598 1,005,507
Pioneer Natural Resources Co. 6,215 625,105
Schlumberger N.V. 52,820 1,098,128
Targa Resources Corp. 8,848 207,928
TechnipFMC plc 16,182 134,472
The Williams Cos., Inc. 45,950 964,031
Transocean Ltd. * 22,016 40,730
Valero Energy Corp. 15,528 834,941
WPX Energy, Inc. * 15,687 111,691
    27,618,746
 
Food & Staples Retailing 1.4%
Casey’s General Stores, Inc. 1,404 255,079
Costco Wholesale Corp. 16,771 6,570,374
Performance Food Group Co. * 5,100 221,238
Sysco Corp. 19,338 1,378,606
The Kroger Co. 29,451 971,883
US Foods Holding Corp. * 8,356 263,047
Walgreens Boots Alliance, Inc. 27,373 1,040,448
Walmart, Inc. 52,742 8,058,450
    18,759,125
 
Food, Beverage & Tobacco 3.1%
Altria Group, Inc. 70,578 2,811,122
Archer-Daniels-Midland Co. 21,059 1,048,106
Beyond Meat, Inc. * 1,871 261,753
Brown-Forman Corp., Class B 6,920 558,167
Bunge Ltd. 5,300 312,117
Campbell Soup Co. 7,674 383,854
Conagra Brands, Inc. 18,494 676,141
Constellation Brands, Inc., Class A 6,390 1,315,318
Darling Ingredients, Inc. * 6,148 296,825
Flowers Foods, Inc. 7,422 164,694
General Mills, Inc. 23,232 1,412,970
 
24

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Hormel Foods Corp. 10,606 500,391
Ingredion, Inc. 2,499 192,798
Kellogg Co. 9,658 617,243
Keurig Dr Pepper, Inc. 21,903 666,946
Lamb Weston Holdings, Inc. 5,493 397,583
Lancaster Colony Corp. 743 125,812
McCormick & Co., Inc. Non-Voting Shares 4,718 882,172
Molson Coors Beverage Co., Class B 7,069 325,174
Mondelez International, Inc., Class A 54,247 3,116,490
Monster Beverage Corp. * 14,037 1,190,057
PepsiCo, Inc. 52,602 7,586,786
Philip Morris International, Inc. 59,174 4,482,431
Pilgrim’s Pride Corp. * 1,935 36,552
Post Holdings, Inc. * 2,364 223,303
Sanderson Farms, Inc. 747 102,137
Seaboard Corp. 10 32,027
The Coca-Cola Co. 146,888 7,579,421
The Hershey Co. 5,575 824,487
The J.M. Smucker Co. 4,326 507,007
The Kraft Heinz Co. 24,658 812,235
Tyson Foods, Inc., Class A 11,204 730,501
    40,172,620
 
Health Care Equipment & Services 6.3%
Abbott Laboratories 67,254 7,278,228
ABIOMED, Inc. * 1,710 468,711
Align Technology, Inc. * 2,725 1,311,515
Amedisys, Inc. * 1,226 300,113
AmerisourceBergen Corp. 5,560 573,292
Anthem, Inc. 9,546 2,973,770
Baxter International, Inc. 19,236 1,463,283
Becton Dickinson & Co. 11,003 2,583,945
Boston Scientific Corp. * 54,312 1,800,443
Cardinal Health, Inc. 11,053 603,383
Centene Corp. * 22,038 1,358,643
Cerner Corp. 11,618 869,491
Chemed Corp. 604 288,863
Cigna Corp. 13,941 2,915,621
CVS Health Corp. 49,687 3,368,282
Danaher Corp. 23,987 5,388,200
DaVita, Inc. * 2,869 315,160
DENTSPLY SIRONA, Inc. 8,303 422,540
DexCom, Inc. * 3,647 1,165,873
Edwards Lifesciences Corp. * 23,612 1,980,811
Encompass Health Corp. 3,767 303,545
Globus Medical, Inc., Class A * 2,907 174,653
Guardant Health, Inc. * 3,192 386,615
Haemonetics Corp. * 1,898 214,189
HCA Healthcare, Inc. 10,003 1,501,550
HealthEquity, Inc. * 2,909 208,546
Henry Schein, Inc. * 5,438 349,718
Hill-Rom Holdings, Inc. 2,502 237,340
Hologic, Inc. * 9,871 682,382
Humana, Inc. 5,024 2,012,212
ICU Medical, Inc. * 738 139,261
IDEXX Laboratories, Inc. * 3,227 1,487,582
Insulet Corp. * 2,480 639,121
Integra LifeSciences Holdings Corp. * 2,628 143,830
Intuitive Surgical, Inc. * 4,448 3,229,470
Laboratory Corp. of America Holdings * 3,698 739,008
LHC Group, Inc. * 1,195 234,602
Masimo Corp. * 1,914 487,094
McKesson Corp. 6,153 1,106,986
Medtronic plc 51,045 5,803,816
Molina Healthcare, Inc. * 2,264 462,150
NuVasive, Inc. * 1,904 88,193
Penumbra, Inc. * 1,267 281,147
Quest Diagnostics, Inc. 5,091 631,182
Security Number
of Shares
Value ($)
ResMed, Inc. 5,508 1,154,477
STERIS plc 3,217 623,487
Stryker Corp. 12,407 2,895,794
Tandem Diabetes Care, Inc. * 2,310 216,863
Teladoc Health, Inc. * 4,539 902,217
Teleflex, Inc. 1,770 677,467
Tenet Healthcare Corp. * 3,907 122,797
The Cooper Cos., Inc. 1,858 622,839
UnitedHealth Group, Inc. 36,098 12,141,201
Universal Health Services, Inc., Class B 2,931 382,730
Varian Medical Systems, Inc. * 3,458 601,623
Veeva Systems, Inc., Class A * 5,131 1,420,620
West Pharmaceutical Services, Inc. 2,790 767,696
Zimmer Biomet Holdings, Inc. 7,853 1,171,039
    82,675,209
 
Household & Personal Products 1.7%
Church & Dwight Co., Inc. 9,387 823,897
Colgate-Palmolive Co. 32,537 2,786,469
Coty, Inc., Class A 11,370 81,750
Herbalife Nutrition Ltd. * 3,719 178,177
Kimberly-Clark Corp. 12,920 1,799,885
The Clorox Co. 4,786 971,367
The Estee Lauder Cos., Inc., Class A 8,557 2,099,203
The Procter & Gamble Co. 94,547 13,129,742
    21,870,490
 
Insurance 2.0%
Aflac, Inc. 25,294 1,111,165
Alleghany Corp. 542 311,758
American Financial Group, Inc. 2,694 240,871
American International Group, Inc. 32,742 1,258,602
Aon plc, Class A 8,803 1,803,647
Arch Capital Group Ltd. * 15,381 495,191
Arthur J. Gallagher & Co. 7,261 837,992
Assurant, Inc. 2,256 291,295
Assured Guaranty Ltd. 3,211 96,747
Athene Holding Ltd., Class A * 4,777 211,860
Axis Capital Holdings Ltd. 3,036 152,134
Brighthouse Financial, Inc. * 3,526 123,763
Brown & Brown, Inc. 8,931 402,163
Chubb Ltd. 17,120 2,530,850
Cincinnati Financial Corp. 5,657 431,912
CNA Financial Corp. 986 34,027
Erie Indemnity Co., Class A 955 215,458
Everest Re Group Ltd. 1,520 345,542
Fidelity National Financial, Inc. 11,009 396,214
First American Financial Corp. 4,170 201,995
Globe Life, Inc. 3,727 346,984
Kemper Corp. 2,289 171,561
Lincoln National Corp. 6,888 325,251
Loews Corp. 9,047 379,160
Markel Corp. * 521 507,365
Marsh & McLennan Cos., Inc. 19,232 2,204,756
MetLife, Inc. 29,401 1,357,444
Old Republic International Corp. 10,905 195,418
Primerica, Inc. 1,504 195,926
Principal Financial Group, Inc. 9,722 484,058
Prudential Financial, Inc. 15,005 1,134,678
Reinsurance Group of America, Inc. 2,580 297,422
RenaissanceRe Holdings Ltd. 1,951 321,213
RLI Corp. 1,507 144,265
Selective Insurance Group, Inc. 2,277 140,764
The Allstate Corp. 11,881 1,216,020
The Hanover Insurance Group, Inc. 1,456 163,582
The Hartford Financial Services Group, Inc. 13,652 603,418
The Progressive Corp. 22,223 1,935,845
 
25

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
The Travelers Cos., Inc. 9,625 1,247,881
Unum Group 7,711 171,416
W.R. Berkley Corp. 5,303 345,384
Willis Towers Watson plc 4,888 1,017,633
    26,400,630
 
Materials 2.7%
Air Products and Chemicals, Inc. 8,385 2,348,974
Albemarle Corp. 4,050 550,678
Alcoa Corp. * 6,969 138,683
Amcor plc 59,792 677,443
AptarGroup, Inc. 2,460 310,747
Arconic Corp. * 3,699 101,759
Ashland Global Holdings, Inc. 2,033 152,821
Avery Dennison Corp. 3,150 470,421
Axalta Coating Systems Ltd. * 8,072 230,940
Ball Corp. 12,374 1,188,028
Berry Global Group, Inc. * 5,083 269,399
Celanese Corp. 4,463 577,200
CF Industries Holdings, Inc. 8,099 302,093
Corteva, Inc. 28,445 1,090,012
Crown Holdings, Inc. * 5,088 479,544
Dow, Inc. 28,167 1,493,133
DuPont de Nemours, Inc. 27,891 1,769,405
Eagle Materials, Inc. 1,568 142,672
Eastman Chemical Co. 5,158 502,389
Ecolab, Inc. 9,434 2,095,763
FMC Corp. 4,920 570,769
Freeport-McMoRan, Inc. 55,268 1,292,719
Graphic Packaging Holding Co. 10,665 163,388
Huntsman Corp. 7,409 183,521
International Flavors & Fragrances, Inc. (b) 4,064 455,574
International Paper Co. 14,925 738,489
Linde plc 19,946 5,114,553
LyondellBasell Industries N.V., Class A 9,755 830,150
Martin Marietta Materials, Inc. 2,354 625,293
NewMarket Corp. 276 102,054
Newmont Corp. 30,548 1,796,833
Nucor Corp. 11,488 616,906
Packaging Corp. of America 3,598 467,740
PPG Industries, Inc. 8,971 1,316,674
Reliance Steel & Aluminum Co. 2,414 284,369
Royal Gold, Inc. 2,499 276,065
RPM International, Inc. 4,951 435,738
Sealed Air Corp. 5,883 265,088
Sonoco Products Co. 3,817 221,615
Steel Dynamics, Inc. 7,584 274,617
The Mosaic Co. 13,220 290,311
The Scotts Miracle-Gro Co. 1,548 272,092
The Sherwin-Williams Co. 3,108 2,323,634
Valvoline, Inc. 6,941 158,185
Vulcan Materials Co. 5,023 701,462
W.R. Grace & Co. 2,361 129,194
Westlake Chemical Corp. 1,325 99,574
Westrock Co. 9,833 415,051
    35,313,762
 
Media & Entertainment 8.8%
Activision Blizzard, Inc. 29,302 2,328,923
Alphabet, Inc., Class A * 11,409 20,015,950
Alphabet, Inc., Class C * 11,150 19,632,251
Altice USA, Inc., Class A * 12,560 426,035
Cable One, Inc. 205 406,037
Charter Communications, Inc., Class A * 5,676 3,700,695
Cinemark Holdings, Inc. 4,001 61,815
Comcast Corp., Class A 173,161 8,699,609
Discovery, Inc., Class A * 6,031 162,294
Security Number
of Shares
Value ($)
Discovery, Inc., Class C * 11,836 284,301
DISH Network Corp., Class A * 9,357 335,636
Electronic Arts, Inc. * 10,982 1,402,951
Facebook, Inc., Class A * 91,321 25,293,177
Fox Corp., Class A 13,133 378,756
Fox Corp., Class B 5,919 167,981
IAC/InterActiveCorp * 3,016 428,242
Liberty Broadband Corp., Class C * 5,820 915,777
Liberty Media Corp. - Liberty Formula One, Class C * 7,654 319,784
Liberty Media Corp. - Liberty SiriusXM, Class A * 3,150 128,961
Liberty Media Corp. - Liberty SiriusXM, Class C * 6,625 271,691
Live Nation Entertainment, Inc. * 5,433 356,676
Madison Square Garden Entertainment Corp. * 681 51,763
Madison Square Garden Sports Corp. * 653 110,618
Match Group, Inc. * 9,871 1,374,142
Netflix, Inc. * 16,753 8,220,697
News Corp., Class A 14,896 262,914
Nexstar Media Group, Inc., Class A 1,723 181,346
Omnicom Group, Inc. 8,152 513,576
Pinterest, Inc., Class A * 17,546 1,228,571
Roku, Inc. * 4,025 1,181,619
Sirius XM Holdings, Inc. 46,317 300,597
Snap, Inc., Class A * 33,998 1,510,191
Take-Two Interactive Software, Inc. * 4,353 785,760
TEGNA, Inc. 8,228 118,566
The Interpublic Group of Cos., Inc. 14,634 326,046
The New York Times Co., Class A 5,480 235,147
The Walt Disney Co. 68,644 10,159,998
TripAdvisor, Inc. * 3,649 95,239
Twitter, Inc. * 30,048 1,397,533
ViacomCBS, Inc., Class B 21,470 757,462
Zillow Group, Inc., Class C * 5,424 584,761
Zynga, Inc., Class A * 38,059 313,987
    115,428,075
 
Pharmaceuticals, Biotechnology & Life Sciences 7.1%
AbbVie, Inc. 67,041 7,011,148
ACADIA Pharmaceuticals, Inc. * 4,378 248,057
Agilent Technologies, Inc. 11,726 1,370,769
Alexion Pharmaceuticals, Inc. * 8,329 1,017,054
Allakos, Inc. * 1,175 125,760
Alnylam Pharmaceuticals, Inc. * 4,423 574,592
Amgen, Inc. 22,249 4,940,168
Arrowhead Pharmaceuticals, Inc. * 3,913 244,680
Avantor, Inc. * 19,520 532,506
Bio-Rad Laboratories, Inc., Class A * 815 438,878
Bio-Techne Corp. 1,470 445,866
Biogen, Inc. * 6,008 1,442,941
BioMarin Pharmaceutical, Inc. * 6,850 539,095
Bluebird Bio, Inc. * 2,524 111,283
Blueprint Medicines Corp. * 2,101 227,076
Bridgebio Pharma, Inc. * 2,926 147,002
Bristol-Myers Squibb Co. 85,601 5,341,502
Bruker Corp. 3,889 196,822
Catalent, Inc. * 6,247 600,587
Charles River Laboratories International, Inc. * 1,884 441,836
Elanco Animal Health, Inc. * 12,473 381,549
Eli Lilly and Co. 30,164 4,393,387
Exact Sciences Corp. * 5,675 687,016
Exelixis, Inc. * 11,666 223,521
FibroGen, Inc. * 3,133 129,424
Gilead Sciences, Inc. 47,586 2,887,043
 
26

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Global Blood Therapeutics, Inc. * 2,279 104,629
Horizon Therapeutics plc * 8,050 566,962
Illumina, Inc. * 5,535 1,782,768
Incyte Corp. * 7,054 596,345
Intercept Pharmaceuticals, Inc. * 971 34,480
Ionis Pharmaceuticals, Inc. * 5,307 268,163
IQVIA Holdings, Inc. * 7,272 1,228,895
Jazz Pharmaceuticals plc * 2,101 295,632
Johnson & Johnson 99,993 14,466,987
Merck & Co., Inc. 96,085 7,724,273
Mettler-Toledo International, Inc. * 906 1,041,936
Mirati Therapeutics, Inc. * 1,650 392,453
Moderna, Inc. * 11,402 1,741,541
Nektar Therapeutics * 6,702 109,846
Neurocrine Biosciences, Inc. * 3,496 331,910
PerkinElmer, Inc. 4,258 566,314
Perrigo Co., plc 5,202 250,840
Pfizer, Inc. 211,093 8,086,973
PRA Health Sciences, Inc. * 2,418 271,300
Reata Pharmaceuticals, Inc., Class A * 900 137,475
Regeneron Pharmaceuticals, Inc. * 3,971 2,049,155
Repligen Corp. * 1,854 351,648
Sage Therapeutics, Inc. * 1,992 147,587
Sarepta Therapeutics, Inc. * 2,983 420,185
Seagen, Inc. * 4,624 787,513
Syneos Health, Inc. * 2,614 172,106
Thermo Fisher Scientific, Inc. 15,022 6,984,930
United Therapeutics Corp. * 1,691 224,294
Vertex Pharmaceuticals, Inc. * 9,899 2,254,497
Viatris, Inc. * 45,707 768,792
Waters Corp. * 2,353 545,920
Zoetis, Inc. 18,021 2,890,208
    92,296,119
 
Real Estate 3.0%
Alexandria Real Estate Equities, Inc. 4,456 729,581
American Campus Communities, Inc. 5,237 208,433
American Homes 4 Rent, Class A 10,082 289,555
American Tower Corp. 16,855 3,896,876
Americold Realty Trust 7,657 261,333
Apartment Investment & Management Co., Class A 7,182 217,974
AvalonBay Communities, Inc. 5,346 890,590
Boston Properties, Inc. 5,367 526,825
Brixmor Property Group, Inc. 11,240 171,635
Camden Property Trust 3,698 365,473
CBRE Group, Inc., Class A * 12,704 776,723
CoreSite Realty Corp. 1,604 201,126
Cousins Properties, Inc. 5,644 188,566
Crown Castle International Corp. 15,925 2,668,552
CubeSmart 7,365 239,583
CyrusOne, Inc. 4,426 309,422
Digital Realty Trust, Inc. 10,228 1,378,223
Douglas Emmett, Inc. 6,219 192,602
Duke Realty Corp. 13,991 532,497
EastGroup Properties, Inc. 1,505 205,177
EPR Properties 2,734 98,479
Equinix, Inc. 3,362 2,345,970
Equity Commonwealth 4,590 121,681
Equity LifeStyle Properties, Inc. 6,402 375,093
Equity Residential 13,013 753,713
Essex Property Trust, Inc. 2,476 608,799
Extra Space Storage, Inc. 4,921 554,744
Federal Realty Investment Trust 2,582 225,202
First Industrial Realty Trust, Inc. 4,820 201,862
Gaming & Leisure Properties, Inc. 7,850 326,089
Healthcare Realty Trust, Inc. 5,222 154,049
Healthcare Trust of America, Inc., Class A 8,152 212,197
Security Number
of Shares
Value ($)
Healthpeak Properties, Inc. 20,479 591,024
Highwoods Properties, Inc. 3,836 146,919
Host Hotels & Resorts, Inc. 27,028 379,203
Hudson Pacific Properties, Inc. 5,873 152,698
Invitation Homes, Inc. 21,313 609,126
Iron Mountain, Inc. 10,954 301,235
JBG SMITH Properties 4,211 129,446
Jones Lang LaSalle, Inc. * 1,985 262,596
Kilroy Realty Corp. 3,927 240,175
Kimco Realty Corp. 16,578 239,386
Lamar Advertising Co., Class A 3,287 261,678
Life Storage, Inc. 1,791 196,508
Medical Properties Trust, Inc. 19,906 386,176
Mid-America Apartment Communities, Inc. 4,350 548,796
National Retail Properties, Inc. 6,582 248,141
Omega Healthcare Investors, Inc. 8,651 304,688
Outfront Media, Inc. 5,423 102,712
Park Hotels & Resorts, Inc. 9,116 148,773
Prologis, Inc. 28,034 2,804,802
PS Business Parks, Inc. 757 99,773
Public Storage 5,758 1,292,441
Rayonier, Inc. 5,260 148,174
Realty Income Corp. 13,112 786,327
Regency Centers Corp. 5,987 272,887
Rexford Industrial Realty, Inc. 4,682 224,361
Ryman Hospitality Properties, Inc. 2,131 136,789
Sabra Health Care REIT, Inc. 8,007 131,955
SBA Communications Corp. 4,256 1,222,238
Service Properties Trust 6,149 72,927
Simon Property Group, Inc. 12,352 1,019,905
SL Green Realty Corp. 2,737 158,472
Spirit Realty Capital, Inc. 3,935 144,965
STAG Industrial, Inc. 5,589 166,440
STORE Capital Corp. 8,752 284,965
Sun Communities, Inc. 3,730 518,470
The Howard Hughes Corp. * 1,732 125,968
UDR, Inc. 11,212 431,326
Ventas, Inc. 14,163 678,549
VEREIT, Inc. 40,444 286,748
VICI Properties, Inc. 20,310 513,640
Vornado Realty Trust 6,075 236,378
Weingarten Realty Investors 4,524 94,597
Welltower, Inc. 15,864 999,115
Weyerhaeuser Co. 28,397 824,649
WP Carey, Inc. 6,593 456,302
    39,611,067
 
Retailing 7.3%
Aaron’s Holdings Co., Inc. 2,515 158,269
Advance Auto Parts, Inc. 2,624 387,565
Amazon.com, Inc. * 16,170 51,227,207
AutoNation, Inc. * 2,227 136,493
AutoZone, Inc. * 888 1,010,233
Best Buy Co., Inc. 8,778 955,046
Booking Holdings, Inc. * 1,555 3,154,240
Burlington Stores, Inc. * 2,486 543,290
CarMax, Inc. * 6,205 580,043
Carvana Co. * 2,098 524,941
Dollar General Corp. 9,470 2,069,953
Dollar Tree, Inc. * 9,019 985,235
eBay, Inc. 25,268 1,274,265
Etsy, Inc. * 4,542 729,899
Expedia Group, Inc. 5,130 638,634
Five Below, Inc. * 2,117 331,099
Floor & Decor Holdings, Inc., Class A * 3,920 313,953
Foot Locker, Inc. 3,984 149,002
Genuine Parts Co. 5,502 541,232
GrubHub, Inc. * 3,499 246,120
 
27

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Kohl’s Corp. 5,944 191,397
L Brands, Inc. 8,786 340,985
LKQ Corp. * 10,631 374,424
Lowe’s Cos., Inc. 28,689 4,470,320
Macy’s, Inc. 11,637 118,814
Nordstrom, Inc. (b) 4,236 109,797
O'Reilly Automotive, Inc. * 2,810 1,243,256
Penske Automotive Group, Inc. 1,188 65,423
Pool Corp. 1,525 527,818
RH * 590 267,364
Ross Stores, Inc. 13,520 1,453,670
Target Corp. 19,006 3,412,147
The Gap, Inc. 7,736 162,146
The Home Depot, Inc. 40,887 11,342,463
The TJX Cos., Inc. 45,512 2,890,467
Tiffany & Co. 4,125 542,355
Tractor Supply Co. 4,397 619,141
Ulta Beauty, Inc. * 2,126 585,500
Wayfair, Inc., Class A * 2,591 659,047
Williams-Sonoma, Inc. 2,978 326,002
    95,659,255
 
Semiconductors & Semiconductor Equipment 5.0%
Advanced Micro Devices, Inc. * 44,557 4,128,652
Analog Devices, Inc. 14,045 1,953,379
Applied Materials, Inc. 34,682 2,860,571
Broadcom, Inc. 15,278 6,135,339
Cirrus Logic, Inc. * 2,202 176,380
CMC Materials, Inc. 1,087 167,702
Cree, Inc. * 4,122 372,588
Enphase Energy, Inc. * 4,760 650,073
Entegris, Inc. 5,145 476,530
First Solar, Inc. * 3,190 298,042
Inphi Corp. * 1,981 307,313
Intel Corp. 161,595 7,813,118
KLA Corp. 5,912 1,489,647
Lam Research Corp. 5,521 2,499,136
Marvell Technology Group Ltd. 25,303 1,171,276
Maxim Integrated Products, Inc. 10,151 842,939
Microchip Technology, Inc. 9,606 1,290,950
Micron Technology, Inc. * 42,217 2,705,687
MKS Instruments, Inc. 2,078 286,722
Monolithic Power Systems, Inc. 1,605 513,536
NVIDIA Corp. 23,432 12,560,958
ON Semiconductor Corp. * 15,668 450,455
Qorvo, Inc. * 4,350 681,558
QUALCOMM, Inc. 42,837 6,304,321
Silicon Laboratories, Inc. * 1,675 196,327
Skyworks Solutions, Inc. 6,352 896,712
SolarEdge Technologies, Inc. * 1,895 526,772
Teradyne, Inc. 6,312 696,466
Texas Instruments, Inc. 34,784 5,608,920
Universal Display Corp. 1,623 371,732
Xilinx, Inc. 9,270 1,349,248
    65,783,049
 
Software & Services 15.1%
Accenture plc, Class A 24,156 6,017,018
ACI Worldwide, Inc. * 4,433 144,427
Adobe, Inc. * 18,219 8,717,245
Akamai Technologies, Inc. * 6,187 640,416
Alliance Data Systems Corp. 1,789 130,847
Alteryx, Inc., Class A * 2,035 243,874
Amdocs Ltd. 5,088 334,841
Anaplan, Inc. * 5,219 365,278
ANSYS, Inc. * 3,251 1,099,033
Aspen Technology, Inc. * 2,554 343,385
Security Number
of Shares
Value ($)
Autodesk, Inc. * 8,318 2,330,953
Automatic Data Processing, Inc. 16,317 2,837,200
Avalara, Inc. * 3,156 542,043
Black Knight, Inc. * 5,965 546,513
Blackbaud, Inc. 1,867 102,853
Booz Allen Hamilton Holding Corp. 5,236 454,432
Broadridge Financial Solutions, Inc. 4,357 639,956
CACI International, Inc., Class A * 942 223,527
Cadence Design Systems, Inc. * 10,585 1,231,036
CDK Global, Inc. 4,606 220,627
Ceridian HCM Holding, Inc. * 4,898 472,265
Citrix Systems, Inc. 4,682 580,193
Cognizant Technology Solutions Corp., Class A 20,609 1,610,181
Cornerstone OnDemand, Inc. * 2,293 101,236
Coupa Software, Inc. * 2,541 835,760
DocuSign, Inc. * 6,974 1,589,235
Dropbox, Inc., Class A * 11,140 222,466
DXC Technology Co. 9,765 213,951
Dynatrace, Inc. * 6,960 264,619
Elastic N.V. * 2,260 279,788
Envestnet, Inc. * 2,074 166,459
EPAM Systems, Inc. * 2,124 684,629
Euronet Worldwide, Inc. * 2,002 269,149
Fair Isaac Corp. * 1,098 519,112
Fidelity National Information Services, Inc. 23,545 3,494,313
FireEye, Inc. * 8,518 128,026
Fiserv, Inc. * 21,118 2,432,371
Five9, Inc. * 2,463 382,258
FleetCor Technologies, Inc. * 3,190 846,020
Fortinet, Inc. * 5,111 629,829
Gartner, Inc. * 3,389 515,128
Genpact Ltd. 6,737 273,859
Global Payments, Inc. 11,373 2,219,896
GoDaddy, Inc., Class A * 6,290 500,307
Guidewire Software, Inc. * 3,130 383,362
HubSpot, Inc. * 1,618 638,026
International Business Machines Corp. 33,838 4,179,670
Intuit, Inc. 9,945 3,500,839
j2 Global, Inc. * 1,712 153,412
Jack Henry & Associates, Inc. 2,902 466,816
KBR, Inc. 5,347 148,486
Leidos Holdings, Inc. 5,092 512,764
Manhattan Associates, Inc. * 2,396 244,967
Mastercard, Inc., Class A 33,553 11,290,920
MAXIMUS, Inc. 2,335 167,676
Medallia, Inc. * 2,944 103,011
Microsoft Corp. 287,442 61,532,709
MongoDB, Inc. * 1,913 549,624
New Relic, Inc. * 1,998 119,341
NortonLifeLock, Inc. 22,513 410,412
Nuance Communications, Inc. * 10,689 461,017
Nutanix, Inc., Class A * 6,990 191,456
Okta, Inc. * 4,419 1,082,832
Oracle Corp. 73,476 4,241,035
Palo Alto Networks, Inc. * 3,674 1,079,862
Paychex, Inc. 12,166 1,133,263
Paycom Software, Inc. * 1,851 772,015
Paylocity Holding Corp. * 1,401 275,437
PayPal Holdings, Inc. * 44,561 9,541,401
Pegasystems, Inc. 1,500 196,320
Perspecta, Inc. 5,211 116,831
Proofpoint, Inc. * 2,177 225,298
PTC, Inc. * 3,986 429,890
Q2 Holdings, Inc. * 1,906 216,083
RealPage, Inc. * 3,395 234,221
RingCentral, Inc., Class A * 2,962 879,862
Sabre Corp. 11,915 134,044
salesforce.com, Inc. * 34,566 8,496,323
 
28

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
Science Applications International Corp. 2,207 204,236
ServiceNow, Inc. * 7,290 3,896,870
Slack Technologies, Inc., Class A * 16,372 702,031
Smartsheet, Inc., Class A * 4,219 244,829
SolarWinds Corp. * 2,722 62,279
Splunk, Inc. * 6,031 1,231,410
Square, Inc., Class A * 14,089 2,972,215
SS&C Technologies Holdings, Inc. 8,523 587,150
Synopsys, Inc. * 5,749 1,307,898
The Trade Desk, Inc., Class A * 1,587 1,429,998
The Western Union Co. 15,727 354,801
Twilio, Inc., Class A * 5,216 1,669,589
Tyler Technologies, Inc. * 1,521 650,380
Verint Systems, Inc. * 2,393 136,305
VeriSign, Inc. * 3,834 769,561
Visa, Inc., Class A 64,039 13,470,604
VMware, Inc., Class A *(b) 3,049 426,525
WEX, Inc. * 1,688 292,429
Workday, Inc., Class A * 6,613 1,486,536
Zendesk, Inc. * 4,391 586,199
Zoom Video Communications, Inc., Class A * 6,917 3,308,816
Zscaler, Inc. * 2,737 426,288
    196,722,728
 
Technology Hardware & Equipment 7.4%
Amphenol Corp., Class A 11,332 1,482,339
Apple Inc. 610,632 72,695,740
Arista Networks, Inc. * 2,069 560,078
Arrow Electronics, Inc. * 2,935 268,993
Avnet, Inc. 3,798 115,269
CDW Corp. 5,423 707,647
Ciena Corp. * 5,809 260,243
Cisco Systems, Inc. 160,756 6,915,723
Cognex Corp. 6,578 494,271
Coherent, Inc. * 933 113,621
Corning, Inc. 28,798 1,077,621
Dell Technologies, Inc., Class C * 8,915 615,403
Dolby Laboratories, Inc., Class A 2,461 217,676
F5 Networks, Inc. * 2,308 375,766
FLIR Systems, Inc. 4,913 187,873
Hewlett Packard Enterprise Co. 48,762 538,333
HP, Inc. 52,329 1,147,575
IPG Photonics Corp. * 1,359 281,327
Jabil, Inc. 5,087 194,425
Juniper Networks, Inc. 12,560 273,431
Keysight Technologies, Inc. * 7,125 855,285
Littelfuse, Inc. 929 223,452
Lumentum Holdings, Inc. * 2,862 247,220
Motorola Solutions, Inc. 6,459 1,107,912
National Instruments Corp. 4,960 185,653
NCR Corp. * 4,791 132,567
NetApp, Inc. 8,443 450,096
Pure Storage, Inc., Class A * 8,903 162,658
Seagate Technology plc 8,481 498,768
SYNNEX Corp. 1,544 247,519
TE Connectivity Ltd. 12,567 1,432,261
Trimble, Inc. * 9,467 566,789
Ubiquiti, Inc. 294 72,944
ViaSat, Inc. * 2,429 82,586
Vontier Corp. * 5,096 169,034
Western Digital Corp. 11,455 514,100
Xerox Holdings Corp. 6,751 147,779
Zebra Technologies Corp., Class A * 2,015 762,516
    96,382,493
 
Security Number
of Shares
Value ($)
Telecommunication Services 1.6%
AT&T, Inc. 270,699 7,782,596
CenturyLink, Inc. 37,413 390,966
GCI Liberty, Inc., Class A * 3,846 350,447
Liberty Global plc, Class A * 5,434 122,374
Liberty Global plc, Class C * 14,078 304,648
T-Mobile US, Inc. * 22,081 2,935,448
Verizon Communications, Inc. 157,178 9,495,123
    21,381,602
 
Transportation 2.1%
Alaska Air Group, Inc. 4,644 236,705
AMERCO 338 140,010
American Airlines Group, Inc. 20,749 293,183
C.H. Robinson Worldwide, Inc. 5,103 479,529
CSX Corp. 29,052 2,616,132
Delta Air Lines, Inc. 24,095 969,824
Expeditors International of Washington, Inc. 6,329 565,623
FedEx Corp. 9,147 2,621,347
J.B. Hunt Transport Services, Inc. 3,154 426,673
JetBlue Airways Corp. * 10,367 156,438
Kansas City Southern 3,592 668,723
Kirby Corp. * 2,283 115,520
Knight-Swift Transportation Holdings, Inc. 4,761 196,582
Landstar System, Inc. 1,452 190,822
Lyft, Inc., Class A * 9,201 351,202
Macquarie Infrastructure Corp. 2,696 87,216
Norfolk Southern Corp. 9,681 2,294,591
Old Dominion Freight Line, Inc. 3,664 745,111
Southwest Airlines Co. 22,434 1,039,591
Uber Technologies, Inc. * 52,622 2,613,208
Union Pacific Corp. 25,768 5,258,733
United Airlines Holdings, Inc. * 11,065 498,478
United Parcel Service, Inc., Class B 26,873 4,597,164
XPO Logistics, Inc. * 3,478 371,033
    27,533,438
 
Utilities 2.8%
ALLETE, Inc. 1,954 109,893
Alliant Energy Corp. 9,471 498,175
Ameren Corp. 9,364 728,332
American Electric Power Co., Inc. 18,850 1,600,177
American Water Works Co., Inc. 6,872 1,054,027
Atmos Energy Corp. 4,661 446,943
Avangrid, Inc. 2,069 96,291
Black Hills Corp. 2,403 146,175
CenterPoint Energy, Inc. 20,602 477,760
CMS Energy Corp. 10,902 670,909
Consolidated Edison, Inc. 12,709 969,061
Dominion Energy, Inc. 31,878 2,502,104
DTE Energy Co. 7,345 924,074
Duke Energy Corp. 27,923 2,587,345
Edison International 14,366 881,498
Entergy Corp. 7,595 826,716
Essential Utilities, Inc. 8,507 385,197
Evergy, Inc. 8,585 475,695
Eversource Energy 13,005 1,138,068
Exelon Corp. 37,036 1,521,069
FirstEnergy Corp. 20,653 548,544
Hawaiian Electric Industries, Inc. 4,122 147,691
IDACORP, Inc. 1,907 172,736
MDU Resources Group, Inc. 7,571 188,821
National Fuel Gas Co. 3,413 140,513
New Jersey Resources Corp. 3,678 121,484
NextEra Energy, Inc. 74,417 5,476,347
NiSource, Inc. 14,394 348,335
 
29

 

Schwab 1000 Index ETF
Portfolio Holdings (Unaudited) continued

Security Number
of Shares
Value ($)
NRG Energy, Inc. 9,293 304,346
OGE Energy Corp. 7,587 245,743
ONE Gas, Inc. 1,997 158,122
Ormat Technologies, Inc. 1,669 131,534
Pinnacle West Capital Corp. 4,254 348,190
PNM Resources, Inc. 3,022 148,410
Portland General Electric Co. 3,319 137,340
PPL Corp. 29,069 826,141
Public Service Enterprise Group, Inc. 19,220 1,120,142
Sempra Energy 11,012 1,403,810
Southwest Gas Holdings, Inc. 2,180 140,065
Spire, Inc. 1,917 122,611
The AES Corp. 25,414 519,462
The Southern Co. 40,126 2,401,541
UGI Corp. 7,977 283,024
Vistra Corp. 18,582 347,112
WEC Energy Group, Inc. 11,993 1,138,735
Xcel Energy, Inc. 19,989 1,346,459
    36,306,767
Total Common Stock
(Cost $1,015,664,253)   1,303,974,124

Other Investment Companies 0.1% of net assets
 
Money Market Fund 0.0%
State Street Institutional U.S. Government Money Market Fund, Premier Class 0.02% (c) 611,812 611,812
 
Security Number
of Shares
Value ($)
Securities Lending Collateral 0.1%
Wells Fargo Government Money Market Fund, Select Class 0.02% (c) 821,390 821,390
Total Other Investment Companies
(Cost $1,433,202)   1,433,202
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
S&P 500 Index, e-mini, expires 12/18/20 14 2,536,240 41,202
* 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 $793,981.
(c) 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, 2020:
 
Value at
8/31/20
Gross
Purchases
Gross
Sales
Realized
Gains(Losses)
Net change
in unrealized
appreciation
(depreciation)


Value at
11/30/20
Balance
of Shares
Held at
11/30/20
Dividends
Received
The Charles Schwab Corp. $1,420,845 $728,933 ($18,964) ($3,187) $610,980 $2,738,607 56,142 $10,022
    

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2020:
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 $1,303,974,124 $— $— $1,303,974,124  
Other Investment Companies1 1,433,202 1,433,202  
Futures Contracts2 41,202 41,202  
Total $1,305,448,528 $— $— $1,305,448,528  
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.
30

 

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

Portfolio Holdings as of November 30, 2020 (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 1.7%
Aptiv plc 198,180 23,523,966
Autoliv, Inc. 58,368 5,197,670
BorgWarner, Inc. 179,043 6,955,821
Ford Motor Co. 2,872,553 26,082,781
General Motors Co. 923,446 40,483,873
Gentex Corp. 178,007 5,803,028
Harley-Davidson, Inc. 113,466 4,571,545
Lear Corp. 40,134 5,737,155
Tesla, Inc. * 547,626 310,832,518
    429,188,357
 
Banks 3.4%
Bank of America Corp. 5,601,544 157,739,479
BOK Financial Corp. 23,252 1,556,721
Citigroup, Inc. 1,527,802 84,136,056
Citizens Financial Group, Inc. 314,879 10,283,948
Comerica, Inc. 101,834 5,010,233
Commerce Bancshares, Inc. 73,600 4,854,656
Cullen/Frost Bankers, Inc. 40,388 3,388,957
East West Bancorp, Inc. 105,309 4,498,800
Fifth Third Bancorp 521,953 13,226,289
First Republic Bank 126,944 16,446,865
Huntington Bancshares, Inc. 747,458 9,029,293
JPMorgan Chase & Co. 2,238,520 263,876,738
KeyCorp 719,912 11,129,840
M&T Bank Corp. 94,428 10,999,918
New York Community Bancorp, Inc. 336,973 3,265,268
People's United Financial, Inc. 311,345 3,860,678
Regions Financial Corp. 704,656 10,760,097
Signature Bank 38,665 4,337,826
SVB Financial Group * 38,040 13,118,474
The PNC Financial Services Group, Inc. 311,370 42,990,856
Truist Financial Corp. 990,683 45,987,505
U.S. Bancorp 1,005,427 43,444,501
Wells Fargo & Co. 3,024,061 82,708,068
Zions Bancorp NA 119,689 4,618,799
    851,269,865
 
Capital Goods 5.8%
3M Co. 422,868 73,041,990
A.O. Smith Corp. 99,162 5,583,812
Acuity Brands, Inc. 29,399 3,490,249
AGCO Corp. 44,580 4,124,096
Allegion plc 68,062 7,761,790
Allison Transmission Holdings, Inc. 84,430 3,465,852
AMETEK, Inc. 168,936 20,023,984
Carlisle Cos., Inc. 39,992 5,792,041
Carrier Global Corp. 598,859 22,798,562
Caterpillar, Inc. 397,700 69,036,743
Cummins, Inc. 108,234 25,020,454
Deere & Co. 230,279 60,245,592
Security Number
of Shares
Value ($)
Donaldson Co., Inc. 92,654 4,932,899
Dover Corp. 106,777 13,029,997
Eaton Corp. plc 293,279 35,519,020
Emerson Electric Co. 438,272 33,668,055
Fastenal Co. 420,488 20,793,132
Fortive Corp. 247,562 17,361,523
Fortune Brands Home & Security, Inc. 101,755 8,496,543
Generac Holdings, Inc. * 46,032 9,924,499
General Dynamics Corp. 170,710 25,495,538
General Electric Co. 6,426,987 65,426,728
Graco, Inc. 122,453 8,294,966
HD Supply Holdings, Inc. * 119,489 6,665,096
HEICO Corp. 31,110 3,844,574
HEICO Corp., Class A 53,510 5,926,233
Honeywell International, Inc. 514,981 105,014,926
Howmet Aerospace, Inc. 288,625 6,771,143
Hubbell, Inc. 39,683 6,412,376
Huntington Ingalls Industries, Inc. 29,486 4,723,362
IDEX Corp. 55,550 10,729,483
Illinois Tool Works, Inc. 211,292 44,601,628
Ingersoll Rand, Inc. * 271,185 12,005,360
Jacobs Engineering Group, Inc. 96,043 10,357,277
Johnson Controls International plc 545,094 25,096,128
L3Harris Technologies, Inc. 159,059 30,537,737
Lennox International, Inc. 25,671 7,388,884
Lincoln Electric Holdings, Inc. 43,512 5,003,880
Lockheed Martin Corp. 180,640 65,933,600
Masco Corp. 193,146 10,366,146
Nikola Corp. *(a) 100,499 2,051,185
Nordson Corp. 39,705 8,092,276
Northrop Grumman Corp. 113,927 34,435,575
Otis Worldwide Corp. 299,311 20,035,878
Owens Corning 79,248 5,774,802
PACCAR, Inc. 254,635 22,168,523
Parker-Hannifin Corp. 94,086 25,145,424
Pentair plc 122,163 6,330,487
Quanta Services, Inc. 101,115 6,910,199
Raytheon Technologies Corp. 1,122,431 80,500,751
Rockwell Automation, Inc. 85,228 21,780,868
Roper Technologies, Inc. 77,040 32,896,080
Sensata Technologies Holding plc * 114,846 5,607,930
Snap-on, Inc. 40,160 7,062,136
Stanley Black & Decker, Inc. 117,443 21,645,919
Teledyne Technologies, Inc. * 26,995 10,202,490
Textron, Inc. 167,746 7,565,345
The Boeing Co. 389,339 82,037,621
The Middleby Corp. * 40,822 5,551,384
The Toro Co. 79,385 7,201,013
Trane Technologies plc 176,146 25,759,591
TransDigm Group, Inc. 39,883 23,099,835
Trex Co., Inc. * 84,542 6,325,432
United Rentals, Inc. * 53,107 12,054,227
W.W. Grainger, Inc. 33,094 13,843,220
Watsco, Inc. 23,826 5,417,079
Westinghouse Air Brake Technologies Corp. 131,433 9,634,039
 
31

 

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

Security Number
of Shares
Value ($)
Woodward, Inc. 41,721 4,665,659
Xylem, Inc. 132,635 12,728,981
    1,431,229,847
 
Commercial & Professional Services 0.9%
ADT, Inc. 111,427 865,788
Cintas Corp. 63,834 22,680,220
Copart, Inc. * 152,139 17,564,447
CoStar Group, Inc. * 28,989 26,396,514
Dun & Bradstreet Holdings, Inc. * 99,666 2,672,045
Equifax, Inc. 89,460 14,930,874
IAA, Inc. * 97,899 5,866,108
IHS Markit Ltd. 273,430 27,195,348
ManpowerGroup, Inc. 41,881 3,628,989
Nielsen Holdings plc 260,660 4,214,872
Republic Services, Inc. 153,498 14,846,327
Robert Half International, Inc. 83,931 5,386,692
Rollins, Inc. 107,513 6,147,593
Stericycle, Inc. * 68,053 4,793,653
TransUnion 139,893 12,742,853
Verisk Analytics, Inc. 119,689 23,735,526
Waste Management, Inc. 285,166 33,971,826
    227,639,675
 
Consumer Durables & Apparel 1.3%
D.R. Horton, Inc. 242,526 18,068,187
Garmin Ltd. 110,048 12,849,204
Hanesbrands, Inc. 250,432 3,556,134
Hasbro, Inc. 93,794 8,725,656
Leggett & Platt, Inc. 97,066 4,183,545
Lennar Corp., Class A 210,198 15,945,620
Lululemon Athletica, Inc. * 86,850 32,153,607
Mohawk Industries, Inc. * 44,249 5,567,852
Newell Brands, Inc. 279,302 5,937,961
NIKE, Inc., Class B 914,396 123,169,141
NVR, Inc. * 2,552 10,200,803
Peloton Interactive, Inc., Class A * 151,263 17,599,450
Polaris, Inc. 41,628 3,996,288
PulteGroup, Inc. 195,580 8,533,155
Tapestry, Inc. 204,999 5,805,572
Toll Brothers, Inc. 82,836 3,922,285
Under Armour, Inc., Class A * 139,457 2,310,803
Under Armour, Inc., Class C * 145,314 2,114,319
VF Corp. 235,485 19,639,449
Whirlpool Corp. 46,063 8,964,320
    313,243,351
 
Consumer Services 1.8%
Aramark 187,086 6,548,010
Bright Horizons Family Solutions, Inc. * 44,457 7,562,580
Carnival Corp. 380,473 7,601,851
Chegg, Inc. * 91,454 7,127,010
Chipotle Mexican Grill, Inc. * 20,538 26,482,313
Darden Restaurants, Inc. 95,566 10,319,217
Domino's Pizza, Inc. 28,931 11,357,443
DraftKings, Inc., Class A * 221,601 11,603,028
Dunkin' Brands Group, Inc. 60,185 6,400,073
Hilton Worldwide Holdings, Inc. 204,194 21,160,624
Las Vegas Sands Corp. 241,044 13,428,561
Marriott International, Inc., Class A 195,801 24,841,273
McDonald's Corp. 546,682 118,870,534
MGM Resorts International 300,083 8,477,345
Norwegian Cruise Line Holdings Ltd. * 231,646 5,297,744
Royal Caribbean Cruises Ltd. 131,060 10,328,839
Service Corp. International 130,223 6,334,047
Starbucks Corp. 857,862 84,087,633
Security Number
of Shares
Value ($)
Terminix Global Holdings, Inc. * 96,592 4,735,906
Vail Resorts, Inc. 29,631 8,173,415
Wyndham Hotels & Resorts, Inc. 68,430 3,934,725
Wynn Resorts Ltd. 71,345 7,170,172
Yum! Brands, Inc. 220,623 23,341,913
    435,184,256
 
Diversified Financials 4.8%
AGNC Investment Corp. 409,924 6,263,639
Ally Financial, Inc. 276,101 8,186,395
American Express Co. 478,695 56,768,440
Ameriprise Financial, Inc. 88,423 16,379,476
Annaly Capital Management, Inc. 1,035,384 8,283,072
Apollo Global Management, Inc. 150,973 6,585,442
Berkshire Hathaway, Inc., Class B * 1,455,916 333,273,731
BlackRock, Inc. 104,232 72,790,417
Capital One Financial Corp. 335,155 28,702,674
Cboe Global Markets, Inc. 80,283 7,331,444
CME Group, Inc. 263,443 46,110,428
Credit Acceptance Corp. * 8,962 2,674,978
Discover Financial Services 224,739 17,118,370
Eaton Vance Corp. 84,500 5,659,810
Equitable Holdings, Inc. 296,922 7,535,880
FactSet Research Systems, Inc. 28,087 9,374,317
Franklin Resources, Inc. 197,633 4,345,950
Intercontinental Exchange, Inc. 412,718 43,545,876
Invesco Ltd. 278,547 4,520,818
Jefferies Financial Group, Inc. 160,503 3,648,233
KKR & Co., Inc. 410,409 15,566,813
MarketAxess Holdings, Inc. 27,914 15,050,670
Moody's Corp. 118,638 33,496,253
Morgan Stanley 1,048,412 64,823,314
Morningstar, Inc. 15,798 3,161,180
MSCI, Inc. 61,381 25,130,609
Nasdaq, Inc. 84,820 10,856,112
Northern Trust Corp. 153,074 14,254,251
Raymond James Financial, Inc. 90,320 8,214,604
S&P Global, Inc. 176,991 62,261,894
Santander Consumer USA Holdings, Inc. 53,427 1,180,737
SEI Investments Co. 90,108 4,753,197
Starwood Property Trust, Inc. 209,105 3,751,344
State Street Corp. 259,318 18,276,733
Synchrony Financial 398,703 12,148,480
T. Rowe Price Group, Inc. 166,390 23,861,990
The Bank of New York Mellon Corp. 599,513 23,452,949
The Blackstone Group, Inc., Class A 493,653 29,397,036
The Carlyle Group, Inc. 86,109 2,446,357
The Charles Schwab Corp. (b) 1,083,234 52,840,154
The Goldman Sachs Group, Inc. 252,772 58,284,168
Voya Financial, Inc. 92,151 5,310,662
    1,177,618,897
 
Energy 2.1%
Apache Corp. 275,676 3,553,464
Baker Hughes Co. 484,398 9,067,931
Cabot Oil & Gas Corp. 296,085 5,187,409
Cheniere Energy, Inc. * 169,019 9,581,687
Chevron Corp. 1,414,932 123,353,772
Concho Resources, Inc. 144,459 8,303,503
ConocoPhillips 785,718 31,083,004
Continental Resources, Inc. 46,438 714,216
Devon Energy Corp. 276,348 3,866,109
Diamondback Energy, Inc. 115,197 4,603,272
EOG Resources, Inc. 429,170 20,119,490
Exxon Mobil Corp. 3,103,039 118,318,877
Halliburton Co. 648,398 10,756,923
Hess Corp. 200,404 9,455,061
 
32

 

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

Security Number
of Shares
Value ($)
HollyFrontier Corp. 110,074 2,574,631
Kinder Morgan, Inc. 1,424,169 20,479,550
Marathon Oil Corp. 569,076 3,368,930
Marathon Petroleum Corp. 478,399 18,600,153
National Oilwell Varco, Inc. 288,692 3,539,364
Occidental Petroleum Corp. 618,468 9,747,056
ONEOK, Inc. 327,932 11,762,921
Parsley Energy, Inc., Class A 215,125 2,695,516
Phillips 66 319,299 19,343,133
Pioneer Natural Resources Co. 121,314 12,201,762
Schlumberger N.V. 1,013,413 21,068,856
Targa Resources Corp. 173,321 4,073,043
The Williams Cos., Inc. 892,344 18,721,377
Valero Energy Corp. 300,747 16,171,166
    522,312,176
 
Food & Staples Retailing 1.4%
Costco Wholesale Corp. 324,258 127,034,557
Sysco Corp. 372,364 26,545,829
The Kroger Co. 573,010 18,909,330
US Foods Holding Corp. * 164,162 5,167,820
Walgreens Boots Alliance, Inc. 529,018 20,107,974
Walmart, Inc. 1,020,552 155,930,140
    353,695,650
 
Food, Beverage & Tobacco 3.1%
Altria Group, Inc. 1,363,962 54,326,606
Archer-Daniels-Midland Co. 408,759 20,343,935
Beyond Meat, Inc. * 36,262 5,073,054
Brown-Forman Corp., Class A 40,696 3,000,516
Brown-Forman Corp., Class B 134,020 10,810,053
Bunge Ltd. 103,238 6,079,686
Campbell Soup Co. 148,993 7,452,630
Conagra Brands, Inc. 359,007 13,125,296
Constellation Brands, Inc., Class A 123,025 25,323,466
General Mills, Inc. 447,958 27,244,806
Hormel Foods Corp. 207,065 9,769,327
Ingredion, Inc. 48,758 3,761,680
Kellogg Co. 186,799 11,938,324
Keurig Dr Pepper, Inc. 423,459 12,894,327
Lamb Weston Holdings, Inc. 107,301 7,766,446
McCormick & Co., Inc. Non-Voting Shares 90,770 16,972,175
Molson Coors Beverage Co., Class B 137,913 6,343,998
Mondelez International, Inc., Class A 1,048,768 60,251,722
Monster Beverage Corp. * 270,626 22,943,672
PepsiCo, Inc. 1,017,806 146,798,159
Philip Morris International, Inc. 1,144,536 86,698,602
Post Holdings, Inc. * 46,295 4,373,026
The Boston Beer Co., Inc., Class A * 6,657 6,196,602
The Coca-Cola Co. 2,840,953 146,593,175
The Hershey Co. 108,286 16,014,416
The J.M. Smucker Co. 83,801 9,821,477
The Kraft Heinz Co. 475,312 15,656,777
Tyson Foods, Inc., Class A 216,869 14,139,859
    771,713,812
 
Health Care Equipment & Services 6.4%
Abbott Laboratories 1,301,007 140,794,978
ABIOMED, Inc. * 33,143 9,084,496
Align Technology, Inc. * 52,603 25,317,298
AmerisourceBergen Corp. 108,235 11,160,111
Anthem, Inc. 184,549 57,490,704
Baxter International, Inc. 371,237 28,239,999
Becton Dickinson & Co. 212,818 49,978,179
Boston Scientific Corp. * 1,048,850 34,769,377
Security Number
of Shares
Value ($)
Cardinal Health, Inc. 215,484 11,763,272
Centene Corp. * 424,608 26,177,083
Cerner Corp. 224,234 16,781,673
Chemed Corp. 11,692 5,591,699
Cigna Corp. 269,575 56,378,915
CVS Health Corp. 960,921 65,140,835
Danaher Corp. 463,995 104,227,197
DaVita, Inc. * 55,075 6,049,989
DENTSPLY SIRONA, Inc. 161,236 8,205,300
DexCom, Inc. * 70,473 22,528,809
Edwards Lifesciences Corp. * 455,832 38,239,746
Encompass Health Corp. 72,749 5,862,114
Guardant Health, Inc. * 61,915 7,499,145
Haemonetics Corp. * 37,528 4,235,035
HCA Healthcare, Inc. 193,908 29,107,530
Henry Schein, Inc. * 104,860 6,743,547
Hill-Rom Holdings, Inc. 48,620 4,612,093
Hologic, Inc. * 190,068 13,139,401
Humana, Inc. 97,118 38,897,701
IDEXX Laboratories, Inc. * 62,581 28,848,589
Insulet Corp. * 48,251 12,434,765
Intuitive Surgical, Inc. * 85,871 62,346,640
Laboratory Corp. of America Holdings * 71,445 14,277,569
Masimo Corp. * 37,118 9,446,160
McKesson Corp. 119,389 21,479,275
Medtronic plc 986,828 112,202,344
Molina Healthcare, Inc. * 43,387 8,856,588
Penumbra, Inc. * 24,331 5,399,049
Quest Diagnostics, Inc. 98,820 12,251,704
Quidel Corp. * 28,110 5,482,855
ResMed, Inc. 106,426 22,306,890
STERIS plc 62,617 12,135,801
Stryker Corp. 239,901 55,992,893
Teladoc Health, Inc. * 88,146 17,520,780
Teleflex, Inc. 34,266 13,115,311
The Cooper Cos., Inc. 36,161 12,121,890
UnitedHealth Group, Inc. 698,101 234,799,290
Universal Health Services, Inc., Class B 56,998 7,442,799
Varian Medical Systems, Inc. * 66,947 11,647,439
Veeva Systems, Inc., Class A * 99,278 27,487,100
West Pharmaceutical Services, Inc. 54,241 14,924,954
Zimmer Biomet Holdings, Inc. 152,301 22,711,125
    1,573,248,036
 
Household & Personal Products 1.7%
Church & Dwight Co., Inc. 181,573 15,936,662
Colgate-Palmolive Co. 630,259 53,975,381
Herbalife Nutrition Ltd. * 71,080 3,405,443
Kimberly-Clark Corp. 250,073 34,837,670
Reynolds Consumer Products, Inc. 40,181 1,219,091
The Clorox Co. 92,409 18,755,331
The Estee Lauder Cos., Inc., Class A 165,682 40,645,108
The Procter & Gamble Co. 1,828,565 253,932,821
    422,707,507
 
Insurance 1.9%
Aflac, Inc. 484,838 21,298,933
Alleghany Corp. 10,438 6,003,938
American Financial Group, Inc. 52,766 4,717,808
American International Group, Inc. 633,796 24,363,118
Aon plc, Class A 170,185 34,869,205
Arch Capital Group Ltd. * 299,114 9,629,975
Arthur J. Gallagher & Co. 140,972 16,269,578
Assurant, Inc. 43,720 5,645,126
Athene Holding Ltd., Class A * 92,076 4,083,571
Brown & Brown, Inc. 172,081 7,748,807
Chubb Ltd. 331,443 48,997,219
 
33

 

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

Security Number
of Shares
Value ($)
Cincinnati Financial Corp. 110,361 8,426,062
CNA Financial Corp. 20,815 718,326
Erie Indemnity Co., Class A 18,437 4,159,571
Everest Re Group Ltd. 29,470 6,699,415
Fidelity National Financial, Inc. 215,371 7,751,202
Globe Life, Inc. 71,678 6,673,222
Lincoln National Corp. 134,344 6,343,724
Loews Corp. 176,217 7,385,254
Markel Corp. * 10,152 9,886,322
Marsh & McLennan Cos., Inc. 372,084 42,655,710
MetLife, Inc. 564,687 26,071,599
Old Republic International Corp. 208,165 3,730,317
Principal Financial Group, Inc. 187,815 9,351,309
Prudential Financial, Inc. 288,777 21,837,317
Reinsurance Group of America, Inc. 49,860 5,747,861
RenaissanceRe Holdings Ltd. 37,531 6,179,104
The Allstate Corp. 229,836 23,523,715
The Hartford Financial Services Group, Inc. 264,367 11,685,021
The Progressive Corp. 430,037 37,460,523
The Travelers Cos., Inc. 186,226 24,144,201
W.R. Berkley Corp. 103,660 6,751,376
Willis Towers Watson plc 94,317 19,635,856
    480,444,285
 
Materials 2.7%
Air Products and Chemicals, Inc. 162,410 45,497,537
Albemarle Corp. 77,975 10,602,261
Amcor plc 1,155,209 13,088,518
AptarGroup, Inc. 47,362 5,982,768
Ashland Global Holdings, Inc. 40,294 3,028,900
Avery Dennison Corp. 61,278 9,151,257
Axalta Coating Systems Ltd. * 155,048 4,435,923
Ball Corp. 240,202 23,061,794
Berry Global Group, Inc. * 97,238 5,153,614
Celanese Corp. 87,148 11,270,851
CF Industries Holdings, Inc. 157,686 5,881,688
Corteva, Inc. 549,190 21,044,961
Crown Holdings, Inc. * 98,898 9,321,136
Dow, Inc. 543,058 28,787,505
DuPont de Nemours, Inc. 538,013 34,131,545
Eastman Chemical Co. 99,731 9,713,799
Ecolab, Inc. 182,076 40,448,183
FMC Corp. 95,562 11,086,148
Freeport-McMoRan, Inc. 1,067,390 24,966,252
Huntsman Corp. 144,763 3,585,780
International Flavors & Fragrances, Inc. (a) 78,798 8,833,256
International Paper Co. 289,274 14,313,278
Linde plc 386,022 98,983,761
LyondellBasell Industries N.V., Class A 189,093 16,091,814
Martin Marietta Materials, Inc. 45,876 12,186,042
NewMarket Corp. 5,411 2,000,771
Newmont Corp. 588,856 34,636,510
Nucor Corp. 221,945 11,918,446
Packaging Corp. of America 69,771 9,070,230
PPG Industries, Inc. 173,459 25,458,577
Reliance Steel & Aluminum Co. 46,819 5,515,278
Royal Gold, Inc. 48,210 5,325,759
RPM International, Inc. 95,094 8,369,223
Sealed Air Corp. 114,867 5,175,907
Sonoco Products Co. 74,328 4,315,484
Steel Dynamics, Inc. 146,961 5,321,458
The Mosaic Co. 253,753 5,572,416
The Scotts Miracle-Gro Co. 29,600 5,202,792
The Sherwin-Williams Co. 60,159 44,976,673
Vulcan Materials Co. 97,432 13,606,379
Security Number
of Shares
Value ($)
Westlake Chemical Corp. 25,215 1,894,907
Westrock Co. 191,348 8,076,799
    667,086,180
 
Media & Entertainment 9.0%
Activision Blizzard, Inc. 566,906 45,057,689
Alphabet, Inc., Class A * 220,710 387,213,624
Alphabet, Inc., Class C * 215,658 379,717,667
Altice USA, Inc., Class A * 240,610 8,161,491
Cable One, Inc. 3,926 7,776,110
Charter Communications, Inc., Class A * 109,915 71,663,481
Comcast Corp., Class A 3,348,427 168,224,972
Discovery, Inc., Class A * 117,712 3,167,630
Discovery, Inc., Class C * 228,207 5,481,532
DISH Network Corp., Class A * 182,438 6,544,051
Electronic Arts, Inc. * 211,754 27,051,573
Facebook, Inc., Class A * 1,766,205 489,185,799
Fox Corp., Class A 253,013 7,296,895
Fox Corp., Class B 115,461 3,276,783
IAC/InterActiveCorp * 58,317 8,280,431
Liberty Broadband Corp., Class A * 17,195 2,695,660
Liberty Broadband Corp., Class C * 112,131 17,643,813
Liberty Media Corp. - Liberty Formula One, Class A * 19,597 741,355
Liberty Media Corp. - Liberty Formula One, Class C * 149,191 6,233,200
Liberty Media Corp. - Liberty SiriusXM, Class A * 61,235 2,506,961
Liberty Media Corp. - Liberty SiriusXM, Class C * 128,372 5,264,536
Live Nation Entertainment, Inc. * 104,124 6,835,741
Match Group, Inc. * 190,644 26,539,551
Netflix, Inc. * 323,982 158,977,967
News Corp., Class A 282,253 4,981,765
News Corp., Class B 91,344 1,626,837
Omnicom Group, Inc. 158,599 9,991,737
Pinterest, Inc., Class A * 340,413 23,835,718
Roku, Inc. * 77,746 22,823,893
Sirius XM Holdings, Inc. 901,621 5,851,520
Snap, Inc., Class A * 659,542 29,296,856
Take-Two Interactive Software, Inc. * 83,967 15,156,883
The Interpublic Group of Cos., Inc. 285,234 6,355,014
The Walt Disney Co. 1,327,300 196,453,673
Twitter, Inc. * 579,378 26,946,871
ViacomCBS, Inc., Class B 421,418 14,867,627
Zillow Group, Inc., Class A * 26,236 2,895,143
Zillow Group, Inc., Class C * 104,789 11,297,302
Zynga, Inc., Class A * 730,197 6,024,125
    2,223,943,476
 
Pharmaceuticals, Biotechnology & Life Sciences 7.1%
AbbVie, Inc. 1,296,411 135,578,662
Agilent Technologies, Inc. 226,142 26,436,000
Alexion Pharmaceuticals, Inc. * 160,457 19,593,404
Alnylam Pharmaceuticals, Inc. * 84,888 11,027,800
Amgen, Inc. 429,974 95,471,427
Avantor, Inc. * 377,787 10,306,029
Bio-Rad Laboratories, Inc., Class A * 15,690 8,449,065
Bio-Techne Corp. 28,434 8,624,317
Biogen, Inc. * 116,490 27,977,403
BioMarin Pharmaceutical, Inc. * 133,060 10,471,822
Bluebird Bio, Inc. * 47,852 2,109,795
Bristol-Myers Squibb Co. 1,656,445 103,362,168
Catalent, Inc. * 119,806 11,518,149
Charles River Laboratories International, Inc. * 36,132 8,473,677
 
34

 

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

Security Number
of Shares
Value ($)
Elanco Animal Health, Inc. * 241,881 7,399,140
Eli Lilly and Co. 582,790 84,883,364
Exact Sciences Corp. * 110,314 13,354,613
Exelixis, Inc. * 227,794 4,364,533
Gilead Sciences, Inc. 920,388 55,839,940
Horizon Therapeutics plc * 155,451 10,948,414
Illumina, Inc. * 107,026 34,472,004
Incyte Corp. * 137,031 11,584,601
Ionis Pharmaceuticals, Inc. * 101,568 5,132,231
IQVIA Holdings, Inc. * 140,454 23,735,322
Jazz Pharmaceuticals plc * 40,947 5,761,652
Johnson & Johnson 1,934,174 279,836,294
Merck & Co., Inc. 1,858,584 149,411,568
Mettler-Toledo International, Inc. * 17,609 20,251,054
Moderna, Inc. * 220,727 33,713,842
Neurocrine Biosciences, Inc. * 68,629 6,515,637
Novavax, Inc. * 41,543 5,795,249
PerkinElmer, Inc. 82,331 10,950,023
Perrigo Co., plc 100,116 4,827,594
Pfizer, Inc. 4,082,930 156,417,048
PPD, Inc. * 79,175 2,771,125
PRA Health Sciences, Inc. * 46,892 5,261,282
Regeneron Pharmaceuticals, Inc. * 76,698 39,578,469
Royalty Pharma plc, Class A 59,300 2,526,180
Sarepta Therapeutics, Inc. * 57,729 8,131,707
Seagen, Inc. * 89,511 15,244,618
Syneos Health, Inc. * 51,189 3,370,284
Thermo Fisher Scientific, Inc. 290,681 135,160,851
Vertex Pharmaceuticals, Inc. * 191,237 43,554,227
Viatris, Inc. * 883,670 14,863,329
Waters Corp. * 45,623 10,584,992
Zoetis, Inc. 348,744 55,931,563
    1,741,572,468
 
Real Estate 2.8%
Alexandria Real Estate Equities, Inc. 86,044 14,087,984
American Campus Communities, Inc. 100,430 3,997,114
American Homes 4 Rent, Class A 196,648 5,647,731
American Tower Corp. 326,102 75,394,782
Americold Realty Trust 150,002 5,119,568
Apartment Investment & Management Co., Class A 137,372 4,169,240
AvalonBay Communities, Inc. 103,471 17,237,234
Boston Properties, Inc. 104,545 10,262,137
Camden Property Trust 71,536 7,069,903
CBRE Group, Inc., Class A * 246,219 15,053,830
Crown Castle International Corp. 308,095 51,627,479
CubeSmart 143,088 4,654,653
CyrusOne, Inc. 86,451 6,043,789
Digital Realty Trust, Inc. 197,163 26,567,714
Douglas Emmett, Inc. 122,826 3,803,921
Duke Realty Corp. 272,565 10,373,824
Equinix, Inc. 64,976 45,339,603
Equity LifeStyle Properties, Inc. 124,227 7,278,460
Equity Residential 251,275 14,553,848
Essex Property Trust, Inc. 47,788 11,750,113
Extra Space Storage, Inc. 95,216 10,733,700
Federal Realty Investment Trust 50,855 4,435,573
Gaming & Leisure Properties, Inc. 153,171 6,362,723
Healthcare Trust of America, Inc., Class A 160,012 4,165,112
Healthpeak Properties, Inc. 395,845 11,424,087
Host Hotels & Resorts, Inc. 520,059 7,296,428
Invitation Homes, Inc. 413,266 11,811,142
Iron Mountain, Inc. 211,193 5,807,808
Jones Lang LaSalle, Inc. * 38,063 5,035,354
Kilroy Realty Corp. 76,919 4,704,366
Kimco Realty Corp. 318,116 4,593,595
Security Number
of Shares
Value ($)
Lamar Advertising Co., Class A 62,801 4,999,588
Medical Properties Trust, Inc. 389,049 7,547,551
Mid-America Apartment Communities, Inc. 83,164 10,491,970
National Retail Properties, Inc. 127,514 4,807,278
Omega Healthcare Investors, Inc. 165,990 5,846,168
Prologis, Inc. 542,265 54,253,613
Public Storage 111,625 25,055,347
Realty Income Corp. 253,936 15,228,542
Regency Centers Corp. 116,496 5,309,888
SBA Communications Corp. 82,418 23,668,801
Simon Property Group, Inc. 238,718 19,710,945
STORE Capital Corp. 166,807 5,431,236
Sun Communities, Inc. 72,084 10,019,676
UDR, Inc. 217,251 8,357,646
Ventas, Inc. 275,201 13,184,880
VEREIT, Inc. 794,544 5,633,317
VICI Properties, Inc. 390,403 9,873,292
Vornado Realty Trust 114,446 4,453,094
Welltower, Inc. 306,814 19,323,146
Weyerhaeuser Co. 545,178 15,831,969
WP Carey, Inc. 127,485 8,823,237
    694,253,999
 
Retailing 7.4%
Advance Auto Parts, Inc. 50,723 7,491,787
Amazon.com, Inc. * 312,745 990,788,670
AutoZone, Inc. * 17,086 19,437,888
Best Buy Co., Inc. 169,356 18,425,933
Booking Holdings, Inc. * 30,031 60,916,382
Burlington Stores, Inc. * 48,242 10,542,807
CarMax, Inc. * 118,898 11,114,585
Carvana Co. * 40,905 10,234,840
Dollar General Corp. 182,591 39,910,741
Dollar Tree, Inc. * 174,072 19,015,625
eBay, Inc. 486,993 24,559,057
Etsy, Inc. * 87,775 14,105,442
Expedia Group, Inc. 100,061 12,456,594
Genuine Parts Co. 106,278 10,454,567
GrubHub, Inc. * 67,642 4,757,938
L Brands, Inc. 173,092 6,717,701
LKQ Corp. * 206,813 7,283,954
Lowe's Cos., Inc. 555,364 86,536,818
O'Reilly Automotive, Inc. * 54,465 24,097,495
Pool Corp. 29,497 10,209,207
Ross Stores, Inc. 260,674 28,027,668
Target Corp. 367,541 65,984,636
The Gap, Inc. 151,106 3,167,182
The Home Depot, Inc. 790,676 219,341,429
The TJX Cos., Inc. 881,038 55,954,723
Tiffany & Co. 79,628 10,469,489
Tractor Supply Co. 85,244 12,003,208
Ulta Beauty, Inc. * 41,510 11,431,854
Wayfair, Inc., Class A * 50,171 12,761,496
Williams-Sonoma, Inc. 57,090 6,249,642
    1,814,449,358
 
Semiconductors & Semiconductor Equipment 5.2%
Advanced Micro Devices, Inc. * 861,721 79,847,068
Analog Devices, Inc. 271,875 37,812,375
Applied Materials, Inc. 670,795 55,327,171
Broadcom, Inc. 295,623 118,716,284
Enphase Energy, Inc. * 92,780 12,670,965
Entegris, Inc. 99,366 9,203,279
First Solar, Inc. * 62,114 5,803,311
Intel Corp. 3,125,506 151,118,215
KLA Corp. 114,314 28,803,698
 
35

 

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

Security Number
of Shares
Value ($)
Lam Research Corp. 106,889 48,384,375
Marvell Technology Group Ltd. 489,669 22,666,778
Maxim Integrated Products, Inc. 196,843 16,345,843
Microchip Technology, Inc. 185,117 24,877,874
Micron Technology, Inc. * 815,818 52,285,776
Monolithic Power Systems, Inc. 31,048 9,934,118
NVIDIA Corp. 453,231 242,959,010
NXP Semiconductor N.V. 205,319 32,526,636
ON Semiconductor Corp. * 298,515 8,582,306
Qorvo, Inc. * 84,046 13,168,327
QUALCOMM, Inc. 828,663 121,954,334
Skyworks Solutions, Inc. 123,043 17,369,980
SolarEdge Technologies, Inc. * 36,819 10,234,946
Teradyne, Inc. 122,409 13,506,609
Texas Instruments, Inc. 672,925 108,509,156
Universal Display Corp. 31,296 7,168,036
Xilinx, Inc. 179,263 26,091,730
    1,275,868,200
 
Software & Services 15.3%
Accenture plc, Class A 467,577 116,468,755
Adobe, Inc. * 352,409 168,617,134
Akamai Technologies, Inc. * 119,568 12,376,484
Alteryx, Inc., Class A * 39,129 4,689,219
Anaplan, Inc. * 100,733 7,050,303
ANSYS, Inc. * 62,843 21,244,705
Aspen Technology, Inc. * 49,812 6,697,223
Autodesk, Inc. * 161,058 45,133,283
Automatic Data Processing, Inc. 316,034 54,951,992
Avalara, Inc. * 61,144 10,501,482
Bill.com Holdings, Inc. * 43,330 5,317,024
Black Knight, Inc. * 115,623 10,593,379
Booz Allen Hamilton Holding Corp. 101,636 8,820,988
Broadridge Financial Solutions, Inc. 84,902 12,470,406
Cadence Design Systems, Inc. * 204,484 23,781,489
CDK Global, Inc. 90,888 4,353,535
Ceridian HCM Holding, Inc. * 95,211 9,180,245
Citrix Systems, Inc. 90,482 11,212,529
Cognizant Technology Solutions Corp., Class A 397,511 31,057,534
Coupa Software, Inc. * 49,213 16,186,648
Crowdstrike Holdings, Inc., Class A * 111,144 17,036,152
Datadog, Inc., Class A * 129,995 12,859,105
DocuSign, Inc. * 134,975 30,758,103
DXC Technology Co. 189,860 4,159,833
Dynatrace, Inc. * 133,827 5,088,103
Elastic N.V. * 43,527 5,388,643
EPAM Systems, Inc. * 40,997 13,214,563
Euronet Worldwide, Inc. * 38,878 5,226,758
Fair Isaac Corp. * 21,337 10,087,707
Fidelity National Information Services, Inc. 454,819 67,499,688
Fiserv, Inc. * 408,432 47,043,198
Five9, Inc. * 47,623 7,391,090
FleetCor Technologies, Inc. * 61,671 16,355,766
Fortinet, Inc. * 98,683 12,160,706
Gartner, Inc. * 65,812 10,003,424
Genpact Ltd. 130,790 5,316,613
Global Payments, Inc. 219,937 42,929,503
GoDaddy, Inc., Class A * 122,334 9,730,446
Guidewire Software, Inc. * 60,761 7,442,007
HubSpot, Inc. * 31,349 12,361,851
International Business Machines Corp. 653,726 80,748,236
Intuit, Inc. 192,198 67,657,540
Jack Henry & Associates, Inc. 56,541 9,095,185
Leidos Holdings, Inc. 98,044 9,873,031
Mastercard, Inc., Class A 648,852 218,345,186
Microsoft Corp. 5,558,911 1,189,996,078
Security Number
of Shares
Value ($)
MongoDB, Inc. * 37,103 10,660,063
NortonLifeLock, Inc. 432,861 7,891,056
Nuance Communications, Inc. * 207,762 8,960,775
Okta, Inc. * 85,030 20,835,751
Oracle Corp. 1,419,729 81,946,758
Palo Alto Networks, Inc. * 71,021 20,874,492
Paychex, Inc. 235,090 21,898,633
Paycom Software, Inc. * 35,976 15,004,870
PayPal Holdings, Inc. * 861,960 184,562,875
Pegasystems, Inc. 29,090 3,807,299
Proofpoint, Inc. * 42,189 4,366,140
PTC, Inc. * 76,568 8,257,859
RingCentral, Inc., Class A * 57,554 17,096,416
salesforce.com, Inc. * 668,555 164,330,819
ServiceNow, Inc. * 141,014 75,379,034
Slack Technologies, Inc., Class A * 318,154 13,642,444
Snowflake, Inc., Class A * 20,398 6,646,484
Splunk, Inc. * 116,337 23,753,689
Square, Inc., Class A * 272,443 57,474,575
SS&C Technologies Holdings, Inc. 165,201 11,380,697
Synopsys, Inc. * 111,244 25,308,010
The Trade Desk, Inc., Class A * 30,697 27,660,146
The Western Union Co. 303,067 6,837,192
Twilio, Inc., Class A * 100,873 32,288,439
Tyler Technologies, Inc. * 29,508 12,617,621
VeriSign, Inc. * 74,430 14,939,590
Visa, Inc., Class A 1,238,417 260,501,016
VMware, Inc., Class A * 59,483 8,321,077
WEX, Inc. * 32,653 5,656,806
Workday, Inc., Class A * 127,757 28,718,496
Zendesk, Inc. * 84,601 11,294,233
Zoom Video Communications, Inc., Class A * 133,634 63,925,160
Zscaler, Inc. * 52,789 8,221,887
    3,763,533,274
 
Technology Hardware & Equipment 7.4%
Amphenol Corp., Class A 218,519 28,584,470
Apple Inc. 11,808,925 1,405,852,521
Arista Networks, Inc. * 40,374 10,929,242
Arrow Electronics, Inc. * 56,985 5,222,675
CDW Corp. 105,047 13,707,583
Ciena Corp. * 111,375 4,989,600
Cisco Systems, Inc. 3,111,079 133,838,619
Cognex Corp. 126,050 9,471,397
Corning, Inc. 559,554 20,938,511
Dell Technologies, Inc., Class C * 171,728 11,854,384
F5 Networks, Inc. * 44,734 7,283,143
FLIR Systems, Inc. 97,414 3,725,111
Hewlett Packard Enterprise Co. 947,642 10,461,968
HP, Inc. 1,009,825 22,145,462
IPG Photonics Corp. * 26,166 5,416,624
Jabil, Inc. 99,902 3,818,254
Juniper Networks, Inc. 243,600 5,303,172
Keysight Technologies, Inc. * 137,752 16,535,750
Motorola Solutions, Inc. 124,953 21,433,188
National Instruments Corp. 96,569 3,614,578
NetApp, Inc. 162,865 8,682,333
Seagate Technology plc 164,473 9,672,657
TE Connectivity Ltd. 241,790 27,556,806
Trimble, Inc. * 184,230 11,029,850
Ubiquiti, Inc. 5,684 1,410,257
Vontier Corp. * 98,441 3,265,288
Western Digital Corp. 222,462 9,984,095
Zebra Technologies Corp., Class A * 39,114 14,801,520
    1,831,529,058
 
 
36

 

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

Security Number
of Shares
Value ($)
Telecommunication Services 1.7%
AT&T, Inc. 5,235,317 150,515,364
CenturyLink, Inc. 726,789 7,594,945
GCI Liberty, Inc., Class A * 74,691 6,805,844
Liberty Global plc, Class A * 104,757 2,359,128
Liberty Global plc, Class C * 273,896 5,927,109
T-Mobile US, Inc. * 427,133 56,783,061
Verizon Communications, Inc. 3,040,674 183,687,116
    413,672,567
 
Transportation 2.1%
Alaska Air Group, Inc. 90,939 4,635,161
AMERCO 6,758 2,799,366
American Airlines Group, Inc. 401,451 5,672,503
C.H. Robinson Worldwide, Inc. 99,171 9,319,099
CSX Corp. 562,322 50,637,096
Delta Air Lines, Inc. 469,457 18,895,644
Expeditors International of Washington, Inc. 123,266 11,016,282
FedEx Corp. 176,851 50,681,960
J.B. Hunt Transport Services, Inc. 61,215 8,281,165
Kansas City Southern 68,903 12,827,671
Lyft, Inc., Class A * 178,171 6,800,787
Norfolk Southern Corp. 187,487 44,438,169
Old Dominion Freight Line, Inc. 70,594 14,355,996
Southwest Airlines Co. 433,910 20,107,389
Uber Technologies, Inc. * 1,017,115 50,509,931
Union Pacific Corp. 498,836 101,802,451
United Airlines Holdings, Inc. * 214,393 9,658,405
United Parcel Service, Inc., Class B 519,536 88,877,023
XPO Logistics, Inc. * 67,151 7,163,669
    518,479,767
 
Utilities 2.8%
Alliant Energy Corp. 184,376 9,698,178
Ameren Corp. 181,390 14,108,514
American Electric Power Co., Inc. 364,836 30,970,928
American Water Works Co., Inc. 133,574 20,487,580
Atmos Energy Corp. 89,910 8,621,470
Avangrid, Inc. 41,819 1,946,256
CenterPoint Energy, Inc. 401,437 9,309,324
CMS Energy Corp. 210,024 12,924,877
Consolidated Edison, Inc. 246,285 18,779,231
Dominion Energy, Inc. 616,998 48,428,173
DTE Energy Co. 141,396 17,789,031
Duke Energy Corp. 539,717 50,010,177
Edison International 277,214 17,009,851
Entergy Corp. 146,150 15,908,428
Essential Utilities, Inc. 163,729 7,413,649
Evergy, Inc. 165,516 9,171,242
Security Number
of Shares
Value ($)
Eversource Energy 252,173 22,067,659
Exelon Corp. 716,561 29,429,160
FirstEnergy Corp. 399,572 10,612,632
NextEra Energy, Inc. 1,439,104 105,903,663
NiSource, Inc. 280,982 6,799,764
NRG Energy, Inc. 178,594 5,848,954
OGE Energy Corp. 148,923 4,823,616
PG&E Corp. * 1,072,314 13,618,388
Pinnacle West Capital Corp. 83,329 6,820,479
PPL Corp. 564,112 16,032,063
Public Service Enterprise Group, Inc. 371,314 21,640,180
Sempra Energy 211,884 27,010,972
The AES Corp. 488,525 9,985,451
The Southern Co. 775,087 46,388,957
UGI Corp. 152,568 5,413,113
Vistra Corp. 355,225 6,635,603
WEC Energy Group, Inc. 231,864 22,015,487
Xcel Energy, Inc. 384,931 25,928,952
    679,552,002
Total Common Stock
(Cost $16,788,551,601)   24,613,436,063

Other Investment Companies 0.1% of net assets
 
Money Market Fund 0.0%
State Street Institutional U.S. Government Money Market Fund, Premier Class 0.02% (c) 5,514,192 5,514,192
 
Securities Lending Collateral 0.1%
Wells Fargo Government Money Market Fund, Select Class 0.02% (c) 10,077,950 10,077,950
Total Other Investment Companies
(Cost $15,592,142)   15,592,142
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
S&P 500 Index, e-mini, expires 12/18/20 225 40,761,000 1,072,716
* Non-income producing security.
(a) All or a portion of this security is on loan. Securities on loan were valued at $9,180,331.
(b) Issuer is affiliated with the fund’s investment adviser.
(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, 2020:
 
Value at
8/31/20
Gross
Purchases
Gross
Sales
Realized
Gains(Losses)
Net change
in unrealized
appreciation
(depreciation)


Value at
11/30/20
Balance
of Shares
Held at
11/30/20
Dividends
Received
The Charles Schwab Corp. $29,793,042 $10,269,732 ($432,435) ($127,786) $13,337,601 $52,840,154 1,083,234 $194,325
    

37

 

Schwab U.S. Large-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, 2020:
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 $24,613,436,063 $— $— $24,613,436,063  
Other Investment Companies1 15,592,142 15,592,142  
Futures Contracts2 1,072,716 1,072,716  
Total $24,630,100,921 $— $— $24,630,100,921  
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, 2020 (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 2.7%
Tesla, Inc. * 616,113 349,705,739
 
Banks 0.1%
SVB Financial Group * 42,626 14,700,002
 
Capital Goods 2.1%
Generac Holdings, Inc. * 51,825 11,173,470
Huntington Ingalls Industries, Inc. 33,340 5,340,735
L3Harris Technologies, Inc. 178,782 34,324,356
Nordson Corp. 44,500 9,069,545
Northrop Grumman Corp. 128,042 38,701,975
Roper Technologies, Inc. 86,604 36,979,908
Teledyne Technologies, Inc. * 30,385 11,483,707
The Boeing Co. 438,394 92,374,000
TransDigm Group, Inc. 44,829 25,964,508
Trex Co., Inc. * 95,493 7,144,786
    272,556,990
 
Commercial & Professional Services 0.8%
Cintas Corp. 71,905 25,547,846
Copart, Inc. * 170,848 19,724,402
CoStar Group, Inc. * 32,570 29,657,265
Verisk Analytics, Inc. 134,346 26,642,155
    101,571,668
 
Consumer Durables & Apparel 0.5%
Lululemon Athletica, Inc. * 98,015 36,287,113
NVR, Inc. * 2,872 11,479,901
Peloton Interactive, Inc., Class A * 170,049 19,785,201
    67,552,215
 
Consumer Services 0.4%
Chegg, Inc. * 102,574 7,993,592
Chipotle Mexican Grill, Inc. * 23,139 29,836,121
Domino's Pizza, Inc. 32,592 12,794,641
Norwegian Cruise Line Holdings Ltd. * 260,859 5,965,845
    56,590,199
 
Diversified Financials 1.9%
BlackRock, Inc. 117,217 81,858,492
Credit Acceptance Corp. * 10,030 2,993,754
FactSet Research Systems, Inc. 31,509 10,516,444
MarketAxess Holdings, Inc. 31,454 16,959,368
Moody's Corp. 133,558 37,708,766
MSCI, Inc. 69,209 28,335,549
S&P Global, Inc. 199,194 70,072,465
    248,444,838
 
Security Number
of Shares
Value ($)
Energy 0.2%
Cheniere Energy, Inc. * 189,239 10,727,959
Diamondback Energy, Inc. 130,054 5,196,958
Parsley Energy, Inc., Class A 245,863 3,080,663
    19,005,580
 
Food & Staples Retailing 1.2%
Costco Wholesale Corp. 364,836 142,931,800
US Foods Holding Corp. * 181,681 5,719,318
    148,651,118
 
Food, Beverage & Tobacco 0.3%
Beyond Meat, Inc. * 40,700 5,693,930
Monster Beverage Corp. * 305,538 25,903,512
Post Holdings, Inc. * 51,840 4,896,806
The Boston Beer Co., Inc., Class A * 7,524 7,003,640
    43,497,888
 
Health Care Equipment & Services 7.9%
ABIOMED, Inc. * 37,146 10,181,719
Align Technology, Inc. * 59,298 28,539,534
Boston Scientific Corp. * 1,183,283 39,225,832
Centene Corp. * 479,242 29,545,269
Chemed Corp. 13,120 6,274,640
Cigna Corp. 303,716 63,519,164
Danaher Corp. 521,866 117,226,760
DexCom, Inc. * 79,196 25,317,377
Edwards Lifesciences Corp. * 514,194 43,135,735
Guardant Health, Inc. * 69,848 8,459,990
Haemonetics Corp. * 41,777 4,714,535
HCA Healthcare, Inc. 218,067 32,734,037
Humana, Inc. 109,254 43,758,412
IDEXX Laboratories, Inc. * 70,331 32,421,184
Insulet Corp. * 54,142 13,952,935
Intuitive Surgical, Inc. * 96,702 70,210,487
Masimo Corp. * 41,690 10,609,688
Molina Healthcare, Inc. * 48,890 9,979,916
Penumbra, Inc. * 27,697 6,145,964
Quidel Corp. * 31,501 6,144,270
ResMed, Inc. 119,814 25,113,014
Teladoc Health, Inc. * 98,817 19,641,855
Teleflex, Inc. 38,348 14,677,697
The Cooper Cos., Inc. 40,678 13,636,079
UnitedHealth Group, Inc. 785,467 264,183,971
Veeva Systems, Inc., Class A * 111,689 30,923,334
West Pharmaceutical Services, Inc. 61,096 16,811,175
Zimmer Biomet Holdings, Inc. 171,223 25,532,774
    1,012,617,347
 
Household & Personal Products 0.4%
The Estee Lauder Cos., Inc., Class A 186,632 45,784,562
 
 
39

 

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

Security Number
of Shares
Value ($)
Insurance 0.2%
Alleghany Corp. 11,794 6,783,909
Athene Holding Ltd., Class A * 103,902 4,608,054
Markel Corp. * 11,420 11,121,139
RenaissanceRe Holdings Ltd. 42,210 6,949,454
    29,462,556
 
Materials 1.8%
Berry Global Group, Inc. * 109,222 5,788,766
Linde plc 434,194 111,336,026
Martin Marietta Materials, Inc. 51,584 13,702,258
Newmont Corp. 664,371 39,078,302
Royal Gold, Inc. 54,086 5,974,880
The Sherwin-Williams Co. 67,775 50,670,623
    226,550,855
 
Media & Entertainment 14.9%
Alphabet, Inc., Class A * 248,267 435,559,625
Alphabet, Inc., Class C * 242,590 427,137,917
Altice USA, Inc., Class A * 272,584 9,246,049
Cable One, Inc. 4,470 8,853,595
Charter Communications, Inc., Class A * 123,641 80,612,696
Facebook, Inc., Class A * 1,987,185 550,390,629
Fox Corp., Class A 283,299 8,170,343
Fox Corp., Class B 129,225 3,667,405
Liberty Broadband Corp., Class A * 19,228 3,014,374
Liberty Broadband Corp., Class C * 126,562 19,914,531
Liberty Media Corp. - Liberty SiriusXM, Class A * 68,602 2,808,566
Liberty Media Corp. - Liberty SiriusXM, Class C * 143,605 5,889,241
Live Nation Entertainment, Inc. * 117,151 7,690,963
Match Group, Inc. * 215,186 29,956,043
Netflix, Inc. * 364,513 178,866,529
Pinterest, Inc., Class A * 383,545 26,855,821
Roku, Inc. * 87,633 25,726,420
Snap, Inc., Class A * 742,024 32,960,706
Take-Two Interactive Software, Inc. * 94,655 17,086,174
Twitter, Inc. * 654,023 30,418,610
Zillow Group, Inc., Class A * 29,681 3,275,298
Zillow Group, Inc., Class C * 118,401 12,764,812
    1,920,866,347
 
Pharmaceuticals, Biotechnology & Life Sciences 4.5%
Alexion Pharmaceuticals, Inc. * 181,269 22,134,758
Alnylam Pharmaceuticals, Inc. * 96,068 12,480,194
Avantor, Inc. * 425,365 11,603,957
Bio-Rad Laboratories, Inc., Class A * 17,642 9,500,217
Bio-Techne Corp. 31,783 9,640,102
BioMarin Pharmaceutical, Inc. * 150,263 11,825,698
Bluebird Bio, Inc. * 54,576 2,406,256
Charles River Laboratories International, Inc. * 40,987 9,612,271
Exact Sciences Corp. * 123,812 14,988,681
Exelixis, Inc. * 254,706 4,880,167
Horizon Therapeutics plc * 174,428 12,284,964
Illumina, Inc. * 120,772 38,899,453
Incyte Corp. * 153,947 13,014,679
Ionis Pharmaceuticals, Inc. * 115,123 5,817,165
IQVIA Holdings, Inc. * 158,267 26,745,540
Mettler-Toledo International, Inc. * 19,837 22,813,343
Neurocrine Biosciences, Inc. * 76,874 7,298,418
PRA Health Sciences, Inc. * 52,698 5,912,716
Regeneron Pharmaceuticals, Inc. * 86,366 44,567,447
Sarepta Therapeutics, Inc. * 64,731 9,118,009
Security Number
of Shares
Value ($)
Seagen, Inc. * 100,760 17,160,436
Syneos Health, Inc. * 57,754 3,802,523
Thermo Fisher Scientific, Inc. 327,002 152,049,390
Vertex Pharmaceuticals, Inc. * 215,517 49,083,997
Zoetis, Inc. 392,540 62,955,565
    580,595,946
 
Real Estate 1.4%
American Tower Corp. 366,574 84,751,909
CBRE Group, Inc., Class A * 277,616 16,973,442
CyrusOne, Inc. 96,318 6,733,591
Equinix, Inc. 73,168 51,055,899
SBA Communications Corp. 92,557 26,580,519
    186,095,360
 
Retailing 12.6%
Amazon.com, Inc. * 351,862 1,114,712,891
AutoZone, Inc. * 19,308 21,965,746
Booking Holdings, Inc. * 33,884 68,732,000
Carvana Co. * 45,839 11,469,376
Dollar General Corp. 205,921 45,010,212
Dollar Tree, Inc. * 196,323 21,446,325
Etsy, Inc. * 98,506 15,829,914
Expedia Group, Inc. 112,578 14,014,835
GrubHub, Inc. * 76,124 5,354,562
O'Reilly Automotive, Inc. * 61,223 27,087,504
Pool Corp. 33,251 11,508,504
The Home Depot, Inc. 889,661 246,800,858
Ulta Beauty, Inc. * 46,417 12,783,242
Wayfair, Inc., Class A * 56,634 14,405,424
    1,631,121,393
 
Semiconductors & Semiconductor Equipment 4.4%
Broadcom, Inc. 332,405 133,487,200
Enphase Energy, Inc. * 103,980 14,200,549
Lam Research Corp. 120,488 54,540,098
Monolithic Power Systems, Inc. 34,834 11,145,487
NVIDIA Corp. 510,005 273,393,280
NXP Semiconductor N.V. 231,048 36,602,624
ON Semiconductor Corp. * 338,695 9,737,481
Qorvo, Inc. * 94,664 14,831,955
SolarEdge Technologies, Inc. * 41,363 11,498,087
Universal Display Corp. 35,348 8,096,106
    567,532,867
 
Software & Services 27.7%
Adobe, Inc. * 396,510 189,718,140
Alteryx, Inc., Class A * 44,112 5,286,382
Anaplan, Inc. * 113,431 7,939,036
ANSYS, Inc. * 70,967 23,991,104
Aspen Technology, Inc. * 55,832 7,506,612
Autodesk, Inc. * 181,369 50,825,035
Avalara, Inc. * 68,894 11,832,544
Bill.com Holdings, Inc. * 48,652 5,970,087
Black Knight, Inc. * 130,171 11,926,267
Cadence Design Systems, Inc. * 230,642 26,823,665
Coupa Software, Inc. * 55,538 18,267,004
Crowdstrike Holdings, Inc., Class A * 125,211 19,192,342
Datadog, Inc., Class A * 145,665 14,409,182
DocuSign, Inc. * 151,794 34,590,817
Dynatrace, Inc. * 150,767 5,732,161
Elastic N.V. * 49,248 6,096,902
EPAM Systems, Inc. * 46,241 14,904,862
Fair Isaac Corp. * 24,054 11,372,250
Fiserv, Inc. * 459,682 52,946,173
 
40

 

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

Security Number
of Shares
Value ($)
Five9, Inc. * 53,942 8,371,798
FleetCor Technologies, Inc. * 69,541 18,442,969
Fortinet, Inc. * 111,267 13,711,432
Gartner, Inc. * 73,546 11,178,992
Global Payments, Inc. 247,489 48,307,378
GoDaddy, Inc., Class A * 137,561 10,941,602
HubSpot, Inc. * 35,533 14,011,728
Intuit, Inc. 216,388 76,172,904
Jack Henry & Associates, Inc. 63,188 10,164,422
Mastercard, Inc., Class A 730,137 245,698,402
Microsoft Corp. 6,254,193 1,338,835,096
MongoDB, Inc. * 41,728 11,988,872
Okta, Inc. * 96,057 23,537,807
Palo Alto Networks, Inc. * 79,795 23,453,346
Paycom Software, Inc. * 40,379 16,841,273
PayPal Holdings, Inc. * 969,839 207,661,927
Pegasystems, Inc. 32,522 4,256,479
Proofpoint, Inc. * 47,487 4,914,430
PTC, Inc. * 86,155 9,291,817
RingCentral, Inc., Class A * 64,669 19,209,926
salesforce.com, Inc. * 752,164 184,881,911
ServiceNow, Inc. * 158,531 84,742,746
Slack Technologies, Inc., Class A * 356,969 15,306,831
Snowflake, Inc., Class A * 23,119 7,533,095
Splunk, Inc. * 131,422 26,833,744
Square, Inc., Class A * 307,071 64,779,698
SS&C Technologies Holdings, Inc. 185,719 12,794,182
Synopsys, Inc. * 125,561 28,565,127
The Trade Desk, Inc., Class A * 34,543 31,125,661
Twilio, Inc., Class A * 113,636 36,373,747
Tyler Technologies, Inc. * 33,200 14,196,320
Visa, Inc., Class A 1,393,631 293,150,281
VMware, Inc., Class A *(a) 66,429 9,292,753
WEX, Inc. * 36,326 6,293,116
Workday, Inc., Class A * 143,925 32,352,901
Zendesk, Inc. * 95,183 12,706,930
Zoom Video Communications, Inc., Class A * 150,482 71,984,570
Zscaler, Inc. * 59,206 9,221,334
    3,578,458,112
 
Technology Hardware & Equipment 12.7%
Apple Inc. 13,286,384 1,581,744,015
Arista Networks, Inc. * 45,446 12,302,232
Ciena Corp. * 126,811 5,681,133
Dell Technologies, Inc., Class C * 194,472 13,424,402
IPG Photonics Corp. * 29,422 6,090,648
Ubiquiti, Inc. 6,309 1,565,326
Zebra Technologies Corp., Class A * 44,220 16,733,733
    1,637,541,489
 
Security Number
of Shares
Value ($)
Telecommunication Services 0.5%
T-Mobile US, Inc. * 481,329 63,987,877
 
Transportation 0.7%
AMERCO 7,431 3,078,143
Lyft, Inc., Class A * 200,016 7,634,611
Old Dominion Freight Line, Inc. 79,673 16,202,301
Uber Technologies, Inc. * 1,145,206 56,870,930
XPO Logistics, Inc. * 75,294 8,032,364
    91,818,349
Total Common Stock
(Cost $7,905,892,277)   12,894,709,297

Other Investment Companies 0.1% of net assets
 
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 0.02% (b) 9,377,758 9,377,758
 
Securities Lending Collateral 0.0%
Wells Fargo Government Money Market Fund, Select Class 0.02% (b) 4,060,000 4,060,000
Total Other Investment Companies
(Cost $13,437,758)   13,437,758
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
Russell 1000 Growth Index, e-mini, expires 12/18/20 142 16,496,140 989,293
* Non-income producing security.
(a) All or a portion of this security is on loan. Securities on loan were valued at $3,916,920.
(b) The rate shown is the 7-day yield.
 

41

 

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, 2020:
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 $12,894,709,297 $— $— $12,894,709,297  
Other Investment Companies1 13,437,758 13,437,758  
Futures Contracts2 989,293 989,293  
Total $12,909,136,348 $— $— $12,909,136,348  
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.
42

 

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

Portfolio Holdings as of November 30, 2020 (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 0.9%
Aptiv plc 113,606 13,485,032
Autoliv, Inc. 33,168 2,953,611
BorgWarner, Inc. 102,524 3,983,058
Ford Motor Co. 1,644,062 14,928,083
General Motors Co. 530,279 23,247,431
Gentex Corp. 103,622 3,378,077
Harley-Davidson, Inc. 64,897 2,614,700
Lear Corp. 23,064 3,296,999
    67,886,991
 
Banks 6.4%
Bank of America Corp. 3,211,646 90,439,951
BOK Financial Corp. 12,760 854,282
Citigroup, Inc. 876,948 48,293,526
Citizens Financial Group, Inc. 179,768 5,871,223
Comerica, Inc. 58,686 2,887,351
Commerce Bancshares, Inc. 42,290 2,789,449
Cullen/Frost Bankers, Inc. 23,274 1,952,921
East West Bancorp, Inc. 59,576 2,545,087
Fifth Third Bancorp 300,201 7,607,093
First Republic Bank 72,405 9,380,792
Huntington Bancshares, Inc. 428,364 5,174,637
JPMorgan Chase & Co. 1,283,596 151,310,297
KeyCorp 411,502 6,361,821
M&T Bank Corp. 53,880 6,276,481
New York Community Bancorp, Inc. 195,767 1,896,982
People's United Financial, Inc. 179,088 2,220,691
Regions Financial Corp. 404,129 6,171,050
Signature Bank 22,570 2,532,128
The PNC Financial Services Group, Inc. 178,635 24,664,135
Truist Financial Corp. 567,810 26,357,740
U.S. Bancorp 577,574 24,956,973
Wells Fargo & Co. 1,735,469 47,465,077
Zions Bancorp NA 69,197 2,670,312
    480,679,999
 
Capital Goods 9.0%
3M Co. 242,613 41,906,543
A.O. Smith Corp. 57,073 3,213,781
Acuity Brands, Inc. 16,596 1,970,277
AGCO Corp. 25,819 2,388,516
Allegion plc 38,919 4,438,323
Allison Transmission Holdings, Inc. 47,596 1,953,816
AMETEK, Inc. 96,609 11,451,065
Carlisle Cos., Inc. 23,023 3,334,421
Carrier Global Corp. 342,610 13,043,163
Caterpillar, Inc. 228,100 39,595,879
Cummins, Inc. 62,184 14,375,075
Deere & Co. 132,012 34,536,979
Donaldson Co., Inc. 52,918 2,817,354
Dover Corp. 60,637 7,399,533
Security Number
of Shares
Value ($)
Eaton Corp. plc 168,416 20,396,862
Emerson Electric Co. 251,630 19,330,217
Fastenal Co. 241,387 11,936,587
Fortive Corp. 141,883 9,950,255
Fortune Brands Home & Security, Inc. 58,095 4,850,933
General Dynamics Corp. 97,696 14,590,898
General Electric Co. 3,688,221 37,546,090
Graco, Inc. 70,304 4,762,393
HD Supply Holdings, Inc. * 68,371 3,813,734
HEICO Corp. 17,671 2,183,782
HEICO Corp., Class A 31,044 3,438,123
Honeywell International, Inc. 295,645 60,287,928
Howmet Aerospace, Inc. 165,609 3,885,187
Hubbell, Inc. 22,869 3,695,402
IDEX Corp. 31,856 6,152,986
Illinois Tool Works, Inc. 121,274 25,599,729
Ingersoll Rand, Inc. * 156,597 6,932,549
Jacobs Engineering Group, Inc. 54,776 5,907,044
Johnson Controls International plc 312,970 14,409,139
Lennox International, Inc. 14,627 4,210,089
Lincoln Electric Holdings, Inc. 25,023 2,877,645
Lockheed Martin Corp. 103,608 37,816,920
Masco Corp. 110,239 5,916,527
Nikola Corp. *(a) 57,652 1,176,677
Otis Worldwide Corp. 171,206 11,460,530
Owens Corning 45,513 3,316,532
PACCAR, Inc. 145,845 12,697,266
Parker-Hannifin Corp. 54,050 14,445,403
Pentair plc 69,903 3,622,373
Quanta Services, Inc. 57,786 3,949,095
Raytheon Technologies Corp. 642,948 46,112,231
Rockwell Automation, Inc. 48,881 12,492,028
Sensata Technologies Holding plc * 65,863 3,216,090
Snap-on, Inc. 22,932 4,032,592
Stanley Black & Decker, Inc. 67,121 12,371,072
Textron, Inc. 96,317 4,343,897
The Middleby Corp. * 23,328 3,172,375
The Toro Co. 45,419 4,119,957
Trane Technologies plc 100,881 14,752,837
United Rentals, Inc. * 30,220 6,859,336
W.W. Grainger, Inc. 18,958 7,930,131
Watsco, Inc. 13,863 3,151,892
Westinghouse Air Brake Technologies Corp. 75,019 5,498,893
Woodward, Inc. 24,394 2,727,981
Xylem, Inc. 75,796 7,274,142
    681,639,074
 
Commercial & Professional Services 1.0%
ADT, Inc. 63,770 495,493
Dun & Bradstreet Holdings, Inc. * 56,386 1,511,709
Equifax, Inc. 51,139 8,535,099
IAA, Inc. * 56,386 3,378,649
IHS Markit Ltd. 157,269 15,641,975
ManpowerGroup, Inc. 24,312 2,106,635
Nielsen Holdings plc 149,681 2,420,342
Republic Services, Inc. 88,488 8,558,559
 
43

 

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

Security Number
of Shares
Value ($)
Robert Half International, Inc. 48,237 3,095,851
Rollins, Inc. 62,111 3,551,507
Stericycle, Inc. * 38,424 2,706,586
TransUnion 80,128 7,298,859
Waste Management, Inc. 163,579 19,487,166
    78,788,430
 
Consumer Durables & Apparel 1.9%
D.R. Horton, Inc. 139,258 10,374,721
Garmin Ltd. 62,853 7,338,716
Hanesbrands, Inc. 147,324 2,092,001
Hasbro, Inc. 53,774 5,002,595
Leggett & Platt, Inc. 56,028 2,414,807
Lennar Corp., B Shares 6,432 390,422
Lennar Corp., Class A 115,607 8,769,947
Mohawk Industries, Inc. * 25,223 3,173,810
Newell Brands, Inc. 159,368 3,388,164
NIKE, Inc., Class B 524,376 70,633,447
Polaris, Inc. 24,347 2,337,312
PulteGroup, Inc. 112,421 4,904,928
Tapestry, Inc. 115,797 3,279,371
Toll Brothers, Inc. 48,188 2,281,702
Under Armour, Inc., Class A * 78,980 1,308,699
Under Armour, Inc., Class C * 82,046 1,193,769
VF Corp. 134,481 11,215,716
Whirlpool Corp. 26,210 5,100,728
    145,200,855
 
Consumer Services 2.9%
Aramark 106,761 3,736,635
Bright Horizons Family Solutions, Inc. * 25,464 4,331,681
Carnival Corp. 217,385 4,343,352
Darden Restaurants, Inc. 54,806 5,917,952
DraftKings, Inc., Class A * 126,981 6,648,725
Dunkin' Brands Group, Inc. 34,429 3,661,180
Hilton Worldwide Holdings, Inc. 116,720 12,095,694
Las Vegas Sands Corp. 138,468 7,714,052
Marriott International, Inc., Class A 111,893 14,195,865
McDonald's Corp. 313,417 68,149,393
MGM Resorts International 172,724 4,879,453
Royal Caribbean Cruises Ltd. 75,219 5,928,009
Service Corp. International 74,336 3,615,703
Starbucks Corp. 492,463 48,271,223
Terminix Global Holdings, Inc. * 55,835 2,737,590
Vail Resorts, Inc. 16,886 4,657,834
Wyndham Hotels & Resorts, Inc. 39,390 2,264,925
Wynn Resorts Ltd. 40,978 4,118,289
Yum! Brands, Inc. 126,758 13,410,997
    220,678,552
 
Diversified Financials 7.3%
AGNC Investment Corp. 234,304 3,580,165
Ally Financial, Inc. 156,491 4,639,958
American Express Co. 274,512 32,554,378
Ameriprise Financial, Inc. 50,664 9,384,999
Annaly Capital Management, Inc. 590,201 4,721,608
Apollo Global Management, Inc. 87,791 3,829,443
Berkshire Hathaway, Inc., Class B * 834,846 191,104,598
Capital One Financial Corp. 192,620 16,495,977
Cboe Global Markets, Inc. 45,656 4,169,306
CME Group, Inc. 151,122 26,450,884
Discover Financial Services 129,097 9,833,318
Eaton Vance Corp. 48,212 3,229,240
Equitable Holdings, Inc. 170,584 4,329,422
Franklin Resources, Inc. 112,750 2,479,372
Intercontinental Exchange, Inc. 236,571 24,960,606
Security Number
of Shares
Value ($)
Invesco Ltd. 159,551 2,589,513
Jefferies Financial Group, Inc. 91,500 2,079,795
KKR & Co., Inc. 235,534 8,933,805
Morgan Stanley 601,584 37,195,939
Morningstar, Inc. 8,998 1,800,500
Nasdaq, Inc. 48,528 6,211,099
Northern Trust Corp. 87,657 8,162,620
Raymond James Financial, Inc. 51,437 4,678,195
Santander Consumer USA Holdings, Inc. 31,413 694,227
SEI Investments Co. 51,254 2,703,648
Starwood Property Trust, Inc. 120,262 2,157,500
State Street Corp. 148,400 10,459,232
Synchrony Financial 227,817 6,941,584
T. Rowe Price Group, Inc. 95,477 13,692,357
The Bank of New York Mellon Corp. 342,771 13,409,201
The Blackstone Group, Inc., Class A 282,349 16,813,883
The Carlyle Group, Inc. 48,617 1,381,209
The Charles Schwab Corp. (b) 621,967 30,339,550
The Goldman Sachs Group, Inc. 144,970 33,427,183
Voya Financial, Inc. 53,320 3,072,832
    548,507,146
 
Energy 3.8%
Apache Corp. 159,054 2,050,206
Baker Hughes Co. 275,252 5,152,717
Cabot Oil & Gas Corp. 168,304 2,948,686
Chevron Corp. 810,872 70,691,821
Concho Resources, Inc. 82,337 4,732,731
ConocoPhillips 452,082 17,884,364
Continental Resources, Inc. 25,904 398,404
Devon Energy Corp. 161,171 2,254,782
EOG Resources, Inc. 245,199 11,494,929
Exxon Mobil Corp. 1,780,967 67,908,272
Halliburton Co. 371,053 6,155,769
Hess Corp. 115,207 5,435,466
HollyFrontier Corp. 61,948 1,448,964
Kinder Morgan, Inc. 819,002 11,777,249
Marathon Oil Corp. 334,249 1,978,754
Marathon Petroleum Corp. 274,036 10,654,520
National Oilwell Varco, Inc. 163,735 2,007,391
Occidental Petroleum Corp. 353,524 5,571,538
ONEOK, Inc. 186,878 6,703,314
Phillips 66 183,861 11,138,299
Pioneer Natural Resources Co. 69,298 6,969,993
Schlumberger N.V. 584,391 12,149,489
Targa Resources Corp. 98,113 2,305,655
The Williams Cos., Inc. 510,818 10,716,962
Valero Energy Corp. 171,878 9,241,880
    289,772,155
 
Food & Staples Retailing 1.7%
Sysco Corp. 214,279 15,275,950
The Kroger Co. 327,289 10,800,537
Walgreens Boots Alliance, Inc. 302,632 11,503,042
Walmart, Inc. 584,865 89,361,524
    126,941,053
 
Food, Beverage & Tobacco 5.6%
Altria Group, Inc. 782,015 31,147,657
Archer-Daniels-Midland Co. 233,835 11,637,968
Brown-Forman Corp., Class A 23,613 1,740,986
Brown-Forman Corp., Class B 76,821 6,196,382
Bunge Ltd. 58,583 3,449,953
Campbell Soup Co. 84,903 4,246,848
Conagra Brands, Inc. 205,748 7,522,147
Constellation Brands, Inc., Class A 70,803 14,574,089
 
44

 

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

Security Number
of Shares
Value ($)
General Mills, Inc. 257,282 15,647,891
Hormel Foods Corp. 118,361 5,584,272
Ingredion, Inc. 27,922 2,154,182
Kellogg Co. 106,894 6,831,596
Keurig Dr Pepper, Inc. 242,877 7,395,605
Lamb Weston Holdings, Inc. 61,272 4,434,867
McCormick & Co., Inc. Non-Voting Shares 52,092 9,740,162
Molson Coors Beverage Co., Class B 79,563 3,659,898
Mondelez International, Inc., Class A 601,996 34,584,670
PepsiCo, Inc. 583,046 84,092,725
Philip Morris International, Inc. 655,916 49,685,637
The Coca-Cola Co. 1,628,058 84,007,793
The Hershey Co. 62,027 9,173,173
The J.M. Smucker Co. 48,148 5,642,946
The Kraft Heinz Co. 272,819 8,986,658
Tyson Foods, Inc., Class A 123,988 8,084,018
    420,222,123
 
Health Care Equipment & Services 5.1%
Abbott Laboratories 745,687 80,698,247
AmerisourceBergen Corp. 61,972 6,389,933
Anthem, Inc. 105,924 32,997,445
Baxter International, Inc. 213,102 16,210,669
Becton Dickinson & Co. 122,110 28,676,312
Cardinal Health, Inc. 123,358 6,734,113
Cerner Corp. 128,536 9,619,634
CVS Health Corp. 551,141 37,361,848
DaVita, Inc. * 31,548 3,465,548
DENTSPLY SIRONA, Inc. 92,143 4,689,157
Encompass Health Corp. 42,071 3,390,081
Henry Schein, Inc. * 59,880 3,850,883
Hill-Rom Holdings, Inc. 28,060 2,661,772
Hologic, Inc. * 109,044 7,538,212
Laboratory Corp. of America Holdings * 40,976 8,188,644
McKesson Corp. 68,242 12,277,418
Medtronic plc 566,151 64,371,369
Quest Diagnostics, Inc. 56,561 7,012,433
STERIS plc 35,814 6,941,111
Stryker Corp. 137,648 32,127,043
Universal Health Services, Inc., Class B 32,795 4,282,371
Varian Medical Systems, Inc. * 38,368 6,675,265
    386,159,508
 
Household & Personal Products 2.9%
Church & Dwight Co., Inc. 104,067 9,133,961
Colgate-Palmolive Co. 361,310 30,942,588
Herbalife Nutrition Ltd. * 41,254 1,976,479
Kimberly-Clark Corp. 143,483 19,988,617
Reynolds Consumer Products, Inc. 22,638 686,837
The Clorox Co. 53,093 10,775,755
The Procter & Gamble Co. 1,048,613 145,620,887
    219,125,124
 
Insurance 3.4%
Aflac, Inc. 279,048 12,258,579
American Financial Group, Inc. 30,253 2,704,921
American International Group, Inc. 362,573 13,937,306
Aon plc, Class A 97,500 19,976,775
Arch Capital Group Ltd. * 171,262 5,513,780
Arthur J. Gallagher & Co. 80,596 9,301,584
Assurant, Inc. 25,230 3,257,698
Brown & Brown, Inc. 98,494 4,435,185
Chubb Ltd. 190,195 28,116,527
Cincinnati Financial Corp. 63,105 4,818,067
CNA Financial Corp. 11,686 403,284
Erie Indemnity Co., Class A 10,535 2,376,801
Security Number
of Shares
Value ($)
Everest Re Group Ltd. 16,796 3,818,235
Fidelity National Financial, Inc. 123,135 4,431,629
Globe Life, Inc. 41,106 3,826,969
Lincoln National Corp. 76,821 3,627,488
Loews Corp. 100,677 4,219,373
Marsh & McLennan Cos., Inc. 213,505 24,476,213
MetLife, Inc. 324,602 14,986,874
Old Republic International Corp. 117,967 2,113,969
Principal Financial Group, Inc. 106,983 5,326,683
Prudential Financial, Inc. 166,172 12,565,927
Reinsurance Group of America, Inc. 28,437 3,278,217
The Allstate Corp. 131,366 13,445,310
The Hartford Financial Services Group, Inc. 151,101 6,678,664
The Progressive Corp. 246,766 21,495,786
The Travelers Cos., Inc. 106,751 13,840,267
W.R. Berkley Corp. 59,308 3,862,730
Willis Towers Watson plc 54,164 11,276,403
    260,371,244
 
Materials 3.5%
Air Products and Chemicals, Inc. 93,075 26,074,030
Albemarle Corp. 44,857 6,099,206
Amcor plc 660,957 7,488,643
AptarGroup, Inc. 27,160 3,430,851
Ashland Global Holdings, Inc. 23,061 1,733,495
Avery Dennison Corp. 35,168 5,251,989
Axalta Coating Systems Ltd. * 87,748 2,510,470
Ball Corp. 137,324 13,184,477
Celanese Corp. 49,906 6,454,343
CF Industries Holdings, Inc. 90,447 3,373,673
Corteva, Inc. 314,983 12,070,149
Crown Holdings, Inc. * 56,745 5,348,216
Dow, Inc. 312,219 16,550,729
DuPont de Nemours, Inc. 308,917 19,597,694
Eastman Chemical Co. 56,734 5,525,892
Ecolab, Inc. 104,630 23,243,554
FMC Corp. 54,611 6,335,422
Freeport-McMoRan, Inc. 611,463 14,302,120
Huntsman Corp. 83,777 2,075,156
International Flavors & Fragrances, Inc. (a) 44,846 5,027,237
International Paper Co. 165,704 8,199,034
LyondellBasell Industries N.V., Class A 108,259 9,212,841
NewMarket Corp. 3,066 1,133,684
Nucor Corp. 127,035 6,821,779
Packaging Corp. of America 40,022 5,202,860
PPG Industries, Inc. 99,456 14,597,157
Reliance Steel & Aluminum Co. 26,766 3,153,035
RPM International, Inc. 54,863 4,828,493
Sealed Air Corp. 65,750 2,962,695
Sonoco Products Co. 41,989 2,437,881
Steel Dynamics, Inc. 84,637 3,064,706
The Mosaic Co. 144,731 3,178,293
The Scotts Miracle-Gro Co. 17,184 3,020,432
Vulcan Materials Co. 55,787 7,790,655
Westlake Chemical Corp. 14,630 1,099,445
Westrock Co. 109,131 4,606,420
    266,986,756
 
Media & Entertainment 3.9%
Activision Blizzard, Inc. 324,849 25,818,998
Comcast Corp., Class A 1,919,721 96,446,783
Discovery, Inc., Class A * 67,650 1,820,461
Discovery, Inc., Class C * 130,034 3,123,417
DISH Network Corp., Class A * 104,258 3,739,734
Electronic Arts, Inc. * 121,653 15,541,171
IAC/InterActiveCorp * 33,313 4,730,113
 
45

 

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

Security Number
of Shares
Value ($)
Liberty Media Corp. - Liberty Formula One, Class A * 10,879 411,553
Liberty Media Corp. - Liberty Formula One, Class C * 85,268 3,562,497
News Corp., Class A 163,972 2,894,106
News Corp., Class B 51,644 919,780
Omnicom Group, Inc. 90,640 5,710,320
Sirius XM Holdings, Inc. 509,911 3,309,322
The Interpublic Group of Cos., Inc. 164,706 3,669,650
The Walt Disney Co. 761,022 112,638,866
ViacomCBS, Inc., Class B 241,884 8,533,668
Zynga, Inc., Class A * 422,265 3,483,686
    296,354,125
 
Pharmaceuticals, Biotechnology & Life Sciences 9.3%
AbbVie, Inc. 743,243 77,728,353
Agilent Technologies, Inc. 129,884 15,183,440
Amgen, Inc. 246,665 54,769,497
Biogen, Inc. * 66,623 16,000,846
Bristol-Myers Squibb Co. 949,273 59,234,635
Catalent, Inc. * 69,199 6,652,792
Elanco Animal Health, Inc. * 137,575 4,208,419
Eli Lilly and Co. 334,349 48,697,932
Gilead Sciences, Inc. 528,261 32,049,595
Jazz Pharmaceuticals plc * 23,192 3,263,346
Johnson & Johnson 1,108,802 160,421,473
Merck & Co., Inc. 1,065,169 85,628,936
Moderna, Inc. * 126,250 19,283,425
Novavax, Inc. * 23,909 3,335,305
PerkinElmer, Inc. 47,153 6,271,349
Perrigo Co., plc 57,759 2,785,139
Pfizer, Inc. 2,340,324 89,657,812
PPD, Inc. * 45,288 1,585,080
Royalty Pharma plc, Class A 34,050 1,450,530
Viatris, Inc. * 508,440 8,551,961
Waters Corp. * 26,060 6,046,181
    702,806,046
 
Real Estate 4.0%
Alexandria Real Estate Equities, Inc. 49,366 8,082,695
American Campus Communities, Inc. 58,254 2,318,509
American Homes 4 Rent, Class A 111,592 3,204,922
Americold Realty Trust 85,797 2,928,252
Apartment Investment & Management Co., Class A 78,885 2,394,160
AvalonBay Communities, Inc. 59,248 9,870,124
Boston Properties, Inc. 59,693 5,859,465
Camden Property Trust 40,831 4,035,328
Crown Castle International Corp. 176,780 29,623,025
CubeSmart 81,918 2,664,792
Digital Realty Trust, Inc. 113,238 15,258,820
Douglas Emmett, Inc. 69,680 2,157,990
Duke Realty Corp. 156,072 5,940,100
Equity LifeStyle Properties, Inc. 71,116 4,166,686
Equity Residential 144,179 8,350,848
Essex Property Trust, Inc. 27,487 6,758,504
Extra Space Storage, Inc. 54,388 6,131,159
Federal Realty Investment Trust 29,022 2,531,299
Gaming & Leisure Properties, Inc. 88,352 3,670,142
Healthcare Trust of America, Inc., Class A 91,435 2,380,053
Healthpeak Properties, Inc. 226,925 6,549,055
Host Hotels & Resorts, Inc. 295,752 4,149,401
Invitation Homes, Inc. 235,162 6,720,930
Iron Mountain, Inc. 120,858 3,323,595
Jones Lang LaSalle, Inc. * 21,882 2,894,770
Kilroy Realty Corp. 44,056 2,694,465
Kimco Realty Corp. 183,081 2,643,690
Security Number
of Shares
Value ($)
Lamar Advertising Co., Class A 36,327 2,891,992
Medical Properties Trust, Inc. 223,003 4,326,258
Mid-America Apartment Communities, Inc. 48,188 6,079,398
National Retail Properties, Inc. 73,117 2,756,511
Omega Healthcare Investors, Inc. 95,799 3,374,041
Prologis, Inc. 311,167 31,132,258
Public Storage 64,069 14,380,928
Realty Income Corp. 145,280 8,712,442
Regency Centers Corp. 66,105 3,013,066
Simon Property Group, Inc. 136,942 11,307,301
STORE Capital Corp. 96,385 3,138,296
Sun Communities, Inc. 41,418 5,757,102
UDR, Inc. 124,466 4,788,207
Ventas, Inc. 157,311 7,536,770
VEREIT, Inc. 454,638 3,223,383
VICI Properties, Inc. 224,649 5,681,373
Vornado Realty Trust 66,620 2,592,184
Welltower, Inc. 175,636 11,061,555
Weyerhaeuser Co. 314,199 9,124,339
WP Carey, Inc. 72,933 5,047,693
    303,227,876
 
Retailing 2.8%
Advance Auto Parts, Inc. 29,005 4,284,038
Best Buy Co., Inc. 96,911 10,543,917
Burlington Stores, Inc. * 27,753 6,065,141
CarMax, Inc. * 68,773 6,428,900
eBay, Inc. 280,105 14,125,695
Genuine Parts Co. 60,522 5,953,549
L Brands, Inc. 98,547 3,824,609
LKQ Corp. * 117,471 4,137,329
Lowe's Cos., Inc. 318,406 49,614,023
Ross Stores, Inc. 149,986 16,126,495
Target Corp. 210,925 37,867,365
The Gap, Inc. 85,531 1,792,730
The TJX Cos., Inc. 504,713 32,054,323
Tiffany & Co. 45,488 5,980,762
Tractor Supply Co. 48,957 6,893,635
Williams-Sonoma, Inc. 32,804 3,591,054
    209,283,565
 
Semiconductors & Semiconductor Equipment 5.8%
Advanced Micro Devices, Inc. * 494,650 45,834,269
Analog Devices, Inc. 155,550 21,633,894
Applied Materials, Inc. 384,419 31,706,879
Entegris, Inc. 56,830 5,263,595
First Solar, Inc. * 35,513 3,317,980
Intel Corp. 1,791,310 86,609,839
KLA Corp. 65,531 16,511,846
Marvell Technology Group Ltd. 279,752 12,949,720
Maxim Integrated Products, Inc. 112,377 9,331,786
Microchip Technology, Inc. 106,438 14,304,203
Micron Technology, Inc. * 467,669 29,972,906
QUALCOMM, Inc. 475,263 69,944,456
Skyworks Solutions, Inc. 70,285 9,922,133
Teradyne, Inc. 69,972 7,720,710
Texas Instruments, Inc. 385,883 62,223,634
Xilinx, Inc. 103,022 14,994,852
    442,242,702
 
Software & Services 4.4%
Accenture plc, Class A 268,005 66,757,366
Akamai Technologies, Inc. * 68,579 7,098,612
Automatic Data Processing, Inc. 181,169 31,501,666
Booz Allen Hamilton Holding Corp. 57,788 5,015,421
Broadridge Financial Solutions, Inc. 48,513 7,125,589
 
46

 

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

Security Number
of Shares
Value ($)
CDK Global, Inc. 50,757 2,431,260
Ceridian HCM Holding, Inc. * 54,623 5,266,750
Citrix Systems, Inc. 52,051 6,450,160
Cognizant Technology Solutions Corp., Class A 228,338 17,840,048
DXC Technology Co. 106,140 2,325,527
Euronet Worldwide, Inc. * 22,028 2,961,444
Fidelity National Information Services, Inc. 260,785 38,703,102
Genpact Ltd. 75,036 3,050,213
Guidewire Software, Inc. * 35,056 4,293,659
International Business Machines Corp. 375,142 46,337,540
Leidos Holdings, Inc. 56,394 5,678,876
NortonLifeLock, Inc. 247,914 4,519,472
Nuance Communications, Inc. * 118,722 5,120,480
Oracle Corp. 814,497 47,012,767
Paychex, Inc. 134,774 12,554,198
The Western Union Co. 172,405 3,889,457
VeriSign, Inc. * 42,550 8,540,636
    334,474,243
 
Technology Hardware & Equipment 2.9%
Amphenol Corp., Class A 125,683 16,440,593
Arrow Electronics, Inc. * 32,470 2,975,875
CDW Corp. 60,043 7,835,011
Cisco Systems, Inc. 1,783,420 76,722,728
Cognex Corp. 72,782 5,468,839
Corning, Inc. 320,072 11,977,094
F5 Networks, Inc. * 25,786 4,198,219
FLIR Systems, Inc. 55,342 2,116,278
Hewlett Packard Enterprise Co. 542,394 5,988,030
HP, Inc. 577,834 12,671,900
Jabil, Inc. 57,209 2,186,528
Juniper Networks, Inc. 139,097 3,028,142
Keysight Technologies, Inc. * 78,793 9,458,312
Motorola Solutions, Inc. 71,455 12,256,676
National Instruments Corp. 55,063 2,061,008
NetApp, Inc. 93,651 4,992,535
Seagate Technology plc 93,631 5,506,439
TE Connectivity Ltd. 139,042 15,846,617
Trimble, Inc. * 105,600 6,322,272
Vontier Corp. * 56,424 1,871,584
Western Digital Corp. 127,537 5,723,861
    215,648,541
 
Telecommunication Services 2.7%
AT&T, Inc. 3,000,726 86,270,872
CenturyLink, Inc. 415,088 4,337,670
GCI Liberty, Inc., Class A * 42,504 3,872,964
Liberty Global plc, Class A * 60,432 1,360,929
Liberty Global plc, Class C * 155,381 3,362,445
Verizon Communications, Inc. 1,742,793 105,282,125
    204,487,005
 
Transportation 3.3%
Alaska Air Group, Inc. 52,345 2,668,025
American Airlines Group, Inc. 230,164 3,252,217
C.H. Robinson Worldwide, Inc. 56,923 5,349,054
CSX Corp. 322,450 29,036,623
Delta Air Lines, Inc. 268,582 10,810,426
Expeditors International of Washington, Inc. 70,678 6,316,493
FedEx Corp. 101,422 29,065,517
J.B. Hunt Transport Services, Inc. 35,172 4,758,068
Kansas City Southern 39,755 7,401,188
Norfolk Southern Corp. 107,363 25,447,178
Southwest Airlines Co. 248,210 11,502,051
Union Pacific Corp. 285,960 58,358,717
Security Number
of Shares
Value ($)
United Airlines Holdings, Inc. * 122,048 5,498,262
United Parcel Service, Inc., Class B 297,845 50,952,344
    250,416,163
 
Utilities 5.2%
Alliant Energy Corp. 104,991 5,522,527
Ameren Corp. 103,993 8,088,576
American Electric Power Co., Inc. 208,780 17,723,334
American Water Works Co., Inc. 76,426 11,722,220
Atmos Energy Corp. 52,016 4,987,814
Avangrid, Inc. 23,479 1,092,713
CenterPoint Energy, Inc. 228,542 5,299,889
CMS Energy Corp. 120,562 7,419,386
Consolidated Edison, Inc. 141,102 10,759,028
Dominion Energy, Inc. 354,006 27,785,931
DTE Energy Co. 81,014 10,192,371
Duke Energy Corp. 309,905 28,715,797
Edison International 159,151 9,765,505
Entergy Corp. 84,285 9,174,422
Essential Utilities, Inc. 94,023 4,257,361
Evergy, Inc. 95,542 5,293,982
Eversource Energy 144,447 12,640,557
Exelon Corp. 410,360 16,853,485
FirstEnergy Corp. 228,472 6,068,216
NextEra Energy, Inc. 824,935 60,706,967
NiSource, Inc. 161,885 3,917,617
NRG Energy, Inc. 102,574 3,359,299
OGE Energy Corp. 83,957 2,719,367
PG&E Corp. * 613,995 7,797,737
Pinnacle West Capital Corp. 47,259 3,868,149
PPL Corp. 323,513 9,194,239
Public Service Enterprise Group, Inc. 212,675 12,394,699
Sempra Energy 121,811 15,528,466
The AES Corp. 280,104 5,725,326
The Southern Co. 445,031 26,635,105
UGI Corp. 87,344 3,098,965
Vistra Corp. 205,594 3,840,496
WEC Energy Group, Inc. 132,879 12,616,861
Xcel Energy, Inc. 221,207 14,900,504
    389,666,911
Total Common Stock
(Cost $6,572,274,390)   7,541,566,187

Other Investment Companies 0.1% of net assets
 
Money Market Fund 0.0%
State Street Institutional U.S. Government Money Market Fund, Premier Class 0.02% (c) 4,139,797 4,139,797
 
Securities Lending Collateral 0.1%
Wells Fargo Government Money Market Fund, Select Class 0.02% (c) 5,735,810 5,735,810
Total Other Investment Companies
(Cost $9,875,607)   9,875,607
    
 
47

 

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

  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
Russell 1000 Value Index, e-mini, expires 12/18/20 355 23,099,850 873,815
* Non-income producing security.
(a) All or a portion of this security is on loan. Securities on loan were valued at $5,225,224.
(b) Issuer is affiliated with the fund’s investment adviser.
(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, 2020:
 
Value at
8/31/20
Gross
Purchases
Gross
Sales
Realized
Gains(Losses)
Net change
in unrealized
appreciation
(depreciation)


Value at
11/30/20
Balance
of Shares
Held at
11/30/20
Dividends
Received
The Charles Schwab Corp. $21,879,658 $7,146,429 ($5,649,065) ($984,950) $7,947,478 $30,339,550 621,967 $110,717
    

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2020:
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 $7,541,566,187 $— $— $7,541,566,187  
Other Investment Companies1 9,875,607 9,875,607  
Futures Contracts2 873,815 873,815  
Total $7,552,315,609 $— $— $7,552,315,609  
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, 2020 (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 1.2%
Autoliv, Inc. 165,839 14,767,963
BorgWarner, Inc. 515,412 20,023,756
Gentex Corp. 518,458 16,901,731
Harley-Davidson, Inc. 323,592 13,037,522
Lear Corp. 115,069 16,449,113
Thor Industries, Inc. 116,543 11,247,565
    92,427,650
 
Banks 3.3%
Bank OZK 255,444 7,142,214
BOK Financial Corp. 65,265 4,369,492
Comerica, Inc. 293,467 14,438,576
Commerce Bancshares, Inc. 211,814 13,971,251
Cullen/Frost Bankers, Inc. 117,870 9,890,472
East West Bancorp, Inc. 298,742 12,762,258
Essent Group Ltd. 237,455 10,414,776
First Citizens BancShares, Inc., Class A 15,250 8,060,997
First Horizon Corp. 1,168,192 14,275,306
Huntington Bancshares, Inc. 2,144,041 25,900,015
MGIC Investment Corp. 715,328 8,555,323
New York Community Bancorp, Inc. 980,026 9,496,452
People's United Financial, Inc. 893,807 11,083,207
Pinnacle Financial Partners, Inc. 160,214 8,677,190
Popular, Inc. 177,935 8,635,186
Prosperity Bancshares, Inc. 195,688 12,295,077
Radian Group, Inc. 402,420 7,597,690
Signature Bank 113,115 12,690,372
Synovus Financial Corp. 311,163 9,823,416
TCF Financial Corp. 321,511 10,802,770
TFS Financial Corp. 99,669 1,714,307
Western Alliance Bancorp 212,976 10,919,280
Zions Bancorp NA 346,298 13,363,640
    246,879,267
 
Capital Goods 12.0%
A.O. Smith Corp. 285,581 16,081,066
Acuity Brands, Inc. 83,686 9,935,202
AECOM * 338,302 17,554,491
AGCO Corp. 129,675 11,996,234
Air Lease Corp. 225,912 8,261,602
Allegion plc 194,539 22,185,228
Allison Transmission Holdings, Inc. 239,115 9,815,671
Armstrong World Industries, Inc. 101,086 7,789,687
Axon Enterprise, Inc. * 133,902 16,830,142
AZEK Co., Inc. * 151,485 5,411,044
BWX Technologies, Inc. 201,240 11,446,531
Carlisle Cos., Inc. 115,130 16,674,278
Colfax Corp. * 212,638 7,671,979
Crane Co. 104,072 7,236,126
Curtiss-Wright Corp. 87,798 10,119,597
Donaldson Co., Inc. 266,143 14,169,453
Security Number
of Shares
Value ($)
EMCOR Group, Inc. 115,941 9,991,795
Flowserve Corp. 274,910 9,368,933
Fortune Brands Home & Security, Inc. 291,401 24,331,984
Generac Holdings, Inc. * 132,470 28,560,532
Graco, Inc. 351,814 23,831,880
HD Supply Holdings, Inc. * 341,604 19,054,671
Hexcel Corp. 176,390 8,734,833
Howmet Aerospace, Inc. 827,699 19,417,819
Hubbell, Inc. 114,358 18,479,109
Huntington Ingalls Industries, Inc. 85,457 13,689,357
IDEX Corp. 159,289 30,766,670
ITT, Inc. 182,420 13,249,165
Jacobs Engineering Group, Inc. 274,587 29,611,462
Lennox International, Inc. 73,441 21,138,523
Lincoln Electric Holdings, Inc. 125,259 14,404,785
MasTec, Inc. * 118,376 6,713,103
Mercury Systems, Inc. * 118,296 8,425,041
MSC Industrial Direct Co., Inc., Class A 96,167 8,012,634
Nordson Corp. 113,844 23,202,546
nVent Electric plc 359,083 8,258,909
Oshkosh Corp. 143,816 11,577,188
Owens Corning 227,881 16,605,688
Pentair plc 349,873 18,130,419
Plug Power, Inc. * 927,718 24,482,478
Quanta Services, Inc. 291,001 19,887,008
Regal Beloit Corp. 85,683 10,199,704
Sensata Technologies Holding plc * 331,697 16,196,765
SiteOne Landscape Supply, Inc. * 93,189 12,869,401
Snap-on, Inc. 114,826 20,192,152
Sunrun, Inc. * 326,511 20,922,825
Teledyne Technologies, Inc. * 77,757 29,387,481
Textron, Inc. 480,856 21,686,606
The Middleby Corp. * 117,330 15,955,707
The Timken Co. 142,756 10,484,001
The Toro Co. 226,393 20,536,109
United Rentals, Inc. * 152,029 34,507,542
Vertiv Holdings Co. * 486,031 9,093,640
Watsco, Inc. 69,244 15,743,316
Westinghouse Air Brake Technologies Corp. 377,148 27,644,948
Woodward, Inc. 122,456 13,694,255
    902,219,315
 
Commercial & Professional Services 1.9%
ADT, Inc. 319,399 2,481,730
ASGN, Inc. * 110,911 8,671,022
Clean Harbors, Inc. * 107,669 7,792,005
CoreLogic, Inc. 167,709 12,997,447
Dun & Bradstreet Holdings, Inc. * 285,838 7,663,317
IAA, Inc. * 282,543 16,929,977
ManpowerGroup, Inc. 122,647 10,627,363
MSA Safety, Inc. 76,365 11,411,986
Nielsen Holdings plc 753,369 12,181,977
Robert Half International, Inc. 241,872 15,523,345
Stericycle, Inc. * 193,228 13,610,980
 
49

 

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

Security Number
of Shares
Value ($)
Tetra Tech, Inc. 113,725 13,561,706
TriNet Group, Inc. * 85,314 6,398,550
    139,851,405
 
Consumer Durables & Apparel 3.8%
Brunswick Corp. 167,145 12,475,703
Carter's, Inc. 92,155 8,200,874
Columbia Sportswear Co. 64,283 5,266,706
Deckers Outdoor Corp. * 59,120 15,051,361
Hanesbrands, Inc. 735,337 10,441,785
Hasbro, Inc. 268,743 25,001,161
Helen of Troy Ltd. * 53,460 10,798,385
Leggett & Platt, Inc. 279,556 12,048,864
Mattel, Inc. * 732,576 11,347,602
Mohawk Industries, Inc. * 126,156 15,874,210
Newell Brands, Inc. 796,588 16,935,461
Polaris, Inc. 121,782 11,691,072
PulteGroup, Inc. 565,480 24,671,892
PVH Corp. 149,790 11,906,807
Ralph Lauren Corp. 101,725 8,722,919
Skechers U.S.A., Inc., Class A * 286,592 9,592,234
Tapestry, Inc. 582,743 16,503,282
Toll Brothers, Inc. 242,475 11,481,191
TopBuild Corp. * 69,826 12,165,784
Under Armour, Inc., Class A * 397,053 6,579,168
Under Armour, Inc., Class C * 411,727 5,990,628
Whirlpool Corp. 131,432 25,577,982
    288,325,071
 
Consumer Services 4.5%
Aramark 533,503 18,672,605
Bright Horizons Family Solutions, Inc. * 127,420 21,675,416
Caesars Entertainment, Inc. * 420,720 28,659,446
Carnival Corp. 1,092,098 21,820,118
Chegg, Inc. * 262,254 20,437,454
Choice Hotels International, Inc. 60,875 6,066,194
Churchill Downs, Inc. 74,916 13,478,887
Dunkin' Brands Group, Inc. 173,638 18,464,665
Grand Canyon Education, Inc. * 99,865 8,335,732
Marriott Vacations Worldwide Corp. 86,702 11,039,766
MGM Resorts International 863,421 24,391,643
Penn National Gaming, Inc. * 303,916 21,274,120
Planet Fitness, Inc., Class A * 169,009 12,329,207
Service Corp. International 371,714 18,080,169
Terminix Global Holdings, Inc. * 278,578 13,658,679
Texas Roadhouse, Inc. 137,790 10,444,482
The Wendy's Co. 378,292 8,318,641
Vail Resorts, Inc. 84,646 23,348,753
Wingstop, Inc. 62,250 7,925,047
Wyndham Hotels & Resorts, Inc. 196,764 11,313,930
Wynn Resorts Ltd. 204,686 20,570,943
    340,305,897
 
Diversified Financials 4.9%
Affiliated Managers Group, Inc. 98,351 8,568,339
AGNC Investment Corp. 1,172,175 17,910,834
Ally Financial, Inc. 788,094 23,366,987
Annaly Capital Management, Inc. 2,957,156 23,657,248
Apollo Global Management, Inc. 439,891 19,188,045
Ares Management Corp., Class A 199,644 8,993,962
Blackstone Mortgage Trust, Inc., Class A 308,878 8,024,651
Cboe Global Markets, Inc. 229,360 20,945,155
Credit Acceptance Corp. * 25,728 7,679,294
Eaton Vance Corp. 240,900 16,135,482
Equitable Holdings, Inc. 852,468 21,635,638
FactSet Research Systems, Inc. 80,149 26,750,530
Security Number
of Shares
Value ($)
Invesco Ltd. 795,010 12,903,012
Janus Henderson Group plc 318,498 9,086,748
Jefferies Financial Group, Inc. 456,131 10,367,858
Lazard Ltd., Class A 238,251 8,891,527
LPL Financial Holdings, Inc. 166,865 15,146,336
Morningstar, Inc. 45,355 9,075,536
New Residential Investment Corp. 878,346 8,133,484
OneMain Holdings, Inc. 158,988 6,198,942
Raymond James Financial, Inc. 257,388 23,409,439
Santander Consumer USA Holdings, Inc. 153,256 3,386,958
SEI Investments Co. 256,595 13,535,386
Starwood Property Trust, Inc. 600,861 10,779,446
The Carlyle Group, Inc. 242,874 6,900,050
Tradeweb Markets, Inc., Class A 191,685 11,434,010
Voya Financial, Inc. 266,385 15,351,768
    367,456,665
 
Energy 1.8%
Antero Midstream Corp. 603,726 4,069,113
Apache Corp. 797,243 10,276,462
Cabot Oil & Gas Corp. 841,121 14,736,440
Concho Resources, Inc. 414,702 23,837,071
Continental Resources, Inc. 131,917 2,028,883
Devon Energy Corp. 808,141 11,305,893
Diamondback Energy, Inc. 333,155 13,312,874
Equitrans Midstream Corp. 857,930 7,000,709
HollyFrontier Corp. 313,008 7,321,257
Marathon Oil Corp. 1,667,290 9,870,357
National Oilwell Varco, Inc. 819,876 10,051,680
Parsley Energy, Inc., Class A 629,634 7,889,314
Targa Resources Corp. 492,365 11,570,577
WPX Energy, Inc. * 853,601 6,077,639
    139,348,269
 
Food & Staples Retailing 0.7%
Albertsons Cos, Inc. Class A *(a) 99,327 1,592,212
BJ's Wholesale Club Holdings, Inc. * 291,169 11,935,017
Casey's General Stores, Inc. 77,872 14,147,785
Performance Food Group Co. * 280,201 12,155,119
US Foods Holding Corp. * 465,620 14,657,718
    54,487,851
 
Food, Beverage & Tobacco 2.0%
Beyond Meat, Inc. * 104,086 14,561,631
Bunge Ltd. 294,538 17,345,343
Darling Ingredients, Inc. * 341,663 16,495,490
Flowers Foods, Inc. 415,620 9,222,608
Ingredion, Inc. 141,460 10,913,639
Lamb Weston Holdings, Inc. 306,542 22,187,510
Lancaster Colony Corp. 41,271 6,988,418
Molson Coors Beverage Co., Class B 396,673 18,246,958
Pilgrim's Pride Corp. * 102,901 1,943,800
Post Holdings, Inc. * 132,882 12,552,034
Seaboard Corp. 538 1,723,069
The Boston Beer Co., Inc., Class A * 19,223 17,893,537
    150,074,037
 
Health Care Equipment & Services 6.2%
1Life Healthcare, Inc. * 152,363 5,008,172
ABIOMED, Inc. * 95,031 26,047,997
Amedisys, Inc. * 68,499 16,767,870
Chemed Corp. 33,588 16,063,461
DaVita, Inc. * 158,770 17,440,884
DENTSPLY SIRONA, Inc. 460,779 23,449,043
Encompass Health Corp. 209,758 16,902,300
 
50

 

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

Security Number
of Shares
Value ($)
Envista Holdings Corp. * 336,318 9,998,734
Guardant Health, Inc. * 178,287 21,594,121
Haemonetics Corp. * 107,035 12,078,900
HealthEquity, Inc. * 161,950 11,610,195
Henry Schein, Inc. * 301,125 19,365,349
Hill-Rom Holdings, Inc. 140,581 13,335,514
ICU Medical, Inc. * 41,122 7,759,721
Insulet Corp. * 138,504 35,693,866
Integra LifeSciences Holdings Corp. * 149,532 8,183,886
iRhythm Technologies, Inc. * 60,465 14,784,297
LHC Group, Inc. * 66,660 13,086,691
Masimo Corp. * 106,648 27,140,849
Molina Healthcare, Inc. * 125,105 25,537,684
Novocure Ltd. * 176,991 22,238,919
Penumbra, Inc. * 70,831 15,717,399
Quidel Corp. * 80,533 15,707,962
Schrodinger, Inc. * 68,813 4,788,009
STERIS plc 179,455 34,780,174
Tandem Diabetes Care, Inc. * 128,603 12,073,250
Universal Health Services, Inc., Class B 163,850 21,395,533
    468,550,780
 
Household & Personal Products 0.2%
Coty, Inc., Class A 596,577 4,289,388
Herbalife Nutrition Ltd. * 206,890 9,912,100
Reynolds Consumer Products, Inc. 114,155 3,463,463
    17,664,951
 
Insurance 4.3%
Alleghany Corp. 30,184 17,361,837
American Financial Group, Inc. 151,378 13,534,707
Assurant, Inc. 125,793 16,242,392
Athene Holding Ltd., Class A * 266,665 11,826,593
Axis Capital Holdings Ltd. 169,162 8,476,708
Brown & Brown, Inc. 495,517 22,313,131
CNA Financial Corp. 56,576 1,952,438
Erie Indemnity Co., Class A 52,633 11,874,531
Everest Re Group Ltd. 84,278 19,158,918
Fidelity National Financial, Inc. 615,511 22,152,241
First American Financial Corp. 235,473 11,406,312
Globe Life, Inc. 206,615 19,235,856
Kemper Corp. 129,711 9,721,839
Lincoln National Corp. 383,236 18,096,404
Loews Corp. 502,421 21,056,464
Old Republic International Corp. 597,221 10,702,200
Primerica, Inc. 83,433 10,868,817
Reinsurance Group of America, Inc. 143,298 16,519,393
RenaissanceRe Holdings Ltd. 108,015 17,783,590
Selective Insurance Group, Inc. 126,366 7,811,946
The Hanover Insurance Group, Inc. 79,674 8,951,374
Unum Group 429,980 9,558,455
W.R. Berkley Corp. 296,508 19,311,566
    325,917,712
 
Materials 6.2%
Albemarle Corp. 224,360 30,506,229
AptarGroup, Inc. 136,079 17,189,499
Ashland Global Holdings, Inc. 114,963 8,641,769
Avery Dennison Corp. 176,051 26,291,456
Axalta Coating Systems Ltd. * 442,229 12,652,172
Berry Global Group, Inc. * 279,722 14,825,266
CF Industries Holdings, Inc. 451,344 16,835,131
Crown Holdings, Inc. * 284,357 26,800,647
Eagle Materials, Inc. 88,182 8,023,680
Eastman Chemical Co. 285,291 27,787,343
FMC Corp. 273,326 31,708,549
Security Number
of Shares
Value ($)
Graphic Packaging Holding Co. 588,899 9,021,933
Huntsman Corp. 419,393 10,388,365
International Flavors & Fragrances, Inc. (a) 225,517 25,280,456
NewMarket Corp. 15,428 5,704,657
Packaging Corp. of America 199,999 25,999,870
Reliance Steel & Aluminum Co. 134,513 15,845,631
Royal Gold, Inc. 138,341 15,282,530
RPM International, Inc. 274,208 24,133,046
Sealed Air Corp. 328,442 14,799,597
Sonoco Products Co. 211,914 12,303,727
Steel Dynamics, Inc. 421,707 15,270,011
The Mosaic Co. 728,017 15,987,253
The Scotts Miracle-Gro Co. 85,880 15,095,128
Valvoline, Inc. 390,895 8,908,497
W.R. Grace & Co. 131,510 7,196,227
Westlake Chemical Corp. 72,753 5,467,388
Westrock Co. 547,343 23,103,348
    471,049,405
 
Media & Entertainment 2.8%
Altice USA, Inc., Class A * 697,635 23,663,779
Cable One, Inc. 11,418 22,615,290
Discovery, Inc., Class A * 337,384 9,079,003
Discovery, Inc., Class C * 653,100 15,687,462
DISH Network Corp., Class A * 520,281 18,662,479
IAC/InterActiveCorp * 167,758 23,819,958
Liberty Media Corp. - Liberty Formula One, Class A * 54,228 2,051,445
Liberty Media Corp. - Liberty Formula One, Class C * 429,366 17,938,912
Madison Square Garden Sports Corp. * 36,545 6,190,723
News Corp., Class A 821,709 14,503,164
News Corp., Class B 255,617 4,552,539
The Interpublic Group of Cos., Inc. 823,199 18,340,874
The New York Times Co., Class A 304,786 13,078,367
Zynga, Inc., Class A * 2,110,262 17,409,662
    207,593,657
 
Pharmaceuticals, Biotechnology & Life Sciences 7.2%
10X Genomics, Inc., Class A * 136,546 20,906,558
ACADIA Pharmaceuticals, Inc. * 242,990 13,767,813
Acceleron Pharma, Inc. * 110,025 12,990,652
Adaptive Biotechnologies Corp. * 172,133 8,300,253
Alkermes plc * 335,729 6,130,411
Allogene Therapeutics, Inc. * 138,574 4,302,723
Arrowhead Pharmaceuticals, Inc. * 215,822 13,495,350
Avantor, Inc. * 1,085,998 29,626,025
Bio-Rad Laboratories, Inc., Class A * 45,126 24,300,351
Bio-Techne Corp. 81,315 24,663,653
Bluebird Bio, Inc. * 139,738 6,161,048
Bruker Corp. 216,607 10,962,480
Charles River Laboratories International, Inc. * 104,800 24,577,696
Elanco Animal Health, Inc. * 689,922 21,104,714
Emergent BioSolutions, Inc. * 95,053 7,787,692
Exelixis, Inc. * 652,385 12,499,697
FibroGen, Inc. * 175,666 7,256,762
Ionis Pharmaceuticals, Inc. * 294,773 14,894,880
Jazz Pharmaceuticals plc * 116,977 16,459,834
Mirati Therapeutics, Inc. * 92,059 21,896,233
Natera, Inc. * 161,444 14,250,662
Neurocrine Biosciences, Inc. * 196,687 18,673,464
Novavax, Inc. * 119,095 16,613,752
PerkinElmer, Inc. 235,910 31,376,030
Perrigo Co., plc 288,021 13,888,373
PRA Health Sciences, Inc. * 134,940 15,140,268
Repligen Corp. * 103,013 19,538,476
 
51

 

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

Security Number
of Shares
Value ($)
Sarepta Therapeutics, Inc. * 165,543 23,318,387
Syneos Health, Inc. * 147,602 9,718,116
Ultragenyx Pharmaceutical, Inc. * 129,003 15,292,016
United Therapeutics Corp. * 93,754 12,435,530
Viatris, Inc. * 2,545,046 42,807,674
Vir Biotechnology, Inc. * 136,744 4,359,399
    539,496,972
 
Real Estate 8.0%
American Campus Communities, Inc. 290,669 11,568,626
American Homes 4 Rent, Class A 562,403 16,152,214
Americold Realty Trust 429,663 14,664,398
Apartment Investment & Management Co., Class A 394,802 11,982,241
Brixmor Property Group, Inc. 626,182 9,561,799
Camden Property Trust 205,409 20,300,572
CoreSite Realty Corp. 89,813 11,261,652
Cousins Properties, Inc. 313,802 10,484,125
CubeSmart 408,906 13,301,712
CyrusOne, Inc. 246,574 17,237,988
Douglas Emmett, Inc. 348,196 10,783,630
EastGroup Properties, Inc. 83,053 11,322,616
Equity Commonwealth 256,778 6,807,185
Equity LifeStyle Properties, Inc. 357,384 20,939,129
Federal Realty Investment Trust 145,319 12,674,723
First Industrial Realty Trust, Inc. 268,687 11,252,612
Gaming & Leisure Properties, Inc. 437,507 18,174,041
Healthcare Realty Trust, Inc. 286,009 8,437,266
Healthcare Trust of America, Inc., Class A 461,459 12,011,778
Highwoods Properties, Inc. 219,520 8,407,616
Host Hotels & Resorts, Inc. 1,487,099 20,863,999
Hudson Pacific Properties, Inc. 323,979 8,423,454
Iron Mountain, Inc. 606,912 16,690,080
JBG SMITH Properties 237,180 7,290,913
Jones Lang LaSalle, Inc. * 109,304 14,459,826
Kilroy Realty Corp. 221,237 13,530,855
Kimco Realty Corp. 912,990 13,183,576
Lamar Advertising Co., Class A 182,314 14,514,018
Life Storage, Inc. 99,092 10,872,374
Medical Properties Trust, Inc. 1,115,106 21,633,056
National Retail Properties, Inc. 366,223 13,806,607
Omega Healthcare Investors, Inc. 478,779 16,862,596
PS Business Parks, Inc. 42,338 5,580,148
Rayonier, Inc. 288,399 8,124,200
Regency Centers Corp. 332,837 15,170,710
Rexford Industrial Realty, Inc. 261,345 12,523,652
SL Green Realty Corp. 154,706 8,957,477
Spirit Realty Capital, Inc. 216,483 7,975,234
STAG Industrial, Inc. 315,075 9,382,934
STORE Capital Corp. 481,284 15,670,607
The Howard Hughes Corp. * 95,203 6,924,114
UDR, Inc. 622,177 23,935,149
VEREIT, Inc. 2,274,201 16,124,085
VICI Properties, Inc. 1,125,713 28,469,282
Vornado Realty Trust 330,933 12,876,603
    601,171,472
 
Retailing 3.9%
Advance Auto Parts, Inc. 145,853 21,542,488
AutoNation, Inc. * 123,457 7,566,680
Burlington Stores, Inc. * 138,911 30,357,610
Chewy, Inc., Class A * 150,894 11,706,357
Five Below, Inc. * 117,789 18,422,200
Floor & Decor Holdings, Inc., Class A * 218,801 17,523,772
Foot Locker, Inc. 220,143 8,233,348
GrubHub, Inc. * 194,754 13,698,996
Kohl's Corp. 333,101 10,725,852
Security Number
of Shares
Value ($)
L Brands, Inc. 492,486 19,113,382
Lithia Motors, Inc., Class A 54,061 15,639,847
LKQ Corp. * 590,369 20,792,796
Ollie's Bargain Outlet Holdings, Inc. * 120,103 10,576,270
Overstock.com, Inc. * 89,801 6,060,669
Penske Automotive Group, Inc. 67,851 3,736,555
Pool Corp. 84,571 29,270,869
Qurate Retail, Inc., Class A 819,410 8,579,223
RH * 32,547 14,748,998
The Gap, Inc. 433,990 9,096,430
Vroom, Inc. * 71,022 2,546,849
Williams-Sonoma, Inc. 164,097 17,963,699
    297,902,890
 
Semiconductors & Semiconductor Equipment 3.1%
CMC Materials, Inc. 61,352 9,465,387
Cree, Inc. * 231,373 20,913,805
Enphase Energy, Inc. * 265,857 36,308,091
Entegris, Inc. 284,441 26,344,925
First Solar, Inc. * 178,856 16,710,516
Inphi Corp. * 109,541 16,993,095
MKS Instruments, Inc. 116,284 16,044,866
Monolithic Power Systems, Inc. 89,078 28,501,397
ON Semiconductor Corp. * 866,586 24,914,348
Power Integrations, Inc. 126,275 9,014,772
Silicon Laboratories, Inc. * 92,490 10,840,753
Universal Display Corp. 90,395 20,704,071
    236,756,026
 
Software & Services 12.1%
Alteryx, Inc., Class A * 112,923 13,532,692
Anaplan, Inc. * 290,105 20,304,449
Aspen Technology, Inc. * 142,838 19,204,569
Avalara, Inc. * 176,107 30,246,377
Bill.com Holdings, Inc. * 124,465 15,273,100
Black Knight, Inc. * 331,424 30,365,067
Blackbaud, Inc. 104,603 5,762,579
Booz Allen Hamilton Holding Corp. 290,789 25,237,577
CACI International, Inc., Class A * 52,967 12,568,539
CDK Global, Inc. 256,551 12,288,793
Ceridian HCM Holding, Inc. * 273,867 26,406,256
Cloudflare, Inc., Class A * 304,983 22,898,124
Dropbox, Inc., Class A * 619,597 12,373,352
Duck Creek Technologies, Inc. * 48,707 1,936,590
DXC Technology Co. 536,812 11,761,551
Dynatrace, Inc. * 385,540 14,658,231
Elastic N.V. * 125,992 15,597,810
Euronet Worldwide, Inc. * 110,346 14,834,916
Fair Isaac Corp. * 61,183 28,926,099
Fastly, Inc. Class A * 156,491 13,265,742
Five9, Inc. * 137,845 21,393,544
Gartner, Inc. * 188,238 28,612,176
Genpact Ltd. 374,278 15,214,401
GoDaddy, Inc., Class A * 351,944 27,993,626
Guidewire Software, Inc. * 175,422 21,485,687
HubSpot, Inc. * 90,360 35,631,659
Leidos Holdings, Inc. 281,952 28,392,566
Manhattan Associates, Inc. * 134,069 13,707,215
MAXIMUS, Inc. 129,522 9,300,975
Medallia, Inc. * 164,060 5,740,459
MongoDB, Inc. * 106,661 30,644,772
New Relic, Inc. * 109,322 6,529,803
Nuance Communications, Inc. * 595,672 25,691,333
Nutanix, Inc., Class A * 389,531 10,669,254
Paylocity Holding Corp. * 78,321 15,397,909
Pegasystems, Inc. 83,191 10,888,038
Perspecta, Inc. 288,398 6,465,883
 
52

 

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

Security Number
of Shares
Value ($)
Proofpoint, Inc. * 121,593 12,583,660
PTC, Inc. * 220,418 23,772,081
Q2 Holdings, Inc. * 106,135 12,032,525
RealPage, Inc. * 187,141 12,910,858
Science Applications International Corp. 122,844 11,367,984
Slack Technologies, Inc., Class A * 912,654 39,134,604
Smartsheet, Inc., Class A * 236,736 13,737,790
Snowflake, Inc., Class A * 59,007 19,226,841
SolarWinds Corp. * 151,819 3,473,619
The Western Union Co. 866,918 19,557,670
Tyler Technologies, Inc. * 84,912 36,308,371
WEX, Inc. * 92,997 16,110,800
Zendesk, Inc. * 243,507 32,508,184
    913,926,700
 
Technology Hardware & Equipment 3.9%
Arrow Electronics, Inc. * 163,780 15,010,437
Ciena Corp. * 324,228 14,525,414
Cognex Corp. 365,011 27,426,926
Coherent, Inc. * 51,165 6,230,874
Dolby Laboratories, Inc., Class A 135,895 12,019,913
F5 Networks, Inc. * 129,030 21,007,374
FLIR Systems, Inc. 276,959 10,590,912
IPG Photonics Corp. * 75,274 15,582,471
Jabil, Inc. 286,259 10,940,819
Juniper Networks, Inc. 699,841 15,235,539
Littelfuse, Inc. 51,392 12,361,318
Lumentum Holdings, Inc. * 158,726 13,710,752
National Instruments Corp. 277,611 10,390,980
NetApp, Inc. 468,207 24,960,115
SYNNEX Corp. 86,948 13,938,634
Trimble, Inc. * 527,842 31,601,900
Ubiquiti, Inc. 16,082 3,990,105
Western Digital Corp. 638,108 28,638,287
Xerox Holdings Corp. 378,036 8,275,208
    296,437,978
 
Telecommunication Services 0.3%
GCI Liberty, Inc., Class A * 213,734 19,475,442
 
Transportation 1.8%
Alaska Air Group, Inc. 261,079 13,307,197
AMERCO 18,970 7,857,943
American Airlines Group, Inc. 1,154,516 16,313,311
JetBlue Airways Corp. * 575,499 8,684,280
Knight-Swift Transportation Holdings, Inc. 265,998 10,983,057
Landstar System, Inc. 81,044 10,650,803
Lyft, Inc., Class A * 511,743 19,533,230
United Airlines Holdings, Inc. * 613,643 27,644,617
XPO Logistics, Inc. * 192,630 20,549,768
    135,524,206
 
Security Number
of Shares
Value ($)
Utilities 3.7%
Alliant Energy Corp. 526,801 27,709,733
Atmos Energy Corp. 260,121 24,943,003
Black Hills Corp. 132,557 8,063,442
Essential Utilities, Inc. 470,551 21,306,549
Hawaiian Electric Industries, Inc. 230,673 8,265,014
IDACORP, Inc. 106,597 9,655,556
MDU Resources Group, Inc. 423,570 10,563,836
National Fuel Gas Co. 192,149 7,910,774
NiSource, Inc. 807,817 19,549,171
NRG Energy, Inc. 515,004 16,866,381
OGE Energy Corp. 422,580 13,687,366
ONE Gas, Inc. 111,767 8,849,711
Pinnacle West Capital Corp. 237,316 19,424,315
Portland General Electric Co. 189,129 7,826,158
Southwest Gas Holdings, Inc. 118,129 7,589,788
The AES Corp. 1,403,386 28,685,210
UGI Corp. 439,562 15,595,660
Vistra Corp. 1,030,876 19,256,764
    275,748,431
Total Common Stock
(Cost $6,219,929,747)   7,528,592,049

Other Investment Companies 0.4% of net assets
 
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 0.02% (b) 3,856,194 3,856,194
 
Securities Lending Collateral 0.3%
Wells Fargo Government Money Market Fund, Select Class 0.02% (b) 23,344,115 23,344,115
Total Other Investment Companies
(Cost $27,200,309)   27,200,309
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
S&P Mid-Cap 400 Index, e-mini, expires 12/18/20 61 13,227,240 63,860
* Non-income producing security.
(a) All or a portion of this security is on loan. Securities on loan were valued at $22,725,604.
(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, 2020:
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 $7,528,592,049 $— $— $7,528,592,049  
Other Investment Companies1 27,200,309 27,200,309  
Futures Contracts2 63,860 63,860  
Total $7,555,856,218 $— $— $7,555,856,218  
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, 2020 (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 1.4%
Adient plc * 350,298 10,960,824
American Axle & Manufacturing Holdings, Inc. * 422,258 3,361,174
Cooper Tire & Rubber Co. 187,508 7,449,693
Cooper-Standard Holding, Inc. * 62,929 2,134,552
Dana, Inc. 542,151 9,129,823
Dorman Products, Inc. * 107,710 9,949,173
Fox Factory Holding Corp. * 155,175 13,542,122
Gentherm, Inc. * 121,712 6,920,544
LCI Industries 93,836 11,802,692
Modine Manufacturing Co. * 190,660 2,082,007
Motorcar Parts of America, Inc. * 70,859 1,425,683
Patrick Industries, Inc. 82,140 5,178,106
Standard Motor Products, Inc. 74,967 3,470,222
Stoneridge, Inc. * 100,649 2,703,432
Tenneco, Inc., Class A * 188,575 2,008,324
The Goodyear Tire & Rubber Co. 874,166 9,108,810
Thor Industries, Inc. 206,503 19,929,605
Veoneer, Inc. * 349,400 6,963,542
Visteon Corp. * 104,317 12,606,709
Winnebago Industries, Inc. 125,798 6,658,488
Workhorse Group, Inc. *(a) 346,096 8,780,455
XPEL, Inc. * 61,735 2,338,522
    158,504,502
 
Banks 8.4%
1st Source Corp. 65,700 2,451,924
Allegiance Bancshares, Inc. 70,053 2,217,878
Altabancorp 53,898 1,476,805
Ameris Bancorp 259,215 8,815,902
Arrow Financial Corp. 57,672 1,716,319
Associated Banc-Corp. 576,627 8,833,926
Atlantic Union Bankshares Corp. 295,364 8,834,337
Axos Financial, Inc. * 193,298 6,475,483
Banc of California, Inc. 165,069 2,195,418
BancFirst Corp. 69,399 3,763,508
BancorpSouth Bank 359,599 9,115,835
Bank of Hawaii Corp. 150,159 11,243,906
Bank of Marin Bancorp 44,102 1,530,339
Bank OZK 452,950 12,664,482
BankUnited, Inc. 344,807 9,830,448
Banner Corp. 131,313 5,427,166
Berkshire Hills Bancorp, Inc. 187,866 3,081,002
Boston Private Financial Holdings, Inc. 306,462 2,194,268
Bridge Bancorp, Inc. 61,807 1,379,532
Bridgewater Bancshares, Inc. * 80,587 948,509
Brookline Bancorp, Inc. 294,215 3,345,225
Bryn Mawr Bank Corp. 74,258 2,214,374
Byline Bancorp, Inc. 87,363 1,339,275
Cadence BanCorp 472,741 6,590,010
Camden National Corp. 55,758 1,915,287
Capitol Federal Financial, Inc. 491,692 6,057,645
Security Number
of Shares
Value ($)
Carter Bankshares, Inc. 90,122 844,443
Cathay General Bancorp 279,479 7,895,282
CBTX, Inc. 68,988 1,514,287
Central Pacific Financial Corp. 104,984 1,720,688
CIT Group, Inc. 368,431 12,338,754
City Holding Co. 60,423 3,969,187
Columbia Banking System, Inc. 267,258 8,448,025
Columbia Financial, Inc. * 180,018 2,586,859
Community Bank System, Inc. 200,580 12,486,105
Community Trust Bancorp, Inc. 56,394 1,908,937
ConnectOne Bancorp, Inc. 128,906 2,285,503
CrossFirst Bankshares, Inc. * 176,986 1,610,573
Customers Bancorp, Inc. * 108,029 1,824,610
CVB Financial Corp. 475,489 9,029,536
Dime Community Bancshares, Inc. 105,957 1,531,079
Eagle Bancorp, Inc. 120,108 4,417,572
Enterprise Financial Services Corp. 97,691 3,322,471
Equity Bancshares, Inc., Class A * 53,739 1,089,558
Essent Group Ltd. 420,322 18,435,323
F.N.B. Corp. 1,211,983 10,701,810
FB Financial Corp. 114,497 3,654,744
Federal Agricultural Mortgage Corp., Class C 32,947 2,230,512
Financial Institutions, Inc. 59,772 1,196,038
First BanCorp 814,466 6,466,860
First Bancorp (North Carolina) 107,983 3,388,507
First Bancshares, Inc. 79,635 2,178,814
First Busey Corp. 184,955 3,700,950
First Citizens BancShares, Inc., Class A 27,021 14,283,030
First Commonwealth Financial Corp. 365,831 3,537,586
First Community Bankshares, Inc. 58,064 1,223,408
First Financial Bancorp 365,984 5,874,043
First Financial Bankshares, Inc. 531,245 17,754,208
First Financial Corp. 47,037 1,781,291
First Foundation, Inc. 146,417 2,600,366
First Hawaiian, Inc. 484,656 10,623,659
First Horizon Corp. 2,068,226 25,273,722
First Interstate BancSystem, Inc., Class A 131,690 5,010,804
First Merchants Corp. 202,150 6,735,638
First Mid Bancshares, Inc. 53,154 1,597,278
First Midwest Bancorp, Inc. 426,099 5,961,125
Flagstar Bancorp, Inc. 192,399 6,741,661
Flushing Financial Corp. 105,219 1,494,110
Fulton Financial Corp. 604,130 7,442,882
German American Bancorp, Inc. 91,868 2,934,264
Glacier Bancorp, Inc. 357,324 14,568,099
Great Southern Bancorp, Inc. 40,968 1,880,431
Great Western Bancorp, Inc. 205,097 3,369,744
Hancock Whitney Corp. 321,958 9,043,800
Hanmi Financial Corp. 114,308 1,114,503
Harborone Bancorp, Inc. * 217,763 2,136,255
HBT Financial, Inc. 35,201 492,110
Heartland Financial USA, Inc. 128,212 4,997,704
Heritage Commerce Corp. 223,349 1,880,599
Heritage Financial Corp. 133,834 3,114,317
Hilltop Holdings, Inc. 242,048 5,830,936
 
55

 

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

Security Number
of Shares
Value ($)
Home BancShares, Inc. 567,004 10,495,244
HomeStreet, Inc. 84,614 2,737,263
HomeTrust Bancshares, Inc. 61,630 1,049,559
Hope Bancorp, Inc. 464,304 4,401,602
Horizon Bancorp, Inc. 142,328 2,035,290
Independent Bank Corp. 122,966 8,317,420
Independent Bank Group, Inc. 136,384 7,652,506
International Bancshares Corp. 209,183 6,779,621
Investors Bancorp, Inc. 848,866 8,217,023
Kearny Financial Corp. 297,591 2,943,175
Lakeland Bancorp, Inc. 191,465 2,301,409
Lakeland Financial Corp. 96,048 4,878,278
Live Oak Bancshares, Inc. 102,875 4,230,220
Luther Burbank Corp. 60,517 594,882
Mercantile Bank Corp. 60,529 1,502,935
Merchants Bancorp 59,919 1,596,242
Meridian Bancorp, Inc. 195,357 2,665,646
Meta Financial Group, Inc. 129,211 4,276,884
Metrocity Bankshares, Inc. 71,650 992,352
MGIC Investment Corp. 1,267,754 15,162,338
Midland States Bancorp, Inc. 76,015 1,288,454
Mr Cooper Group, Inc. * 272,250 7,258,185
National Bank Holdings Corp., Class A 113,936 3,666,460
NBT Bancorp, Inc. 163,157 4,886,552
Nicolet Bankshares, Inc. * 35,155 2,338,159
NMI Holdings, Inc., Class A * 316,113 6,926,036
Northfield Bancorp, Inc. 178,192 1,983,277
Northwest Bancshares, Inc. 480,651 5,686,101
OceanFirst Financial Corp. 225,002 3,548,282
Ocwen Financial Corp. * 29,072 686,099
OFG Bancorp 191,407 3,206,067
Old National Bancorp 616,269 9,755,538
Origin Bancorp, Inc. 81,463 2,094,414
Pacific Premier Bancorp, Inc. 353,851 10,197,986
PacWest Bancorp 437,804 10,183,321
Park National Corp. 52,991 5,357,920
Peapack-Gladstone Financial Corp. 59,834 1,316,946
PennyMac Financial Services, Inc. 153,894 8,870,450
Peoples Bancorp, Inc. 67,615 1,689,023
Peoples Financial Services Corp. 24,944 943,382
Pinnacle Financial Partners, Inc. 284,130 15,388,481
Popular, Inc. 315,232 15,298,209
Preferred Bank 50,521 1,857,657
Premier Financial Corp. 139,014 2,878,980
Prosperity Bancshares, Inc. 346,319 21,759,223
Provident Financial Services, Inc. 272,723 4,273,569
QCR Holdings, Inc. 55,338 1,929,636
Radian Group, Inc. 717,587 13,548,043
Red River Bancshares, Inc. 18,219 906,213
Renasant Corp. 209,431 6,465,135
Republic Bancorp, Inc., Class A 34,123 1,204,542
Rocket Cos., Inc., Class A *(a) 376,047 7,791,694
S&T Bancorp, Inc. 146,330 3,276,329
Sandy Spring Bancorp, Inc. 175,753 5,177,683
Seacoast Banking Corp. of Florida * 197,513 4,989,178
ServisFirst Bancshares, Inc. 175,049 6,613,351
Simmons First National Corp., Class A 406,738 7,931,391
South State Corp. 265,319 17,635,754
Southside Bancshares, Inc. 116,964 3,438,742
Sterling Bancorp 728,906 11,647,918
Sterling Bancorp, Inc. 60,570 236,829
Stock Yards Bancorp, Inc. 78,635 3,132,818
Synovus Financial Corp. 551,475 17,410,066
TCF Financial Corp. 569,500 19,135,200
Texas Capital Bancshares, Inc. * 189,100 10,570,690
TFS Financial Corp. 177,463 3,052,364
The Bancorp, Inc. * 191,073 2,254,661
The First of Long Island Corp. 83,646 1,406,089
Tompkins Financial Corp. 45,007 2,862,895
Security Number
of Shares
Value ($)
Towne Bank 241,610 5,255,017
TriCo Bancshares 100,941 3,306,827
TriState Capital Holdings, Inc. * 102,364 1,524,200
Triumph Bancorp, Inc. * 84,288 3,830,047
TrustCo Bank Corp. 359,454 2,181,886
Trustmark Corp. 236,395 5,867,324
UMB Financial Corp. 162,055 11,021,361
Umpqua Holdings Corp. 825,590 11,467,445
United Bankshares, Inc. 486,172 14,235,116
United Community Banks, Inc. 322,415 7,708,943
Univest Financial Corp. 109,017 1,996,101
Valley National Bancorp 1,513,087 13,829,615
Veritex Holdings, Inc. 187,116 4,058,546
Walker & Dunlop, Inc. 108,533 8,683,725
Washington Federal, Inc. 284,392 6,646,241
Washington Trust Bancorp, Inc. 64,336 2,529,692
Waterstone Financial, Inc. 80,118 1,407,273
Webster Financial Corp. 338,006 12,790,147
WesBanco, Inc. 250,547 7,173,161
Westamerica BanCorp 101,245 5,580,624
Western Alliance Bancorp 377,059 19,331,815
Wintrust Financial Corp. 215,846 11,761,449
WSFS Financial Corp. 188,815 7,199,516
    993,905,355
 
Capital Goods 10.9%
AAON, Inc. 152,130 9,908,227
AAR Corp. 123,714 3,509,766
Advanced Drainage Systems, Inc. 182,250 12,711,937
AECOM * 599,393 31,102,503
Aegion Corp. * 114,700 1,967,105
Aerojet Rocketdyne Holdings, Inc. * 273,745 10,246,275
AeroVironment, Inc. * 81,741 6,979,864
Air Lease Corp. 400,467 14,645,078
Alamo Group, Inc. 36,766 4,989,882
Albany International Corp., Class A 115,299 7,901,440
Altra Industrial Motion Corp. 227,761 12,927,714
Ameresco, Inc., Class A * 78,526 3,498,333
American Woodmark Corp. * 63,345 5,543,321
API Group Corp. * 517,720 8,024,660
Apogee Enterprises, Inc. 98,258 2,578,290
Applied Industrial Technologies, Inc. 144,429 11,327,566
Arcosa, Inc. 180,385 9,360,178
Argan, Inc. 55,405 2,548,076
Armstrong World Industries, Inc. 178,979 13,792,122
Astec Industries, Inc. 84,456 4,898,448
Astronics Corp. * 87,947 1,004,355
Atkore International Group, Inc. * 176,987 6,898,953
Axon Enterprise, Inc. * 237,262 29,821,461
AZEK Co., Inc. * 268,762 9,600,179
AZZ, Inc. 98,690 4,400,587
Babcock & Wilcox Enterprises, Inc. * 121,266 509,317
Barnes Group, Inc. 173,663 7,990,235
Beacon Roofing Supply, Inc. * 203,332 7,399,251
Bloom Energy Corp., Class A * 303,798 7,449,127
BMC Stock Holdings, Inc. * 250,253 12,247,382
Builders FirstSource, Inc. * 436,375 16,324,789
BWX Technologies, Inc. 356,068 20,253,148
CAI International, Inc. 60,835 1,925,428
Chart Industries, Inc. * 131,922 13,635,458
CIRCOR International, Inc. * 74,537 2,464,939
Colfax Corp. * 375,545 13,549,664
Columbus McKinnon Corp. 88,664 3,350,613
Comfort Systems USA, Inc. 136,987 6,902,775
Construction Partners, Inc., Class A * 126,278 3,321,111
Cornerstone Building Brands, Inc. * 158,590 1,386,077
Crane Co. 184,837 12,851,717
CSW Industrials, Inc. 51,149 5,487,776
 
56

 

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

Security Number
of Shares
Value ($)
Cubic Corp. 117,280 6,867,917
Curtiss-Wright Corp. 155,377 17,908,753
Douglas Dynamics, Inc. 85,163 3,331,577
DXP Enterprises, Inc. * 60,962 1,283,860
Dycom Industries, Inc. * 118,887 7,473,237
EMCOR Group, Inc. 205,400 17,701,372
Encore Wire Corp. 77,732 4,016,412
Energy Recovery, Inc. * 149,412 1,594,226
Enerpac Tool Group Corp. 225,077 5,039,474
EnerSys 158,508 12,967,539
EnPro Industries, Inc. 76,436 5,412,433
ESCO Technologies, Inc. 97,184 9,611,498
Evoqua Water Technologies Corp. * 346,469 9,039,376
Federal Signal Corp. 225,688 7,003,099
Flowserve Corp. 486,806 16,590,348
Fluor Corp. 465,070 8,031,759
Foundation Building Materials, Inc. * 83,761 1,611,562
Franklin Electric Co., Inc. 143,029 9,667,330
FuelCell Energy, Inc. *(a) 771,680 7,871,136
Gates Industrial Corp. plc * 162,513 2,093,167
GATX Corp. 131,253 10,468,739
Gibraltar Industries, Inc. * 121,122 7,928,646
GMS, Inc. * 159,884 4,993,177
GrafTech International Ltd. 348,536 2,753,434
Graham Corp. 37,998 599,988
Granite Construction, Inc. 176,098 4,335,533
Great Lakes Dredge & Dock Corp. * 242,100 2,733,309
Griffon Corp. 167,919 3,501,111
H&E Equipment Services, Inc. 117,816 3,166,894
Helios Technologies, Inc. 113,561 5,590,608
Herc Holdings, Inc. * 91,501 5,241,177
Hexcel Corp. 312,613 15,480,596
Hillenbrand, Inc. 278,770 10,445,512
Hyster-Yale Materials Handling, Inc. 36,133 1,988,760
IES Holdings, Inc. * 78,461 2,893,642
Insteel Industries, Inc. 70,777 1,637,072
ITT, Inc. 322,675 23,435,885
JELD-WEN Holding, Inc. * 251,154 6,075,415
John Bean Technologies Corp. 118,733 13,127,120
Kadant, Inc. 42,812 5,476,083
Kaman Corp. 104,053 5,440,931
Kennametal, Inc. 309,562 10,831,574
Kratos Defense & Security Solutions, Inc. * 459,287 9,723,106
L.B. Foster Co., Class A * 35,001 509,615
Lindsay Corp. 40,501 4,690,826
Lydall, Inc. * 62,854 1,722,200
Masonite International Corp. * 91,704 9,174,985
MasTec, Inc. * 210,097 11,914,601
Maxar Technologies, Inc. 227,500 6,326,775
Mercury Systems, Inc. * 209,398 14,913,326
Meritor, Inc. * 269,499 7,114,774
Moog, Inc., Class A 112,049 8,668,111
MRC Global, Inc. * 214,143 1,237,747
MSC Industrial Direct Co., Inc., Class A 169,778 14,145,903
Mueller Industries, Inc. 213,334 6,988,822
Mueller Water Products, Inc., Class A 592,516 7,033,165
MYR Group, Inc. * 62,263 3,183,507
National Presto Industries, Inc. 19,324 1,643,506
Navistar International Corp. * 185,537 8,211,868
NN, Inc. * 159,342 998,278
NOW, Inc. * 407,752 2,275,256
NV5 Global, Inc. * 40,391 2,952,582
nVent Electric plc 635,868 14,624,964
Omega Flex, Inc. 10,866 1,539,930
Oshkosh Corp. 254,439 20,482,339
PAE, Inc. * 229,866 2,209,012
Park Aerospace Corp. 69,902 889,852
Park-Ohio Holdings Corp. 30,958 869,610
Security Number
of Shares
Value ($)
Parsons Corp. * 86,357 2,823,874
PGT Innovations, Inc. * 220,857 4,112,357
Plug Power, Inc. * 1,643,845 43,381,070
Powell Industries, Inc. 32,646 843,246
Preformed Line Products Co. 9,511 576,842
Primoris Services Corp. 167,554 4,063,184
Proto Labs, Inc. * 99,881 13,799,559
Quanex Building Products Corp. 122,301 2,519,401
Raven Industries, Inc. 133,601 3,369,417
RBC Bearings, Inc. * 93,798 15,836,854
Regal Beloit Corp. 151,582 18,044,321
Resideo Technologies, Inc. * 525,377 9,714,221
REV Group, Inc. 99,220 916,793
Rexnord Corp. 450,977 16,916,147
Rush Enterprises, Inc., Class A 157,672 6,043,568
Rush Enterprises, Inc., Class B 27,643 939,586
Shyft Group, Inc. 120,632 3,127,988
Simpson Manufacturing Co., Inc. 162,504 14,934,118
SiteOne Landscape Supply, Inc. * 165,039 22,791,886
Spirit AeroSystems Holdings, Inc., Class A 395,538 13,448,292
SPX Corp. * 167,555 8,583,843
SPX FLOW, Inc. * 158,574 8,496,395
Standex International Corp. 46,138 3,481,573
Sunrun, Inc. * 578,572 37,074,894
Systemax, Inc. 58,758 1,807,984
Tennant Co. 69,087 4,639,883
Terex Corp. 258,293 8,007,083
The Gorman-Rupp Co. 69,957 2,301,585
The Greenbrier Cos., Inc. 122,291 4,080,851
The Manitowoc Co., Inc. * 128,606 1,428,813
The Timken Co. 252,555 18,547,639
Thermon Group Holdings, Inc. * 123,636 1,748,213
Titan International, Inc. 186,186 934,654
Titan Machinery, Inc. * 69,851 1,276,178
TPI Composites, Inc. * 117,462 4,725,496
TriMas Corp. * 170,236 4,550,408
Trinity Industries, Inc. 333,850 7,628,472
Triton International Ltd. 254,959 11,539,444
Triumph Group, Inc. 194,097 2,556,257
Tutor Perini Corp. * 151,374 2,046,576
UFP Industries, Inc. 229,018 12,286,816
Univar Solutions, Inc. * 632,676 11,324,900
Valmont Industries, Inc. 80,059 13,048,016
Veritiv Corp. * 46,208 858,545
Vertiv Holdings Co. * 859,824 16,087,307
Vicor Corp. * 78,578 6,440,253
Virgin Galactic Holdings, Inc. *(a) 482,353 12,835,413
Wabash National Corp. 197,197 3,486,443
Watts Water Technologies, Inc., Class A 102,341 11,989,248
Welbilt, Inc. * 479,988 4,535,887
WESCO International, Inc. * 164,799 10,748,191
WillScot Mobile Mini Holdings Corp. * 639,665 13,759,194
    1,285,600,246
 
Commercial & Professional Services 2.9%
ABM Industries, Inc. 249,875 9,620,188
Acacia Research Corp. * 183,774 678,126
ACCO Brands Corp. 352,153 2,697,492
ASGN, Inc. * 196,285 15,345,561
Barrett Business Services, Inc. 28,423 1,896,098
Brady Corp., Class A 181,751 8,029,759
BrightView Holdings, Inc. * 113,421 1,547,062
Casella Waste Systems, Inc., Class A * 168,021 10,111,504
CBIZ, Inc. * 203,879 4,937,949
Cimpress plc * 72,359 6,485,537
Clean Harbors, Inc. * 191,709 13,873,980
CoreLogic, Inc. 296,927 23,011,843
 
57

 

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

Security Number
of Shares
Value ($)
Covanta Holding Corp. 441,456 5,474,054
Deluxe Corp. 156,016 4,015,852
Ennis, Inc. 97,185 1,590,919
Exponent, Inc. 192,901 16,012,712
Forrester Research, Inc. * 40,853 1,691,314
Franklin Covey Co. * 35,694 784,197
FTI Consulting, Inc. * 136,788 14,365,476
GP Strategies Corp. * 46,417 533,796
Harsco Corp. * 294,875 4,998,131
Healthcare Services Group, Inc. 277,386 6,565,727
Heidrick & Struggles International, Inc. 72,106 1,881,967
Heritage-Crystal Clean, Inc. * 54,649 1,053,086
Herman Miller, Inc. 220,563 7,860,865
HNI Corp. 159,065 5,799,510
Huron Consulting Group, Inc. * 85,635 3,773,935
ICF International, Inc. 63,242 4,580,618
Insperity, Inc. 135,138 11,554,299
Interface, Inc. 218,285 1,821,588
KAR Auction Services, Inc. 484,781 8,750,297
Kelly Services, Inc., Class A 125,193 2,561,449
Kforce, Inc. 72,014 2,956,175
Kimball International, Inc., Class B 136,598 1,493,016
Knoll, Inc. 172,022 2,349,821
Korn Ferry 210,998 8,448,360
Matthews International Corp., Class A 116,527 3,114,767
McGrath RentCorp 89,760 5,712,326
Mistras Group, Inc. * 62,432 325,895
MSA Safety, Inc. 135,200 20,204,288
NL Industries, Inc. 34,689 162,345
PICO Holdings, Inc. * 70,075 611,054
Pitney Bowes, Inc. 647,246 3,689,302
Quad/Graphics, Inc. 118,262 366,612
Resources Connection, Inc. 112,704 1,364,845
SP Plus Corp. * 86,068 2,447,774
Steelcase, Inc., Class A 329,269 4,000,618
Team, Inc. * 114,133 994,098
Tetra Tech, Inc. 201,493 24,028,040
The Brink's Co. 189,333 12,704,244
TriNet Group, Inc. * 150,755 11,306,625
TrueBlue, Inc. * 134,431 2,567,632
UniFirst Corp. 56,912 10,521,891
Upwork, Inc. * 328,943 10,763,015
US Ecology, Inc. 117,898 3,995,563
Viad Corp. 76,039 2,278,889
VSE Corp. 32,914 1,125,659
    341,437,745
 
Consumer Durables & Apparel 4.0%
Acushnet Holdings Corp. 127,826 4,819,040
American Outdoor Brands, Inc. * 51,234 711,384
Beazer Homes USA, Inc. * 109,919 1,627,900
Brunswick Corp. 295,979 22,091,873
Callaway Golf Co. 352,212 7,484,505
Capri Holdings Ltd. * 562,303 19,894,280
Carter's, Inc. 163,110 14,515,159
Casper Sleep, Inc. * 89,819 564,962
Cavco Industries, Inc. * 31,796 5,723,598
Century Communities, Inc. * 108,366 4,822,287
Columbia Sportswear Co. 113,647 9,311,099
Crocs, Inc. * 252,478 14,868,429
Deckers Outdoor Corp. * 104,704 26,656,591
Ethan Allen Interiors, Inc. 81,265 1,484,712
Fossil Group, Inc. * 173,999 1,844,389
G-III Apparel Group Ltd. * 161,212 3,283,888
GoPro, Inc., Class A * 480,690 3,360,023
Green Brick Partners, Inc. * 179,414 3,905,843
Helen of Troy Ltd. * 94,670 19,122,393
Installed Building Products, Inc. * 84,949 8,394,660
Security Number
of Shares
Value ($)
iRobot Corp. * 104,158 8,169,112
Johnson Outdoors, Inc., Class A 26,772 2,238,139
KB Home 329,519 11,599,069
Kontoor Brands, Inc. * 174,552 7,273,582
La-Z-Boy, Inc. 171,453 6,350,619
Legacy Housing Corp. * 30,633 456,432
Levi Strauss & Co., Class A 243,094 4,470,499
LGI Homes, Inc. * 82,415 8,904,941
M.D.C Holdings, Inc. 187,952 9,072,443
M/I Homes, Inc. * 106,415 4,836,562
Malibu Boats, Inc., Class A * 76,802 4,376,946
Marine Products Corp. 111,383 1,717,526
Mattel, Inc. * 1,296,909 20,089,120
Meritage Homes Corp. * 140,756 12,689,153
Movado Group, Inc. 61,798 1,046,240
Oxford Industries, Inc. 62,298 3,475,605
Purple Innovation, Inc. * 90,636 2,702,766
PVH Corp. 265,243 21,084,166
Ralph Lauren Corp. 180,012 15,436,029
Skechers U.S.A., Inc., Class A * 509,631 17,057,350
Skyline Champion Corp. * 194,319 5,971,423
Smith & Wesson Brands, Inc. 207,010 3,262,478
Sonos, Inc. * 327,122 7,275,193
Steven Madden Ltd. 290,162 9,131,398
Sturm Ruger & Co., Inc. 65,180 3,991,623
Taylor Morrison Home Corp., Class A * 485,758 12,279,962
Tempur Sealy International, Inc. * 717,052 18,062,540
TopBuild Corp. * 123,739 21,559,046
TRI Pointe Group, Inc. * 489,041 8,548,437
Tupperware Brands Corp. * 183,134 6,162,459
Unifi, Inc. * 55,714 843,510
Universal Electronics, Inc. * 51,940 2,735,160
Vera Bradley, Inc. * 82,179 696,878
Vista Outdoor, Inc. * 217,344 4,483,807
Wolverine World Wide, Inc. 305,731 8,823,397
YETI Holdings, Inc. * 279,808 17,675,471
    469,036,096
 
Consumer Services 4.1%
Accel Entertainment, Inc. * 162,662 1,698,191
Adtalem Global Education, Inc. * 193,742 5,546,833
American Public Education, Inc. * 55,149 1,711,825
Bally's Corp. * 66,978 2,975,832
Biglari Holdings, Inc., Class A * 236 138,526
Biglari Holdings, Inc., Class B * 2,966 332,192
BJ's Restaurants, Inc. 83,006 2,741,688
Bloomin' Brands, Inc. 297,553 5,207,177
Bluegreen Vacations Corp. 18,890 120,140
Bluegreen Vacations Holding Corp. * 46,006 584,736
Boyd Gaming Corp. 299,163 11,514,784
Brinker International, Inc. 168,295 8,433,262
Caesars Entertainment, Inc. * 745,442 50,779,509
Carriage Services, Inc. 60,836 1,655,348
Carrols Restaurant Group, Inc. * 131,650 895,220
Choice Hotels International, Inc. 107,455 10,707,891
Churchill Downs, Inc. 132,682 23,872,145
Chuy's Holdings, Inc. * 73,379 1,739,082
Cracker Barrel Old Country Store, Inc. 88,795 12,394,006
Dave & Buster's Entertainment, Inc. 176,858 4,478,045
Denny's Corp. * 237,458 2,733,142
Dine Brands Global, Inc. 61,192 3,853,260
El Pollo Loco Holdings, Inc. * 69,631 1,091,118
Everi Holdings, Inc. * 318,514 3,388,989
Extended Stay America, Inc. 598,376 8,203,735
Fiesta Restaurant Group, Inc. * 64,792 761,306
Franchise Group, Inc. 99,939 2,677,366
frontdoor, Inc. * 319,676 15,133,462
Golden Entertainment, Inc. * 70,236 1,169,429
 
58

 

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

Security Number
of Shares
Value ($)
Graham Holdings Co., Class B 15,471 6,915,846
Grand Canyon Education, Inc. * 176,974 14,772,020
H&R Block, Inc. 722,792 13,588,490
Hilton Grand Vacations, Inc. * 318,993 8,848,866
Houghton Mifflin Harcourt Co. * 469,064 1,411,883
Hyatt Hotels Corp., Class A 132,674 9,548,548
Jack in the Box, Inc. 84,709 7,792,381
K12, Inc. * 153,862 3,589,600
Laureate Education, Inc., Class A * 396,233 5,626,509
Lindblad Expeditions Holdings, Inc. * 113,283 1,451,155
Marriott Vacations Worldwide Corp. 153,523 19,548,084
Monarch Casino & Resort, Inc. * 47,135 2,602,795
Noodles & Co. * 109,149 867,734
OneSpaWorld Holdings Ltd. 189,565 1,675,755
Papa John's International, Inc. 122,481 9,842,573
Penn National Gaming, Inc. * 538,468 37,692,760
Perdoceo Education Corp. * 257,684 2,922,137
Planet Fitness, Inc., Class A * 299,084 21,818,178
Playa Hotels & Resorts N.V. * 217,642 1,107,798
PlayAGS, Inc. * 132,798 653,366
Red Rock Resorts, Inc., Class A 245,008 5,327,699
Regis Corp. * 90,309 766,723
Ruth's Hospitality Group, Inc. 118,739 1,848,766
Scientific Games Corp., Class A * 208,980 7,790,774
SeaWorld Entertainment, Inc. * 190,228 5,307,361
Shake Shack, Inc., Class A * 132,682 10,834,812
Six Flags Entertainment Corp. 282,515 8,681,686
Strategic Education, Inc. 91,503 8,591,217
Target Hospitality Corp. * 97,296 153,728
Texas Roadhouse, Inc. 243,942 18,490,804
The Cheesecake Factory, Inc. 155,891 5,842,795
The Wendy's Co. 669,143 14,714,455
Vivint Smart Home, Inc. * 152,347 3,356,204
Wingstop, Inc. 110,822 14,108,749
WW International, Inc. * 174,919 5,161,860
Wyndham Destinations, Inc. 319,255 13,427,865
    483,220,215
 
Diversified Financials 4.3%
Affiliated Managers Group, Inc. 174,327 15,187,368
Alerus Financial Corp. 53,578 1,287,479
Anworth Mortgage Asset Corp. 369,944 795,380
Apollo Commercial Real Estate Finance, Inc. 506,407 5,459,067
Arbor Realty Trust, Inc. 390,449 5,200,781
Ares Management Corp., Class A 353,113 15,907,741
ARMOUR Residential REIT, Inc. 241,224 2,552,150
Artisan Partners Asset Management, Inc., Class A 217,566 9,790,470
Assetmark Financial Holdings, Inc. * 64,796 1,540,849
B. Riley Financial, Inc. 61,654 2,228,176
BGC Partners, Inc., Class A 1,174,085 4,860,712
Blackstone Mortgage Trust, Inc., Class A 547,091 14,213,424
Blucora, Inc. * 179,099 2,335,451
Brightsphere Investment Group, Inc. 224,916 3,981,013
Broadmark Realty Capital, Inc. 463,305 4,702,546
Cannae Holdings, Inc. * 322,497 12,712,832
Capstead Mortgage Corp. 359,762 2,025,460
Chimera Investment Corp. 866,378 8,889,038
Cohen & Steers, Inc. 87,225 6,172,913
Colony Credit Real Estate, Inc. 297,216 2,157,788
Cowen, Inc., Class A 103,184 2,472,289
Curo Group Holdings Corp. 62,455 539,611
Diamond Hill Investment Group, Inc. 10,861 1,486,002
Donnelley Financial Solutions, Inc. * 112,233 1,828,276
Dynex Capital, Inc. 86,235 1,518,598
Ellington Financial, Inc. 166,010 2,390,544
Encore Capital Group, Inc. * 116,786 3,987,074
Security Number
of Shares
Value ($)
Enova International, Inc. * 131,758 2,755,060
Evercore, Inc., Class A 151,490 13,774,986
EZCORP, Inc., Class A * 194,188 988,417
Federated Hermes, Inc. 356,220 9,560,945
FirstCash, Inc. 154,700 9,937,928
Focus Financial Partners, Inc., Class A * 116,784 4,625,814
Granite Point Mortgage Trust, Inc. 205,749 1,905,236
Green Dot Corp., Class A * 199,136 10,665,724
Greenhill & Co., Inc. 52,988 689,904
Hamilton Lane, Inc., Class A 116,064 8,110,552
Hannon Armstrong Sustainable Infrastructure Capital, Inc. 277,316 15,158,093
Houlihan Lokey, Inc. 189,248 12,259,485
Interactive Brokers Group, Inc., Class A 295,383 15,584,407
Invesco Mortgage Capital, Inc. (a) 676,009 2,244,350
Janus Henderson Group plc 564,167 16,095,684
KKR Real Estate Finance Trust, Inc. 101,348 1,847,574
Ladder Capital Corp., Class A 427,596 3,899,675
Lazard Ltd., Class A 421,302 15,722,991
LendingClub Corp. * 266,606 2,127,516
LendingTree, Inc. * 40,767 10,419,230
LPL Financial Holdings, Inc. 295,397 26,813,186
MFA Financial, Inc. 1,693,633 6,266,442
Moelis & Co., Class A 206,790 8,114,440
Navient Corp. 726,402 6,806,387
Nelnet, Inc., Class A 77,925 5,291,107
New Residential Investment Corp. 1,557,163 14,419,329
New York Mortgage Trust, Inc. 1,405,466 4,940,213
OneMain Holdings, Inc. 281,109 10,960,440
Open Lending Corp., Class A * 237,730 6,684,968
Oportun Financial Corp. * 64,177 1,085,233
PennyMac Mortgage Investment Trust 370,080 6,328,368
Piper Sandler Cos. 51,299 4,728,229
PJT Partners, Inc., Class A 89,584 6,206,379
PRA Group, Inc. * 170,127 7,082,387
Ready Capital Corp. 153,390 1,984,867
Redwood Trust, Inc. 432,338 3,739,724
Safeguard Scientifics, Inc. 74,784 479,365
SLM Corp. 1,404,292 14,899,538
Stifel Financial Corp. 256,163 17,752,096
StoneX Group, Inc. * 60,908 3,753,151
TPG RE Finance Trust, Inc. 223,147 2,314,034
Tradeweb Markets, Inc., Class A 338,953 20,218,546
Two Harbors Investment Corp. 1,021,913 6,376,737
Virtu Financial, Inc., Class A 302,824 6,901,359
Virtus Investment Partners, Inc. 26,835 4,800,245
Waddell & Reed Financial, Inc., Class A 243,718 4,011,598
Western Asset Mortgage Capital Corp. 239,177 734,273
WisdomTree Investments, Inc. 419,042 1,793,500
World Acceptance Corp. * 16,824 1,899,598
    501,982,342
 
Energy 2.1%
Antero Midstream Corp. 1,068,637 7,202,613
Antero Resources Corp. * 921,015 3,610,379
Arch Resources, Inc. * 56,423 1,886,785
Archrock, Inc. 478,782 3,720,136
Berry Corp. 250,176 960,676
Bonanza Creek Energy, Inc. * 69,118 1,525,434
Brigham Minerals, Inc., Class A 124,543 1,297,738
Bristow Group, Inc. * 87,983 1,957,622
Cactus, Inc., Class A 176,909 4,104,289
Callon Petroleum Co. *(a) 148,159 1,408,992
Centennial Resource Development, Inc., Class A * 684,455 807,657
ChampionX Corp. * 692,663 8,228,836
Cimarex Energy Co. 382,434 13,748,502
Clean Energy Fuels Corp. * 429,617 1,954,757
 
59

 

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

Security Number
of Shares
Value ($)
CNX Resources Corp. * 837,444 7,880,348
Comstock Resources, Inc. * 208,054 1,013,223
CONSOL Energy, Inc. * 96,283 509,337
Core Laboratories N.V. 165,755 3,641,637
CVR Energy, Inc. 108,632 1,536,056
Delek US Holdings, Inc. 230,622 3,064,966
DMC Global, Inc. 55,030 2,247,976
Dorian LPG Ltd. * 125,509 1,371,813
Dril-Quip, Inc. * 130,641 3,712,817
EQT Corp. 1,031,315 15,345,967
Equitrans Midstream Corp. 1,522,417 12,422,923
Exterran Corp. * 92,636 392,777
Falcon Minerals Corp. 137,393 316,004
Frank's International N.V. * 455,050 1,014,762
Green Plains, Inc. * 124,916 1,846,258
Helix Energy Solutions Group, Inc. * 525,773 1,976,906
Helmerich & Payne, Inc. 403,403 9,185,486
International Seaways, Inc. 104,296 1,761,559
Kosmos Energy Ltd. 1,511,375 2,660,020
Laredo Petroleum, Inc. * 32,245 380,813
Liberty Oilfield Services, Inc., Class A 221,374 2,058,778
Magnolia Oil & Gas Corp., Class A * 453,392 2,833,700
Matador Resources Co. * 409,388 4,167,570
Matrix Service Co. * 98,575 944,349
Murphy Oil Corp. 540,346 5,435,881
Nabors Industries Ltd. (a) 23,912 1,252,750
NACCO Industries, Inc., Class A 14,344 383,702
New Fortress Energy, Inc. 62,837 2,708,903
Newpark Resources, Inc. * 336,493 504,740
NextDecade Corp. *(a) 422,759 1,014,622
NexTier Oilfield Solutions, Inc. * 599,123 1,677,544
Northern Oil and Gas, Inc. *(a) 118,798 742,488
Oceaneering International, Inc. * 370,078 2,246,373
Oil States International, Inc. * 227,472 1,009,976
Overseas Shipholding Group, Inc., Class A * 267,196 534,392
Ovintiv, Inc. 969,837 12,375,120
Par Pacific Holdings, Inc. * 148,858 1,695,493
Patterson-UTI Energy, Inc. 708,653 3,054,294
PBF Energy, Inc., Class A 358,341 2,601,556
PDC Energy, Inc. * 372,058 6,220,810
Peabody Energy Corp. * 255,225 344,554
Penn Virginia Corp. * 57,931 522,538
ProPetro Holding Corp. * 300,816 1,735,708
QEP Resources, Inc. 903,349 1,454,392
Range Resources Corp. 957,757 6,991,626
Renewable Energy Group, Inc. * 146,495 8,508,430
REX American Resources Corp. * 20,328 1,595,748
RPC, Inc. * 228,087 707,070
Select Energy Services, Inc., Class A * 233,162 986,275
SM Energy Co. 396,856 1,678,701
Southwestern Energy Co. * 2,423,132 7,535,941
Talos Energy, Inc. * 87,754 751,174
TechnipFMC plc 1,582,727 13,152,461
Tellurian, Inc. * 661,130 985,084
Tidewater, Inc. * 150,410 1,430,399
Transocean Ltd. * 2,153,549 3,984,066
US Silica Holdings, Inc. 275,441 1,189,905
W&T Offshore, Inc. *(a) 348,456 682,974
World Fuel Services Corp. 237,171 6,740,400
WPX Energy, Inc. * 1,514,763 10,785,113
    249,921,664
 
Food & Staples Retailing 1.0%
Albertsons Cos, Inc. Class A *(a) 178,506 2,861,451
BJ's Wholesale Club Holdings, Inc. * 515,914 21,147,315
Casey's General Stores, Inc. 138,034 25,078,017
Grocery Outlet Holding Corp. * 311,084 12,014,064
Security Number
of Shares
Value ($)
Ingles Markets, Inc., Class A 52,910 1,988,887
Natural Grocers by Vitamin Cottage, Inc. 46,988 684,145
Performance Food Group Co. * 496,407 21,534,136
PriceSmart, Inc. 86,947 7,067,052
Rite Aid Corp. *(a) 203,681 2,688,589
SpartanNash Co. 133,542 2,521,273
Sprouts Farmers Market, Inc. * 442,330 9,364,126
The Andersons, Inc. 114,352 2,599,221
The Chefs' Warehouse, Inc. * 123,144 2,837,854
United Natural Foods, Inc. * 204,842 3,533,525
Village Super Market, Inc., Class A 30,514 706,704
Weis Markets, Inc. 61,143 2,912,241
    119,538,600
 
Food, Beverage & Tobacco 1.6%
Alico, Inc. 16,419 508,825
B&G Foods, Inc. (a) 239,307 6,626,411
Cal-Maine Foods, Inc. * 138,434 5,416,922
Calavo Growers, Inc. 61,765 4,424,227
Celsius Holdings, Inc. * 95,948 3,094,323
Coca-Cola Consolidated, Inc. 17,298 4,526,714
Darling Ingredients, Inc. * 605,611 29,238,899
Flowers Foods, Inc. 735,800 16,327,402
Fresh Del Monte Produce, Inc. 112,893 2,866,353
Freshpet, Inc. * 151,436 20,728,560
Hostess Brands, Inc. * 463,591 6,281,658
J&J Snack Foods Corp. 55,972 8,137,769
John B Sanfilippo & Son, Inc. 32,847 2,437,576
Lancaster Colony Corp. 73,119 12,381,240
Landec Corp. * 95,856 992,110
Limoneira Co. 57,173 836,441
MGP Ingredients, Inc. 49,159 2,143,824
National Beverage Corp. *(a) 43,533 4,267,540
Pilgrim's Pride Corp. * 181,816 3,434,504
Sanderson Farms, Inc. 74,179 10,142,495
Seaboard Corp. 949 3,039,391
Seneca Foods Corp., Class A * 28,295 1,184,995
Simply Good Foods Co. * 313,217 6,809,337
The Hain Celestial Group, Inc. * 311,818 12,004,993
Tootsie Roll Industries, Inc. 64,973 2,012,214
TreeHouse Foods, Inc. * 210,743 8,667,860
Turning Point Brands, Inc. 55,861 2,179,696
Universal Corp. 91,216 4,151,240
Vector Group Ltd. 478,205 5,375,024
Vital Farms, Inc. * 56,827 1,684,352
    191,922,895
 
Health Care Equipment & Services 6.7%
1Life Healthcare, Inc. * 268,544 8,827,041
Acadia Healthcare Co., Inc. * 333,006 14,136,105
Accelerate Diagnostics, Inc. *(a) 113,399 887,914
Accolade, Inc. * 56,398 2,927,620
Accuray, Inc. * 337,375 1,504,692
Acutus Medical, Inc. * 37,821 1,074,873
AdaptHealth Corp. * 142,753 4,262,605
Addus HomeCare Corp. * 55,454 5,503,809
Allscripts Healthcare Solutions, Inc. * 610,319 8,349,164
Amedisys, Inc. * 121,339 29,702,574
American Renal Associates Holdings, Inc. * 51,673 589,589
AMN Healthcare Services, Inc. * 176,167 11,479,042
AngioDynamics, Inc. * 141,165 2,007,366
Antares Pharma, Inc. * 569,545 1,776,980
Apollo Medical Holdings, Inc. * 48,303 880,081
AtriCure, Inc. * 168,526 7,327,510
Atrion Corp. 5,239 3,143,400
Avanos Medical, Inc. * 178,289 7,557,671
 
60

 

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

Security Number
of Shares
Value ($)
AxoGen, Inc. * 129,969 1,857,257
Axonics Modulation Technologies, Inc. * 109,013 4,784,581
BioLife Solutions, Inc. * 93,019 3,347,754
BioTelemetry, Inc. * 127,401 7,059,289
Brookdale Senior Living, Inc. * 683,056 2,896,157
Cantel Medical Corp. 140,417 8,344,982
Cardiovascular Systems, Inc. * 147,834 5,094,360
Castle Biosciences, Inc. * 50,596 2,406,346
Castlight Health, Inc., Class B * 311,533 392,532
Cerus Corp. * 622,338 4,138,548
Change Healthcare, Inc. * 854,858 14,643,717
Community Health Systems, Inc. * 419,153 3,428,671
Computer Programs & Systems, Inc. 47,048 1,337,575
CONMED Corp. 106,610 10,862,493
CorVel Corp. * 34,038 3,048,103
Covetrus, Inc. * 368,197 9,946,842
CryoLife, Inc. * 141,098 2,937,660
CryoPort, Inc. * 144,587 7,034,158
Envista Holdings Corp. * 595,854 17,714,739
Evolent Health, Inc., Class A * 290,399 4,219,497
Fulgent Genetics, Inc. *(a) 43,941 1,973,830
GenMark Diagnostics, Inc. * 254,052 3,396,675
Glaukos Corp. * 166,652 11,245,677
Globus Medical, Inc., Class A * 281,815 16,931,445
Hanger, Inc. * 141,994 3,221,844
Health Catalyst, Inc. * 111,843 3,987,203
HealthEquity, Inc. * 286,925 20,569,653
HealthStream, Inc. * 95,412 1,782,296
Heska Corp. * 33,184 4,148,000
HMS Holdings Corp. * 330,257 10,376,675
ICU Medical, Inc. * 72,812 13,739,624
Inari Medical, Inc. * 30,706 2,120,863
Inogen, Inc. * 68,220 2,392,475
Inovalon Holdings, Inc., Class A * 285,064 5,322,145
Inspire Medical Systems, Inc. * 100,204 18,611,891
Integer Holdings Corp. * 122,540 8,833,909
Integra LifeSciences Holdings Corp. * 264,685 14,486,210
Invacare Corp. 128,252 1,093,990
iRhythm Technologies, Inc. * 107,156 26,200,714
Lantheus Holdings, Inc. * 248,979 3,276,564
LeMaitre Vascular, Inc. 62,530 2,463,057
LENSAR, Inc. * 31,954 273,846
LHC Group, Inc. * 118,040 23,173,613
LivaNova plc * 181,594 9,597,243
Magellan Health, Inc. * 84,342 6,667,235
MEDNAX, Inc. * 319,997 6,467,139
Meridian Bioscience, Inc. * 159,730 3,018,897
Merit Medical Systems, Inc. * 182,166 10,031,882
Mesa Laboratories, Inc. 18,053 4,906,083
National HealthCare Corp. 46,440 2,889,497
National Research Corp. 49,841 2,557,342
Natus Medical, Inc. * 126,241 2,640,962
Neogen Corp. * 197,917 14,689,400
Nevro Corp. * 128,265 20,682,731
NextGen Healthcare, Inc. * 206,232 3,658,556
Novocure Ltd. * 313,624 39,406,856
NuVasive, Inc. * 191,886 8,888,159
Omnicell, Inc. * 160,040 16,780,194
Ontrak, Inc. *(a) 28,555 1,417,756
Option Care Health, Inc. * 201,813 3,178,555
OraSure Technologies, Inc. * 266,723 3,200,676
Orthofix Medical, Inc. * 72,030 2,647,823
OrthoPediatrics Corp. * 50,248 2,299,348
Owens & Minor, Inc. 270,341 6,963,984
Patterson Cos., Inc. 324,659 9,012,534
PetIQ, Inc. * 78,923 2,271,404
Phreesia, Inc. * 112,310 4,959,610
Premier, Inc., Class A 264,590 9,371,778
Progyny, Inc. * 135,293 4,801,549
Security Number
of Shares
Value ($)
R1 RCM, Inc. * 431,268 8,746,115
RadNet, Inc. * 159,539 2,970,616
Schrodinger, Inc. * 122,188 8,501,841
SeaSpine Holdings Corp. * 83,047 1,180,928
Select Medical Holdings Corp. * 399,936 9,638,458
Shockwave Medical, Inc. * 115,457 11,295,158
SI-BONE, Inc. * 87,489 2,026,245
Silk Road Medical, Inc. * 126,188 7,230,572
Simulations Plus, Inc. 56,670 3,171,820
SmileDirectClub, Inc. *(a) 311,032 3,825,694
STAAR Surgical Co. * 171,472 12,220,809
Surgery Partners, Inc. * 76,963 1,880,206
Surmodics, Inc. * 50,825 1,902,888
Tabula Rasa HealthCare, Inc. * 78,313 2,698,666
Tactile Systems Technology, Inc. * 72,351 3,119,052
Tandem Diabetes Care, Inc. * 227,676 21,374,223
Tenet Healthcare Corp. * 394,925 12,412,493
The Ensign Group, Inc. 189,365 13,609,663
The Pennant Group, Inc. * 94,550 4,792,739
The Providence Service Corp. * 45,831 6,223,391
Tivity Health, Inc. * 139,362 2,568,442
TransMedics Group, Inc. * 90,052 1,339,073
Triple-S Management Corp., Class B * 87,352 1,957,558
US Physical Therapy, Inc. 48,216 5,121,503
Vapotherm, Inc. * 80,017 2,013,228
Varex Imaging Corp. * 145,534 2,427,507
ViewRay, Inc. * 416,029 1,597,551
Vocera Communications, Inc. * 121,649 4,115,386
    790,024,514
 
Household & Personal Products 0.7%
BellRing Brands, Inc., Class A * 146,929 2,997,352
Central Garden & Pet Co. * 36,237 1,450,929
Central Garden & Pet Co., Class A * 146,058 5,388,080
Coty, Inc., Class A 1,055,151 7,586,536
Edgewell Personal Care Co. * 202,563 7,039,064
elf Beauty, Inc. * 141,753 3,081,710
Energizer Holdings, Inc. 217,440 9,108,562
Inter Parfums, Inc. 65,752 3,570,991
Medifast, Inc. 44,059 8,994,204
Nu Skin Enterprises, Inc., Class A 191,747 9,876,888
Revlon, Inc., Class A *(a) 26,706 343,439
Spectrum Brands Holdings, Inc. 144,614 9,664,554
USANA Health Sciences, Inc. * 44,611 3,353,855
WD-40 Co. 51,176 13,014,568
    85,470,732
 
Insurance 2.9%
Ambac Financial Group, Inc. * 170,771 2,500,087
American Equity Investment Life Holding Co. 343,210 9,019,559
American National Group, Inc. 34,039 2,885,826
AMERISAFE, Inc. 72,067 3,944,227
Argo Group International Holdings Ltd. 129,226 5,064,367
Assured Guaranty Ltd. 311,734 9,392,545
Axis Capital Holdings Ltd. 299,368 15,001,330
Brighthouse Financial, Inc. * 348,379 12,228,103
BRP Group, Inc., Class A * 126,619 3,728,930
Citizens, Inc. * 172,944 1,096,465
CNO Financial Group, Inc. 528,756 11,251,928
Crawford & Co., Class A 59,982 440,868
Crawford & Co., Class B 31,619 230,819
Donegal Group, Inc., Class A 47,638 665,979
eHealth, Inc. * 96,262 7,314,949
Employers Holdings, Inc. 109,584 3,343,408
Enstar Group Ltd. * 49,362 9,343,239
FBL Financial Group, Inc., Class A 36,306 1,887,912
 
61

 

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

Security Number
of Shares
Value ($)
First American Financial Corp. 416,911 20,195,169
Genworth Financial, Inc., Class A * 1,893,634 8,597,098
GoHealth, Inc., Class A * 160,015 1,686,558
Goosehead Insurance, Inc., Class A 58,997 7,263,121
Greenlight Capital Re Ltd., Class A * 103,209 795,741
Horace Mann Educators Corp. 154,594 6,171,392
Independence Holding Co. 31,131 1,227,495
James River Group Holdings Ltd. 113,871 5,190,240
Kemper Corp. 229,526 17,202,974
Kinsale Capital Group, Inc. 79,320 19,049,491
Lemonade, Inc. *(a) 46,390 3,213,435
MBIA, Inc. * 189,523 1,207,261
Mercury General Corp. 99,514 4,425,388
National General Holdings Corp. 250,132 8,524,499
National Western Life Group, Inc., Class A 8,402 1,563,444
NI Holdings, Inc. * 28,837 493,113
Palomar Holdings, Inc. * 81,092 5,360,181
Primerica, Inc. 147,632 19,232,021
ProAssurance Corp. 203,234 3,233,453
ProSight Global, Inc. * 32,365 412,654
RLI Corp. 148,115 14,179,049
Safety Insurance Group, Inc. 53,643 3,822,064
Selective Insurance Group, Inc. 223,868 13,839,520
Selectquote, Inc. * 120,638 2,587,685
State Auto Financial Corp. 65,127 978,208
Stewart Information Services Corp. 99,607 4,170,545
The Hanover Insurance Group, Inc. 140,849 15,824,385
Third Point Reinsurance Ltd. * 304,378 2,903,766
Trean Insurance Group, Inc. * 40,007 570,100
Trupanion, Inc. * 121,491 12,316,758
United Fire Group, Inc. 80,288 1,755,899
United Insurance Holdings Corp. 77,044 341,305
Universal Insurance Holdings, Inc. 108,050 1,508,378
Unum Group 761,283 16,923,321
Watford Holdings Ltd. * 74,095 2,572,578
White Mountains Insurance Group Ltd. 11,622 11,157,120
    339,835,950
 
Materials 3.9%
AdvanSix, Inc. * 104,451 1,856,094
Alcoa Corp. * 696,485 13,860,051
Allegheny Technologies, Inc. * 472,028 6,367,658
American Vanguard Corp. 98,977 1,500,491
Amyris, Inc. *(a) 442,599 1,292,389
Arconic Corp. * 363,968 10,012,760
Avient Corp. 342,678 12,524,881
Balchem Corp. 121,012 12,547,734
Boise Cascade Co. 146,072 6,317,614
Cabot Corp. 211,819 8,771,425
Carpenter Technology Corp. 180,453 4,410,271
Century Aluminum Co. * 186,811 1,896,132
Chase Corp. 27,424 2,905,573
Clearwater Paper Corp. * 61,743 2,155,448
Cleveland-Cliffs, Inc. 1,494,821 16,457,979
Coeur Mining, Inc. * 912,297 6,468,186
Commercial Metals Co. 446,493 8,889,676
Compass Minerals International, Inc. 126,624 7,908,935
Domtar Corp. 205,700 6,191,570
Eagle Materials, Inc. 156,091 14,202,720
Element Solutions, Inc. 817,462 11,289,150
Ferro Corp. * 306,562 4,386,902
Forterra, Inc. * 70,497 1,307,719
FutureFuel Corp. 96,185 1,153,258
GCP Applied Technologies, Inc. * 180,099 4,230,526
Glatfelter Corp. 165,370 2,659,150
Graphic Packaging Holding Co. 1,041,826 15,960,774
Greif, Inc., Class A 98,805 4,802,911
Security Number
of Shares
Value ($)
Greif, Inc., Class B 22,460 1,107,278
H.B. Fuller Co. 193,183 10,109,266
Hawkins, Inc. 35,369 1,774,816
Haynes International, Inc. 46,797 991,628
Hecla Mining Co. 1,974,332 9,437,307
Ingevity Corp. * 154,081 10,258,713
Innospec, Inc. 92,220 7,588,784
Kaiser Aluminum Corp. 59,108 4,609,242
Koppers Holdings, Inc. * 78,440 2,123,371
Kraton Corp. * 118,751 3,206,277
Kronos Worldwide, Inc. 81,816 1,124,970
Livent Corp. * 545,187 8,270,487
Loop Industries, Inc. *(a) 78,873 659,378
Louisiana-Pacific Corp. 420,260 14,385,500
Materion Corp. 75,730 4,415,059
McEwen Mining, Inc. *(a) 870,285 852,096
Mercer International, Inc. 147,315 1,206,510
Minerals Technologies, Inc. 127,476 7,733,969
Myers Industries, Inc. 133,425 2,266,891
Neenah, Inc. 62,588 3,036,144
O-I Glass, Inc. 586,538 6,639,610
Olin Corp. 532,210 11,650,077
Orion Engineered Carbons S.A. 226,467 3,523,827
PQ Group Holdings, Inc. * 146,288 1,871,024
Quaker Chemical Corp. 49,306 12,178,582
Ranpak Holdings Corp. * 133,676 1,511,876
Rayonier Advanced Materials, Inc. * 236,155 1,527,923
Resolute Forest Products, Inc. * 320,858 1,758,302
Schnitzer Steel Industries, Inc., Class A 100,212 2,567,431
Schweitzer-Mauduit International, Inc. 117,173 4,075,277
Sensient Technologies Corp. 158,578 11,373,214
Silgan Holdings, Inc. 293,455 9,918,779
Stepan Co. 79,721 9,260,391
Summit Materials, Inc., Class A * 426,176 8,097,344
SunCoke Energy, Inc. 308,534 1,388,403
The Chemours Co. 614,314 14,946,260
TimkenSteel Corp. * 141,060 664,393
Tredegar Corp. 96,194 1,520,827
Trinseo S.A. 143,065 5,435,039
Tronox Holdings plc, Class A 331,664 4,195,550
United States Lime & Minerals, Inc. 7,518 832,243
United States Steel Corp. 822,194 11,666,933
US Concrete, Inc. * 59,013 2,093,781
Valhi, Inc. 7,907 123,033
Valvoline, Inc. 691,179 15,751,969
Venator Materials plc * 205,335 511,284
Verso Corp., Class A 126,289 1,365,184
W.R. Grace & Co. 233,099 12,755,177
Warrior Met Coal, Inc. 191,178 3,330,321
Worthington Industries, Inc. 134,381 6,950,185
    456,969,902
 
Media & Entertainment 1.9%
AMC Entertainment Holdings, Inc., Class A (a) 216,376 923,925
AMC Networks, Inc., Class A *(a) 110,040 3,628,019
ANGI Homeservices, Inc., Class A * 276,401 3,416,316
Cardlytics, Inc. * 102,192 12,128,147
Cargurus, Inc. * 320,879 8,038,019
Cars.com, Inc. * 250,500 2,798,085
Cinemark Holdings, Inc. 399,143 6,166,759
Clear Channel Outdoor Holdings, Inc. * 1,741,972 2,630,378
Emerald Holding, Inc. 81,350 346,551
Entercom Communications Corp., Class A 434,350 1,055,470
Eventbrite, Inc., Class A * 251,467 4,217,102
EverQuote, Inc., Class A * 34,578 1,302,207
Gannett Co., Inc. * 482,688 1,370,834
 
62

 

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

Security Number
of Shares
Value ($)
Glu Mobile, Inc. * 547,710 5,537,348
Gray Television, Inc. * 346,874 6,125,795
Hemisphere Media Group, Inc. * 65,530 705,103
iHeartMedia, Inc., Class A * 231,905 2,772,424
John Wiley & Sons, Inc., Class A 166,235 5,741,757
Liberty Media Corp. - Liberty Braves, Class A * 37,409 941,585
Liberty Media Corp. - Liberty Braves, Class C * 131,577 3,289,425
Liberty TripAdvisor Holdings, Inc., Class A * 269,012 739,783
Lions Gate Entertainment Corp., Class A * 220,643 2,149,063
Lions Gate Entertainment Corp., Class B * 456,238 4,097,017
Loral Space & Communications, Inc. 47,871 1,100,076
Madison Square Garden Entertainment Corp. * 65,349 4,967,177
Madison Square Garden Sports Corp. * 64,634 10,949,000
Meredith Corp. 150,330 3,059,215
MSG Networks, Inc., Class A * 160,631 1,950,060
National CineMedia, Inc. 228,439 769,839
Nexstar Media Group, Inc., Class A 169,387 17,827,982
QuinStreet, Inc. * 180,609 3,222,968
Scholastic Corp. 111,472 2,644,116
Sciplay Corp., Class A * 84,908 1,264,280
Sinclair Broadcast Group, Inc., Class A 175,749 4,790,918
TechTarget, Inc. * 86,205 4,525,762
TEGNA, Inc. 821,941 11,844,170
The E.W. Scripps Co., Class A 212,675 2,713,733
The Marcus Corp. 86,227 1,012,305
The New York Times Co., Class A 539,731 23,159,857
Tribune Publishing Co. 93,897 1,134,276
TripAdvisor, Inc. * 358,572 9,358,729
TrueCar, Inc. * 370,419 1,511,309
Warner Music Group Corp., Class A 330,608 9,828,976
WideOpenWest, Inc. * 194,587 1,593,668
World Wrestling Entertainment, Inc., Class A 174,919 7,528,514
Yelp, Inc. * 256,784 8,201,681
ZoomInfo Technologies, Inc., Class A * 225,056 11,534,120
    226,613,843
 
Pharmaceuticals, Biotechnology & Life Sciences 11.1%
10X Genomics, Inc., Class A * 241,933 37,042,362
89bio, Inc. * 21,663 585,118
ACADIA Pharmaceuticals, Inc. * 430,330 24,382,498
Acceleron Pharma, Inc. * 194,871 23,008,419
Adaptive Biotechnologies Corp. * 304,703 14,692,779
Adverum Biotechnologies, Inc. * 327,667 4,452,995
Aerie Pharmaceuticals, Inc. * 173,385 2,151,708
Agenus, Inc. * 560,760 2,074,812
Agios Pharmaceuticals, Inc. * 214,973 9,957,549
Akebia Therapeutics, Inc. * 534,385 1,768,814
Akero Therapeutics, Inc. * 65,965 1,898,473
Akouos, Inc. * 52,540 1,086,527
Alector, Inc. * 194,999 2,556,437
Alkermes plc * 595,666 10,876,861
Allakos, Inc. * 116,640 12,483,979
Allogene Therapeutics, Inc. * 244,704 7,598,059
Allovir, Inc. * 61,310 2,428,489
Altimmune, Inc. * 96,861 1,184,610
ALX Oncology Holdings, Inc. * 32,636 2,510,687
Amicus Therapeutics, Inc. * 967,909 22,155,437
Amneal Pharmaceuticals, Inc. * 423,424 1,672,525
Amphastar Pharmaceuticals, Inc. * 136,304 2,420,759
AnaptysBio, Inc. * 79,383 2,047,288
Security Number
of Shares
Value ($)
ANI Pharmaceuticals, Inc. * 35,750 1,056,770
Anika Therapeutics, Inc. * 52,956 2,001,737
Annexon, Inc. * 55,047 1,332,137
Apellis Pharmaceuticals, Inc. * 205,957 9,708,813
Applied Molecular Transport, Inc. *(a) 53,248 1,652,285
Aprea Therapeutics, Inc. * 45,761 1,155,008
Arcturus Therapeutics Holdings, Inc. * 70,121 6,434,303
Arcus Biosciences, Inc. * 166,121 4,523,475
Arcutis Biotherapeutics, Inc. * 61,198 1,659,690
Arena Pharmaceuticals, Inc. * 215,612 14,202,362
Arrowhead Pharmaceuticals, Inc. * 382,431 23,913,410
Arvinas, Inc. * 90,652 2,193,778
Assembly Biosciences, Inc. * 122,458 705,970
Atara Biotherapeutics, Inc. * 278,369 6,455,377
Athenex, Inc. * 239,488 3,264,221
Avidity Biosciences, Inc. * 61,542 1,842,567
Avrobio, Inc. * 114,085 1,570,950
Axsome Therapeutics, Inc. * 99,161 7,188,181
Beam Therapeutics, Inc. * 80,988 4,049,400
Berkeley Lights, Inc. * 29,844 2,472,874
BioCryst Pharmaceuticals, Inc. * 658,240 3,363,606
Biohaven Pharmaceutical Holding Co., Ltd. * 189,797 16,882,443
Bioxcel Therapeutics, Inc. * 55,046 2,422,024
Black Diamond Therapeutics, Inc. * 58,883 1,963,159
Blueprint Medicines Corp. * 206,660 22,335,813
Bridgebio Pharma, Inc. *(a) 287,643 14,451,184
Bruker Corp. 383,325 19,400,078
Cara Therapeutics, Inc. * 159,046 2,333,205
CareDx, Inc. * 182,730 10,446,674
CASI Pharmaceuticals, Inc. * 291,223 725,145
Catalyst Pharmaceuticals, Inc. * 358,792 1,313,179
ChemoCentryx, Inc. * 185,101 10,208,320
Chimerix, Inc. * 176,145 664,067
Clovis Oncology, Inc. *(a) 328,781 1,617,603
Codexis, Inc. * 193,885 3,590,750
Coherus Biosciences, Inc. * 234,452 4,327,984
Collegium Pharmaceutical, Inc. * 128,664 2,378,997
Constellation Pharmaceuticals, Inc. * 115,101 2,916,659
Corbus Pharmaceuticals Holdings, Inc. *(a) 268,191 327,193
Corcept Therapeutics, Inc. * 389,648 8,821,631
Cortexyme, Inc. * 49,455 2,403,513
Crinetics Pharmaceuticals, Inc. * 74,786 999,889
Cue Biopharma, Inc. * 100,031 1,398,934
Cyclerion Therapeutics, Inc. * 115,073 354,425
Cymabay Therapeutics, Inc. * 231,089 1,733,167
Cytokinetics, Inc. * 264,652 4,446,154
CytomX Therapeutics, Inc. * 172,234 1,295,200
Deciphera Pharmaceuticals, Inc. * 147,190 9,096,342
Denali Therapeutics, Inc. * 297,321 18,127,661
Dicerna Pharmaceuticals, Inc. * 242,099 6,117,842
Dynavax Technologies Corp. * 363,306 1,845,594
Eagle Pharmaceuticals, Inc. * 45,126 2,053,233
Editas Medicine, Inc. * 233,557 7,144,509
Eidos Therapeutics, Inc. * 40,262 3,706,520
Eloxx Pharmaceuticals, Inc. * 99,534 284,667
Emergent BioSolutions, Inc. * 168,288 13,787,836
Enanta Pharmaceuticals, Inc. * 67,138 2,766,086
Endo International plc * 856,662 4,351,843
Epizyme, Inc. * 344,248 4,729,968
Esperion Therapeutics, Inc. *(a) 103,720 2,937,350
Evelo Biosciences, Inc. *(a) 73,954 379,384
Fate Therapeutics, Inc. * 273,181 15,971,527
FibroGen, Inc. * 311,105 12,851,748
Five Prime Therapeutics, Inc. * 163,856 3,080,493
Flexion Therapeutics, Inc. * 163,845 1,754,780
Forma Therapeutics Holdings, Inc. *(a) 55,178 2,413,486
Frequency Therapeutics, Inc. * 115,386 3,311,578
 
63

 

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

Security Number
of Shares
Value ($)
G1 Therapeutics, Inc. * 109,075 1,991,709
Generation Bio Co. * 46,729 2,253,272
Geron Corp. * 1,157,421 2,158,590
Global Blood Therapeutics, Inc. * 229,982 10,558,474
Gossamer Bio, Inc. * 178,109 1,574,484
Gritstone Oncology, Inc. * 72,919 222,403
Halozyme Therapeutics, Inc. * 481,632 18,831,811
Harpoon Therapeutics, Inc. * 55,288 824,897
Heron Therapeutics, Inc. * 305,395 5,292,495
Homology Medicines, Inc. * 124,742 1,227,461
IGM Biosciences, Inc. * 25,240 1,685,527
IMARA, Inc. *(a) 16,749 427,267
ImmunoGen, Inc. * 650,732 3,546,489
Immunovant, Inc. * 146,035 7,183,462
Innoviva, Inc. * 234,355 2,450,182
Inovio Pharmaceuticals, Inc. *(a) 627,516 7,668,245
Inozyme Pharma, Inc. *(a) 25,800 671,316
Insmed, Inc. * 379,629 14,809,327
Intellia Therapeutics, Inc. * 199,751 7,844,222
Intercept Pharmaceuticals, Inc. * 99,320 3,526,853
Intersect ENT, Inc. * 121,888 2,331,717
Intra-Cellular Therapies, Inc. * 259,474 6,133,965
Invitae Corp. * 492,740 24,464,541
Iovance Biotherapeutics, Inc. * 514,709 19,975,856
Ironwood Pharmaceuticals, Inc. * 600,102 6,913,175
iTeos Therapeutics, Inc. * 39,849 1,067,555
Jounce Therapeutics, Inc. * 62,045 443,622
Kadmon Holdings, Inc. * 593,430 2,587,355
Kaleido Biosciences, Inc. *(a) 58,299 459,396
Karuna Therapeutics, Inc. * 60,520 6,038,080
Karyopharm Therapeutics, Inc. * 239,532 4,069,649
Keros Therapeutics, Inc. * 23,315 1,762,847
Kodiak Sciences, Inc. * 115,728 15,816,546
Krystal Biotech, Inc. * 57,906 3,181,356
Kura Oncology, Inc. * 209,955 7,621,366
Lannett Co., Inc. * 127,434 784,993
Lexicon Pharmaceuticals, Inc. *(a) 167,049 255,585
Ligand Pharmaceuticals, Inc. *(a) 59,889 5,052,835
Luminex Corp. 160,829 3,816,472
MacroGenics, Inc. * 201,721 4,653,703
Madrigal Pharmaceuticals, Inc. * 34,611 4,042,219
MannKind Corp. * 854,388 2,546,076
Medpace Holdings, Inc. * 101,774 13,063,711
Mersana Therapeutics, Inc. * 205,187 5,228,165
Mirati Therapeutics, Inc. * 163,188 38,814,266
Mirum Pharmaceuticals, Inc. * 38,809 910,071
Molecular Templates, Inc. * 133,973 1,199,058
Morphic Holding, Inc. * 38,832 1,218,160
Myriad Genetics, Inc. * 279,712 4,906,148
NanoString Technologies, Inc. * 160,594 7,971,886
NantKwest, Inc. *(a) 148,885 1,426,318
Natera, Inc. * 286,021 25,247,074
Nektar Therapeutics * 670,169 10,984,070
NeoGenomics, Inc. * 413,017 19,651,349
NextCure, Inc. * 53,396 540,368
NGM Biopharmaceuticals, Inc. * 66,708 1,580,980
Nkarta, Inc. * 60,900 2,026,752
Nurix Therapeutics, Inc. * 41,409 1,764,852
Odonate Therapeutics, Inc. * 50,277 755,161
Omeros Corp. *(a) 228,890 2,652,835
OPKO Health, Inc. * 1,623,059 7,530,994
Optinose, Inc. * 131,741 533,551
Organogenesis Holdings, Inc. * 102,210 526,381
ORIC Pharmaceuticals, Inc. * 30,098 1,020,623
Osmotica Pharmaceuticals plc * 56,158 343,687
Oyster Point Pharma, Inc. * 47,029 1,031,346
Pacific Biosciences of California, Inc. * 659,107 10,420,482
Pacira BioSciences, Inc. * 160,127 9,702,095
Paratek Pharmaceuticals, Inc. * 147,201 911,174
Security Number
of Shares
Value ($)
Passage Bio, Inc. * 64,422 1,321,295
PDL BioPharma, Inc. * 425,323 1,076,067
Personalis, Inc. * 84,563 2,328,019
Phathom Pharmaceuticals, Inc. * 45,304 1,939,917
Phibro Animal Health Corp., Class A 75,628 1,428,613
Pliant Therapeutics, Inc. * 34,311 944,239
Poseida Therapeutics, Inc. *(a) 53,023 615,597
Precigen, Inc. *(a) 250,489 1,983,873
Precision BioSciences, Inc. * 156,124 1,946,866
Prestige Consumer Healthcare, Inc. * 187,643 6,674,461
Protagonist Therapeutics, Inc. * 126,230 3,049,717
Prothena Corp. plc * 95,235 1,078,060
Provention Bio, Inc. * 178,328 2,673,137
PTC Therapeutics, Inc. * 253,538 15,863,873
Puma Biotechnology, Inc. * 128,647 1,447,279
Quanterix Corp. * 83,269 3,596,388
Radius Health, Inc. * 173,234 2,733,633
RAPT Therapeutics, Inc. * 35,555 770,477
Reata Pharmaceuticals, Inc., Class A * 89,791 13,715,575
REGENXBIO, Inc. * 111,306 3,877,901
Relay Therapeutics, Inc. * 75,022 3,999,423
Relmada Therapeutics, Inc. * 50,157 1,783,583
Repligen Corp. * 182,538 34,621,982
Replimune Group, Inc. * 93,695 4,842,158
Revance Therapeutics, Inc. * 229,851 5,548,603
REVOLUTION Medicines, Inc. * 152,366 6,647,729
Rhythm Pharmaceuticals, Inc. * 115,356 3,570,268
Rocket Pharmaceuticals, Inc. * 138,213 4,279,074
Rubius Therapeutics, Inc. * 134,095 840,776
Sage Therapeutics, Inc. * 194,537 14,413,246
Sangamo Therapeutics, Inc. * 436,235 4,357,988
Satsuma Pharmaceuticals, Inc. * 31,257 140,656
Seres Therapeutics, Inc. * 192,054 5,302,611
SIGA Technologies, Inc. * 165,973 1,150,193
Sorrento Therapeutics, Inc. *(a) 761,444 6,243,841
Spectrum Pharmaceuticals, Inc. * 543,299 2,558,938
SpringWorks Therapeutics, Inc. * 100,524 6,578,291
Stoke Therapeutics, Inc. * 58,230 3,033,201
Supernus Pharmaceuticals, Inc. * 197,328 4,203,086
Syndax Pharmaceuticals, Inc. * 107,765 2,496,915
Syros Pharmaceuticals, Inc. * 129,645 1,056,607
TCR2 Therapeutics, Inc. * 87,003 2,370,397
TG Therapeutics, Inc. * 389,281 11,421,505
TherapeuticsMD, Inc. *(a) 938,853 1,258,063
Theravance Biopharma, Inc. * 185,513 3,077,661
Translate Bio, Inc. * 257,349 5,718,295
Travere Therapeutics, Inc. * 171,519 3,932,931
Tricida, Inc. * 110,070 804,612
Turning Point Therapeutics, Inc. * 153,972 16,398,018
Twist Bioscience Corp. * 142,044 15,871,997
Ultragenyx Pharmaceutical, Inc. * 228,637 27,102,630
uniQure N.V. * 139,461 6,705,285
United Therapeutics Corp. * 166,038 22,023,280
UNITY Biotechnology, Inc. * 118,396 713,928
Vanda Pharmaceuticals, Inc. * 203,762 2,487,934
Vaxart, Inc. *(a) 407,071 3,248,427
Vaxcyte, Inc. * 66,892 2,147,233
VBI Vaccines, Inc. *(a) 810,132 2,774,702
Veracyte, Inc. * 212,190 11,566,477
Vericel Corp. * 169,317 4,324,356
Viela Bio, Inc. * 61,182 2,345,718
Vir Biotechnology, Inc. * 242,325 7,725,321
Voyager Therapeutics, Inc. * 96,316 801,349
WaVe Life Sciences Ltd. * 82,109 724,201
Xencor, Inc. * 214,810 9,090,759
Y-mAbs Therapeutics, Inc. * 93,387 4,750,597
Zentalis Pharmaceuticals, Inc. * 52,196 2,659,908
 
64

 

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

Security Number
of Shares
Value ($)
ZIOPHARM Oncology, Inc. * 798,367 2,235,428
Zogenix, Inc. * 207,279 4,441,989
    1,304,440,045
 
Real Estate 7.2%
Acadia Realty Trust 321,774 4,569,191
Agree Realty Corp. 201,393 13,271,799
Alexander & Baldwin, Inc. 270,958 4,240,493
Alexander's, Inc. 7,944 2,171,572
Altisource Portfolio Solutions S.A. * 32,038 422,261
American Assets Trust, Inc. 186,662 5,355,333
American Finance Trust, Inc. 404,615 2,986,059
Apple Hospitality REIT, Inc. 774,619 10,271,448
Armada Hoffler Properties, Inc. 216,008 2,291,845
Brandywine Realty Trust 636,681 7,086,260
Brixmor Property Group, Inc. 1,109,138 16,936,537
CareTrust REIT, Inc. 359,060 6,976,536
Chatham Lodging Trust 175,153 1,928,435
CIM Commercial Trust Corp. 42,000 511,140
City Office REIT, Inc. 161,815 1,419,118
Colony Capital, Inc. 1,798,192 7,768,189
Columbia Property Trust, Inc. 426,742 5,965,853
Community Healthcare Trust, Inc. 80,011 3,613,297
CoreCivic, Inc. 450,377 3,193,173
CorEnergy Infrastructure Trust, Inc. 48,495 288,545
CorePoint Lodging, Inc. 145,294 945,864
CoreSite Realty Corp. 158,932 19,928,483
Corporate Office Properties Trust 418,744 11,151,153
Cousins Properties, Inc. 555,956 18,574,490
Cushman & Wakefield plc * 404,137 6,021,641
DiamondRock Hospitality Co. 743,739 5,592,917
Diversified Healthcare Trust 887,082 3,912,032
Easterly Government Properties, Inc. 299,431 6,485,675
EastGroup Properties, Inc. 146,979 20,037,647
Empire State Realty Trust, Inc., Class A 525,229 4,753,322
EPR Properties 279,375 10,063,087
Equity Commonwealth 453,984 12,035,116
Essential Properties Realty Trust, Inc. 379,804 7,801,174
eXp World Holdings, Inc. * 102,157 5,448,033
First Industrial Realty Trust, Inc. 475,222 19,902,297
Forestar Group, Inc. * 60,893 1,184,978
Four Corners Property Trust, Inc. 263,700 7,386,237
Franklin Street Properties Corp. 360,201 1,671,333
Front Yard Residential Corp. 181,365 2,959,877
FRP Holdings, Inc. * 23,131 1,059,168
Getty Realty Corp. 132,795 3,770,050
Gladstone Commercial Corp. 126,989 2,297,231
Global Medical REIT, Inc. 155,211 2,124,839
Global Net Lease, Inc. 333,616 5,568,051
Healthcare Realty Trust, Inc. 508,499 15,000,720
Hersha Hospitality Trust 133,889 1,084,501
Highwoods Properties, Inc. 388,726 14,888,206
Hudson Pacific Properties, Inc. 574,438 14,935,388
Independence Realty Trust, Inc. 354,744 4,569,103
Industrial Logistics Properties Trust 243,117 5,282,932
Innovative Industrial Properties, Inc. 80,997 12,445,999
Investors Real Estate Trust 48,410 3,359,654
iStar, Inc. 280,308 3,952,343
JBG SMITH Properties 420,606 12,929,428
Kennedy-Wilson Holdings, Inc. 466,469 7,454,175
Kite Realty Group Trust 314,307 4,526,021
Lexington Realty Trust 1,033,406 10,551,075
Life Storage, Inc. 175,234 19,226,674
LTC Properties, Inc. 146,301 5,418,989
Mack-Cali Realty Corp. 324,618 4,434,282
Marcus & Millichap, Inc. * 89,415 3,205,528
Monmouth Real Estate Investment Corp. 365,309 5,417,532
National Health Investors, Inc. 167,223 10,812,639
Security Number
of Shares
Value ($)
National Storage Affiliates Trust 231,177 7,855,394
New Senior Investment Group, Inc. 287,916 1,592,175
Newmark Group, Inc., Class A 588,849 4,133,720
NexPoint Residential Trust, Inc. 81,936 3,630,584
Office Properties Income Trust 181,765 4,153,330
One Liberty Properties, Inc. 59,738 1,062,142
Outfront Media, Inc. 540,322 10,233,699
Paramount Group, Inc. 628,438 5,813,051
Park Hotels & Resorts, Inc. 882,361 14,400,132
Pebblebrook Hotel Trust 488,091 9,029,683
Physicians Realty Trust 778,982 13,515,338
Piedmont Office Realty Trust, Inc., Class A 470,138 7,348,257
PotlatchDeltic Corp. 249,599 11,616,337
Preferred Apartment Communities, Inc., Class A 183,324 1,431,760
PS Business Parks, Inc. 74,869 9,867,734
QTS Realty Trust, Inc., Class A 229,157 13,614,217
Rayonier, Inc. 510,702 14,386,475
RE/MAX Holdings, Inc., Class A 67,539 2,113,971
Realogy Holdings Corp. * 433,841 5,340,583
Redfin Corp. * 371,929 17,811,680
Retail Opportunity Investments Corp. 443,173 5,752,386
Retail Properties of America, Inc., Class A 798,699 6,469,462
Retail Value, Inc. 59,929 922,907
Rexford Industrial Realty, Inc. 462,516 22,163,767
RLJ Lodging Trust 615,481 7,588,881
RPT Realty 301,831 2,212,421
Ryman Hospitality Properties, Inc. 205,846 13,213,255
Sabra Health Care REIT, Inc. 769,571 12,682,530
Safehold, Inc. 51,390 3,498,117
Saul Centers, Inc. 47,013 1,466,806
Seritage Growth Properties, Class A *(a) 133,945 2,204,735
Service Properties Trust 614,219 7,284,637
SITE Centers Corp. 565,751 5,708,428
SL Green Realty Corp. 274,136 15,872,474
Spirit Realty Capital, Inc. 386,116 14,224,513
STAG Industrial, Inc. 557,828 16,612,118
Summit Hotel Properties, Inc. 394,082 3,424,573
Sunstone Hotel Investors, Inc. 804,340 8,445,570
Tanger Factory Outlet Centers, Inc. (a) 348,473 3,293,070
Taubman Centers, Inc. 230,388 9,842,175
Tejon Ranch Co. * 77,189 1,106,118
Terreno Realty Corp. 255,406 14,798,224
The GEO Group, Inc. 452,289 4,274,131
The Howard Hughes Corp. * 168,087 12,224,967
The Macerich Co. (a) 417,876 4,178,760
The RMR Group, Inc., Class A 57,048 2,113,058
The St. Joe Co. 116,299 3,839,030
UMH Properties, Inc. 146,111 2,093,771
Uniti Group, Inc. 726,664 7,470,106
Universal Health Realty Income Trust 47,709 2,883,055
Urban Edge Properties 410,759 5,331,652
Urstadt Biddle Properties, Inc. 9,132 118,351
Urstadt Biddle Properties, Inc., Class A 111,034 1,558,917
Washington Prime Group, Inc. 698,699 712,673
Washington Real Estate Investment Trust 309,263 7,177,994
Weingarten Realty Investors 449,321 9,395,302
Whitestone REIT 148,475 1,116,532
Xenia Hotels & Resorts, Inc. 426,979 6,016,134
    849,678,830
 
Retailing 4.5%
1-800-Flowers.com, Inc., Class A * 93,291 2,186,741
Aaron's Holdings Co., Inc. 251,011 15,796,122
Abercrombie & Fitch Co., Class A 234,303 4,859,444
 
65

 

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

Security Number
of Shares
Value ($)
America's Car-Mart, Inc. * 23,710 2,477,695
American Eagle Outfitters, Inc. 557,999 10,038,402
Asbury Automotive Group, Inc. * 72,382 8,162,518
At Home Group, Inc. * 200,980 3,806,561
AutoNation, Inc. * 218,977 13,421,100
Bed Bath & Beyond, Inc. 472,188 9,897,060
Big Lots, Inc. 133,705 6,908,537
Boot Barn Holdings, Inc. * 107,544 4,437,265
Caleres, Inc. 144,535 1,701,177
Camping World Holdings, Inc., Class A 122,196 3,745,307
CarParts.com, Inc. *(a) 129,779 1,955,770
Chewy, Inc., Class A * 267,344 20,740,548
Chico's FAS, Inc. 447,265 675,370
Conn's, Inc. * 71,691 794,695
Core-Mark Holding Co., Inc. 168,064 5,241,916
Designer Brands, Inc., Class A 224,206 1,771,227
Dick's Sporting Goods, Inc. 243,572 13,837,325
Dillard's, Inc., Class A (a) 28,608 1,337,710
Duluth Holdings, Inc., Class B * 47,154 693,164
Five Below, Inc. * 208,717 32,643,339
Floor & Decor Holdings, Inc., Class A * 387,774 31,056,820
Foot Locker, Inc. 389,914 14,582,784
Funko, Inc., Class A * 80,693 708,485
GameStop Corp., Class A *(a) 202,759 3,357,689
Genesco, Inc. * 52,120 1,635,004
Group 1 Automotive, Inc. 64,043 7,608,949
Groupon, Inc. * 84,591 2,551,265
GrowGeneration Corp. * 151,042 5,312,147
Guess?, Inc. 139,875 2,348,501
Haverty Furniture Cos., Inc. 64,436 1,753,948
Hibbett Sports, Inc. * 61,653 2,537,637
Kohl's Corp. 590,353 19,009,367
Lands' End, Inc. * 60,749 1,515,080
Liquidity Services, Inc. * 97,699 929,118
Lithia Motors, Inc., Class A 95,796 27,713,783
Lumber Liquidators Holdings, Inc. * 107,544 3,105,871
Macy's, Inc. 1,162,178 11,865,837
Magnite, Inc. * 410,973 7,808,487
MarineMax, Inc. * 80,632 2,647,955
Monro, Inc. 124,067 5,832,390
Murphy USA, Inc. 101,274 12,983,327
National Vision Holdings, Inc. * 301,322 12,899,595
Nordstrom, Inc. (a) 404,804 10,492,520
Ollie's Bargain Outlet Holdings, Inc. * 212,723 18,732,387
Overstock.com, Inc. * 158,909 10,724,768
Party City Holdco, Inc. * 352,666 1,615,210
Penske Automotive Group, Inc. 119,767 6,595,569
PetMed Express, Inc. 75,548 2,319,324
Quotient Technology, Inc. * 286,552 2,134,812
Qurate Retail, Inc., Class A 1,452,084 15,203,319
Rent-A-Center, Inc. 181,707 6,145,331
RH * 57,680 26,138,269
Sally Beauty Holdings, Inc. * 420,645 4,837,418
Shoe Carnival, Inc. 32,064 1,172,580
Shutterstock, Inc. 82,306 5,659,361
Signet Jewelers Ltd. 195,743 5,929,055
Sleep Number Corp. * 103,341 7,170,832
Sonic Automotive, Inc., Class A 90,054 3,636,381
Sportsman's Warehouse Holdings, Inc. * 161,982 2,256,409
Stamps.com, Inc. * 65,796 12,334,118
Stitch Fix, Inc., Class A * 212,620 8,611,110
The Buckle, Inc. 106,816 2,864,805
The Cato Corp., Class A 76,965 620,338
The Children's Place, Inc. 54,333 2,335,232
The Container Store Group, Inc. * 75,115 698,570
The Michaels Cos., Inc. * 274,766 2,717,436
The ODP Corp. * 196,304 5,628,036
The RealReal, Inc. * 221,358 3,065,808
Urban Outfitters, Inc. * 255,141 6,985,761
Security Number
of Shares
Value ($)
Vroom, Inc. * 126,444 4,534,282
Weyco Group, Inc. 26,334 471,905
Winmark Corp. 11,080 1,994,400
Zumiez, Inc. * 77,737 2,883,265
    533,401,643
 
Semiconductors & Semiconductor Equipment 3.1%
ACM Research, Inc. Class A * 36,356 3,003,733
Advanced Energy Industries, Inc. * 143,485 13,840,563
Ambarella, Inc. * 128,122 10,010,172
Amkor Technology, Inc. * 396,719 5,847,638
Axcelis Technologies, Inc. * 124,725 3,365,080
Brooks Automation, Inc. 275,901 20,138,014
CEVA, Inc. * 82,927 3,257,373
Cirrus Logic, Inc. * 218,489 17,500,969
CMC Materials, Inc. 108,627 16,758,974
Cohu, Inc. 156,048 4,430,203
Cree, Inc. * 409,975 37,057,640
Diodes, Inc. * 157,289 10,689,360
FormFactor, Inc. * 288,771 11,839,611
Ichor Holdings Ltd. * 85,518 2,728,024
Impinj, Inc. * 80,029 3,344,412
Inphi Corp. * 194,066 30,105,459
Kulicke & Soffa Industries, Inc. 230,606 7,021,953
Lattice Semiconductor Corp. * 506,100 21,180,285
MACOM Technology Solutions Holdings, Inc. * 169,539 7,575,003
MaxLinear, Inc., Class A * 248,116 7,753,625
MKS Instruments, Inc. 206,003 28,424,294
NeoPhotonics Corp. * 184,767 1,489,222
Onto Innovation, Inc. * 182,057 8,048,740
PDF Solutions, Inc. * 108,921 2,403,886
Photronics, Inc. * 244,598 2,834,891
Power Integrations, Inc. 223,806 15,977,510
Rambus, Inc. * 423,953 6,664,541
Semtech Corp. * 243,694 16,442,034
Silicon Laboratories, Inc. * 163,712 19,188,684
SiTime Corp. * 34,218 2,975,939
SMART Global Holdings, Inc. * 51,279 1,573,752
SunPower Corp. * 297,818 6,599,647
Synaptics, Inc. * 128,146 9,965,914
Ultra Clean Holdings, Inc. * 149,604 4,733,471
Veeco Instruments, Inc. * 184,952 3,073,902
    367,844,518
 
Software & Services 8.4%
2U, Inc. * 265,607 8,581,762
8x8, Inc. * 390,015 7,710,597
A10 Networks, Inc. * 221,358 1,766,437
ACI Worldwide, Inc. * 435,818 14,198,950
Agilysys, Inc. * 75,615 2,824,976
Alarm.com Holdings, Inc. * 166,259 12,620,721
Alliance Data Systems Corp. 178,764 13,074,799
Altair Engineering, Inc., Class A * 158,436 8,539,700
Appfolio, Inc., Class A * 58,003 9,450,429
Appian Corp. * 140,732 19,702,480
Avaya Holdings Corp. * 278,855 5,189,492
Benefitfocus, Inc. * 108,189 1,556,840
BigCommerce Holdings, Inc. *(a) 42,575 3,434,100
Blackbaud, Inc. 185,512 10,219,856
Blackline, Inc. * 189,328 23,268,411
Bottomline Technologies (DE), Inc. * 145,056 6,620,356
Box, Inc., Class A * 522,636 9,768,067
CACI International, Inc., Class A * 93,719 22,238,582
Cardtronics plc, Class A * 132,635 3,220,378
Cass Information Systems, Inc. 44,610 1,892,802
Cerence, Inc. * 137,009 12,433,567
 
66

 

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

Security Number
of Shares
Value ($)
ChannelAdvisor Corp. * 109,673 1,617,677
Cloudera, Inc. * 761,310 8,892,101
Cloudflare, Inc., Class A * 540,334 40,568,277
CommVault Systems, Inc. * 173,631 8,292,617
Conduent, Inc. * 631,772 2,666,078
Cornerstone OnDemand, Inc. * 225,946 9,975,516
CSG Systems International, Inc. 123,784 5,369,750
Digimarc Corp. * 47,162 1,982,219
Digital Turbine, Inc. * 274,588 12,350,968
Domo, Inc., Class B * 95,239 3,618,130
Dropbox, Inc., Class A * 1,096,111 21,889,337
Duck Creek Technologies, Inc. * 85,982 3,418,644
Ebix, Inc. 88,822 3,020,836
Endurance International Group Holdings, Inc. * 251,801 2,387,073
Envestnet, Inc. * 201,127 16,142,453
Everbridge, Inc. * 129,329 16,417,023
EVERTEC, Inc. 222,751 8,279,655
Evo Payments, Inc., Class A * 155,510 3,909,521
ExlService Holdings, Inc. * 127,545 10,619,397
Fastly, Inc. Class A * 277,117 23,491,208
FireEye, Inc. * 843,470 12,677,354
GreenSky, Inc., Class A * 187,763 799,870
Grid Dynamics Holdings, Inc. * 88,261 952,336
GTT Communications, Inc. *(a) 119,083 540,637
GTY Technology Holdings, Inc. * 164,742 589,776
International Money Express, Inc. * 96,437 1,517,918
j2 Global, Inc. * 167,001 14,964,960
Jamf Holding Corp. * 103,956 3,295,405
KBR, Inc. 533,327 14,810,491
Limelight Networks, Inc. * 455,038 2,015,818
LivePerson, Inc. * 230,539 13,468,088
LiveRamp Holdings, Inc. * 246,506 14,423,066
Manhattan Associates, Inc. * 237,404 24,272,185
ManTech International Corp., Class A 101,640 7,823,231
MAXIMUS, Inc. 229,114 16,452,676
Medallia, Inc. * 290,015 10,147,625
MicroStrategy, Inc., Class A * 27,157 9,308,605
Mimecast Ltd. * 215,588 9,697,148
MobileIron, Inc. * 366,587 2,580,772
Model N, Inc. * 112,616 3,880,747
MoneyGram International, Inc. * 208,524 1,413,793
New Relic, Inc. * 193,685 11,568,805
NIC, Inc. 250,603 5,872,881
Nutanix, Inc., Class A * 689,484 18,884,967
OneSpan, Inc. * 126,319 2,498,590
Pagerduty, Inc. * 205,331 7,067,493
Paylocity Holding Corp. * 138,753 27,278,840
Paysign, Inc. * 113,527 555,147
Perficient, Inc. * 123,940 5,642,988
Perspecta, Inc. 509,912 11,432,227
Ping Identity Holding Corp. * 135,631 3,050,341
Pluralsight, Inc., Class A * 372,192 6,096,505
Progress Software Corp. 168,755 6,767,076
PROS Holdings, Inc. * 145,830 6,254,649
Q2 Holdings, Inc. * 187,846 21,296,101
QAD, Inc., Class A 44,957 2,577,385
Qualys, Inc. * 126,138 11,984,371
Rackspace Technology, Inc. *(a) 126,156 2,265,762
Rapid7, Inc. * 190,780 14,297,053
RealPage, Inc. * 331,191 22,848,867
Repay Holdings Corp. * 243,224 5,868,995
Sabre Corp. 1,162,690 13,080,263
Sailpoint Technologies Holdings, Inc. * 339,686 15,815,780
Science Applications International Corp. 217,270 20,106,166
Shift4 Payments, Inc., Class A * 93,056 5,735,041
Smartsheet, Inc., Class A * 419,182 24,325,131
SolarWinds Corp. * 268,465 6,142,479
Sprout Social, Inc., Class A * 102,029 5,242,250
Security Number
of Shares
Value ($)
SPS Commerce, Inc. * 131,493 13,552,984
SVMK, Inc. * 441,158 9,387,842
Switch, Inc., Class A 305,667 4,826,482
Sykes Enterprises, Inc. * 150,467 5,662,073
TeleNav, Inc. * 140,632 668,002
Tenable Holdings, Inc. * 246,311 8,869,659
Teradata Corp. * 407,890 8,945,028
TTEC Holdings, Inc. 67,913 4,594,994
Tucows, Inc., Class A * 35,825 2,597,313
Unisys Corp. * 234,893 3,424,740
Upland Software, Inc. * 92,535 4,233,476
Varonis Systems, Inc. * 117,927 14,226,713
Verint Systems, Inc. * 241,406 13,750,486
Verra Mobility Corp. * 507,901 6,196,392
VirnetX Holding Corp. 235,694 1,277,461
Virtusa Corp. * 105,937 5,305,325
Workiva, Inc. * 146,574 10,991,584
Xperi Holding Corp. 405,412 7,735,261
Yext, Inc. * 346,635 6,589,531
Zuora, Inc., Class A * 374,203 4,262,172
    990,507,954
 
Technology Hardware & Equipment 3.8%
3D Systems Corp. * 451,545 4,131,637
Acacia Communications, Inc. * 143,830 10,022,074
ADTRAN, Inc. 178,788 2,258,986
Applied Optoelectronics, Inc. * 78,581 653,008
Arlo Technologies, Inc. * 291,259 1,532,022
Avid Technology, Inc. * 153,968 1,870,711
Avnet, Inc. 370,412 11,242,004
Badger Meter, Inc. 109,189 9,001,541
Belden, Inc. 165,893 6,383,563
Benchmark Electronics, Inc. 135,905 3,305,210
CalAmp Corp. * 128,074 1,168,035
Calix, Inc. * 205,759 4,872,373
Casa Systems, Inc. * 127,037 674,566
Coherent, Inc. * 90,490 11,019,872
CommScope Holding Co., Inc. * 734,848 8,707,949
Comtech Telecommunications Corp. 92,196 1,757,256
CTS Corp. 120,235 3,662,358
Daktronics, Inc. 136,345 614,916
Diebold Nixdorf, Inc. * 289,537 2,741,915
Dolby Laboratories, Inc., Class A 240,516 21,273,640
EchoStar Corp., Class A * 188,098 4,471,089
ePlus, Inc. * 50,812 4,283,960
Extreme Networks, Inc. * 456,786 2,567,137
Fabrinet * 137,141 9,368,102
FARO Technologies, Inc. * 66,138 4,373,045
Fitbit, Inc., Class A * 861,222 6,183,574
Harmonic, Inc. * 363,131 2,371,245
II-VI, Inc. * 387,585 26,220,125
Infinera Corp. * 703,117 5,948,370
Inseego Corp. *(a) 238,303 2,366,349
Insight Enterprises, Inc. * 130,834 9,352,014
InterDigital, Inc. 115,072 6,893,964
Itron, Inc. * 151,173 11,883,710
Kimball Electronics, Inc. * 93,295 1,437,676
Knowles Corp. * 341,607 5,800,487
Littelfuse, Inc. 90,990 21,885,825
Lumentum Holdings, Inc. * 281,064 24,278,308
Methode Electronics, Inc. 140,360 4,915,407
MTS Systems Corp. 71,767 2,513,998
Napco Security Technologies, Inc. * 43,600 1,329,800
NCR Corp. * 479,080 13,256,144
NETGEAR, Inc. * 111,782 3,555,785
NetScout Systems, Inc. * 270,061 6,324,829
nLight, Inc. * 127,598 3,830,492
Novanta, Inc. * 131,672 15,798,007
 
67

 

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

Security Number
of Shares
Value ($)
OSI Systems, Inc. * 62,829 5,535,235
PAR Technology Corp. * 62,548 3,376,341
PC Connection, Inc. 40,891 1,866,674
Plantronics, Inc. 138,202 3,775,679
Plexus Corp. * 109,776 8,201,365
Pure Storage, Inc., Class A * 891,891 16,294,849
Ribbon Communications, Inc. * 438,245 3,006,361
Rogers Corp. * 70,040 10,289,576
Sanmina Corp. * 254,234 8,088,455
ScanSource, Inc. * 94,497 2,371,875
Super Micro Computer, Inc. * 166,100 4,685,681
SYNNEX Corp. 153,955 24,680,526
TTM Technologies, Inc. * 371,048 4,845,887
ViaSat, Inc. * 240,131 8,164,454
Viavi Solutions, Inc. * 855,599 11,589,088
Vishay Intertechnology, Inc. 497,367 9,629,025
Xerox Holdings Corp. 670,142 14,669,408
    449,173,557
 
Telecommunication Services 0.7%
Anterix, Inc. * 43,191 1,292,707
ATN International, Inc. 41,047 2,008,840
Bandwidth, Inc., Class A * 77,135 11,707,550
Boingo Wireless, Inc. * 165,719 2,344,924
Cincinnati Bell, Inc. * 188,917 2,873,428
Cogent Communications Holdings, Inc. 157,704 9,168,910
Consolidated Communications Holdings, Inc. * 272,332 1,525,059
Globalstar, Inc. * 2,306,412 743,357
Gogo, Inc. *(a) 187,065 1,971,665
Iridium Communications, Inc. * 436,767 14,015,853
Liberty Latin America Ltd., Class A * 184,349 2,092,361
Liberty Latin America Ltd., Class C * 568,186 6,426,184
ORBCOMM, Inc. * 290,616 1,662,323
Shenandoah Telecommunications Co. 186,948 8,307,969
Spok Holdings, Inc. 65,214 641,054
Telephone and Data Systems, Inc. 371,497 7,051,013
United States Cellular Corp. * 55,222 1,731,210
Vonage Holdings Corp. * 865,372 11,128,684
    86,693,091
 
Transportation 1.7%
Air Transport Services Group, Inc. * 222,114 6,827,784
Allegiant Travel Co. 48,695 8,287,402
ArcBest Corp. 95,791 4,014,601
Atlas Air Worldwide Holdings, Inc. * 97,374 5,434,443
Avis Budget Group, Inc. * 192,174 6,758,760
Daseke, Inc. * 229,227 1,547,282
Echo Global Logistics, Inc. * 99,174 2,815,550
Forward Air Corp. 104,458 7,632,746
Hawaiian Holdings, Inc. 171,436 3,473,293
Heartland Express, Inc. 184,379 3,407,324
Hub Group, Inc., Class A * 125,754 6,868,684
JetBlue Airways Corp. * 1,019,413 15,382,942
Kirby Corp. * 224,635 11,366,531
Knight-Swift Transportation Holdings, Inc. 470,430 19,424,055
Landstar System, Inc. 143,357 18,839,977
Macquarie Infrastructure Corp. 273,237 8,839,217
Marten Transport Ltd. 218,800 3,857,444
Matson, Inc. 160,821 9,348,525
Ryder System, Inc. 201,732 11,946,569
Saia, Inc. * 97,806 17,071,059
Schneider National, Inc., Class B 137,096 2,865,306
SEACOR Holdings, Inc. * 71,205 2,365,430
SkyWest, Inc. 187,516 8,050,062
Spirit Airlines, Inc. * 330,537 7,480,052
Security Number
of Shares
Value ($)
Universal Logistics Holdings, Inc. 27,094 582,792
Werner Enterprises, Inc. 217,375 8,692,826
    203,180,656
 
Utilities 2.5%
ALLETE, Inc. 194,410 10,933,618
American States Water Co. 137,703 10,165,235
Avista Corp. 253,607 9,515,335
Black Hills Corp. 234,525 14,266,156
California Water Service Group 184,544 9,131,237
Chesapeake Utilities Corp. 61,458 6,392,246
Clearway Energy, Inc., Class A 117,262 3,182,491
Clearway Energy, Inc., Class C 284,286 8,321,051
Hawaiian Electric Industries, Inc. 407,994 14,618,425
IDACORP, Inc. 188,561 17,079,855
MDU Resources Group, Inc. 749,387 18,689,712
MGE Energy, Inc. 134,948 9,266,879
Middlesex Water Co. 65,065 4,456,302
National Fuel Gas Co. 340,323 14,011,098
New Jersey Resources Corp. 359,534 11,875,408
Northwest Natural Holding Co. 113,832 5,454,829
NorthWestern Corp. 189,584 10,995,872
ONE Gas, Inc. 198,111 15,686,429
Ormat Technologies, Inc. 164,491 12,963,536
Otter Tail Corp. 152,347 6,066,457
PNM Resources, Inc. 297,033 14,587,291
Portland General Electric Co. 334,678 13,848,976
SJW Group 98,211 6,442,641
South Jersey Industries, Inc. 374,989 8,632,247
Southwest Gas Holdings, Inc. 209,311 13,448,232
Spire, Inc. 192,076 12,285,181
Sunnova Energy International, Inc. * 171,439 6,944,994
Unitil Corp. 55,878 2,284,293
York Water Co. 48,548 2,186,602
    293,732,628
Total Common Stock
(Cost $9,844,825,666)   11,772,637,523

Rights 0.0% of net assets
 
Media & Entertainment 0.0%
Contra Restorbio, Inc. CVR *(b) 8,172
Media General, Inc. CVR *(b) 177,806 15,131
Total Rights
(Cost $—)   15,131

Other Investment Companies 1.2% of net assets
 
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 0.02% (c) 8,210,855 8,210,855
 
Securities Lending Collateral 1.1%
Wells Fargo Government Money Market Fund, Select Class 0.02% (c) 136,048,524 136,048,524
Total Other Investment Companies
(Cost $144,259,379)   144,259,379
    
 
68

 

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

  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
Russell 2000 Index, e-mini, expires 12/18/20 300 27,301,500 298,615
* Non-income producing security.
(a) All or a portion of this security is on loan. Securities on loan were valued at $131,771,457.
(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.
   
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, 2020:
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 $11,772,637,523 $— $— $11,772,637,523  
Rights1          
Media & Entertainment 15,131* 15,131  
Other Investment Companies1 144,259,379 144,259,379  
Futures Contracts2 298,615 298,615  
Total $11,917,195,517 $— $15,131 $11,917,210,648  
* Level 3 amount shown includes securities determined to have no value at November 30, 2020.
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, 2020 (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
 
Banks 11.0%
1st Source Corp. 128,607 4,799,613
BancFirst Corp. 156,006 8,460,205
Bank of Hawaii Corp. 348,027 26,060,262
Bank OZK 1,052,945 29,440,342
Banner Corp. 305,107 12,610,072
Boston Private Financial Holdings, Inc. 711,350 5,093,266
Cathay General Bancorp 659,166 18,621,440
City Holding Co. 140,111 9,203,892
Comerica, Inc. 1,210,257 59,544,644
CVB Financial Corp. 1,120,140 21,271,459
East West Bancorp, Inc. 1,231,545 52,611,602
Federal Agricultural Mortgage Corp., Class C 79,836 5,404,897
Fifth Third Bancorp 6,195,602 156,996,555
First Commonwealth Financial Corp. 852,748 8,246,073
Heritage Financial Corp. 312,077 7,262,032
Huntington Bancshares, Inc. 8,827,527 106,636,526
International Bancshares Corp. 483,320 15,664,401
KeyCorp 8,489,221 131,243,357
Lakeland Financial Corp. 222,959 11,324,088
M&T Bank Corp. 1,116,411 130,050,717
Northwest Bancshares, Inc. 1,030,541 12,191,300
PacWest Bancorp 1,013,191 23,566,823
Premier Financial Corp. 324,011 6,710,268
Regions Financial Corp. 8,329,234 127,187,403
S&T Bancorp, Inc. 330,895 7,408,739
Stock Yards Bancorp, Inc. 185,228 7,379,484
Synovus Financial Corp. 1,280,371 40,421,312
U.S. Bancorp 11,928,530 515,431,781
Umpqua Holdings Corp. 1,913,584 26,579,682
Webster Financial Corp. 785,574 29,726,120
Zions Bancorp NA 1,426,515 55,049,214
    1,672,197,569
 
Capital Goods 12.9%
3M Co. 3,311,467 571,989,695
Cummins, Inc. 1,375,139 317,890,882
Eaton Corp. plc 3,728,489 451,557,303
Emerson Electric Co. 5,569,250 427,829,785
MSC Industrial Direct Co., Inc., Class A 423,499 35,285,937
Snap-on, Inc. 506,669 89,097,744
Watsco, Inc. 305,361 69,426,877
    1,963,078,223
 
Commercial & Professional Services 0.7%
HNI Corp. 396,519 14,457,083
Insperity, Inc. 340,017 29,071,453
Robert Half International, Inc. 1,068,311 68,564,200
    112,092,736
 
Security Number
of Shares
Value ($)
Consumer Durables & Apparel 3.8%
Hasbro, Inc. 1,187,736 110,495,080
Leggett & Platt, Inc. 1,233,368 53,158,161
Polaris, Inc. 536,694 51,522,624
VF Corp. 2,972,223 247,883,398
Whirlpool Corp. 579,437 112,764,235
    575,823,498
 
Diversified Financials 10.6%
Ameriprise Financial, Inc. 1,064,576 197,202,058
BlackRock, Inc. 979,508 684,039,412
Discover Financial Services 2,665,449 203,027,250
Eaton Vance Corp. 991,428 66,405,848
Evercore, Inc., Class A 352,843 32,084,014
Federated Hermes, Inc. 834,201 22,389,955
Franklin Resources, Inc. 2,413,893 53,081,507
Janus Henderson Group plc 1,334,172 38,063,927
Lazard Ltd., Class A 980,198 36,580,989
T. Rowe Price Group, Inc. 1,980,121 283,969,153
Waddell & Reed Financial, Inc., Class A 571,519 9,407,203
    1,626,251,316
 
Energy 5.9%
Exxon Mobil Corp. 14,458,617 551,307,066
ONEOK, Inc. 4,100,569 147,087,410
Valero Energy Corp. 3,800,322 204,343,314
    902,737,790
 
Food, Beverage & Tobacco 12.1%
Altria Group, Inc. 12,530,402 499,085,912
B&G Foods, Inc. (a) 598,783 16,580,301
Flowers Foods, Inc. 1,795,752 39,847,737
Kellogg Co. 2,331,690 149,018,308
PepsiCo, Inc. 4,001,840 577,185,383
The Coca-Cola Co. 10,932,236 564,103,377
    1,845,821,018
 
Household & Personal Products 3.1%
Kimberly-Clark Corp. 3,174,353 442,219,117
Nu Skin Enterprises, Inc., Class A 484,467 24,954,895
    467,174,012
 
Insurance 5.4%
American Financial Group, Inc. 648,977 58,025,034
Cincinnati Financial Corp. 1,313,093 100,254,650
Employers Holdings, Inc. 264,128 8,058,545
Fidelity National Financial, Inc. 2,513,445 90,458,885
Mercury General Corp. 235,947 10,492,563
Principal Financial Group, Inc. 2,216,544 110,361,726
Prudential Financial, Inc. 3,437,474 259,941,784
Safety Insurance Group, Inc. 126,196 8,991,465
 
70

 

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

Security Number
of Shares
Value ($)
The Hartford Financial Services Group, Inc. 3,116,123 137,732,637
Unum Group 1,768,308 39,309,487
    823,626,776
 
Materials 4.3%
Amcor plc 14,676,128 166,280,530
Eastman Chemical Co. 1,266,705 123,377,067
Huntsman Corp. 1,829,902 45,326,673
International Paper Co. 3,663,851 181,287,348
Neenah, Inc. 156,351 7,584,587
Schweitzer-Mauduit International, Inc. 290,048 10,087,869
Sonoco Products Co. 935,410 54,309,905
Steel Dynamics, Inc. 1,960,683 70,996,331
    659,250,310
 
Media & Entertainment 2.0%
Omnicom Group, Inc. 1,997,475 125,840,925
ViacomCBS, Inc., Class B 5,038,954 177,774,297
    303,615,222
 
Pharmaceuticals, Biotechnology & Life Sciences 3.8%
Pfizer, Inc. 15,165,885 581,005,054
 
Retailing 2.4%
Best Buy Co., Inc. 2,118,829 230,528,595
Genuine Parts Co. 1,344,716 132,279,713
PetMed Express, Inc. 187,324 5,750,847
    368,559,155
 
Semiconductors & Semiconductor Equipment 8.8%
QUALCOMM, Inc. 4,812,281 708,223,395
Texas Instruments, Inc. 3,928,239 633,428,539
    1,341,651,934
 
Software & Services 5.4%
International Business Machines Corp. 4,487,990 554,356,525
Paychex, Inc. 2,975,896 277,204,712
    831,561,237
 
Security Number
of Shares
Value ($)
Telecommunication Services 3.6%
Verizon Communications, Inc. 9,138,801 552,074,968
 
Transportation 3.8%
United Parcel Service, Inc., Class B 3,433,654 587,395,190
Total Common Stock
(Cost $13,108,328,636)   15,213,916,008

Other Investment Companies 0.2% of net assets
 
Money Market Fund 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class 0.02% (b) 13,467,252 13,467,252
 
Securities Lending Collateral 0.1%
Wells Fargo Government Money Market Fund, Select Class 0.02% (b) 13,770,690 13,770,690
Total Other Investment Companies
(Cost $27,237,942)   27,237,942
    
  Number of
Contracts
Notional
Amount
($)
Current Value/
Unrealized
Appreciation
($)
Futures Contracts  
Long  
S&P 500 Index, e-mini, expires 12/18/20 217 39,311,720 884,576
S&P Mid-Cap 400 Index, e-mini, expires 12/18/20 115 24,936,600 847,608
Net Unrealized Appreciation 1,732,184
(a) All or a portion of this security is on loan. Securities on loan were valued at $13,452,562.
(b) The rate shown is the 7-day yield.
 

The following is a summary of the inputs used to value the fund’s investments as of November 30, 2020:
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 $15,213,916,008 $— $— $15,213,916,008  
Other Investment Companies1 27,237,942 27,237,942  
Futures Contracts2 1,732,184 1,732,184  
Total $15,242,886,134 $— $— $15,242,886,134  
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.
71

 

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 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).
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 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.
72

 

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.
REG89448NOV20
73